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CASE OF CHIRAGOV AND OTHERS v. ARMENIA.txt
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GRAND CHAMBER
CASE OF CHIRAGOV AND OTHERS v. ARMENIA
(Application no. 13216/05)
JUDGMENT
(Merits)
STRASBOURG
16 June 2015
This judgment is final.
In the case of Chiragov and Others v. Armenia,
The European Court of Human Rights, sitting as a Grand Chamber composed of:
Dean Spielmann, President,
Josep Casadevall,
Guido Raimondi,
Mark Villiger,
Isabelle Berro,
Ineta Ziemele,
Boštjan M. Zupančič,
Alvina Gyulumyan,
Khanlar Hajiyev,
George Nicolaou,
Luis López Guerra,
Ganna Yudkivska,
Paulo Pinto de Albuquerque,
Ksenija Turković,
Egidijus Kūris,
Robert Spano,
Iulia Antoanella Motoc, judges,
and Michael O’Boyle, Deputy Registrar,
Having deliberated in private on 22 and 23 January 2014 and 22 January 2015,
Delivers the following judgment, which was adopted on the last-mentioned date:
PROCEDURE
1. The case originated in an application (no. 13216/05) against the Republic of Armenia lodged with the Court under Article 34 of the Convention for the Protection of Human Rights and Fundamental Freedoms (“the Convention”) by six Azerbaijani nationals, Mr Elkhan Chiragov, Mr Adishirin Chiragov, Mr Ramiz Gebrayilov, Mr Akif Hasanof, Mr Fekhreddin Pashayev and Mr Qaraca Gabrayilov (“the applicants”), on 6 April 2005. The sixth applicant died in June 2005. The application was pursued on his behalf by his son, Mr Sagatel Gabrayilov.
2. The applicants, who had been granted legal aid, were represented by Mr M. Muller QC, Ms C. Vine, Ms M. Butler, Mr M. Ivers, Ms B. Poynor and Mr S. Swaroop, lawyers practising in London, as well as Mr K. Yıldız. The Armenian Government (“the Government”) were represented by their Agent, Mr G. Kostanyan, Representative of the Republic of Armenia before the Court.
3. The applicants alleged, in particular, that they were prevented from returning to the district of Lachin, located in a territory occupied by the government, and thus unable to enjoy their property and homes there, and that they had not received any compensation for their losses. They submitted that this amounted to continuing violations of Article 1 of Protocol No. 1 and of Article 8 of the Convention. Moreover, they alleged a violation of Article 13 of the Convention in that no effective remedy was available in respect of the above complaints. Finally, they claimed, with a view to all the complaints set out above, that they were subjected to discrimination by virtue of ethnic origin and religious affiliation in violation of Article 14 of the Convention.
4. The application was allocated to the Third Section of the Court (Rule 52 § 1 of the Rules of Court). The Azerbaijani Government made use of their right to intervene under Article 36 § 1 of the Convention. They were represented by their Agent, Mr Ç. Asgarov.
5. On 9 March 2010 a Chamber of the Third Section, composed of Josep Casadevall, President, Elisabet Fura, Corneliu Bîrsan, Boštjan M. Zupančič, Alvina Gyulumyan, Egbert Myjer and Luis López Guerra, judges, and Stanley Naismith, Deputy Section Registrar, relinquished jurisdiction in favour of the Grand Chamber, neither of the parties having objected to relinquishment (Article 30 of the Convention and Rule 72).
6. The composition of the Grand Chamber was determined according to the provisions of Article 26 §§ 4 and 5 of the Convention and Rule 24. The President of the Court decided that, in the interest of the proper administration of justice, the present case and the case of Sargsyan v. Azerbaijan (application no. 40167/06) should be assigned to the same composition of the Grand Chamber (Rules 24, 42 § 2 and 71).
7. A hearing on the admissibility and merits of the application took place in public in the Human Rights Building, Strasbourg, on 15 September 2010 (Rule 59 § 3).
8. On 14 December 2011 the application was declared admissible by a Grand Chamber composed of Nicolas Bratza, President, Jean-Paul Costa, Christos Rozakis, Françoise Tulkens, Josep Casadevall, Nina Vajić, Corneliu Bîrsan, Peer Lorenzen, Boštjan M. Zupančič, Elisabet Fura, Alvina Gyulumyan, Khanlar Hajiyev, Egbert Myjer, Sverre Erik Jebens, Giorgio Malinverni, George Nicolaou and Luis López Guerra, judges, and Michael O’Boyle, Deputy Registrar.
9. The applicants and the Government each filed further observations (Rule 59 § 1) on the merits. In addition, third-party comments were received from the Azerbaijani Government.
10. A hearing on the merits took place in public in the Human Rights Building, Strasbourg, on 22 January 2014.
There appeared before the Court:
(a) for the Government
Mr G. Kostanyan, Agent,
Mr G. Robertson QC, Counsel,
Mr E. Babayan,
Mr T. Collis, Advisers;
(b) for the applicants
Mr M. Muller QC,
Mr M. Ivers,
Mr S. Swaroop,
Ms M. Butler, Counsel,
Ms C. Vine,
Ms B. Poynor,
Ms S. Karakaş,
Ms A. Evans, Advisers;
(c) for the Azerbaijani Government
Mr Ç. Asgarov, Agent,
Mr M.N. Shaw QC,
Mr G. Lansky, Counsel,
Mr O. Gvaladze,
Mr H. Tretter,
Ms T. Urdaneta Wittek,
Mr O. Ismayilov, Advisers.
The applicants, Mr Hasanof and Mr Pashayev, were also present.
The Court heard addresses by Mr Muller, Mr Swaroop, Mr Ivers, Ms Butler, Mr Robertson, Mr Shaw and Mr Lansky.
11. Following the hearing, the Court decided that the examination of the case did not require it to undertake a fact-finding mission or to conduct a hearing of witnesses.
THE FACTS
I. THE CIRCUMSTANCES OF THE CASE
A. Background
. At the time of the demise of the Union of Soviet Socialist Republics (USSR), the Nagorno-Karabakh Autonomous Oblast (NKAO) was an autonomous region (oblast) of the Azerbaijan Soviet Socialist Republic (“the Azerbaijan SSR”). Situated within the territory of the Azerbaijan SSR, it covered 4,388 sq. km. There was at the time no common border between Nagorno-Karabakh (known as Artsakh by its Armenian name) and the Armenian Soviet Socialist Republic (“the Armenian SSR”), which were separated by Azerbaijani territory, the district of Lachin being the shortest distance between them, including a strip of land often referred to as the “Lachin corridor”, less than 10 km wide.
. According to the USSR census of 1989, the NKAO had a population of 189,000, consisting of 77% ethnic Armenians and 22% ethnic Azeris, with Russian and Kurdish minorities. The district of Lachin had a different demographic, the vast majority of its population of some 60,000 being Kurds and Azeris. Only 5-6% were Armenians.
. In early 1988 demonstrations were held in Stepanakert, the regional capital of the NKAO, as well as in the Armenian capital, Yerevan, to demand the incorporation of Nagorno-Karabakh into Armenia. On 20 February the Soviet of the NKAO made a request to the Supreme Soviets of the Armenian SSR, the Azerbaijan SSR and the USSR that the NKAO be allowed to secede from Azerbaijan and join Armenia. The request was rejected by the Supreme Soviet of the USSR on 23 March. In June it was also rejected by the Supreme Soviet of Azerbaijan, whereas its counterpart in Armenia voted in favour of unification.
. Throughout 1988 the demonstrations calling for unification continued. The district of Lachin was subjected to roadblocks and attacks. The clashes led to many casualties, and refugees, numbering in the hundreds of thousands on both sides, flowed between Armenia and Azerbaijan. As a consequence, on 12 January 1989 the USSR government placed the NKAO under Moscow’s direct rule. However, on 28 November, control of the region was returned to Azerbaijan. A few days later, on 1 December, the Supreme Soviet of the Armenian SSR and the NagornoKarabakh Regional Council adopted a Joint Resolution on the reunification of Nagorno-Karabakh with Armenia. As a result of this Resolution, a joint budget for the two entities was established in January 1990 and a decision was taken to include Nagorno-Karabakh in the Armenian elections, which were to take place in the spring of that year.
. In early 1990, following an escalation of the conflict, Soviet troops arrived in Baku and Nagorno-Karabakh and the latter was placed under a state of emergency. Violent clashes between Armenians and Azeris continued, however, with the occasional intervention by Soviet forces.
. On 30 August 1991 Azerbaijan declared independence from the Soviet Union. This was subsequently formalised by the adoption of the Constitutional Act on the State Independence of the Republic of Azerbaijan of 18 October. On 2 September the Soviet of the NKAO announced the establishment of the “Republic of Nagorno-Karabakh” (the “NKR”), consisting of the territory of the NKAO and the Shahumyan district of Azerbaijan, and declared that it was no longer under Azerbaijani jurisdiction. On 26 November the Azerbaijani Parliament abolished the autonomy previously enjoyed by Nagorno-Karabakh. In a referendum organised in Nagorno-Karabakh on 10 December, 99.9% of those participating voted in favour of secession. However, the Azeri population boycotted the referendum. In the same month, the Soviet Union was dissolved and Soviet troops began to withdraw from the region. Military control of NagornoKarabakh was rapidly being handed over to the Karabakh Armenians. On 6 January 1992 the “NKR”, having regard to the results of the referendum, reaffirmed its independence from Azerbaijan.
. In early 1992 the conflict gradually escalated into a full-scale war. The ethnic Armenians conquered several Azeri villages, resulting in at least several hundred deaths and the departure of the population.
. The district of Lachin, in particular the town of Lachin, was attacked many times. The applicants claimed that the attacks were made by troops of both Nagorno-Karabakh and Armenia. The Government maintained, however, that Armenia did not participate in the events, but that military action was carried out by the defence forces of Nagorno-Karabakh and volunteer groups. For almost eight months in 1991, the roads to Lachin were under the control of forces of Armenian ethnicity who manned and controlled checkpoints. The town of Lachin became completely isolated. In mid-May 1992 Lachin was subjected to aerial bombardment, during which many houses were destroyed.
. On 17 May 1992 realising that troops were advancing rapidly towards Lachin, villagers fled. The following day the town of Lachin was captured by forces of Armenian ethnicity. It appears that the town was looted and burnt in the days following the takeover. According to information obtained by the Government from the authorities of the “NKR”, the city of Lachin and the surrounding villages of Aghbulag, Chirag and Chiragli were completely destroyed during the military conflict.
. In July 1992 the Armenian Parliament decreed that it would not sign any international agreement stipulating that Nagorno-Karabakh remain a part of Azerbaijan.
. According to a Human Rights Watch (HRW) report (“Azerbaijan: Seven Years of Conflict in Nagorno-Karabakh”, December 1994), the capture of the district of Lachin resulted in approximately 30,000 Azeri displaced persons, many of them of Kurdish descent.
. Following the capture of Lachin, ethnic Armenian forces continued to conquer four more Azerbaijani districts surrounding Nagorno-Karabakh (Kelbajar, Jebrayil, Gubadly and Zangilan) and substantial parts of two others (Agdam and Fizuli).
. On 5 May 1994 a ceasefire agreement, known as the Bishkek Protocol (“the Ceasefire Agreement”), was signed by Armenia, Azerbaijan and the “NKR” following Russian mediation. It came into force on 12 May.
. According to the above-mentioned HRW report, between 1988 and 1994 an estimated 750,000 to 800,000 Azeris were forced out of NagornoKarabakh, Armenia and the seven Azerbaijani districts surrounding Nagorno-Karabakh. According to information from the Armenian authorities, 335,000 Armenian refugees from Azerbaijan and 78,000 internally displaced persons (from regions in Armenia bordering Azerbaijan) have been registered.
B. Current situation
. According to the Government, the “NKR” controls 4,061 sq. km of the former NKAO. While it is debated how much of the two partly conquered districts is occupied by the “NKR”, it appears that the occupied territory of the seven surrounding districts in total amounts to some 7,500 sq. km.
. Estimates of today’s population of Nagorno-Karabakh vary between 120,000 and 145,000 people, 95% of whom are of Armenian ethnicity. Virtually no Azerbaijanis remain. The district of Lachin has a population of between 5,000 and 10,000 Armenians.
28. No political settlement of the conflict has so far been reached. The self-proclaimed independence of the “NKR” has not been recognised by any State or international organisation. Recurring breaches of the Ceasefire Agreement along the borders have led to the loss of many lives and the rhetoric of officials remains hostile. Moreover, according to international reports, tension has heightened in recent years and military expenditure in Armenia and Azerbaijan has increased significantly.
29. Several proposals for a peaceful solution of the conflict have failed. Negotiations have been carried out under the auspices of the Organization for Security and Co-operation in Europe (OSCE) and its so-called Minsk Group. In Madrid in November 2007, the Group’s three Co-Chairs – France, Russia and the United States of America – presented to Armenia and Azerbaijan a set of Basic Principles for a settlement. The Basic Principles, which have since been updated, call, inter alia, for the return of the territories surrounding Nagorno-Karabakh to Azerbaijani control; an interim status for Nagorno-Karabakh providing guarantees for security and self-governance; a corridor linking Armenia to Nagorno-Karabakh; a future determination of the final legal status of Nagorno-Karabakh through a legally binding referendum; the right of all internally displaced persons and refugees to return to their former places of residence; and international security guarantees that would include a peacekeeping operation. The idea is that the endorsement of these principles by Armenia and Azerbaijan would enable the drafting of a comprehensive and detailed settlement. Following intensive shuttle diplomacy by Minsk Group diplomats and a number of meetings between the Presidents of the two countries in 2009, the process lost momentum in 2010. So far the parties to the conflict have not signed a formal agreement on the Basic Principles.
30. On 24 March 2011 the Minsk Group presented a “Report of the OSCE Minsk Group Co-Chairs’ Field Assessment Mission to the Occupied Territories of Azerbaijan Surrounding Nagorno-Karabakh”, the Executive Summary of which reads as follows.
“The OSCE Minsk Group Co-Chairs conducted a Field Assessment Mission to the seven occupied territories of Azerbaijan surrounding Nagorno-Karabakh (NK) from October 7-12, 2010, to assess the overall situation there, including humanitarian and other aspects. The Co-Chairs were joined by the Personal Representative of the OSCE Chairman-in-Office and his team, which provided logistical support, and by two experts from the UNHCR and one member of the 2005 OSCE Fact-Finding Mission. This was the first mission by the international community to the territories since 2005, and the first visit by UN personnel in 18 years.
In travelling more than 1,000 kilometers throughout the territories, the Co-Chairs saw stark evidence of the disastrous consequences of the Nagorno-Karabakh conflict and the failure to reach a peaceful settlement. Towns and villages that existed before the conflict are abandoned and almost entirely in ruins. While no reliable figures exist, the overall population is roughly estimated as 14,000 persons, living in small settlements and in the towns of Lachin and Kelbajar. The Co-Chairs assess that there has been no significant growth in the population since 2005. The settlers, for the most part ethnic Armenians who were relocated to the territories from elsewhere in Azerbaijan, live in precarious conditions, with poor infrastructure, little economic activity, and limited access to public services. Many lack identity documents. For administrative purposes, the seven territories, the former NK Oblast, and other areas have been incorporated into eight new districts.
The harsh reality of the situation in the territories has reinforced the view of the CoChairs that the status quo is unacceptable, and that only a peaceful, negotiated settlement can bring the prospect of a better, more certain future to the people who used to live in the territories and those who live there now. The Co-Chairs urge the leaders of all the parties to avoid any activities in the territories and other disputed areas that would prejudice a final settlement or change the character of these areas. They also recommend that measures be taken to preserve cemeteries and places of worship in the territories and to clarify the status of settlers who lack identity documents. The Co-Chairs intend to undertake further missions to other areas affected by the NK conflict, and to include in such missions experts from relevant international agencies that would be involved in implementing a peace settlement.”
31. On 18 June 2013 the Presidents of the Co-Chair countries of the Minsk Group issued a Joint Statement on the Nagorno-Karabakh Conflict.
“We, the Presidents of the OSCE Minsk Group Co-Chair countries – France, the Russian Federation, and the United States of America – remain committed to helping the parties to the Nagorno-Karabakh conflict reach a lasting and peaceful settlement. We express our deep regret that, rather than trying to find a solution based upon mutual interests, the parties have continued to seek one-sided advantage in the negotiation process.
We continue to firmly believe that the elements outlined in the statements of our countries over the last four years must be the foundation of any fair and lasting settlement to the Nagorno-Karabakh conflict. These elements should be seen as an integrated whole, as any attempt to select some elements over others would make it impossible to achieve a balanced solution.
We reiterate that only a negotiated settlement can lead to peace, stability, and reconciliation, opening opportunities for regional development and cooperation. The use of military force that has already created the current situation of confrontation and instability will not resolve the conflict. A renewal of hostilities would be disastrous for the population of the region, resulting in loss of life, more destruction, additional refugees, and enormous financial costs. We strongly urge the leaders of all the sides to recommit to the Helsinki principles, particularly those relating to the non-use of force or the threat of force, territorial integrity, and equal rights and self-determination of peoples. We also appeal to them to refrain from any actions or rhetoric that could raise tension in the region and lead to escalation of the conflict. The leaders should prepare their people for peace, not war.
Our countries stand ready to assist the sides, but the responsibility for putting an end to the Nagorno-Karabakh conflict remains with them. We strongly believe that further delay in reaching a balanced agreement on the framework for a comprehensive peace is unacceptable, and urge the leaders of Azerbaijan and Armenia to focus with renewed energy on the issues that remain unresolved.”
C. The applicants and the property allegedly owned by them in the district of Lachin
. The applicants have stated that they are Azerbaijani Kurds who lived in the district of Lachin, where their ancestors had lived for hundreds of years. On 17 May 1992 they were forced to flee from the district to Baku. They have since been unable to return to their homes and properties because of Armenian occupation.
1. Mr Elkhan Chiragov
. Mr Elkhan Chiragov was born in 1950. He lived in the district of Lachin. In the original application, it was mentioned that he lived in the village of Chirag, but in the reply to the Government’s observations it was stated that his correct home village was Chiragli, where he worked as a teacher for fifteen years. He claimed that his possessions included a large furnished house of 250 sq. m, 55 beehives, 80 head of small livestock and nine head of big livestock, and five handmade carpets.
. On 27 February 2007, together with the applicants’ reply to the Government’s observations, he submitted an official certificate (“technical passport”) dated 19 July 1985, according to which a two-storey, twelve-bedroom dwelling house with a total area of 408 sq. m (living area of 300 sq. m and subsidiary area of 108 sq. m) and a storehouse of 60 sq. m, situated on a plot of land of 1,200 sq. m, had been registered in his name.
. He also presented a statement by three former neighbours, who affirmed that he owned a two-storey, sixteen-room dwelling house of 260 sq. m and a car, as well as a statement by A. Jafarov and A. Halilov, representatives of the Lachin City Executive Power of the Republic of Azerbaijan, who stated that Mr Elkhan Chiragov used to live in Chiragli.
. Before the Grand Chamber, the applicant submitted, inter alia, a marriage certificate according to which he was born in Chiragli and married there in 1978, birth certificates for his son and daughter, both born in Chiragli in 1979 and 1990 respectively, as well as a letter dating from 1979 and a 1992 employment book issued by the Lachin District Educational Department, showing that he had worked as a teacher in Chiragli.
2. Mr Adishirin Chiragov
. Mr Adishirin Chiragov was born in 1947. He lived in the district of Lachin. In the original application, it was mentioned that he lived in the village of Chirag, but in the reply to the Government’s observations it was stated that his correct home village was Chiragli, where he had worked as a teacher for twenty years. He claimed that his possessions included a large furnished house of 145 sq. m, a new “Niva” car, 65 head of small livestock and 11 head of big livestock, and six handmade carpets.
. On 27 February 2007 he submitted a technical passport dated 22 April 1986, according to which a two-storey, eight-bedroom dwelling house with a total area of 230.4 sq. m (living area of 193.2 sq. m and subsidiary area of 37.2 sq. m) and a storehouse of 90 sq. m, situated on a plot of land of 1,200 sq. m, had been registered in his name.
. He also presented a statement by three former neighbours, who affirmed that he owned a two-storey dwelling house with eight rooms, as well as a statement by A. Jafarov and A. Halilov, representatives of the Lachin City Executive Power of the Republic of Azerbaijan, who stated that Mr Adishirin Chiragov used to live in Chiragli.
. Before the Grand Chamber, the applicant submitted, inter alia, a marriage certificate according to which he was born in Chiragli and married there in 1975, birth certificates for his son and two daughters, all born in Chiragli in 1977, 1975 and 1982 respectively, as well as a USSR passport issued in 1981, indicating Chiragli as his place of birth and containing a 1992 registration stamp designating Chiragli as his place of residence.
3. Mr Ramiz Gebrayilov
. Mr Ramiz Gebrayilov was born in Chiragli in 1960. In 1988 he graduated with a degree in engineering from the Baku Polytechnical Institute. In 1983, while still studying in Baku, he visited the town of Lachin and was given a 5,000 sq. m plot of land by the State. He claimed that he had built a six-bedroom house with a garage on it and lived there with his wife and children until he was forced to leave in 1992. There were also some cattle sheds. He also owned a car repair business called “Auto Service”, a shop and a café, which were situated on a further 5,000 sq. m of land that he owned. In addition, he had 12 cows, 70 lambs and 150 sheep.
. Mr Gebrayilov had been unable to return to Lachin since his departure in 1992. In 2001 Armenian friends of his went to Lachin and videotaped the condition of the houses in the town. According to the applicant, he could see from the video that his house had been burnt down. He had also been informed by people who left Lachin after him that his house had been burnt down by Armenian forces a few days after he had left Lachin.
. On 27 February 2007 Mr Gebrayilov submitted a technical passport dated 15 August 1986, according to which a two-storey, eight-bedroom dwelling house with a total area of 203.2 sq. m (living area of 171.2 sq. m and subsidiary of area 32 sq. m), situated on a plot of land of 480 sq. m, had been registered in his name.
. He also presented a statement by three former neighbours, who affirmed that he owned a two-storey house with eight rooms, as well as a statement by V. Maharramov, representative of the Lachin City Executive Power of the Republic of Azerbaijan, who stated that Mr Gebrayilov used to live in his personal house in Lachin.
. Before the Grand Chamber, the applicant submitted, inter alia, a birth certificate and a marriage certificate according to which he was born in Chiragli and married there in 1982, birth certificates for his daughter and two sons, all born in Lachin in 1982, 1986 and 1988 respectively, as well as an army book issued in 1979.
4. Mr Akif Hasanof
. Mr Akif Hasanof was born in 1959 in the village of Aghbulag in the district of Lachin. He worked there as a teacher for twenty years. He claimed that his possessions included a large furnished house of 165 sq. m, a new “Niva” car, 100 head of small livestock and 16 head of big livestock, and 20 handmade carpets.
. On 27 February 2007 he submitted a technical passport dated 13 September 1985, according to which a two-storey, nine-bedroom dwelling house with a total area of 448.4 sq. m (living area of 223.2 sq. m and subsidiary area of 225.2 sq. m) and a storehouse of 75 sq. m, situated on a plot of land of 1,600 sq. m, had been registered in his name.
. He also presented a statement by three former neighbours, who affirmed that he owned a two-storey, nine-room dwelling house as well as a stall for livestock and subsidiary buildings, as well as a statement by V. Maharramov, representative of the Lachin City Executive Power of the Republic of Azerbaijan, who stated that Mr Hasanof used to live in his personal house in Aghbulag.
. Before the Grand Chamber, the applicant submitted a birth certificate, a USSR passport issued in 1976 and an employment book issued by the Lachin District Educational Department, indicating that he was born in Aghbulag and had worked as a teacher and school director in that village between 1981 and 1988.
5. Mr Fekhreddin Pashayev
. Mr Fekhreddin Pashayev was born in 1956 in the village of Kamalli in the district of Lachin. After graduating with a degree in engineering from the Baku Polytechnical Institute in 1984, he returned to the town of Lachin where he was employed as an engineer and, from 1986, as chief engineer at the Ministry of Transport. He claimed that he owned and lived in a twostorey, three-bedroom house in Lachin which he had built himself. The house was situated at no. 50, 28 Aprel Kucesi, Lachin Seheri, Lachin Rayonu. Mr Pashayev submitted that the current market value of the house would be 50,000 United States dollars (USD). He also owned the land around his house and had a share (about 10 ha) in a collective farm in Kamalli. Furthermore, he owned some land through “collective ownership”.
. On 27 February 2007 he submitted a technical passport dated August 1990, according to which a two-storey dwelling house with a total area of 133.2 sq. m (living area of 51.6 sq. m and subsidiary area of 81.6 sq. m), situated on a plot of land of 469.3 sq. m, had been registered in his name.
. He also presented a statement by three former neighbours, who affirmed that he owned a two-storey, four-room dwelling house, as well as a statement by V. Maharramov, representative of the Lachin City Executive Power of the Republic of Azerbaijan, who stated that Mr Pashayev used to live in his own house at 28 Aprel Kucesi, Lachin.
. Before the Grand Chamber, the applicant submitted, inter alia, a marriage certificate according to which he was born in Kamalli and married there in 1985, birth certificates for his two daughters, born in Kamalli in 1987 and in Lachin in 1991 respectively, a birth certificate for his son, registered as having been born in Kamalli in 1993, as well as an army book issued in 1978 and an employment book dating from 2000. He explained that, while his son had in fact been born in Baku, it was normal under the USSR propiska system to record a child as having been born at the parents’ registered place of residence.
6. Mr Qaraca Gabrayilov
. Mr Qaraca Gabrayilov was born in the town of Lachin in 1940 and died on 19 June 2005. On 6 April 2005, at the time of submitting the present application, he stated that, when he was forced to leave on 17 May 1992, he had been living at holding no. 580, N. Narimanov Street, flat 128a in the town of Lachin, a property he owned and which included a two-storey residential family house built in 1976 with a surface of 187.1 sq. m and a yard area of 453.6 sq. m. He also claimed that he owned a further site of 300 sq. m on that street. Annexed to the application was a technical passport dated August 1985, according to which a two-storey house with a yard, of the mentioned sizes, had been registered in his name.
. On 27 February 2007, however, the applicant’s representatives submitted that he had been living at 41 H. Abdullayev Street in Lachin. Nevertheless, he owned the two properties on N. Narimanov Street. Attached to these submissions were a statement by three former neighbours and a statement by V. Maharramov, representative of the Lachin City Executive Power of the Republic of Azerbaijan, who stated that Mr Gabrayilov used to live in his own house at H. Abdullayev Street, Lachin. Attached were also a decision of 29 January 1974 by the Lachin District Soviet of People’s Deputies to allocate the above-mentioned plot of 300 sq. m to the applicant, and several invoices for animal feed, building materials and building subsidies allegedly used during the construction of his properties.
. On 21 November 2007 Mr Sagatel Gabrayilov, the son of the applicant, stated that the family did used to live at N. Narimanov Street but that, on an unspecified date, the name and numbering of the street had been changed, their address thereafter being H. Abdullayev Street. Thus, the two addresses mentioned above referred to the same property.
. Before the Grand Chamber, the applicant’s representatives submitted, inter alia, a birth certificate and a marriage certificate according to which he was born in Chiragli and married there in 1965, a birth certificate for his son, born in Alkhasli village in the district of Lachin in 1970, as well as an army book issued in 1963.
D. Relations between the Republic of Armenia and the “Republic of Nagorno-Karabakh”
. The applicants and the Government as well as the third-party intervener, the Azerbaijani Government, submitted extensive documentation and statements on the issue of whether Armenia exercises authority in or control over the “NKR” and the surrounding territories. The information thus received is summarised below, in so far as considered relevant by the Court.
1. Military aspects
. In 1993 the United Nations Security Council adopted the following four Resolutions relating to the Nagorno-Karabakh conflict.
Resolution 822 (1993), 30 April 1993, S/RES/822 (1993)
“The Security Council,
...
Noting with alarm the escalation in armed hostilities and, in particular, the latest invasion of the Kelbadjar district of the Republic of Azerbaijan by local Armenian forces,
...
1. Demands the immediate cessation of all hostilities and hostile acts with a view to establishing a durable cease-fire, as well as immediate withdrawal of all occupying forces from the Kelbadjar district and other recently occupied areas of Azerbaijan,
...”
Resolution 853 (1993), 29 July 1993, S/RES/853 (1993)
“The Security Council,
...
Expressing its serious concern at the deterioration of relations between the Republic of Armenia and the Azerbaijani Republic and at the tensions between them,
...
Noting with alarm the escalation in armed hostilities and, in particular, the seizure of the district of Agdam in the Azerbaijani Republic,
...
3. Demands the immediate cessation of all hostilities and the immediate, complete and unconditional withdrawal of the occupying forces involved from the district of Agdam and other recently occupied districts of the Azerbaijani Republic;
...
9. Urges the Government of the Republic of Armenia to continue to exert its influence to achieve compliance by the Armenians of the Nagorny-Karabakh region of the Azerbaijani Republic with its resolution 822 (1993) and the present resolution, and the acceptance by this party of the proposals of the Minsk Group of the [OSCE];
...”
Resolution 874 (1993), 14 October 1993, S/RES/874 (1993)
“The Security Council,
...
Expressing its serious concern that a continuation of the conflict in and around the Nagorny Karabakh region of the Azerbaijani Republic, and of the tensions between the Republic of Armenia and the Azerbaijani Republic, would endanger peace and security in the region,
...
5. Calls for the immediate implementation of the reciprocal and urgent steps provided for in the [OSCE] Minsk Group’s ‘Adjusted timetable’, including the withdrawal of forces from recently occupied territories and the removal of all obstacles to communication and transportation;
...”
Resolution 884 (1993), 12 November 1993, S/RES/884 (1993)
“The Security Council,
...
Noting with alarm the escalation in armed hostilities as [a] consequence of the violations of the cease-fire and excesses in the use of force in response to those violations, in particular the occupation of the Zangelan district and the city of Goradiz in the Azerbaijani Republic,
...
2. Calls upon the Government of Armenia to use its influence to achieve compliance by the Armenians of the Nagorny Karabakh region of the Azerbaijani Republic with resolutions 822 (1993), 853 (1993) and 874 (1993), and to ensure that the forces involved are not provided with the means to extend their military campaign further;
...
4. Demands from the parties concerned the immediate cessation of armed hostilities and hostile acts, the unilateral withdrawal of occupying forces from the Zangelan district and the city of Goradiz, and the withdrawal of occupying forces from the other recently occupied areas of the Azerbaijani Republic in accordance with the ‘Adjusted timetable of urgent steps to implement Security Council resolutions 822 (1993) and 853 (1993)’ ... as amended by the [OSCE] Minsk Group meeting in Vienna of 2 to 8 November 1993;
...”
. The above-mentioned HRW report of December 1994 (see paragraph 22) contains accounts of the Nagorno-Karabakh conflict. While stating that “[a] Karabakh Armenian military offensive in May/June 1992 captured a large part of Lachin province”, it goes on to summarise the events in 1993 and 1994 as follows:
“... Karabakh Armenian troops – often with the support of forces from the Republic of Armenia – captured the remaining Azerbaijani provinces surrounding [Nagorno-] Karabakh and forced out the Azeri civilian population: the rest of Lachin province, and Kelbajar, Agdam, Fizuli, Jebrayil, Qubatli, and Zangelan provinces.”
The HRW report presents several pieces of information which point to an involvement of the Armenian army in Nagorno-Karabakh and the surrounding territories (see Chapter VII. The Republic of Armenia as a Party to the Conflict). Allegedly, Armenia had even sent members of its police force to perform police duties in the occupied territories. HRW spent two days in April 1994 interviewing Armenian uniformed soldiers on the streets of Yerevan. 30% of them were draftees in the Armenian army who had either fought in Karabakh, had orders to go to Karabakh or had ostensibly volunteered for service there. Moreover, on a single day in April 1994 HRW researchers had counted five buses holding an estimated 300 soldiers of the Armenian army entering Nagorno-Karabakh from Armenia. Other western journalists had reported to HRW researchers that they had seen eight more buses full of Armenian army soldiers heading for Azerbaijani territory from Armenia. According to HRW, as a matter of law, Armenian army troop involvement in Azerbaijan made Armenia a party to the conflict and made the war an international armed conflict between Armenia and Azerbaijan.
. Several proposals for a solution to the conflict have been presented within the Minsk Group. A “package deal” proposal of July 1997 set out, under the heading “Agreement I – The end of armed hostilities”, a twostage process of the withdrawal of armed forces. The second stage included the provision that “[t]he armed forces of Armenia [would] be withdrawn to within the borders of the Republic of Armenia”.
The “step-by-step” approach presented in December 1997 also contained a two-stage withdrawal process and stipulated, as part of the second phase, that “[a]ll Armenian forces located outside the borders of the Republic of Armenia [would] be withdrawn to locations within those borders”. Substantially the same wording was used in the “common state deal” proposal of November 1998.
While these documents were discussed in Minsk Group negotiations, none of them led to an agreement between Armenia and Azerbaijan.
. The applicants referred to statements by various political leaders and observers. For instance, Mr Robert Kocharyan, then Prime Minister of the “NKR”, stated in an interview with the Armenian newspaper Golos Armenii in February 1994, that Armenia supplied anti-aircraft weapons to Nagorno-Karabakh.
Moreover, Mr Vazgen Manukyan, Armenian Minister of Defence from 1992 to 1993, admitted in an interview with British journalist and writer, Thomas de Waal, in October 2000 that the public declarations stating that the Armenian army had not taken any part in the war had been purely for foreign consumption:
“You can be sure that whatever we said politically, the Karabakh Armenians and the Armenian army were united in military actions. It was not important for me if someone was a Karabakhi or an Armenian.”
. The annual report of the International Institute for Strategic Studies (IISS), “The Military Balance”, for the years 2002, 2003 and 2004 assessed that, of the 18,000 troops in Nagorno-Karabakh, 8,000 were personnel from Armenia. The 2013 report stated, inter alia, that “since 1994, Armenia has controlled most of Nagorno-Karabakh, and also seven adjacent regions of Azerbaijan, often called the ‘occupied territories’”.
. Mr David Atkinson, rapporteur of the Parliamentary Assembly of the Council of Europe (PACE), stated in November 2004 in his second report to the Political Affairs Committee on “The Conflict over the Nagorno-Karabakh region dealt with by the OSCE Minsk Conference” concerning Nagorno-Karabakh (Doc. 10364, 29 November 2004) as follows.
“According to the information given to me, Armenians from Armenia had participated in the armed fighting over the Nagorno-Karabakh region besides local Armenians from within Azerbaijan. Today, Armenia has soldiers stationed in the Nagorno-Karabakh region and the surrounding districts, people in the region have passports of Armenia, and the Armenian government transfers large budgetary resources to this area.”
Based on this report, the Parliamentary Assembly adopted on 25 January 2005 Resolution 1416 (2005) on the conflict over the Nagorno-Karabakh region dealt with by the OSCE Minsk Conference in which it noted, inter alia, as follows.
“1. The Parliamentary Assembly regrets that, more than a decade after the armed hostilities started, the conflict over the Nagorno-Karabakh region remains unsolved. Hundreds of thousands of people are still displaced and live in miserable conditions. Considerable parts of the territory of Azerbaijan are still occupied by Armenian forces, and separatist forces are still in control of the Nagorno-Karabakh region.
2. The Assembly expresses its concern that the military action, and the widespread ethnic hostilities which preceded it, led to large-scale ethnic expulsion and the creation of mono-ethnic areas which resemble the terrible concept of ethnic cleansing. The Assembly reaffirms that independence and secession of a regional territory from a state may only be achieved through a lawful and peaceful process based on the democratic support of the inhabitants of such territory and not in the wake of an armed conflict leading to ethnic expulsion and the de facto annexation of such territory to another state. The Assembly reiterates that the occupation of foreign territory by a member state constitutes a grave violation of that state’s obligations as a member of the Council of Europe and reaffirms the right of displaced persons from the area of conflict to return to their homes safely and with dignity.”
. In its report “Nagorno-Karabakh: Viewing the Conflict from the Ground” of 14 September 2005, the International Crisis Group (ICG) stated the following regarding the armed forces in the “NKR” (pp. 9-10).
“[Nagorno-Karabakh] may be the world’s most militarized society. The highly trained and equipped Nagorno-Karabakh Defence Army is primarily a ground force, for which Armenia provides much of the backbone. A Nagorno-Karabakh official told Crisis Group it has some 20,000 soldiers, while an independent expert [U.S. military analyst Richard Giragosian, July 2005] estimated 18,500. An additional 20,000 to 30,000 reservists allegedly could be mobilised. Based on its population, NagornoKarabakh cannot sustain such a large force without relying on substantial numbers of outsiders. According to an independent assessment [by Mr Giragosian], there are 8,500 Karabakh Armenians in the army and 10,000 from Armenia. ...
Nevertheless, many conscripts and contracted soldiers from Armenia continue to serve in [Nagorno-Karabakh]. The (de facto) minister of defence admits his forces have 40 per cent military contract personnel, including citizens of Armenia. He claims that no Armenian citizens are unwillingly conscripted and says 500,000 Armenians of Nagorno-Karabakh descent live in Armenia, some of whom serve in the NagornoKarabakh forces. Former conscripts from Yerevan and other towns in Armenia have told Crisis Group they were seemingly arbitrarily sent to NagornoKarabakh and the occupied districts immediately after presenting themselves to the recruitment bureau. They deny that they ever volunteered to go to NagornoKarabakh or the adjacent occupied territory. They were not paid a bonus for serving outside Armenia, and they performed military service in Nagorno-Karabakh uniform, under Nagorno-Karabakh military command. Young Armenian recruits’ opposition to serving in Nagorno-Karabakh has increased, which may help explain an apparent decrease in the numbers being sent to [Nagorno-Karabakh].
There is a high degree of integration between the forces of Armenia and NagornoKarabakh. Senior Armenian authorities admit they give substantial equipment and weaponry. Nagorno-Karabakh authorities also acknowledge that Armenian officers assist with training and in providing specialised skills. However, Armenia insists that none of its army units are in Nagorno-Karabakh or the occupied territories around it.”
The Government objected to the report of the ICG, which organisation had no office in Armenia or the “NKR”. Furthermore, the statement on the number of Armenian servicemen in the “NKR” derived from an email with Mr Giragosian, who had been contacted by the Government and had given the following declaration:
“When I expressed this opinion I didn’t mean that the people serving in the Nagorno-Karabakh armed forces are soldiers. I meant that approximately that number of volunteers are involved in the Nagorno-Karabakh armed forces from Armenia and other States according to my calculations. As for the number I mentioned, I can’t insist that it’s correct as it is confidential information and nobody has the exact number. The reasoning behind my opinion was that I believe that many Armenians from different parts of the world participate in the Nagorno-Karabakh self-defence forces.”
. On 19 April 2007 the Austrian newspaper Der Standard published an interview with the then Armenian Foreign Minister, Mr Vartan Oskanian. On the subject of the disputed territories, Mr Oskanian reportedly referred to them as “the territories, which are now controlled by Armenia”.
A few days later the Armenian Embassy in Austria issued a press release stating that Mr Oskanian had been misinterpreted and that the correct expression was “the territories, which are now controlled by Armenians”.
. On 14 March 2008 the UN General Assembly adopted a Resolution on the situation in the occupied territories of Azerbaijan (A/RES/62/243). Recalling the 1993 Security Council Resolutions (see paragraph 59 above), it contains the following passages.
“The General Assembly,
...
2. Demands the immediate, complete and unconditional withdrawal of all Armenian forces from all occupied territories of the Republic of Azerbaijan;
3. Reaffirms the inalienable right of the population expelled from the occupied territories of the Republic of Azerbaijan to return to their homes, and stresses the necessity of creating appropriate conditions for this return, including the comprehensive rehabilitation of the conflict-affected territories;”
. In an interview with Armenia Today, published on 29 October 2008, Mr Jirayr Sefilyan, a Lebanese-born Armenian military commander and political figure who was involved in the capture of the town of Shusha/Shushi in early May 1992, and later continued to serve in the armed forces of both the “NKR” and Armenia, reportedly made the following statement:
“We must turn the page of history, as starting from 1991 we have considered Karabakh as an independent State and declared that they should conduct negotiations. Who are we kidding? The whole world knows that the army of the NKR is a part of the Armenian armed forces, that the budget of the NKR is financed from the budget of Armenia, and that the political leaders of the NKR are appointed from Yerevan. It is time to consider Karabakh as a part of Armenia, one of its regions. In the negotiation process the territory of Karabakh should be considered as a territory of Armenia and no territorial cession must be made.”
. In Resolution 2009/2216(INI) of 20 May 2010 on the need for an EU strategy for the South Caucasus, the European Parliament expressed, inter alia, the following:
“The European Parliament,
...
8. is seriously concerned that hundreds of thousands of refugees and IDPs who fled their homes during or in connection with the NagornoKarabakh war remain displaced and denied their rights, including the right to return, property rights and the right to personal security; calls on all parties to unambiguously and unconditionally recognise these rights, the need for their prompt realisation and for a prompt solution to this problem that respects the principles of international law; demands, in this regard, the withdrawal of Armenian forces from all occupied territories of Azerbaijan, accompanied by deployment of international forces to be organised with respect of the UN Charter in order to provide the necessary security guarantees in a period of transition, which will ensure the security of the population of Nagorno-Karabakh and allow the displaced persons to return to their homes and further conflicts caused by homelessness to be prevented; calls on the Armenian and Azerbaijani authorities and leaders of relevant communities to demonstrate their commitment to the creation of peaceful inter-ethnic relations through practical preparations for the return of displaced persons; considers that the situation of the IDPs and refugees should be dealt with according to international standards, including with regard to the recent PACE Recommendation 1877(2009), ‘Europe’s forgotten people: protecting the human rights of long-term displaced persons’.”
. On 18 April 2012 the European Parliament passed Resolution 2011/2315(INI) containing the European Parliament’s recommendations to the Council, the Commission and the European External Action Service on the negotiations of the EU-Armenia Association Agreement which, inter alia, noted that “deeply concerning reports exist of illegal activities exercised by Armenian troops on the occupied Azerbaijani territories, namely regular military manoeuvres, renewal of military hardware and personnel and the deepening of defensive echelons”. The European Parliament recommended that negotiations on the EU-Armenia Association Agreement be linked to commitments regarding “the withdrawal of Armenian forces from occupied territories surrounding Nagorno-Karabakh and their return to Azerbaijani control” and “call[ed] on Armenia to stop sending regular army conscripts to serve in NagornoKarabakh”.
. The applicants submitted that, on various occasions in 2012 and 2013, the Armenian President, Minister of Defence and high-ranking military staff visited the disputed territories to inspect troops, attend military exercises and hold meetings with military and other officials in the “NKR”. In July 2013 Armenia’s top army generals and other military officials, including the Armenian Minister of Defence and the commanders of the armed forces of the “NKR”, held a meeting in Nagorno-Karabakh, focusing on efforts to strengthen the Armenian military.
. On 15 January 2013 the Armenian President, Mr Serzh Sargsyan held a meeting with the leaders of the legislative, executive and judiciary branches of the Armenian Ministry of Defence. The speech he gave at the meeting was published the same day on the official website of the President of the Republic of Armenia. It contained, inter alia, the following statements.
“It happened that from the first years of independence, the Army has been playing a special role in our society. It was the war, whose spirit was felt all over Armenia – in some places more than in the others. In those days, every family had a close or a distant relative in the Armenian Army; and the Army was in everyone’s heart. That feeling became stronger when our Army attained victory which was so important, which was vital.
...
The ultimate goal of our foreign policy is the final legal formulation of the victory achieved in the aggressive war unleashed by Azerbaijan against Artsakh. The Republic of Nagorno Karabakh must be recognized by the international community since there is no logical explanation as to why the people, who have exercised their legal right for self-determination and later protected it in the uneven war, should ever be part of Azerbaijan. Why the destiny of these people should be defined by the illegal decision once made by Stalin?
...
Armenia and Artsakh do not want war; however everyone must know that we will give a fitting rebuff to any challenge. The people of Artsakh will never face the danger of physical extermination again. The Republic of Armenia will guarantee against that.
...
Security of Artsakh is not a matter of prestige for us; it is a matter of life and death in the most direct sense of these words. The entire world must know and realize that we, the power structures of Armenia and Artsakh stand against the army which pays wages to the murderers, if that horde can be called army in the first place.”
73. In an opinion drawn up at the request of the Government, Dr Hari Bucur-Marcu, a military expert of Romanian nationality, stated that he had found nothing in the Armenian military policy that envisaged any form of control over “NKR” forces or any indication on the ground that Armenian forces were present or active in the “NKR”. He further concluded that there was no evidence that Armenia exercised any control or authority over the “NKR” or its defence force, or that Armenian forces exercised any control over the government or governance of the “NKR”. The Government stated that Dr Bucur-Marcu had been given the opportunity to interview senior military officers in Armenia and access their records. Furthermore, by arrangement with the “NKR” Ministry of Foreign Affairs, he had been able to travel there and talk to military and political officials, as well as examine documents.
. On 25 June 1994 an Agreement on Military Cooperation between the Governments of the Republic of Armenia and the “Republic of NagornoKarabakh” (“the 1994 Military Agreement”) was concluded. It provides, inter alia, the following:
“The Government of the Republic of Armenia and the Government of the Republic of Nagorno-Karabakh (‘the Parties’),
having regard to mutual interest in the field of military cooperation, to the need to develop bilateral relationships and mutual trust through cooperation between the armed forces of the States of the Parties, seeking to strengthen the military and military-technical cooperation,
agreed on the following:
...
Article 3
Both Parties shall engage in the military cooperation in the following areas:
1. establishment of the army and reform of the armed forces;
2. military science and education;
3. military legislation;
4. logistics of the armed forces;
5. medical rehabilitation of military personnel and their family members;
6. cultural and sports activities and tourism.
The Parties shall agree in writing whether they wish to cooperate in other areas.
Article 4
The Parties shall cooperate through:
1. visits and working meetings at the level of Ministers of Defence, Chiefs of General Staff or other representatives authorised by the Ministers of Defence;
2. consultations, exchanges of experience, military staff training and skills enhancement;
3. implementation of mutual military exercises;
4. participation in conferences, consultations and seminars;
5. exchanges of information, documents and services in accordance with specific arrangements;
6. cultural events;
7. provision of military services;
8. creation of conditions for the mutual use of elements of infrastructure of the armed forces of the Parties within the framework of this Agreement;
9. education of highly qualified military and technical staff and specialists.
Within the framework of cooperation under this Agreement, the Parties shall agree that conscripts from Armenia and the NKR have the right to serve their fixed-term military service in NagornoKarabakh and Armenia respectively. In such cases, the conscripts concerned shall be considered exempt from the fixed-term military service in the territory of that State the person shall be considered exempt from the fixed-term military service in the country of their citizenship.
Article 5
Within the framework of this Agreement, the Parties shall also agree that
1. should an Armenian citizen serving fixed-term military service in the NKR commit a military crime, the criminal prosecution and trial against him or her shall be conducted on Armenian territory by Armenian authorities in accordance with the procedure established under Armenian legislation;
2. should a citizen of the NKR serving fixed-term military service in Armenia commit a military crime, the criminal prosecution and trial against him or her shall be conducted on the territory of the NKR by the authorities of the NKR in accordance with the procedure established under NKR legislation.
Within the framework of this Agreement the Parties will provide mutual technical support with regard to armament and recovery and maintenance of military equipment.
Concluding agreements with those performing activities on armament and recovery and maintenance of military equipment, as well as ensuring the living conditions of the representatives of manufacturing enterprises in the territory of the States of the Parties shall be carried out by the Ministry of Defence of the client State.
Other forms of cooperation shall be conducted upon mutual written agreement.
...”
. The Government asserted that the Armenian conscripts who, pursuant to Article 4 of the Agreement, performed their service in the “NKR” were mainly in the lower ranks and comprised no more than 5% (up to 1,500 persons) of the “NKR” defence force. However, the Government did not rule out the possibility that some Armenian nationals may have served in the “NKR” defence force on a contractual and voluntary basis. Among those serving in the “NKR” defence force, side by side with inhabitants of Nagorno-Karabakh, were also volunteers of Armenian origin from various countries where there is an Armenian diaspora. Allegedly, the Armenian soldiers serving in the “NKR” were under the direct command of the “NKR” defence force, which was the only armed force operational in the “NKR”. The Government maintained that the Armenian conscripts serving in the “NKR” under the Agreement did so of their own accord (see, however, the ICG report, paragraph 65 above).
The Government further stated that the Armenian army and the “NKR” defence force cooperate in a defence alliance on matters such as intelligence sharing, visits of senior officers, seminars, joint military exercises, parade inspections and the like.
76. On 11 October 2007 the Court issued a partial decision as to the admissibility of Zalyan, Sargsyan and Serobyan v. Armenia ((dec.), nos. 36894/04 and 3521/07, 11 October 2007), which concerns the alleged illtreatment and unlawful detention of three military servicemen. The facts of the case reveal that the applicants had been drafted into the Armenian army in May 2003 and had been assigned to military unit no. 33651, stationed near the village of Mataghis in the Martakert region of the “NKR”. Two servicemen of the same military unit were found dead in January 2004. A criminal investigation into their murders ensued and the applicants were questioned for a number of days in April 2004 in Nagorno-Karabakh – first at their military unit, then at the Martakert Garrison Military Prosecutor’s Office and finally at the Stepanakert Military Police Department – before being transported to Yerevan for further proceedings. The officers conducting the questioning of the applicants in Nagorno-Karabakh included two investigators of the Military Prosecutor’s Office of Armenia, an investigator of the Martakert Garrison Military Prosecutor’s Office and an Armenian military police officer. A chief of battalion of the military unit was also present at the first questioning. The applicants were subsequently charged with murder and the criminal trial against them commenced in November 2004 at the Syunik Regional Court’s seat in Stepanakert. The applicants were present at the trial. On 18 May 2005 the court found the applicants guilty of murder and sentenced them to fifteen years’ imprisonment.
77. Similarly, as reported by the human rights organisation Forum 18, as well as HRW, Mr Armen Grigoryan, an Armenian citizen and conscientious objector, was taken from a military recruitment office in Yerevan in June 2004 and transferred to a military unit based in Nagorno-Karabakh. Having fled the unit, Mr Grigoryan was arrested and eventually found guilty of having refused military service by a court sitting in Stepanakert on 9 June 2005 and sentenced to two years’ imprisonment.
2. Political and judicial connections
. Several prominent Armenian politicians have held, at different times, high positions in both Armenia and the “NKR”, or have had close ties to Nagorno-Karabakh. The first Armenian President, Mr Levon Ter-Petrosyan, was a member of the Armenian “Karabakh Committee” which, in the late 1980s, led the movement for unification of Nagorno-Karabakh with Armenia. In April 1998 he was succeeded as Armenian President by Mr Robert Kocharyan, who had previously served as Prime Minister of the “NKR” from August 1992 to December 1994, as President of the “NKR” from December 1994 to March 1997 and as Armenian Prime Minister from March 1997 to April 1998. In April 2008 Mr Serzh Sargsyan became the third Armenian President. In August 1993 he had been appointed Armenian Minister of Defence after serving from 1989 to 1993 as Chairman of the “Self-Defense Forces Committee of the Republic of Nagorno-Karabakh”. Furthermore, in 2007 Mr Seyran Ohanyan switched from being the Minister of Defence of the “NKR” to becoming the Commander-in-Chief of the Armenian armed forces. In April 2008 he was appointed Armenian Minister of Defence.
. The applicants claimed that Armenian law applies in the “NKR”. However, according to the Government, between January 1992 and August 2006 the “NKR” adopted 609 different laws, one of the first being the Law on the basis of the State independence of the “Republic of Nagorno-Karabakh”. Article 2 of this Law provides that the “NKR decides independently all issues concerning the Republic’s political, economic, social and cultural, construction, administrative and territorial division policies”. Furthermore, in January 1992 bodies of executive and judicial power were created, including the Council of Ministers (its government), the Supreme Court and first-instance courts of the “NKR”, as well as the “NKR” prosecutor’s office. The “NKR” also has its own President, Parliament and police force, as well as local self-government bodies, including administrations governing the territories surrounding the “NKR”, whose representatives are appointed by “NKR” authorities. It also holds its own presidential and parliamentary elections. While several laws have been adopted from Armenian legislation, the Government maintained that they did not apply automatically, that is, by decisions of Armenian courts, but were independently interpreted and applied by “NKR” courts, whether in the district of Lachin or elsewhere.
3. Financial and other support
. In its 2005 report (see paragraph 65 above,), the ICG stated the following (pp. 12-13).
“The economy of Nagorno-Karabakh was previously integrated into [that of] Soviet Azerbaijan but was largely destroyed by the war. Today it is closely tied to Armenia and highly dependent on its financial inputs. All transactions are done via Armenia, and products produced in Nagorno-Karabakh often are labelled ‘made in Armenia’ for export. Yerevan provides half the budget. ...
Nagorno-Karabakh is highly dependent on external financial support, primarily from Armenia but also from the U.S. and the world-wide diaspora. It cannot collect sufficient revenue to meet its budgetary needs, and in absolute terms is receiving increasing external support. The 2005 budget totalled 24.18 billion drams (some $53.73 million). Locally collected revenues are expected to total 6.46 billion drams (about $14.35 million), 26.7 per cent of expenditures.
Since 1993 Nagorno-Karabakh has benefited from an Armenian ‘inter-state loan’. According to the Armenian prime minister, this will be 13 billion drams ($28.88 million) in 2005, a significant increase from 2002 when it was 9 billion drams ($16.07 million). However, Nagorno-Karabakh’s (de facto) prime minister argues that part of this loan – 4.259 billion drams (about $9.46 million) – is in fact Armenia’s repayment of VAT, customs and excise duties that Armenia levies on goods that pass through its territory, destined for Nagorno-Karabakh. The remainder of the loan has a ten-year repayment period at nominal interest. Though Armenia has provided such loans since 1993, nothing has been repaid. According to the Armenian prime minister, Stepanakert ‘is not yet in a position to repay ... . In the coming years we will need to continue providing this loan to help them continue building their infrastructure ... we do not envision that they will be able to go ahead on their own anytime soon’.
The U.S. is the only other state that provides direct governmental assistance. In 1998 Congress for the first time designated Nagorno-Karabakh a recipient of humanitarian aid distinct from Azerbaijan. The U.S. money is administered by its Agency for International Development (USAID), which has distributed it to such NGOs as the Fund for Armenian Relief, Save the Children, and the International Committee of the Red Cross. Through September 2004, the U.S. had pledged $23,274,992 to NagornoKarabakh and had spent $17,831,608. Armenian lobby groups have been influential in making these allocations possible.”
The ICG further stated that the Armenian “inter-state loan” had accounted for 67.3% of the “NKR” budget in 2001 (according to the “Statistical Yearbook of Nagorno-Karabakh”) and 56.9% in 2004 (according to an ICG communication with the NK National Statistical Service Director).
. The loan provided by Armenia to the “NKR” for the years 2004 and 2005 amounted to USD 51 million. USD 40 million went to rebuilding educational institutions and USD 11 million to help the families of soldiers killed in action.
. The Hayastan All-Armenian Fund (“the Fund”) was founded by an Armenian presidential decree on 3 March 1992. According to its official website, its mission is the following:
“[T]o unite Armenians in Armenia and overseas to overcome the country’s difficulties and to help establish sustainable development in Armenia and Artsakh. In addition to [the] problems associated with the break-up of the Soviet Union, the government had to find solutions to the aftermath of the 1988 Spitak earthquake, an economic blockade and the rehabilitation of areas that had suffered from the Artsakh conflict.”
The Fund’s 2012 annual report includes messages from Mr Serzh Sargsyan, Armenian President, and Mr Bako Sahakyan, “President of the Republic of Artsakh”, which, inter alia, contain the following statements.
Mr Sargsyan:
“The Hayastan All-Armenian Fund is an embodiment of the unity between Armenia, Artsakh and the diaspora. As such, the fund is consistently, resolutely, and before our very eyes transforming our pan-national inner strength into tangible power.”
Mr Sahakyan:
“The year 2012 was a jubilee year for the Armenian people. As a nation, we celebrated the 20th anniversary of the founding of the NKR Defense Army and the liberation of Shushi, a magnificent victory which was made possible by the united efforts and indestructible will of the entire Armenian people, the selfless bravery and daring of its valiant sons and daughters.”
The Fund has twenty-five affiliates in twenty-two different countries. Its resources come from individual donations, mainly from members of the Armenian diaspora. It now raises about USD 21 million annually.
The Board of Trustees is the Fund’s supreme governing body. Under the Fund’s Charter, the Armenian President is ex officio the President of the Board of Trustees. The Board, which during its existence has had between twenty-two and thirty-seven members, includes many prominent individuals and representatives of political, non-governmental, religious and humanitarian institutions from Armenia and the diaspora. In 2013 the Board, in addition to the Armenian President, Mr Sargsyan, comprised the former Armenian President, Mr Kocharyan; the Armenian Prime Minister, as well as the Ministers of Foreign Affairs, Finance and Diaspora; the President, former President and Prime Minister of the “NKR”; the Chairmen of the Armenian Constitutional Court, National Assembly and Central Bank; four Armenian religious leaders; three representatives of Armenian political parties; a representative of the Union of Manufacturers and Businessmen (Employers) of Armenia; and representatives of four non-governmental organisations incorporated in the United States of America and Canada. The remainder of the thirty-seven person Board was made up of thirteen individuals from the Armenian diaspora. The composition of the Board has been similar since the Fund’s creation.
The Fund has financed and overseen numerous projects since its establishment, including the construction and renovation of roads, housing, schools, hospitals, as well as water and gas networks. In the mid to late 1990s it constructed the highway linking the town of Goris in Armenia with Lachin and with Shusha/Shushi and Stepanakert in NagornoKarabakh. In 2001 it financed the construction of the north-south highway in Nagorno-Karabakh. According to the Fund’s 2005 annual report, it had paid approximately USD 11 million during the year for various projects, of which about USD 6.1 million had gone to projects in NagornoKarabakh. According to figures provided by the Government, the not fully complete expenditure for 2012 amounted to USD 10.7 million in Nagorno-Karabakh and USD 3.1 million in Armenia. Also according to Government figures, in 1995-2012 the fund allocated about USD 111 million in total – or about USD 6 million annually – to projects in Nagorno-Karabakh. In 1992-2012 it allocated USD 115 million to projects in Armenia.
. The applicants and the Azerbaijani Government claimed that residents of the “NKR” and the surrounding territories are routinely issued with Armenian passports. In its 2005 report (see paragraph 65 above), the ICG stated that “Armenia has given a majority of the inhabitants its passports for travel abroad” (at p. 5). The Azerbaijani Government also pointed to the possibility for residents of the mentioned territories to acquire Armenian citizenship. They referred to section 13 (“Citizenship by Naturalisation”) of the Law of the Republic of Armenia on citizenship of the Republic of Armenia, which provides as follows.
“Any person who is eighteen or older and capable of working that is not an RA citizen may apply for RA citizenship, if he/she:
(1) has been lawfully residing on the territory of the Republic of Armenia for the preceding three years;
(2) is proficient in the Armenian language; and
(3) is familiar with the Constitution of the Republic of Armenia.
A person who is not an RA citizen may be granted RA citizenship without being subject to the conditions set forth in subsections (1) and (2) of the first part of this section, if he/she:
(1) marries a citizen of the Republic of Armenia or has a child who holds RA citizenship;
(2) has parents or at least one parent that had held RA citizenship in the past or was born on the territory of the Republic of Armenia and had applied for RA citizenship within three years of attaining the age of 18;
(3) is Armenian by origin (is of Armenian ancestry); or
(4) has renounced RA citizenship of his/her own accord after 1 January 1995.”
The respondent Government, for their part, stated that both Armenia and the “NKR” have provisions for dual citizenship. Moreover, in accordance with an Agreement of 24 February 1999 with the “NKR” on the organisation of the passport system, Armenia issues passports to residents of the “NKR” in certain circumstances. Article 1 of the Agreement reads as follows.
“The Parties agree that their citizens have the right to free movement and residence on the territory of each of the Parties.
Within the scope of this Agreement, until the Republic of Nagorno-Karabakh is internationally recognised, the citizens of the Republic of Nagorno-Karabakh wishing to leave the territory of either the Republic of Nagorno-Karabakh or the Republic of Armenia may apply for and obtain an Armenian passport.
The Parties agree that, within the scope of this Article, the obtaining of an Armenian passport by citizens of the Republic of Nagorno-Karabakh does not confer on them Armenian citizenship. Those passports may only be used for travel outside the territories of the Republic of Armenia and the Republic of Nagorno-Karabakh by citizens of the Republic of Nagorno-Karabakh, and cannot be used as an identification document for internal use in the Republic of NagornoKarabakh or in the Republic of Armenia.”
Regulations on the application of this Agreement were also issued in 1999 and provide that an Armenian passport shall be issued to an “NKR” resident only in exceptional cases where the purpose for going abroad is medical, educational or concerns another personal matter. The Government asserted that fewer than 1,000 persons had been issued with a passport under the 1999 Agreement.
. The applicants and the Azerbaijani Government stated that the Armenian dram was the main currency in the “NKR”, whereas the respondent Government maintained that the currencies accepted there also included euros, United States dollars, pounds sterling and even Australian dollars.
. The Azerbaijani Government pointed out that the National Atlas of Armenia, published in 2007 by the State Committee of the Real Estate Cadastre, adjunct to the Armenian Government, and thus allegedly an official publication, consistently incorporated the “NKR” and the surrounding occupied territories within the boundaries of the Republic of Armenia on various types of maps.
86. The applicants and the Azerbaijani Government submitted that the Armenian Government has a policy of encouraging settlers to move to the “NKR” from Armenia and, more recently, Syria.
In February 2005 the “Report of the OSCE FactFinding Mission (FFM) to the Occupied Territories of Azerbaijan Surrounding Nagorno-Karabakh (NK)” was published. The mandate of the FFM was to determine whether settlements existed in the territories; military structures and personnel as well as political considerations were strictly outside that mandate. In regard to settlements in the district of Lachin, the Report concluded:
“Generally, the pattern of settlers’ origins in Lachin is the same as in the other territories. Thus, the overwhelming majority has come to Lachin from various parts of Azerbaijan, mostly after years of living in temporary shelters in Armenia. A comparatively small minority are Armenians from Armenia, including earthquake victims. They heard about Lachin as a settlement options [sic] by word-of-mouth, through the media or from NGOs in Armenia and NK. There was no evidence of nonvoluntary resettlement or systematic recruitment.”
The Report further stated.
“The direct involvement of NK in Lachin District is uncontested. NagornoKarabakh provides the Lachin budget and openly acknowledges direct responsibility for the district. Lachin residents take part both in local and NK elections.
While the links between Nagorno Karabakh and the Republic of Armenia remain outside the purview of this report, the FFM found no evidence of direct involvement of the government of Armenia in Lachin settlement. However, the FFM did interview certain Lachin residents who had Armenian passports and claimed to take part in Armenian elections.”
II. THE JOINT UNDERTAKING OF ARMENIA AND AZERBAIJAN
. Prior to their accession to the Council of Europe, Armenia and Azerbaijan gave undertakings to the Committee of Ministers and the Parliamentary Assembly committing themselves to the peaceful settlement of the Nagorno-Karabakh conflict (see Parliamentary Assembly Opinions 221 (2000) and 222 (2000) and Committee of Ministers Resolutions Res(2000)13 and Res(2000)14).
The relevant paragraphs of Parliamentary Assembly Opinion 221 (2000) on Armenia’s application for membership of the Council of Europe read as follows.
“10. The Assembly takes note of the letter from the President of Armenia in which he undertakes to respect the cease-fire agreement until a final solution is found to the conflict [in Nagorno-Karabakh] and to continue the efforts to reach a peaceful negotiated settlement on the basis of compromises acceptable to all parties concerned.
...
13. The Parliamentary Assembly takes note of the letters from the President of Armenia, the speaker of the parliament, the Prime Minister and the chairmen of the political parties represented in the parliament, and notes that Armenia undertakes to honour the following commitments:
...
13.2 the conflict in Nagorno-Karabakh:
a. to pursue efforts to settle this conflict by peaceful means only;
b. to use its considerable influence over the Armenians in Nagorno-Karabakh to foster a solution to the conflict;
c. to settle international and domestic disputes by peaceful means and according to the principles of international law (an obligation incumbent on all Council of Europe member states), resolutely rejecting any threatened use of force against its neighbours;
...”
Resolution Res(2000)13 of the Committee of Ministers on the Invitation to Armenia to become a member of the Council of Europe referred to the commitments entered into by Armenia, as set out in Opinion 221 (2000), and the assurances for their fulfilment given by the Armenian government.
III. RELEVANT DOMESTIC LAW
A. The laws of the Azerbaijan SSR
88. The laws relevant to the establishment of the applicants’ right to property were the 1978 Constitution of the Azerbaijan SSR and its 1970 Land Code and 1983 Housing Code.
1. The 1978 Constitution
. The relevant provisions of the Constitution stated as follows.
Article 13
“The basis of the personal property of citizens of the Azerbaijan SSR is their earned income. Personal property may include household items, items of personal consumption, convenience and utility, a house, and earned savings. The personal property of citizens and the right to inherit it are protected by the State.
Citizens may be provided with plots of land as prescribed by law for subsidiary farming (including the keeping of livestock and poultry), gardening and the construction of individual housing. Citizens are required to use their land rationally. State and collective farms provide assistance to citizens for their smallholdings.
Personal property or property to which they have a right of use may not be used to make unearned income to the detriment of public interest.”
2. The 1970 Land Code
90. The relevant provisions of the Land Code stated as follows.
Article 4
State (people’s) ownership of land
“In accordance with the USSR Constitution and the Azerbaijan SSR Constitution, land is owned by the State – it is the common property of all Soviet people.
In the USSR land is exclusively owned by the State and is allocated for use only. Actions directly or indirectly violating the State’s right of ownership of land are forbidden.”
Article 24
Documents certifying the right of use of land
“The right of use by collective farms, State farms and others of plots of land shall be certified by a State certificate on the right of use.
The form of the certificate shall be determined by the USSR Soviet of Ministers in accordance with the land legislation of the USSR and the union republics.
The right of temporary use of land shall be certified by a certificate in the form determined by the Soviet of Ministers of the Azerbaijan SSR.”
Article 25
Rules on issuance of the certificates on the right of use of land
“The State certificates on the right of indefinite use of land and on the right of temporary use of land shall be issued to collective farms, State farms, other State, cooperative and public institutions, agencies and organisations, as well as to citizens, by the Executive Committee of the Soviet of People’s Deputies of the district or city (under the republic’s governance) in the territory of which the plot of land to be allocated for use is situated.”
Article 27
Use of land for specified purpose
“Users of land have a right to and should use the plots of land allocated to them for the purpose for which the plots of land were allocated.”
Article 28
Land users’ rights of use over allocated plots of land
“Depending on the designated purpose of an allocated plot of land, land users shall be entitled to the following in accordance with the relevant rules:
– to construct residential, industrial and public-amenities buildings as well as other buildings and structures;
– to plant agricultural plants, to afforest and to plant fruit, decorative and other trees;
– to use harvesting areas, pasture fields and other agricultural lands;
– to use widespread natural subsoil resources, peat and bodies of water for economic purposes, as well as other valuable properties of a land.
Article 126-1
Right of use of land in case of inheritance of ownership rights to a building
“If the ownership of a building located in a village is inherited and if the heirs do not have a right to buy a household plot in accordance with the relevant procedure, a right of use shall be given to them over a plot of land needed for keeping the building, in the size determined by the Soviet of Ministers of the Azerbaijan SSR.”
Article 131
Allocation of plots of land to citizens for construction of personal residential flats
“Land plots for the construction of single-flat residential buildings to become personal property shall be allocated to citizens who live in populated settlements of the Azerbaijan SSR where construction of personal flats is not prohibited under the legislation in force, on land belonging to cities and urban settlements; on village land not being used by collective farms, State farms or other agricultural enterprises; on land of the State reserve; and on land of the State forest fund that is not included in the greening zones of cities. Land shall be allocated for the mentioned purpose in accordance with the procedure provided under ... this Code.
Construction of personal flats in cities and workers’ settlements shall be carried out on empty areas which do not require expenditure for their use or technical preparation and, as a rule, near railroads and motorways which provide regular passenger communication, in the form of stand-alone residential districts or settlements.”
3. The 1983 Housing Code
91. Article 10.3 of the Housing Code read as follows:
“Citizens have the right to a house as personal property in accordance with the legislation of the USSR and the Azerbaijan SSR.”
4. The 1985 Instructions on Rules of Registration of Housing Facilities
. The 1985 Instructions, in Article 2, listed the documents that served as evidence of title to a residential house. The Instructions were approved by the USSR Central Statistics Department through Order no. 380 of 15 July 1985. Article 2.1 listed the various types of documents constituting primary evidence of title. Article 2.2 stated that, if the primary evidence was missing, title could be shown indirectly through the use of other documents, including
“inventory-technical documents where they contain an exact reference to possession by the owner of duly formalised documents certifying his or her right to the residential house”.
B. The laws of Azerbaijan
. Following independence, Azerbaijan enacted, on 9 November 1991, laws concerning property which, for the first time, referred to land as being the object of private ownership. However, detailed rules on the privatisation of land allotted to citizens were only introduced later, by the 1996 Law on land reform. The applicants, having left Lachin in 1992, could not have applied to become owners of the land that they had used.
1. The 1991 Law on property
. The 1991 Law on property in Azerbaijan came into force on 1 December 1991. It stated, inter alia, the following.
Article 21
Objects of proprietary rights of the citizen
“1. A citizen may possess:
– plots of land;
– houses, apartments, country houses, garages, domestic appliances and items for private use;
– shares, bonds and other securities;
– mass-media facilities;
– enterprises and property complexes for the production of goods destined for the consumer, social and cultural markets, with the exception of certain types of property, which, by law, cannot be owned by citizens for reasons of State or public security or due to international obligations.
...
5. A citizen who owns an apartment, residential house, country house, garage or other premises or structures has the right to dispose of this property of his own will: to sell, bequeath, give away, rent or take other action in so far as it is not in contravention of the law.”
2. The 1992 Land Code
95. The new Land Code, which came into force on 31 January 1992, contained the following provisions.
Article 10
Private ownership of plots of land
“Plots of land shall be allocated for private ownership to Azerbaijani citizens in accordance with requests by the local executive authorities based on decisions of a district or city Soviet of People’s Deputies for the purposes mentioned below:
(1) for persons permanently residing on the territory in order to construct private houses and subsidiary constructions as well as for the establishment of private subsidiary agriculture;
(2) for farming activities and activities of other organisations involved in the production of agricultural products for sale;
(3) for the construction of private and collective country houses and private garages within the bounds of cities;
(4) for construction connected to business activities;
(5) for traditional ethnic production activities.
Under the legislation of Azerbaijan, plots of land may be allocated for private ownership to citizens for other purposes.”
Article 11
Conditions for allocation of plots of land for private ownership
“For the purposes stipulated in Article 10 of this Code, the right of ownership over a plot of land shall be granted free of charge.
Plots of land allocated to citizens for their private houses, country houses and garages before the date of entry into force of this Code shall be transferred into their name.
The right of private ownership or lifetime inheritable possession over a plot of land cannot be granted to foreign citizens or to foreign legal entities.
A plot of land shall not be returned to the former owners and their heirs. They may obtain a right of ownership over the plot of land on the basis provided for in this Code.”
Article 23
Allocation of plots of land
“Plots of land shall be allocated to citizens, enterprises and organisations for their ownership, possession, use or rent by a decision of a district or city Soviet of People’s Deputies, pursuant to the land-allocation procedure and in accordance with land-utilisation documents.
The designated purpose of a plot of land shall be indicated in the land-allocation certificate.
The procedure for lodging and examining a request for the allocation or seizure of a plot of land, including the seizure of a plot of land for State or public needs, shall be determined by the Cabinet of Ministers of Azerbaijan.
Citizens’ requests for the allocation of plots of land shall be examined within a period of no longer than one month.”
Article 30
Documents certifying land-ownership rights, rights of possession and
perpetual use of land
“The ownership rights to land and rights of possession and perpetual use of land shall be certified by a State certificate issued by a district or city Soviet of People’s Deputies.
The form of the mentioned State certificate shall be approved by the Cabinet of Ministers of the Republic of Azerbaijan.”
Article 31
Formalisation of the right of temporary use of land
“A right of temporary use of land, including a right given in accordance with rental terms, shall be documented by means of an agreement and a certificate. These documents shall be registered by a district or city Soviet of People’s Deputies and shall be issued to the land user. The form of the agreement and the certificate shall be approved by the Cabinet of Ministers of the Republic of Azerbaijan.”
Article 32
Grounds for termination of land-ownership rights, rights of possession
and use of land and rights to rent land
“The district or city Soviet of People’s Deputies which has provided an ownership right over a plot or a part of a plot of land, rights of possession and use of land or a right to rent it shall terminate these rights in the following cases:
(1) voluntary surrender or alienation of the plot of land by its owner;
(2) expiry of the period for which the plot of land was provided;
(3) termination of activities of an enterprise, agency, organisation or a peasant farm;
(4) use of the land for purposes other than its designated purpose;
(5) termination of the employment relationship on the basis of which a land allotment had been provided, except for cases provided by law;
(6) failure to comply with the terms of a rental agreement;
(7) failure to pay the land tax or a rent prescribed by the legislation or by a land-rental agreement for two consecutive years, without a good reason;
(8) failure to use, for one year and without a good reason, a plot of land allocated for agricultural production, or failure to use, for two years and without a good reason, a plot of land allocated for non-agricultural production;
(9) necessity to seize plots of land for State or public needs;
(10) transfer of the ownership right over buildings or structures or transfer of a right of operational management over them;
(11) death of the possessor or user.
The legislation of the Republic of Azerbaijan may provide for other grounds for the termination of an ownership right over a plot of land, rights of possession and use of land or a right to rent it.”
IV. RELEVANT INTERNATIONAL LAW
96. Article 42 of the Regulations concerning the Laws and Customs of War on Land, The Hague, 18 October 1907 (“the 1907 Hague Regulations”), defines belligerent occupation as follows.
“Territory is considered occupied when it is actually placed under the authority of the hostile army.
The occupation extends only to the territory where such authority has been established and can be exercised.”
Accordingly, occupation within the meaning of the 1907 Hague Regulations exists when a State exercises actual authority over the territory, or part of the territory, of an enemy State. The requirement of actual authority is widely considered to be synonymous to that of effective control.
Military occupation is considered to exist in a territory, or part of a territory, if the following elements can be demonstrated: the presence of foreign troops, which are in a position to exercise effective control without the consent of the sovereign. According to widespread expert opinion, physical presence of foreign troops is a sine qua non requirement of occupation, that is, occupation is not conceivable without “boots on the ground”, therefore forces exercising naval or air control through a naval or air blockade do not suffice.
97. The rules of international humanitarian law do not explicitly address the issue of preventing access to homes or property. However, Article 49 of Convention (IV) relative to the Protection of Civilian Persons in Time of War, Geneva, 12 August 1949 (“the Fourth Geneva Convention”) regulates issues of forced displacement in or from occupied territories. It provides as follows.
“Individual or mass forcible transfers, as well as deportations of protected persons from occupied territory to the territory of the Occupying Power or to that of any other country, occupied or not, are prohibited, regardless of their motive.
Nevertheless, the Occupying Power may undertake total or partial evacuation of a given area if the security of the population or imperative military reasons so demand. Such evacuations may not involve the displacement of protected persons outside the bounds of the occupied territory except when for material reasons it is impossible to avoid such displacement. Persons thus evacuated shall be transferred back to their homes as soon as hostilities in the area in question have ceased.
The Occupying Power undertaking such transfers or evacuations shall ensure, to the greatest practicable extent, that proper accommodation is provided to receive the protected persons, that the removals are effected in satisfactory conditions of hygiene, health, safety and nutrition, and that members of the same family are not separated.
The Protecting Power shall be informed of any transfers and evacuations as soon as they have taken place.
The Occupying Power shall not detain protected persons in an area particularly exposed to the dangers of war unless the security of the population or imperative military reasons so demand.
The Occupying Power shall not deport or transfer parts of its own civilian population into the territory it occupies.”
Article 49 of the Fourth Geneva Convention applies in occupied territory, while there are no specific rules regarding forced displacement on the territory of a party to the conflict. Nonetheless, the right of displaced persons “to voluntary return in safety to their homes or places of habitual residence as soon as the reasons for their displacement cease to exist” is regarded as a rule of customary international law (see Rule 132 in Customary International Humanitarian Law by the International Committee of the Red Cross (ICRC)) that applies to any kind of territory.
V. RELEVANT UNITED NATIONS AND COUNCIL OF EUROPE MATERIAL
A. United Nations
98. The UN Principles on Housing and Property Restitution for Refugees and Displaced Persons (Commission on Human Rights, Sub-Commission on the Promotion and Protection of Human Rights, 28 June 2005, E/CN.4/Sub.2/2005/17, Annex), known as the Pinheiro Principles, are the most complete standards on the issue. The aim of these principles, which are grounded within existing international human rights and humanitarian law, is to provide international standards and practical guidelines to States, UN agencies and the broader international community on how best to address the complex legal and technical issues surrounding housing and property restitution.
They provide, inter alia, as follows.
2. The right to housing and property restitution
“2.1 All refugees and displaced persons have the right to have restored to them any housing, land and/or property of which they were arbitrarily or unlawfully deprived, or to be compensated for any housing, land and/or property that is factually impossible to restore as determined by an independent, impartial tribunal.
2.2 States shall demonstrably prioritize the right to restitution as the preferred remedy for displacement and as a key element of restorative justice. The right to restitution exists as a distinct right, and is prejudiced neither by the actual return nor non-return of refugees and displaced persons entitled to housing, land and property restitution.”
3. The right to non-discrimination
“3.1 Everyone has the right to be protected from discrimination on the basis of race, colour, sex, language, religion, political or other opinion, national or social origin, property, disability, birth or other status.
3.2 States shall ensure that de facto and de jure discrimination on the above grounds is prohibited and that all persons, including refugees and displaced persons, are considered equal before the law.”
12. National procedures, institutions and mechanisms
“12.1 States should establish and support equitable, timely, independent, transparent and non-discriminatory procedures, institutions and mechanisms to assess and enforce housing, land and property restitution claims. ...
...
12.5 Where there has been a general breakdown in the rule of law, or where States are unable to implement the procedures, institutions and mechanisms necessary to facilitate the housing, land and property restitution process in a just and timely manner, States should request the technical assistance and cooperation of relevant international agencies in order to establish provisional regimes for providing refugees and displaced persons with the procedures, institutions and mechanisms necessary to ensure effective restitution remedies.
12.6 States should include housing, land and property restitution procedures, institutions and mechanisms in peace agreements and voluntary repatriation agreements. ...”
13. Accessibility of restitution claims procedures
“13.1 Everyone who has been arbitrarily or unlawfully deprived of housing, land and/or property should be able to submit a claim for restitution and/or compensation to an independent and impartial body, to have a determination made on their claim and to receive notice of such determination. States should not establish any preconditions for filing a restitution claim.
...
13.5 States should seek to establish restitution claims-processing centres and offices throughout affected areas where potential claimants currently reside. In order to facilitate the greatest access to those affected, it should be possible to submit restitution claims by post or by proxy, as well as in person. ...
...
13.7 States should develop restitution claims forms that are simple and easy to understand ...
...
13.11 States should ensure that adequate legal aid is provided, if possible free of charge ...”
15. Housing, land and property records and documentation
“...
15.7 States may, in situations of mass displacement where little documentary evidence exists as to ownership or rights of possession, adopt the conclusive presumption that persons fleeing their homes during a given period marked by violence or disaster have done so for reasons related to violence or disaster and are therefore entitled to housing, land and property restitution. In such cases, administrative and judicial authorities may independently establish the facts related to undocumented restitution claims.
...”
21. Compensation
“21.1 All refugees and displaced persons have the right to full and effective compensation as an integral component of the restitution process. Compensation may be monetary or in kind. States shall, in order to comply with the principle of restorative justice, ensure that the remedy of compensation is only used when the remedy of restitution is not factually possible, or when the injured party knowingly and voluntarily accepts compensation in lieu of restitution, or when the terms of a negotiated peace settlement provide for a combination of restitution and compensation.
...”
B. Council of Europe
99. Council of Europe bodies have repeatedly addressed issues of the restitution of property to internally displaced persons (IDPs) and refugees. The following Resolutions and Recommendations are of particular relevance in the context of the present case.
1. Parliamentary Assembly of the Council of Europe (PACE) Resolution 1708 (2010) on solving property issues of refugees and displaced persons
100. The Parliamentary Assembly noted in paragraph 2 that as many as 2.5 million refugees and IDPs faced situations of displacement in Council of Europe member States, in particular in the North and South Caucasus, the Balkans and the eastern Mediterranean, and that displacement was often protracted with affected persons being unable to return to or to access their homes and land since the 1990s and earlier. It underlined the importance of restitution as follows.
“3. The destruction, occupation or confiscation of abandoned property violate the rights of the individuals concerned, perpetuate displacement and complicate reconciliation and peace-building. Therefore, the restitution of property – that is the restoration of rights and physical possession in favour of displaced former residents – or compensation, are forms of redress necessary for restoring the rights of the individual and the rule of law.
4. The Parliamentary Assembly considers that restitution is the optimal response to the loss of access and rights to housing, land and property because, alone among forms of redress, it facilitates choice between three ‘durable solutions’ to displacement: return to one’s original home in safety and dignity; local integration at the site of displacement; or resettlement either at some other site within the country or outside its borders.”
The Parliamentary Assembly then referred to Council of Europe human rights instruments, in particular the European Convention on Human Rights, the European Social Charter and the Framework Convention for the Protection of National Minorities, as well as to the UN Pinheiro Principles, and called on member States to take the following measures.
“9. In the light of the above, the Assembly calls on member states to resolve post-conflict housing, land and property issues of refugees and IDPs, taking into account the Pinheiro Principles, the relevant Council of Europe instruments and Recommendation Rec(2006)6 of the Committee of Ministers.
10. Bearing in mind these relevant international standards and the experience of property resolution and compensation programmes carried out in Europe to date, member states are invited to:
10.1. guarantee timely and effective redress for the loss of access and right to housing, land and property abandoned by refugees and IDPs without regard to pending negotiations concerning the resolution of armed conflicts or the status of a particular territory;
10.2. ensure that such redress takes the form of restitution in the form of confirmation of the legal rights of refugees and displaced persons to their property and restoration of their safe physical access to, and possession of, such property. Where restitution is not possible, adequate compensation must be provided, through the confirmation of prior legal rights to property and the provision of money and goods having a reasonable relationship to their market value or other forms of just reparation;
10.3. ensure that refugees and displaced persons who did not have formally recognised rights prior to their displacement, but whose enjoyment of their property was treated as de facto valid by the authorities, are accorded equal and effective access to legal remedies and redress for their dispossession. This is particularly important where the affected persons are socially vulnerable or belong to minority groups;
...
10.5. ensure that the absence from their accommodation of holders of occupancy and tenancy rights who have been forced to abandon their homes shall be deemed justified until the conditions that allow for voluntary return in safety and dignity have been restored;
10.6. provide rapid, accessible and effective procedures for claiming redress. Where displacement and dispossession have taken place in a systematic manner, special adjudicatory bodies should be set up to assess claims. Such bodies should apply expedited procedure that incorporate relaxed evidentiary standards and facilitated procedure. All property types relevant to the residential and livelihood needs of displaced persons should be within their jurisdiction, including homes, agricultural land and business properties;
10.7. secure the independence, impartiality and expertise of adjudicatory bodies including through appropriate rules on their composition that may provide for the inclusion of international members. ...”
2. PACE Resolution 1497 (2006) on refugees and displaced persons in Armenia, Azerbaijan and Georgia
101. In this Resolution, the Parliamentary Assembly notably called on Armenia, Azerbaijan and Georgia
“12.1. to focus all their efforts on finding a peaceful settlement of the conflicts in the region with a view to creating conditions for the voluntary return of refugees and displaced persons to their places of origin, safely and with dignity;
...
12.4. to make the return of the displaced persons a priority and do everything possible in their negotiations so as to enable these people to return in safety even before an overall settlement;
...
12.15. to develop practical co-operation as regards the investigation of the fate of missing persons and to facilitate the return of identity documents and the restitution of property in particular, making use of the experience of handling similar problems in the Balkans.”
3. Recommendation Rec(2006)6 of the Committee of Ministers to member states on internally displaced persons
. The Committee of Ministers recommended notably the following:
“8. Internally displaced persons are entitled to the enjoyment of their property and possessions in accordance with human rights law. In particular, internally displaced persons have the right to repossess the property left behind following their displacement. If internally displaced persons are deprived of their property, such deprivation should give rise to adequate compensation;”
THE LAW
I. INTRODUCTION
103. By its decision of 14 December 2011, the Court declared the applicants’ complaints admissible. It also examined the six preliminary objections raised by the Government under Article 35 of the Convention. Three of them – concerning the question whether the matter had already been submitted to another procedure of international investigation or settlement, the lack of jurisdiction ratione temporis and the failure to respect the six-month rule – were rejected. The other three objections were joined to the merits and will be examined below in the following order: exhaustion of domestic remedies, the applicants’ victim status, and the Government’s jurisdiction over the territory in question.
II. EXHAUSTION OF DOMESTIC REMEDIES
A. The parties’ submissions
1. The applicants
104. The applicants submitted that the Armenian authorities had prevented them as displaced persons from returning to their homes and that this reflected an acknowledged official policy and, accordingly, an administrative practice. In these circumstances, they did not have access to any domestic remedies.
. Moreover, there were no remedies known to them – in Armenia or in the “NKR” – that could be effective in respect of their complaints. Allegedly, the lack of domestic remedies was most clearly shown by the international discussions regarding the right of return of internally displaced persons. Constituting one of the major differences between the parties to the ongoing Minsk Group negotiations, this issue remained unresolved. The applicants had not lodged any “applications” to return and questioned whether there was a forum to which such a request could be submitted. Allegedly, a request would in any event be entirely fruitless. Furthermore, given Armenia’s denial of any involvement in the events relating to the conflict in Nagorno-Karabakh, the applicants asserted that it would be contradictory to have expected them to have approached the Armenian authorities.
. The applicants further maintained that the Government bore the burden of proof to show that a remedy existed and that it was effective both in theory and in practice and, in particular, that it had been successfully used by litigants in a position similar to theirs. They argued that the Government had failed to discharge this burden. More specifically, none of the examples of cases given by the Government in their observations to the Chamber in July 2007 related to the right to return to enjoy properties or private and family life. Only in their July 2012 observations had the Government pointed to some constitutional remedies in Armenia and the “NKR” and claimed that the applicants had always been able to enter the disputed territories, at least for the purpose of exercising their legal rights. Read in conjunction with the Government’s previous observations, where these remedies had not been mentioned and where the return of and compensation to displaced persons were conditioned on a comprehensive and final conflict-resolution agreement, the 2012 submissions lacked credibility. Furthermore, they had not contained any examples of redress actually offered to Azerbaijani nationals for breaches of the type of rights referred to in the present case.
2. The Government
. The Government submitted that the applicants had failed to exhaust domestic remedies, as they had not shown that they had taken any steps to protect or restore their rights. In particular, the applicants had not applied to any judicial or administrative body of the Republic of Armenia. Furthermore, maintaining that the territories in question were under the jurisdiction and control of the “NKR”, the Government claimed that the “NKR” had all the judicial and administrative bodies capable of protecting the rights of individuals. The applicants had purportedly been able to obtain visas to both Armenia and the “NKR” to seek legal advice, even free of charge from “public defender” services, and bring restitution or compensation claims against the Armenian army and authorities or the “NKR” before independent and unbiased courts. As far as Armenia was concerned, this opportunity had existed ever since the ratification of the Convention in April 2002. The positions taken in the Minsk Group negotiations concerned the return of all displaced persons and were of no relevance to the situation of individuals who wished to exercise their legal rights.
. Moreover, the Government argued that the constitutions and other laws in Armenia and the “NKR”, in particular their Land Codes and Civil Codes, protected individuals’ right to property, provided for the restitution of or compensation for dispossessed land and made no distinction between the rights of nationals and foreigners.
. In order to show the effectiveness of Armenian remedies for people of Kurdish or Azeri ethnicity, in June 2007 the Government submitted three court cases: one concerned the amnesty granted to a convicted person, allegedly of Azerbaijani nationality, one related to the friendly settlement reached between a Kurdish person and his employer in a dispute regarding unpaid wages, and one concerned the dispute between another Kurdish person and a local Armenian administration over the prolongation of a land-lease contract. Furthermore, the Government submitted three cases examined by “NKR” courts to demonstrate that there were effective judicial remedies in that region: two concerned the criminal convictions of persons of Armenian ethnicity living in the “NKR” and the remaining one concerned an inheritance dispute between two private individuals, allegedly of Armenian ethnicity.
3. The Azerbaijani Government, third-party intervener
. According to the Azerbaijani Government, the respondent Government had failed to fulfil their obligation to specify which remedies existed in either Armenia or the “NKR” that could be effective in the circumstances, and had further failed to provide any example of a displaced Azerbaijani national having had successful recourse to such claimed, albeit totally unspecified, remedies. In this connection, the Azerbaijani Government asserted that the Land Codes of Armenia and the “NKR” did not provide any rules or mechanisms by virtue of which persons displaced in circumstances similar to the applicants’ could obtain restitution of or compensation for their dispossessed property.
. Furthermore, in the light of the general context, there was allegedly no need to exhaust domestic remedies due to administrative practices and special circumstances. Reference was made, inter alia, to the continuing tension and hostility in the region, the application of martial law within Nagorno-Karabakh and the other occupied territories, and the deliberate policy of encouraging Armenian settlers to move into, in particular, the district of Lachin.
. The Azerbaijani Government further asserted that any remedies that the respondent Government would argue were available before the Armenian courts and organs could not by definition be effective in view of Armenia’s declared view that the “NKR” was an independent State within whose jurisdiction and control Lachin was to be found. Moreover, the territorial framework relevant to the “NKR” “Declaration of Independence” in September 1991 excluded the other areas of Azerbaijan occupied later, including Lachin, over which, accordingly, the “NKR” courts were constitutionally incapable of exercising jurisdiction.
B. The Court’s assessment
1. Admissibility of additional submissions
. It should first be noted that, on 20 January 2014 – two weeks after the extended time-limit set by the Court for the submission of additional documentary material – the Government presented several documents, including two judgments which purportedly acknowledged the ownership rights to private houses and the surrounding land situated in the disputed territories of two displaced plaintiffs of Azerbaijani nationality. The judgments had been issued in 2003 and 2005 by the “First Instance Court of the Republic of Nagorno-Karabakh”.
. On 22 January 2014 the President of the Court, after consulting the Grand Chamber, decided, in accordance with Rules 38 § 1 and 71 § 1 of the Rules of Court, that the above-mentioned documents should not be included in the case file, because of their late submission. The Government had not given a satisfactory explanation as to why the documents could not have been filed in time. The Court notes, in this connection, that the Government were invited, on 8 June 2006, to submit observations on the case and that they, both then and later in the proceedings, were asked to specifically address the question of the exhaustion of remedies. No mention was made of the 2003 and 2005 judgments on any of these occasions. Consequently, these documents will not be taken into account.
2. General principles on exhaustion of domestic remedies
115. The Court reiterates that it is primordial that the machinery of protection established by the Convention is subsidiary to the national systems safeguarding human rights. The Court is concerned with the supervision of the implementation by Contracting States of their obligations under the Convention. It cannot, and must not, usurp the role of Contracting States whose responsibility it is to ensure that the fundamental rights and freedoms enshrined therein are respected and protected on a domestic level. The rule of exhaustion of domestic remedies is therefore an indispensable part of the functioning of this system of protection. States are dispensed from answering before an international body for their acts before they have had an opportunity to put matters right through their own legal system, and those who wish to invoke the supervisory jurisdiction of the Court as concerns complaints against a State are thus obliged to use first the remedies provided by the national legal system (see, among other authorities, Akdivar and Others v. Turkey, 16 September 1996, § 65, Reports of Judgments and Decisions 1996IV). The Court cannot emphasise enough that it is not a court of first instance; it does not have the capacity, nor is it appropriate to its function as an international court, to adjudicate on large numbers of cases which require the finding of basic facts or the calculation of monetary compensation – both of which should, as a matter of principle and effective practice, be the domain of domestic jurisdiction (see Demopoulos and Others v. Turkey (dec.) [GC], nos. 46113/99 and 7 others, § 69, ECHR 2010, and Kazali and Others v. Cyprus (dec.), nos. 49247/08 and 8 others, § 132, 6 March 2012).
. The Court has set out the general principles pertaining to the exhaustion of domestic remedies in a number of judgments. In Akdivar and Others (cited above), it held as follows (further case references deleted).
“65. The Court recalls that the rule of exhaustion of domestic remedies referred to in Article [35] of the Convention obliges those seeking to bring their case against the State before an international judicial or arbitral organ to use first the remedies provided by the national legal system. Consequently, States are dispensed from answering before an international body for their acts before they have had an opportunity to put matters right through their own legal system. The rule is based on the assumption, reflected in Article 13 of the Convention – with which it has close affinity –, that there is an effective remedy available in respect of the alleged breach in the domestic system whether or not the provisions of the Convention are incorporated in national law. In this way, it is an important aspect of the principle that the machinery of protection established by the Convention is subsidiary to the national systems safeguarding human rights ...
66. Under Article [35] normal recourse should be had by an applicant to remedies which are available and sufficient to afford redress in respect of the breaches alleged. The existence of the remedies in question must be sufficiently certain not only in theory but in practice, failing which they will lack the requisite accessibility and effectiveness ...
Article [35] also requires that the complaints intended to be made subsequently at Strasbourg should have been made to the appropriate domestic body, at least in substance and in compliance with the formal requirements and time-limits laid down in domestic law and, further, that any procedural means that might prevent a breach of the Convention should have been used ...
67. However, there is, as indicated above, no obligation to have recourse to remedies which are inadequate or ineffective. In addition, according to the ‘generally recognised rules of international law’ there may be special circumstances which absolve the applicant from the obligation to exhaust the domestic remedies at his disposal ... The rule is also inapplicable where an administrative practice consisting of a repetition of acts incompatible with the Convention and official tolerance by the State authorities has been shown to exist, and is of such a nature as to make proceedings futile or ineffective ...
68. In the area of the exhaustion of domestic remedies there is a distribution of the burden of proof. It is incumbent on the Government claiming non-exhaustion to satisfy the Court that the remedy was an effective one available in theory and in practice at the relevant time, that is to say, that it was accessible, was one which was capable of providing redress in respect of the applicant’s complaints and offered reasonable prospects of success. However, once this burden of proof has been satisfied it falls to the applicant to establish that the remedy advanced by the Government was in fact exhausted or was for some reason inadequate and ineffective in the particular circumstances of the case or that there existed special circumstances absolving him or her from the requirement ... One such reason may be constituted by the national authorities remaining totally passive in the face of serious allegations of misconduct or infliction of harm by State agents, for example where they have failed to undertake investigations or offer assistance. In such circumstances it can be said that the burden of proof shifts once again, so that it becomes incumbent on the respondent Government to show what they have done in response to the scale and seriousness of the matters complained of.
69. The Court would emphasise that the application of the rule must make due allowance for the fact that it is being applied in the context of machinery for the protection of human rights that the Contracting Parties have agreed to set up. Accordingly, it has recognised that Article [35] must be applied with some degree of flexibility and without excessive formalism ... It has further recognised that the rule of exhaustion is neither absolute nor capable of being applied automatically; in reviewing whether it has been observed it is essential to have regard to the particular circumstances of each individual case ... This means amongst other things that it must take realistic account not only of the existence of formal remedies in the legal system of the Contracting Party concerned but also of the general legal and political context in which they operate as well as the personal circumstances of the applicants.”
3. Application of these principles to the facts of the case
. While maintaining that Armenia has no jurisdiction over Nagorno-Karabakh and, in particular, the district of Lachin, the Government claimed that the applicants could have been afforded redress by judicial and administrative bodies in Armenia and the “NKR”. They referred to provisions in the laws of the two entities concerning land disputes, including issues of restitution and compensation in case of someone else’s illegal possession. They also presented statements by domestic judges and officials to the effect that the courts of Armenia and the “NKR” are independent and impartial and are ready to adjudicate cases brought by Azerbaijani citizens without discrimination. The applicants and the Azerbaijani Government, for their part, asserted that the laws of Armenia and the “NKR” did not provide any redress for displaced persons who had been dispossessed of their property in circumstances similar to those of the applicants.
. The Court finds that, for the question of exhaustion of domestic remedies, it need not determine whether Armenia can be considered to have jurisdiction over the area in question and whether such jurisdiction would have an effect on the operation of its domestic remedies on the issues of the restitution of or compensation for property situated in the disputed territories. The reason for this is that the Government have not shown that there is a remedy – in Armenia or in the “NKR” – capable of providing redress in respect of the applicant’s complaints. The legal provisions referred to by them are of a general nature and do not address the specific situation of dispossession of property as a result of armed conflict, or in any other way relate to a situation similar to that of the applicants. As regards the domestic judgments submitted by way of example in June 2007 (see paragraph 109 above), none of them relate to claims concerning the loss of homes or property by persons displaced in the context of the Nagorno-Karabakh conflict.
. It should also be noted that Armenia has denied that its armed forces or other authorities have been involved in the events giving rise to the complaints in the present case, or that Armenia exercises – or has at any point in time exercised – jurisdiction over Nagorno-Karabakh and the surrounding territories. Given such a denial of involvement or jurisdiction, it would not be reasonable to expect the applicants to bring claims for restitution or compensation before the Armenian courts and authorities. Regard must further be had to the political and general context. As a consequence of the war, virtually all Azerbaijanis have left the disputed territories. No political solution of the conflict has been reached. Rather, the hostile rhetoric between the leaders of Armenia and Azerbaijan appears to have intensified, ceasefire breaches are recurrent and the military build-up in the region has escalated in recent years. In these circumstances, it is not realistic that any possible remedy in the unrecognised “NKR” entity could in practice afford displaced Azerbaijanis effective redress.
. In these circumstances, the Court considers that the Government have failed to discharge the burden of proving the availability to the applicants of a remedy capable of providing redress in respect of their Convention complaints and offering reasonable prospects of success. The Government’s objection of the non-exhaustion of domestic remedies is therefore dismissed.
III. THE APPLICANTS’ VICTIM STATUS
A. The parties’ submissions
1. The applicants
121. The applicants maintained that they had submitted documentation with their application and their subsequent observations in the case that constituted sufficient proof of their identity and of the fact that they owned or had the right to use identifiable property in the territory in question and that they had been residing there when they had had to flee in May 1992. They referred, inter alia, to the technical passports, statements by witnesses and invoices for building materials and building subsidies. As regards the technical passports, the applicants maintained that they, in all details, complied with the formal requirements under the domestic law in force at the material time. They explained that the discrepancies between the statements made in the application form and the specifications contained in the passports were due to the statements given to their representative in difficult circumstances in Baku in early 2005 during a brief meeting. The original statements were made from memory, without access to documents, and it was therefore the information contained in the passports that was correct and should be taken into account. The applicants further asserted that the passports constituted secondary evidence of their possessions. In addition, the sixth applicant had submitted primary evidence in the form of an abstract from the session protocol of the Soviet of People’s Deputies of Lachin District of 29 January 1974 that contained the decision to allocate land to him. When they fled, they had not had the time to take all of their papers with them. Furthermore, there had not been a centralised land register at the time from which they could have obtained further documents.
122. The applicants claimed that, under the 1970 Land Code and the 1983 Housing Code of the Azerbaijan SSR, still in force at the time of their flight, a citizen had a right of ownership to his individual house and an inheritable right to use a plot of land in line with the purposes for which it had been allocated. Both rights allegedly constituted possessions within the meaning of Article 1 of Protocol No. 1. Moreover, the 1991 Law on property in Azerbaijan made reference to a land plot as the object of individual ownership and thus gave the applicants a legitimate expectation of becoming owners of land.
2. The Government
123. The Government contended that, with the exception of the sixth applicant, the applicants had not submitted any evidence with their application that could prove that they in fact had any property, let alone that the property was located on the territory claimed and that they had owned it at the relevant time. In the Government’s view, it was remarkable that, although they all claimed to have fled empty-handed, the technical passports of the other five applicants had later appeared out of nowhere. Furthermore, the statements of friends and neighbours submitted to the Court amounted to no more than hearsay. In respect of all the applicants, the Government maintained that they had failed to prove “beyond reasonable doubt” that they were the persons they claimed to be, that they had resided in the territories specified by them or that they owned the property in question. In particular, the documents provided by them contained numerous contradictions and inaccuracies. For instance, the second applicant had first claimed to have lived in the village of Chirag and had then changed this to Chiragli. Moreover, most of the technical passports submitted as proof of ownership gave different figures with regard to the size of the houses to the figures stated by the applicants themselves. The Government also claimed that a technical passport is a document showing the technical condition of a building and nothing else, unless its origin and provenance is established.
124. The Government further questioned whether the applicants had ever held a right to the alleged properties that had been recognised under the law in force in 1992 or certified by the appropriate authority. In particular, under the socialist system of the USSR before 1991, land was under the exclusive ownership of the State. While the 1991 Law on property recognised the possibility of private ownership, it did not transfer ownership of land occupied by individuals to them. With respect to individual land users and lessees, the legislation set out that their rights were formalised through a certificate, which was registered in a land register kept by the local Soviet of People’s Deputies. Thus, no rights to land could be asserted without such a registered certificate. Furthermore, the Azerbaijani 1992 Land Code stipulated that the rights of a user or lessee could be extinguished following a failure to use the land for a period of two years. As the applicants had not returned to the district of Lachin since 1992, the Government presumed that their alleged rights had been terminated before Armenia became subject to the jurisdiction of the Court in 2002. Furthermore, the applicants’ claimed legitimate expectation to become owners of land was no longer a realistic expectation in 2002. Furthermore, before that date, the applicants’ alleged property had been allocated to other individuals, with their names recorded on the land register in accordance with the laws of the “NKR”. Thus, the applicants had no “existing possessions” but were merely claimants seeking to have their property restored or to receive compensation. The Government maintained that no domestic legislation or judicial decision existed which gave rise to a legitimate expectation of such restitution or compensation. However, in the same observations, the Government stated that the “NKR” had not adopted any legal act that deprived the applicants of the right to enter the territory of Lachin or of the right to peacefully enjoy their property.
3. The Azerbaijani Government, third-party intervener
125. The Azerbaijani Government pointed out that almost all displaced persons had had to flee their homes in the occupied territories quickly, without having had the time to collect documents. At the material time, it was impossible to obtain property documents as the records had been kept by the local authorities, and their archives had most likely been destroyed. Nevertheless, a technical passport was classified as an “inventory-technical” document that served to indirectly establish the right to an individual house where the original document was missing. This document constituted secondary evidence of title to a house or a plot of land if its text directly referred to documents confirming the property rights. Such a reference was included in the applicants’ technical passports. Thus, considered together with the witness statements and building invoices submitted, they demonstrated that the applicants owned individual houses and had the right to use the land plots allotted to them. These rights still existed.
126. The Azerbaijani Government further stated that, at the time of the applicants’ flight, private ownership of individual houses was protected by the laws of the Azerbaijan SSR, as in force at the material time. No private ownership existed, however, in regard to land, which was exclusively owned by the State. All land transactions were prohibited, but plots of land were allotted by decision of the local authority, the Soviet of People’s Deputies, to citizens for their use for a definite or indefinite period of time, free of charge. The right of use, which was an inheritable title, was granted for purposes such as individual housing, namely the construction of privately owned houses, as well as pasture, haymaking and farming. Furthermore, the 1991 Law on property in Azerbaijan, while not yet enforceable at the relevant time, had added a legitimate expectation for the applicants to become owners of land.
B. The Court’s assessment
127. The examination of the issue of the applicants’ victim status is twofold. First, it must be assessed whether the applicants have submitted sufficient proof of their personal identity and former residence as well as the existence of the assets they allegedly left behind. If so, it needs to be determined whether these assets constitute “possessions” and help create “homes” under the Convention. For the determination of the second issue, the domestic legal classification or significance of these terms is of importance.
1. General principles on assessment of claims relating to property and homes of displaced persons
128. The Court has previously dealt with cases concerning the property and housing rights of persons who have been displaced as a result of an international or internal armed conflict. The issues have arisen in the context of the occupation of northern Cyprus, the actions of the security forces in Turkey and Russia, and in some other conflict situations.
129. The Court examined for the first time the rights of displaced persons to respect for their homes and property in Loizidou v. Turkey ((merits), 18 December 1996, Reports 1996-VI). The applicant claimed to be the owner of a number of plots of land in northern Cyprus. The Turkish Government did not call into question the validity of the applicant’s title, but argued that she had lost ownership of the land by virtue of Article 159 of the 1985 Constitution of the “Turkish Republic of Northern Cyprus” (the “TRNC”) which declared all abandoned immovable properties to be the property of the “TRNC”. The Court, having regard to the lack of recognition of the “TRNC” as a State by the international community, did not attribute any legal validity to the provision and considered that the applicant could not be deemed to have lost title to her property as a result of it (§§ 42-47).
. In a number of cases related to the above-mentioned conflict, the Court has established the applicants’ “possession” within the meaning of Article 1 of Protocol No. 1 on the basis of prima facie evidence which the Government failed convincingly to rebut, including copies of original title deeds, registration certificates, purchase contracts and affirmations of ownership issued by the Republic of Cyprus. As explained by the applicant in Solomonides v. Turkey (no. 16161/90, § 31, 20 January 2009), his titles of ownership had been registered at the District Lands Office. However, at the time of the Turkish military intervention he had been forced to flee and had been unable to take with him the title deeds. The Cypriot authorities had reconstructed the Land Books and had issued certificates of affirmation of title. These certificates were the best evidence available in the absence of the original records or documents. It is noteworthy that in Saveriades v. Turkey (no. 16160/90, 22 September 2009) the reasons why the applicant could not submit the original title deeds were specifically taken into account. The applicant argued that he had been forced to leave his premises, where the documents were held, in great haste and had subsequently been unable to return there or otherwise retrieve the title deeds. The Court accepted that the documents submitted by the applicant (such as a sale contract, ownership certificates and a building permit) provided prima facie evidence that he had a title of ownership over the properties in issue, and continued (§ 18):
“... As the respondent Government failed to produce convincing evidence in rebuttal, and taking into account the circumstances in which the applicant had been compelled to leave northern Cyprus, the Court considers that he had a ‘possession’ within the meaning of Article 1 of Protocol No. 1.”
. In Doğan and Others v. Turkey (nos. 8803/02 and 14 others, ECHR 2004-VI) which concerned the forced eviction of villagers in the state-of-emergency region in south-east Turkey and the refusal to let them return for several years, the Government raised the objection that some of the applicants had not submitted title deeds attesting that they had owned property in the village in question. The Court considered that it was not necessary to decide whether or not in the absence of title deeds the applicants had rights of property under domestic law. The question was rather whether the overall economic activities carried out by the applicants constituted “possessions” coming within the scope of Article 1 of Protocol No. 1. Answering the question in the affirmative, it stated as follows (§ 139):
“... [T]he Court notes that it is undisputed that the applicants all lived in Boydaş village until 1994. Although they did not have registered property, they either had their own houses constructed on the lands of their ascendants or lived in the houses owned by their fathers and cultivated the land belonging to the latter. The Court further notes that the applicants had unchallenged rights over the common lands in the village, such as the pasture, grazing and the forest land, and that they earned their living from stockbreeding and tree-felling. Accordingly, in the Court’s opinion, all these economic resources and the revenue that the applicants derived from them may qualify as ‘possessions’ for the purposes of Article 1.”
132. The autonomous meaning of the concept of “possessions” has been proclaimed in many judgments and decisions of the Court. In Öneryıldız v. Turkey ([GC], no. 48939/99, § 124, ECHR 2004-XII), it was summarised as follows.
“The Court reiterates that the concept of ‘possessions’ in the first part of Article 1 of Protocol No. 1 has an autonomous meaning which is not limited to ownership of physical goods and is independent from the formal classification in domestic law: the issue that needs to be examined is whether the circumstances of the case, considered as a whole, may be regarded as having conferred on the applicant title to a substantive interest protected by that provision ... Accordingly, as well as physical goods, certain rights and interests constituting assets may also be regarded as ‘property rights’, and thus as ‘possessions’ for the purposes of this provision ... The concept of ‘possessions’ is not limited to ‘existing possessions’ but may also cover assets, including claims, in respect of which the applicant can argue that he has at least a reasonable and ‘legitimate expectation’ of obtaining effective enjoyment of a property right ...”
In that case, the Court considered that a dwelling illegally erected on public land next to a rubbish tip, where the applicant and his family had lived undisturbed, albeit unauthorised, while paying council tax and public-service charges, represented a proprietary interest which, de facto, had been acknowledged by the authorities and was of a sufficient nature to constitute a possession within the meaning of Article 1 of Protocol No. 1.
133. The question whether the applicants had substantiated their claim under Article 1 of Protocol No. 1 has also arisen in a number of cases against Russia where the applicants’ houses or other property were destroyed or damaged as a result of aerial attacks on the towns where they lived. For instance, in Kerimova and Others v. Russia (nos. 17170/04 and 5 others, §§ 292-93, 3 May 2011), the Court accepted the claim of ownership by some of the applicants on the basis of extracts from a housing inventory issued by the town administration after the attack which showed that the applicants were the owners of their houses. As regards the applicants who had submitted no proof of title, the Court established their property right on the basis of other evidence, such as a certificate of residence issued by the town administration. The Court also considered it likely that any documents confirming the applicants’ title to the houses had been destroyed during the attack.
134. In situations where it has been established that the applicant was the owner of a house, the Court has not required further documentary evidence of his or her residence there to show that the house constituted a “home” within the meaning of Article 8 of the Convention. For example, in Orphanides v. Turkey (no. 36705/97, § 39, 20 January 2009), it stated as follows:
“The Court notes that the Government failed to produce any evidence capable of casting doubt upon the applicant’s statement that, at the time of the Turkish invasion, he was regularly residing in Lapithos and that his house was treated by him and his family as a home.”
. However, if an applicant does not produce any evidence of title to property or of residence, his complaints are bound to fail (see, for example, Lordos and Others v. Turkey, no. 15973/90, § 50, 2 November 2010, where the Court declared a complaint incompatible ratione materiae in the absence of evidence of ownership; see also the conclusion as to some applicants in Kerimova and Others, cited above). In several cases the Court has reiterated that the applicants are required to provide sufficient prima facie evidence in support of their complaints. In Damayev v. Russia (no. 36150/04, §§ 10811, 29 May 2012), it considered that an applicant complaining of the destruction of his home should provide at least a brief description of the property in question. Since no documents or detailed claims were submitted, his complaint was found to be unsubstantiated. As further examples of prima facie evidence of ownership of or residence on property, the Court has mentioned documents such as land or property titles, extracts from land or tax registers, documents from the local administration, plans, photographs and maintenance receipts as well as proof of mail deliveries, statements of witnesses or any other relevant evidence (see, for instance, Prokopovich v. Russia, no. 58255/00, § 37, ECHR 2004-XI, and Elsanova v. Russia (dec.), no. 57952/00, 15 November 2005).
136. In sum, the Court’s case-law has developed a flexible approach regarding the evidence to be provided by applicants who claim to have lost their property and home in situations of international or internal armed conflict. The Court notes that a similar approach is reflected in Article 15 § 7 of the Pinheiro Principles (see paragraph 98 above).
2. Application of these principles to the facts of the case
(a) Proof of identity and place of residence
. While the applicants, at the time of lodging the present application, did not submit documents showing their identity and place of residence, they did so following the Grand Chamber’s request in April 2010. The documents included their and their children’s birth certificates, marriage certificates, USSR passports, work records and extracts from military-service books (for details, see paragraphs 33-57 above). In the Court’s view, these documents demonstrate that all the applicants were born in the district of Lachin and that they lived and worked there, at least for major parts of their lives. Having regard to the applicant’s own statements – and in the absence of any evidence to the contrary – they must be deemed to have still lived there with their families at the time when they fled on 17 May 1992.
(b) Proof of possessions
. The applicants claimed that they owned or had protected rights to land, houses and certain moveable property that they were forced to leave behind when they fled. It is not known whether any of the houses are still intact and the claimed moveable property is most certainly no longer in existence. Thus, what remain are mainly the plots of land.
. Originally, only the sixth applicant submitted a document relating to property, a so-called technical passport. The other applicants presented such evidence only when they replied to the Government’s first observations. In addition to technical passports, they all submitted witness statements from former neighbours who affirmed that the applicants owned houses in the respective villages, as well as statements by representatives of an Azerbaijani administration for Lachin. The sixth applicant also presented a decision on land allocation taken by the Lachin District Soviet of People’s Deputies as well as invoices for animal feed, building materials and building subsidies.
. The most significant pieces of evidence supplied by the applicants are the technical passports. Being official documents, they all contain drawings of houses, and state, among other things, their sizes, measurements and the number of rooms. The sizes of the plots of land in question are also indicated. The passports are dated between July 1985 and August 1990 and contain the applicants’ names. Moreover, it appears that the passports include references to the respective land allocation decisions.
. Having regard to the submissions of the Azerbaijani Government, the Court considers that the applicants’ technical passports must be seen as “inventory-technical documents” constituting indirect evidence of title to houses and land which, in addition, conforms with Article 2.2 of the 1985 Instructions on Rules of Registration of Housing Facilities (see paragraph 92 above). Furthermore, the land-allocation decision supplied by the sixth applicant represents primary evidence under Article 2.1 of those Instructions. While the Government have contested the probative value of the passports, claiming that they show the technical condition of a building and nothing else, the Court notes that they do not simply contain specifications of the houses in question but also include the applicants’ names. In these circumstances, they provide such prima facie evidence of title to property that has been accepted by the Court in many previous cases.
. It is noteworthy that, except for the fifth and sixth applicants, there are discrepancies between the applicants’ initial descriptions of their houses and the figures contained in the technical passports presented later in the proceedings. For example, the first applicant originally stated that he owned a 250 sq. m house. The technical passport submitted, however, concerns a house of a total area of 408 sq. m and 300 sq. m living area (and a 60 sq. m storehouse, not previously mentioned). Similarly, the fourth applicant originally claimed that his house had a 165 sq. m area, whereas the house described in the passport measures 448 sq. m in total and has a 223 sq. m living area (and a 75 sq. m storehouse, not previously mentioned). The applicants have stated that it is the information contained in the technical passports that is correct and that their original statements were made from memory at a brief meeting with their representative when they did not have access to the documents.
The Court can accept the applicants’ explanation: the discrepancies between their original statements and the technical passports are, in the circumstances, not of the nature to discredit the authenticity of the documents, in particular when the figures initially given by the applicants are compared with the living-area measurements specified in the passports.
. The applicants have submitted further prima facie evidence in regard to property, including statements by former neighbours. In addition, the documents examined above in relation to the applicants’ identities and residence, which show that they resided in the district of Lachin, lend support to their property claims. Moreover, while all but the sixth applicant have failed to present title deeds or other primary evidence, regard must be had to the circumstances in which they were compelled to leave the district, abandoning it when it came under military attack. Accordingly, taking into account the totality of evidence presented, the applicants have sufficiently substantiated their claims that they were in possession of houses and land at the time of their flight.
(c) Whether the applicants’ rights fall under Article 1 of Protocol No. 1 and Article 8 of the Convention
. It remains to be determined whether the applicants had – and still have – rights to property which are protected by Article 1 of Protocol No. 1 and whether the property, considered together with the other personal circumstances of the applicants, have constituted their homes within the meaning of Article 8 of the Convention. As has been mentioned above (see paragraph 132), the concept of “possessions” in Article 1 of Protocol No. 1 has an autonomous meaning and is not dependent on the formal classification in domestic law. However, when addressing this issue, it should first be established whether domestic law and practice conferred or acknowledged rights which are protected under the Convention.
. First, it should be noted that, although the land legislation enacted shortly after Azerbaijan’s independence acknowledged for the first time the right of private ownership of land, a procedure whereby land could be privatised had not been introduced at the relevant time, that is, in May 1992. In any event, it is undisputed that no application had been made by the applicants to become owners of land. As, moreover, the rights acquired by individuals under the old legislation were not rescinded by the enactment of the 1991/92 property laws, the applicants’ legal rights to the houses and land that they possessed at the time of their flight must be assessed with reference to the laws of the Azerbaijan SSR.
. Under the Soviet legal system, citizens had a right to own residential houses, but there was no private ownership of land, which instead was considered State property. For the Azerbaijan SSR (including Nagorno-Karabakh and the district of Lachin and the other surrounding territories now under occupation), these rules were laid down in the 1978 Constitution as well as the 1970 Land Code and the 1983 Housing Code. Article 10.3 of the Housing Code provided for the ownership of houses, and the Land Code, notably Articles 4, 25, 27 and 28, laid down the rules and procedures for the allocation of land to individuals for their use. Consequently, the houses that the applicants inhabited in the district of Lachin were part of their personal property, whereas they only had a “right of use” of the plots of land on which these houses stood. As has already been mentioned (see paragraph 138), the moveable property – livestock, carpets, cars – that the applicants claimed to have possessed (the rights to which were also protected by the laws of the Azerbaijan SSR) is likely to have been destroyed during the military attack on Lachin or in the subsequent years. It is further unclear whether their houses have been destroyed or are still partly or wholly intact. Consequently, it is of crucial importance to examine the significance of the “right of use”.
. The “right of use” was the only title to land that an individual could acquire. Granted by the local Soviet of People’s Deputies, the right could be given for several different purposes, including pasture and farming and – most importantly in the context of the present case – the erection of a house. The beneficiaries were obliged to use the plots of land strictly for the purposes for which they had been allocated. The “right of use” was conferred indefinitely or for a temporary period. Thus, if the individual held an indefinite “right of use” and complied with the purpose specified, he or she could use the land for life. Moreover, the right was inheritable.
There is no doubt, therefore, that the “right of use” conferred on the applicants was a strong and protected right which represented a substantive economic interest. While there is no indication that the applicants’ rights were of a temporary nature, the Court notes, for the sake of completeness, that this conclusion is applicable to both indefinite and temporary “rights of use”. Having regard to the autonomous meaning of Article 1 of Protocol No. 1, the “right of use” of land thus constituted a “possession” under that provision. This conclusion applies also to the rights held by individuals to residential houses and moveable property.
. In their observations submitted on 11 July 2012, the Government stated that the applicants’ rights to land would presumably have been terminated by virtue of Article 32 §§ 1 to 8 of the 1992 Land Code, as they had not returned to their land since May 1992 and had thus failed to use it for two successive years. The Government further claimed that, in any event, the land had been allocated to other individuals in accordance with the laws of the “NKR”. In support of the second claim, they submitted a number of “NKR” land-registry documents from 2000 and 2001.
In regard to the Government’s first contention, the Court notes that terminating land rights under Article 32 of the 1992 Land Code necessitated a decision to that effect by the local Soviet of People’s Deputies and, moreover, required that the failure to use the land was without good reason. The latter can hardly be said to be the case here in view of the military presence in the relevant territories since 1992/93. In these circumstances, the claim, which amounts to no more than speculation, must be rejected. As to the Government’s second contention, it is unclear to which land or possessors the submitted land-registry documents refer. Moreover, the claim seems to contradict the statement that the “NKR” had not adopted any legal act that deprived the applicants of the right to the peaceful enjoyment of their property. In any event, this issue has already been examined at the admissibility stage in regard to the Court’s jurisdiction ratione temporis following a similar claim by the Government. The claim was rejected on the following grounds (see Chiragov and Others v. Armenia (dec.), no. 13216/05, § 102, 12 February 2012):
“At a late stage of the proceedings, the Armenian Government introduced the claim that the authorities of the ‘NKR’, in 1998, had enacted a law on privatisation and a Land Code, which had extinguished the land rights of the applicants and other people who had fled the occupied territories. The texts of these laws have not been submitted to the Court. In any event, the Court notes that the ‘NKR’ is not recognised as a State under international law by any countries or international organisations. Against this background, the invoked laws cannot be considered legally valid for the purposes of the Convention and the applicants cannot be deemed to have lost their alleged rights to the land in question by virtue of these laws (see Loizidou (merits), cited above, §§ 42-47).”
. In conclusion, at the time of their leaving the district of Lachin, the applicants held rights to land and houses which constituted “possessions” within the meaning of Article 1 of Protocol No. 1. There is no indication that those rights have been extinguished since – legitimately or otherwise – whether before or after Armenia’s ratification of the Convention. Their proprietary rights are thus still valid. Since the applicants accordingly hold existing possessions, there is no need to examine their claim that they had a “legitimate expectation” to become formal owners of their land following the enactment of the 1992 Land Code.
. Moreover, having regard to the above conclusion that the applicants lived in the district of Lachin with their families at the time of their flight and earned their livelihood there, their land and houses must also be considered to have constituted their “homes” for the purposes of Article 8 of the Convention.
. The Government’s objection concerning the applicants’ victim status is therefore dismissed.
IV. ARMENIA’S JURISDICTION
A. The parties’ submissions
1. The applicants
. The applicants submitted that Armenia exercised effective control over Nagorno-Karabakh and the surrounding territories, in particular the district of Lachin, and that the matters complained of therefore fell within the jurisdiction of Armenia in accordance with Article 1 of the Convention. Alternatively, such jurisdiction derived from Armenia’s authority or control over the area in question through its agents operating there. The applicants asserted that the Court’s case-law on this issue was settled and referred, inter alia, to Loizidou (cited above), Ilaşcu and Others v. Moldova and Russia ([GC], no. 48787/99, ECHR 2004-VII) and Al-Skeini and Others v. the United Kingdom ([GC], no. 55721/07, ECHR 2011). As regards the burden of proof, they maintained that the test was not “beyond reasonable doubt”; instead, in the present case, there was a presumption of fact that Armenia had jurisdiction over the mentioned territories, a presumption that the Government had failed to rebut.
. The applicants claimed that Armenia’s military participation in the Nagorno-Karabakh conflict had been considerable and that the evidence to that effect was overwhelming. They submitted, inter alia, that Armenian conscripts had served in Nagorno-Karabakh. According to the abovementioned 1994 HRW report, Armenian conscripts had been sent to Nagorno-Karabakh and the surrounding Azerbaijani provinces, and military forces from Armenia had taken part in the fighting in Azerbaijan. The applicants also referred to statements by various political leaders and observers which point towards the involvement of the Armenian army, including the above-mentioned statements by Mr Robert Kocharyan and Mr Vazgen Manukyan (see paragraph 62 above).
. The applicants also adduced as evidence of Armenian army involvement in the military actions the capture of a number of its soldiers by Azerbaijani units and the increased Armenian draft requirements at the material time. They further submitted that conscripts of the Armenian army were still sent to serve in Nagorno-Karabakh, that such service entitled the officers and soldiers to higher salaries than if they had served in Armenia, and that conscripts had no choice as to where they would like to be deployed, in Armenia or in Nagorno-Karabakh. In support of this assertion, they referred, inter alia, to several judicial and administrative proceedings that had been taken in Stepanakert against Armenian military personnel and an Armenian conscientious objector.
. In addition to committing troops to the conflict, Armenia had, according to the applicants, provided material aid to Nagorno-Karabakh. Allegedly, the country supplied as much as 90% of the enclave’s budget in the form of interest-free credits. These credits constituted financial assistance which contributed to Armenia’s effective control over NagornoKarabakh and the surrounding territories. As to the Hayastan AllArmenian Fund, the applicants submitted that it could not be seen as a distinct body independent of the government, as it had been established by presidential decree, its Charter designated the Armenian President as President of the Board of Trustees, and that Board otherwise included several of the highest-ranking representatives of the Armenian authorities, Parliament, Constitutional Court and Central Bank. Furthermore, its mission was to support sustainable development in both Armenia and Nagorno-Karabakh.
. Moreover, Armenia had provided and continued to provide political support to Nagorno-Karabakh. Numerous key figures in Armenian politics had close ties to and continued to be involved in the political sphere in Nagorno-Karabakh. For example, in August 1993 the Government appointed Mr Serzh Sargsyan, the Minister of Defence of Nagorno-Karabakh, as Minister of Defence of Armenia, and in 1998 Mr Robert Kocharyan became President of Armenia, having previously been the Prime Minister and President of Nagorno-Karabakh. Furthermore, as the “NKR” remained unrecognised by the international community, it was reliant on Armenia for political support and its ability to enter into relations with other States.
. The applicants further submitted that, in Nagorno-Karabakh, many Armenian laws were applied and the Armenian dram was the main currency in use. Moreover, people from Nagorno-Karabakh were issued with Armenian passports for the purpose of travelling abroad.
2. The Government
. The Government submitted that Armenia’s jurisdiction did not extend to the territory of Nagorno-Karabakh and the surrounding territories; allegedly, Armenia did not and could not have effective control of or exercise any public power on these territories. In their view, effective control implied detailed direction or control over specific operations of the controlled entity, with the capacity to start and stop them as well as to determine their course. Pointing out that extraterritorial jurisdiction was an exception to the principle that a State had jurisdiction over its own territory, the Government maintained that the burden of proving such control was on the applicants, that the burden of proof should be of a high standard, and that they could not discharge this burden, as evidence rather showed that there was no Armenian influence, let alone control, over the “NKR”. The Government was of the opinion that Al-Skeini (cited above) was not relevant to the present circumstances as that judgment relied on “State agent authority and control” which did not apply to the facts of the present case. Furthermore, the merely supportive role played by Armenia in relation to the “NKR” was fundamentally different from the number of Turkish soldiers involved in northern Cyprus or the size of the Russian military arsenal present in Transdniestria (as established in Loizidou and Ilaşcu and Others, both cited above), and did not, under any reasonable definition, amount to effective control.
. The Government asserted that Armenia had not participated in the military conflict in question. The attack on Lachin from 17 to 18 May 1992 – as well as the capture of Shusha/Shushi on 9 May – had been conducted by the “NKR” defence force, of which 90% was made up of people from NagornoKarabakh. The military actions were actually against the interests of the Government, which was at the time negotiating a ceasefire agreement with the Azerbaijani leaders; a meeting had been held from 8 to 9 May in Tehran. Nonetheless, the capture of these two towns had been deemed necessary by the “NKR” forces in order to stop Azerbaijani war crimes and open up a humanitarian corridor to Armenia.
. The Government further maintained that Armenia had not taken part in any subsequent military actions either. This was allegedly shown by the fact that there was not a single mention in any international document of Armenian army participation. Instead, these documents talked about “local Armenian forces”. Furthermore, the Armenian authorities had not adopted any legal acts or programmes or taken other official steps to get involved in the military actions, which had been entirely carried out by the “NKR” defence force, established in early 1992 following the enactment of the “NKR” Law on conscription. It had been assisted by the Armenian population in Nagorno-Karabakh and the surrounding territories as well as volunteers of Armenian origin from various countries. Armenia had only been involved in the war in so far as it had defended itself against Azerbaijani attacks on its territory within the recognised borders of Armenia. However, as Armenia and the “NKR” had a common enemy, their armed forces cooperated in various ways.
. Armenia did not currently have any military presence in NagornoKarabakh and the surrounding territories. No military detachment, unit or body was stationed there. In the district of Lachin there were no military units at all, as Lachin was at a considerable distance from the “NKR” border with Azerbaijan and there was therefore no need to keep units there. It could not be ruled out that some Armenian nationals may have served in the “NKR” defence force on a contractual and voluntary basis. Moreover, according to the 1994 Agreement on Military Cooperation between the Governments of the Republic of Armenia and the “Republic of NagornoKarabakh” (“the 1994 Military Agreement”), draftees from Armenia, upon their consent, may perform their military service in the “NKR” and vice versa, as well as participate in military exercises organised in the “NKR” or in Armenia. The legal proceedings involving Armenian conscripts who had served in the “NKR” had a simple explanation: under the Agreement, criminal charges against Armenian conscripts were dealt with by the Armenian prosecutors and any such charges against Karabakhi conscripts were dealt with by the “NKR” authorities. However, only a small number of Armenian volunteer conscripts had served in Nagorno-Karabakh where they had moreover been under the direct command of the “NKR” defence force.
. The Government further submitted that the “NKR”, since its formation, had carried out its political, social and financial policies independently. Armenia had not given any economic help to the “NKR” other than, for several years, providing the “NKR” with long-term loans for the implementation of specific projects, including the rebuilding of schools and other educational institutions and the provision of financial assistance to the families of soldiers killed in action. Such help had been provided by other countries as well. Moreover, the Fund played a great role in the development of the “NKR”. Its main mission was to provide financial assistance to Armenia and the “NKR”, using resources collected by the Armenian diaspora. While there were Armenian representatives on the Board of Trustees, the majority of the Board’s members were from the Armenian diaspora and the “NKR”. The Fund’s agenda was not set by the government; often the donors themselves decided to which projects their money should go. The only governmental assistance to the Fund was the provision of rent-free offices in a government building in Yerevan. Thus, it was not an instrument of control, but a non-political, charitable organisation, which had provided USD 111 million to the “NKR” for building schools and hospitals, reconstructing roads and villages, assisting with cultural events and subsidising work and education for the poor. Resources were also provided by other funds and international organisations. Charity and international investments in the “NKR” annually accounted for USD 20-30 million and 30-40 million respectively.
. In the view of the Government, the “NKR” was a sovereign, independent State possessing all the characteristics of an independent State under international law. It exercised control and jurisdiction over Nagorno-Karabakh and the territories surrounding it. Only the laws and other legal acts of the “NKR” were applied on these territories, and it was normal for the “NKR” to have borrowed or adopted some laws from Armenia. The “NKR” had its own court system which operated entirely independently. Political elections were held in the “NKR”, and the fact that some individuals had been in high political office in both the “NKR” and Armenia was nothing out of the ordinary in the early days of both countries’ independence. Armenia’s political support was limited to taking part in the settlement negotiations conducted within the framework of the Minsk Group, with a view to regulating the Nagorno-Karabakh conflict. “NKR” passports were issued to its citizens, who had political rights and civil duties on the basis of their citizenship. Armenian passports had been issued only to some residents of Nagorno-Karabakh so as to enable them to travel abroad. Several currencies, not only the Armenian dram, were used in the “NKR”.
. The Government also asserted that the only facts relevant for the Court’s examination of the jurisdiction issue were those dating from May 1992 (“the causation question”) and post-April 2002 (“the jurisdiction question”). Evidence since 2002 demonstrated that Armenia and the “NKR” were friendly countries, with much in common and with close economic and social links, a military alliance and a shared ethnicity. Armenia had had some influence in so far as it had, from time to time, given financial and other assistance to the “NKR”. Furthermore, as a good neighbour and ally, it had helped to maintain, from its end, the humanitarian corridor in the district of Lachin. However, the Republic of Armenia and the “NKR” were different countries.
3. The Azerbaijani Government, third-party intervener
. The Azerbaijani Government agreed with the applicants that Armenia exercised effective control of Nagorno-Karabakh and the surrounding territories, including the Lachin area. They invoked statements by various international and non-governmental organisations and the US Department of State, as well as many political leaders in claiming that, at the beginning of the 1990s, Armenian forces, fighting beside separatist Karabakhi forces, had occupied Nagorno-Karabakh as well as Lachin and the other surrounding territories and that these territories continued to be occupied by Armenia, which had soldiers stationed there. In the latter respect, they referred to Harutyunyan v. Armenia (no. 36549/03, ECHR 2007-III) and Zalyan, Sargsyan and Serobyan v. Armenia ((dec.), nos. 36894/04 and 3521/07, 11 October 2007). The “NKR” was not an independent State, as claimed by the respondent Government, but a subordinate local administration surviving by virtue of the military and other support afforded by Armenia. Allegedly, it was not conceivable that the “NKR” defence force would exist in any recognisable form without the extensive support of Armenia, expressed, for example, in weapons, equipment, training and, above all, the constant provision of a highly significant percentage – if not an actual majority – of soldiers based in the occupied territories.
. The Azerbaijani Government also submitted that the “NKR” could not survive – politically, economically or militarily – without the significant support provided by Armenia. They pointed, inter alia, to the close political links between Nagorno-Karabakh and Armenia which, moreover, had a strong personal element at the highest level. Furthermore, economic aid provided by Armenia was essential for the “NKR”. The Government referred to the Fund, which allegedly had to be seen as an organ of the Armenian State in relation to the aid given to Nagorno-Karabakh. The Fund had had a significant impact in the “NKR”, not just financially but also socially. Allegedly, it was carried by political will, reinforcing Nagorno-Karabakh’s economic dependency on Armenia and further integrating the “NKR” into Armenia. They also referred to the Armenian State loans, which constituted a major part of the “NKR” budget. Moreover, the Azerbaijani Government asserted that individuals residing in Nagorno-Karabakh and the surrounding territories were holders of Armenian passports.
B. The Court’s assessment
167. While a State’s jurisdictional competence is primarily territorial, the concept of jurisdiction within the meaning of Article 1 of the Convention is not restricted to the national territory of the High Contracting Parties, and the State’s responsibility can be involved because of acts and omissions of their authorities producing effects outside their own territory.
Article 1 of the Convention reads as follows:
“The High Contracting Parties shall secure to everyone within their jurisdiction the rights and freedoms defined in Section I of [the] Convention.”
1. General principles on extraterritorial jurisdiction
. The Court has recognised the exercise of extraterritorial jurisdiction by a Contracting State when this State, through the effective control of the relevant territory and its inhabitants abroad as a consequence of military occupation or through the consent, invitation or acquiescence of the government of that territory, exercises all or some of the public powers normally to be exercised by that government. The principles have been set out in several cases, including Ilaşcu and Others (cited above, §§ 311-19), Al-Skeini and Others (cited above, §§ 130-39) and Catan and Others v. the Republic of Moldova and Russia ([GC], nos. 43370/04 and 2 others, 19 October 2012). The relevant passages of Catan and Others read as follows.
“103. The Court has established a number of clear principles in its case-law under Article 1. Thus, as provided by this Article, the engagement undertaken by a Contracting State is confined to ‘securing’ (‘reconnaître’ in the French text) the listed rights and freedoms to persons within its own ‘jurisdiction’ (see Soering v. the United Kingdom, 7 July 1989, § 86, Series A no. 161, and Banković and Others v. Belgium and Others [GC] (dec.), no. 52207/99, § 66, ECHR 2001-XII). ‘Jurisdiction’ under Article 1 is a threshold criterion. The exercise of jurisdiction is a necessary condition for a Contracting State to be able to be held responsible for acts or omissions imputable to it which give rise to an allegation of the infringement of rights and freedoms set forth in the Convention (see Ilaşcu and Others v. Moldova and Russia [GC], no. 48787/99, § 311, ECHR 2004-VII, and Al-Skeini and Others v. the United Kingdom [GC], no. 55721/07, § 130, 7 July 2011).
104. A State’s jurisdictional competence under Article 1 is primarily territorial (see Soering, cited above, § 86; Banković and Others, cited above, §§ 61 [and] 67; Ilaşcu and Others, cited above, § 312; and Al-Skeini and Others, cited above, § 131). Jurisdiction is presumed to be exercised normally throughout the State’s territory (see Ilaşcu and Others, cited above, § 312; Assanidze v. Georgia [GC], no. 71503/01, § 139, ECHR 2004-II). Conversely, acts of the Contracting States performed, or producing effects, outside their territories can constitute an exercise of jurisdiction within the meaning of Article 1 only in exceptional cases (see Banković and Others, cited above, § 67, and Al-Skeini and Others, cited above § 131).
105. To date, the Court has recognised a number of exceptional circumstances capable of giving rise to the exercise of jurisdiction by a Contracting State outside its own territorial boundaries. In each case, the question whether exceptional circumstances exist which require and justify a finding by the Court that the State was exercising jurisdiction extra-territorially must be determined with reference to the particular facts (see Al-Skeini and Others, cited above, § 132).
106. One exception to the principle that jurisdiction under Article 1 is limited to a State’s own territory occurs when, as a consequence of lawful or unlawful military action, a Contracting State exercises effective control of an area outside that national territory. The obligation to secure, in such an area, the rights and freedoms set out in the Convention, derives from the fact of such control, whether it be exercised directly, through the Contracting State’s own armed forces, or through a subordinate local administration (see Loizidou v. Turkey (preliminary objections), 23 March 1995, § 62, Series A no. 310; Cyprus v. Turkey [GC], no. 25781/94, § 76, ECHR 2001-IV; Banković and Others, cited above, § 70; Ilaşcu and Others, cited above, §§ 314-16; Loizidou v. Turkey (merits), 18 December 1996, § 52, Reports of Judgments and Decisions 1996-VI; and Al-Skeini and Others, cited above, § 138). Where the fact of such domination over the territory is established, it is not necessary to determine whether the Contracting State exercises detailed control over the policies and actions of the subordinate local administration. The fact that the local administration survives as a result of the Contracting State’s military and other support entails that State’s responsibility for its policies and actions. The controlling State has the responsibility under Article 1 to secure, within the area under its control, the entire range of substantive rights set out in the Convention and those additional Protocols which it has ratified. It will be liable for any violations of those rights (see Cyprus v. Turkey, cited above, §§ 76-77, and Al-Skeini and Others, cited above, § 138).
107. It is a question of fact whether a Contracting State exercises effective control over an area outside its own territory. In determining whether effective control exists, the Court will primarily have reference to the strength of the State’s military presence in the area (see Loizidou (merits), cited above, §§ 16 and 56, and Ilaşcu and Others, cited above, § 387). Other indicators may also be relevant, such as the extent to which its military, economic and political support for the local subordinate administration provides it with influence and control over the region (see Ilaşcu and Others, cited above, §§ 388-94, and AlSkeini and Others, cited above, § 139).
...
115. ... As the summary of the Court’s case-law set out above demonstrates, the test for establishing the existence of ‘jurisdiction’ under Article 1 of the Convention has never been equated with the test for establishing a State’s responsibility for an internationally wrongful act under international law.”
2. Application of these principles to the facts of the case
. The Court first considers that the situation pertaining in Nagorno-Karabakh and the surrounding territories is not one of Armenian State agents exercising authority and control over individuals abroad, as alternatively argued by the applicants. Instead, the issue to be determined on the facts of the case is whether Armenia exercised and continues to exercise effective control over the mentioned territories and as a result may be held responsible for the alleged violations. As noted by the Court in Catan and Others (cited above, § 107), this assessment will primarily depend on military involvement, but other indicators, such as economic and political support, may also be of relevance.
. While the applicants used to live in the district of Lachin, the issue of jurisdiction does not concern solely this area. In fact, Lachin is one of the parts of the mentioned territories that is situated farthest away from the Line of Contact with Azerbaijan. The district is sheltered by Nagorno-Karabakh to the east, by the districts of Kelbajar as well as Gubadly and Jebrayil to the north and south and by Armenia to the west. To determine whether Armenia has jurisdiction in the present case, it is thus necessary to assess whether it exercises effective control over Nagorno-Karabakh and the surrounding territories as a whole.
. Moreover, although responsibility for an alleged violation cannot be imputed to Armenia on the basis of events that took place before 26 April 2002, the date of its ratification of the Convention, facts relating to earlier events may still be taken into account as indicative of a continuing situation which still persisted after that date.
(a) Military involvement
. The Nagorno-Karabakh conflict escalated into a full-scale war in 1992 but had started already some years earlier, with calls for the incorporation of Nagorno-Karabakh into Armenia coming from both entities. More significantly, in December 1989, the Supreme Soviet of the Armenian SSR and the Nagorno-Karabakh Regional Council adopted a Joint Resolution on the reunification of Nagorno-Karabakh with Armenia and, in January 1990, a joint budget was established. It is clear that, since the beginning of the conflict, the Armenian SSR and Armenia have strongly supported the demands for Nagorno-Karabakh’s incorporation into Armenia or, alternatively, its independence from Azerbaijan.
. The material available to the Court does not – and could not be expected to – provide conclusive evidence as to the composition of the armed forces that occupied and secured control of Nagorno-Karabakh and the seven surrounding districts between the outbreak of war in early 1992 and the ceasefire in May 1994. For instance, the UN Security Council Resolutions adopted in 1993, while expressing serious concern at the tension between Armenia and Azerbaijan, referred to invasion and occupation by “local Armenian forces” and urged Armenia to exert its influence on “the Armenians of the Nagorny-Karabakh region” (see paragraph 59 above). Nevertheless, the HRW report (see paragraph 60 above) attests to the involvement of the Armenian armed forces at this point in time. Furthermore, the Armenian Minister of Defence from 1992 to 1993, Mr Vazgen Manukyan, acknowledged this state of affairs (see paragraph 62 above).
. Moreover, in the Court’s view, it is hardly conceivable that Nagorno-Karabakh – an entity with a population of less than 150,000 ethnic Armenians – was able, without the substantial military support of Armenia, to set up a defence force in early 1992 that, against the country of Azerbaijan with a population of approximately seven million people, not only established control of the former NKAO but also, before the end of 1993, conquered the whole or major parts of seven surrounding Azerbaijani districts.
. In any event, Armenia’s military involvement in Nagorno-Karabakh was, in several respects, formalised in June 1994 through the 1994 Military Agreement (see paragraph 74 above). In addition to identifying many military issues on which the two entities would work together, the agreement notably provides that conscripts of Armenia and the “NKR” may do their military service in the other entity.
. Later reports and statements confirm the participation of Armenia’s forces in the conflict. For instance, while not leading to any agreement between the parties, the “package deal” and the “step-by-step” approach drafted within the Minsk Group in 1997 stated that the Armenian armed forces should withdraw to within the borders of Armenia (see paragraph 61 above). Similar demands were made by the UN General Assembly in March 2008 (see paragraph 67 above) and by the European Parliament in April 2012 (see paragraph 70 above). In January 2005 the Parliamentary Assembly of the Council of Europe, noting the occupation by Armenian forces of “considerable parts of the territory of Azerbaijan”, reaffirmed that independence and secession of a territory may not be achieved in the wake of “the de facto annexation of such territory to another state” (see paragraph 64 above). The International Crisis Group (ICG) report of September 2005 concluded, on the basis of statements by Armenian soldiers and officials, that “[t]here is a high degree of integration between the forces of Armenia and Nagorno-Karabakh” (see paragraph 65 above). Indications of service of Armenian soldiers in the “NKR” can also be found in cases before the Court and elsewhere (see paragraphs 76-77 above).
. As the Court stated in El-Masri v. the former Yugoslav Republic of Macedonia ([GC], no. 39630/09, § 163, ECHR 2012), it will, in principle, treat with caution statements given by government ministers or other high officials, since they would tend to be in favour of the government that they represent or represented. However, statements from high-ranking officials, even former ministers and officials, who have played a central role in the dispute in question are of particular evidentiary value when they acknowledge facts or conduct that place the authorities in an unfavourable light. They may then be construed as a form of admission (see in this context, mutatis mutandis, the judgment of the International Court of Justice in Military and Paramilitary Activities in and against Nicaragua (Nicaragua v. the United States of America) (Merits) Judgment, ICJ Reports 1986, § 64).
. Accordingly, it is striking to take note of the statements by Armenian representatives which appear to go against the official stance that the Armenian armed forces have not been deployed in the “NKR” or the surrounding territories. The statement by Mr Manukyan, the former Minister of Defence, has already been mentioned (see paragraph 62 above). Of even greater significance is the speech given by the incumbent President of Armenia, Mr Serzh Sargsyan, in January 2013, to leaders of the Ministry of Defence, in which he declared that the goal of Armenian foreign policy was to achieve legal recognition of the victory attained by “our Army” in the Nagorno-Karabakh war (see paragraph 72 above). It should be noted as well that the Government in the present case have acknowledged, with reference to the 1994 Military Agreement, that the Armenian army and the “NKR” defence force cooperate in a defence alliance.
. While Mr Jirayr Sefilyan could not be considered an official representative of Armenia, as a prominent political figure and former military commander who had served during the war, the Court has regard to a statement he gave in an interview in October 2008: “The whole world knows that the army of the NKR is a part of the armed forces of Armenia” (see paragraph 68 above).
In contrast, the Court notes that the opinion of Dr Bucur-Marcu (see paragraph 73 above) was commissioned by the Government and thus must be treated with caution in the circumstances.
. The number of Armenian soldiers serving in the “NKR” is in dispute; the Government have stated that they number no more than 1,500 persons while the applicants rely on the figures given by the IISS and the ICG between 2002 and 2005 which indicated that 8,000 or 10,000 Armenian troops are deployed in Nagorno-Karabakh (see paragraphs 63 and 65 above). The Court need not solve this issue as, based on the numerous reports and statements presented above, it finds it established that Armenia, through its military presence and the provision of military equipment and expertise, has been significantly involved in the Nagorno-Karabakh conflict from an early date. This military support has been – and continues to be – decisive for the conquest of and continued control over the territories in issue, and the evidence, not least the Agreement, convincingly shows that the Armenian armed forces and the “NKR” are highly integrated.
(b) Other support
. The integration of the two entities is further shown by the number of politicians who have assumed the highest offices in Armenia after previously holding similar positions in the “NKR” (see paragraph 78 above). The general political support given to the “NKR” by Armenia is also evident from the statements mentioned above in regard to Armenia’s military involvement.
. The Government have claimed that the “NKR” has its own legislation and its own independent political and judicial bodies. However, its political dependence on Armenia is evident not only from the interchange of prominent politicians, but also from the fact that its residents acquire Armenian passports for travel abroad as the “NKR” is not recognised by any State or international organisation (see paragraph 83 above). In regard to the legislation and the judiciary, there is further evidence of integration. The Government have acknowledged that several laws of the “NKR” have been adopted from Armenian legislation. More importantly, the facts of Zalyan, Sargsyan and Serobyan (see paragraph 76 above) show not only the presence of Armenian troops in Nagorno-Karabakh but also the operation of Armenian law-enforcement agents and the exercise of jurisdiction by Armenian courts on that territory. The case of Mr Grigoryan (see paragraph 77 above) provides a similar indication.
183. Finally, the financial support given to the “NKR” from or via Armenia is substantial. The ICG reported that, in the 2005 “NKR” budget, only 26.7% of expenditures were covered by locally collected revenues. An Armenian “inter-State loan” has provided the “NKR” with considerable amounts of money, throughout 2004 and 2005, totalling USD 51 million. According to the ICG, relying on official sources, the loan made up 67.3% of the “NKR” budget in 2001 and 56.9% in 2004. The loan has been in place since 1993, and in 2005, the year of the report, none of the loan had been repaid (see paragraphs 80-81 above).
184. Further assistance is provided by the Hayastan All-Armenian Fund which, according to the Government, allocated about USD 111 million to projects in the “NKR” between 1995 and 2012. While the Fund is not a governmental institution and its resources come from individual donations, it is noteworthy that it was established by presidential decree. Furthermore, the Armenian President is the ex officio President of the Board of Trustees, and the Board includes several present and former Presidents and ministers of Armenia and the “NKR”, as well as other prominent officials of Armenia. While these members do not make up a majority, it is clear from the Board’s composition that the official representatives of Armenia – together with their “NKR” counterparts – are in a position to greatly influence the Fund’s activities.
185. It is true that substantial financial assistance to the “NKR” also comes from other sources, including the US government and direct contributions from the Armenian diaspora. Nevertheless, the figures mentioned above show that the “NKR” would not be able to subsist economically without the substantial support stemming from Armenia.
(c) Conclusion
186. All of the above reveals that Armenia, from the early days of the Nagorno-Karabakh conflict, has had a significant and decisive influence over the “NKR”, that the two entities are highly integrated in virtually all important matters and that this situation persists to this day. In other words, the “NKR” and its administration survive by virtue of the military, political, financial and other support given to it by Armenia which, consequently, exercises effective control over NagornoKarabakh and the surrounding territories, including the district of Lachin. The matters complained of therefore come within the jurisdiction of Armenia for the purposes of Article 1 of the Convention.
. The Government’s objection concerning the jurisdiction of Armenia over Nagorno-Karabakh and the surrounding territories is therefore dismissed.
V. ALLEGED VIOLATION OF ARTICLE 1 OF PROTOCOL No. 1
. The applicants complained that the loss of all control over, as well as of all potential to use, sell, bequeath, mortgage, develop and enjoy, their properties amounted to a continuing violation of Article 1 of Protocol No. 1, which reads as follows:
“Every natural or legal person is entitled to the peaceful enjoyment of his possessions. No one shall be deprived of his possessions except in the public interest and subject to the conditions provided for by law and by the general principles of international law.
The preceding provisions shall not, however, in any way impair the right of a State to enforce such laws as it deems necessary to control the use of property in accordance with the general interest or to secure the payment of taxes or other contributions or penalties.”
A. The parties’ submissions
1. The applicants
. The applicants submitted that their rights under Article 1 of Protocol No. 1 had been violated as a direct result of an exercise in governmental authority on the part of Armenia. They feared that their property had been destroyed or pillaged soon after they had been forced to flee the district of Lachin. Nevertheless, their complaint concerned an interference with all of their property, including land which remained in Lachin and which they still owned or had the right to use. The applicants claimed that they had continuously been denied access to their property, and that this constituted an interference that was far from being in accordance with law. Moreover, whatever the aim of the occupation of Lachin, the total exclusion of the applicants from their property and the possible destruction of it without the payment of compensation could not be seen as proportionate to the achievement of that aim. The applicants did not see any prospect of being permitted to return to the properties or anywhere else in the occupied territories in the foreseeable future.
2. The Government
190. The Government maintained that the applicants had not been prevented from entering the town of Lachin or the surrounding villages; in fact, they had never tried to enter these territories since their alleged flight and had not applied to the Armenian authorities or the “NKR” to have any of their rights protected or restored. As mentioned already in regard to the issue of the exhaustion of domestic remedies, Armenia’s position in the Minsk Group negotiations – that the return of displaced persons can be considered only after a final settlement of the status of the “NKR” has been agreed upon – referred to displaced persons as a group and did not concern who could obtain entry visas if they had a legitimate reason to enter the “NKR” or Armenia. Travel to the “NKR” involved no danger, as the only open entry point – the road from Yerevan to Stepanakert – is situated far away from the Line of Contact. The Government further asserted that the capture of Lachin – as well as Shusha/Shushi – was a lawful act of self-defence against war crimes committed by Azerbaijan, in particular military attacks on Stepanakert. It was necessary to create a “humanitarian corridor” to Armenia, as large numbers of people in Nagorno-Karabakh were killed or in danger of starving to death. Reiterating that the Republic of Armenia bore no responsibility for the actions alleged by the applicants, they submitted that there had been no violation of Article 1 of Protocol No. 1.
3. The Azerbaijani Government, third-party intervener
191. The Azerbaijani Government submitted that the applicants had not been expelled from the occupied territories in question by any legal act but had been forced to flee by virtue of the activities of the Armenian military forces. They were still physically prevented from entering the territories and enjoying their possessions, through the deployment of Armenian troops and land mines on the Line of Contact, while Armenians were being offered incentives to settle in the territories. This state of affairs was further shown by Armenia’s position in the Minsk Group negotiations on displaced persons returning home. Allegedly, the level and strength of Armenian sustenance of the subordinate local administration had not decreased but rather intensified over the years. The Azerbaijani Government therefore contended that Armenia was responsible for a continuing violation of the applicants’ rights under Article 1 of Protocol No. 1.
B. The Court’s assessment
192. The Court first refers to its above finding (see paragraph 149 above) that, while it is uncertain whether the applicants’ houses still stand, they all have existing rights to their plots of land which constitute “possessions” within the meaning of Article 1 of Protocol No. 1. Given that the matters complained of come within the jurisdiction of Armenia (see paragraph 186 above), the question to be examined is whether Armenia is responsible for a violation of the applicants’ rights to their possessions.
193. The applicants were forced to leave Lachin when the district came under military attack in May 1992. However, the Court’s task is not to scrutinise this event as such, but to determine whether the applicants have been denied access to their property since 26 April 2002, the date on which Armenia ratified the Convention, and whether they have thereby suffered a continuing violation of their rights. Earlier events may still be indicative of such a continuing situation.
194. As has been mentioned above (see paragraphs 118-20), no effective domestic remedies, whether in Armenia or in the “NKR”, have been identified. Consequently, the applicants have not had access to any legal means whereby they could obtain compensation for loss of property or – more importantly in the present context – whereby they could gain physical access to the places where they used to live and thus to the property and homes left behind. The continuing denial of access is further shown by the Government’s assertion, albeit unproven, that the applicants’ property – and, presumably, the property belonging to other displaced persons – had been allocated by the “NKR” administration to other individuals who had been recorded in the land register.
. Moreover, twenty years after the ceasefire agreement, people displaced during the conflict have not been able to return to NagornoKarabakh and the surrounding territories. The Court notes in this respect the Resolutions passed by the UN General Assembly and the European Parliament (see paragraphs 67 and 69 above). In the Court’s view, it is not realistic, let alone possible, in practice for Azerbaijanis to return to these territories in the circumstances which have prevailed throughout this period and which include the continued presence of Armenian and Armenian-backed troops, ceasefire breaches on the Line of Contact, an overall hostile relationship between Armenia and Azerbaijan and no prospect of a political solution yet in sight.
. Consequently, there has been an interference with the applicants’ rights under Article 1 of Protocol No. 1 in that they have continuously been denied access to their property and have thereby lost control over it and any possibility to use and enjoy it (see Loizidou (merits), cited above, § 63). This amounts to an interference with the peaceful enjoyment of their possessions.
. The Government submitted that the capture of Lachin and the creation of a land link between Armenia and Nagorno-Karabakh involved a lawful act of self-defence. The Court takes note of the claims that the district of Lachin was of military-strategic importance and that there was a need to deliver food, medicine and other supplies into Nagorno-Karabakh. However, whether or not these circumstances could constitute a justification for interfering with the individual rights of residents in the area, the capture of Lachin in May 1992 has no direct bearing on the issue under examination which is whether the applicants’ inability to return there and the consequent continuous denial of access to their property could be seen as justified.
. Furthermore, the Court does not find that the ongoing negotiations within the Minsk Group on the issues relating to displaced persons provide a legal justification for the interference with the applicants’ rights. These negotiations do not absolve the Government from taking other measures, especially when negotiations have been pending for such a long time (see, mutatis mutandis, Loizidou (merits), cited above, § 64, and Cyprus v. Turkey, cited above, § 188). In that connection the Court refers to Resolution 1708 (2010) on solving property issues of refugees and displaced persons of the Parliamentary Assembly of the Council of Europe which, relying on relevant international standards, calls on member States to “guarantee timely and effective redress for the loss of access and rights to housing, land and property abandoned by refugees and IDPs without regard to pending negotiations concerning the resolution of armed conflicts or the status of a particular territory” (see paragraph 100 above).
199. Guidance as to which measures the Government could and should take in order to protect the applicants’ property rights can be derived from relevant international standards, in particular from the Pinheiro Principles (see paragraph 98 above) and the above-mentioned Resolution. At the present stage, and pending a comprehensive peace agreement, it would appear particularly important to establish a property-claims mechanism, which should be easily accessible and provide procedures operating with flexible evidentiary standards, allowing the applicants and others in their situation to have their property rights restored and to obtain compensation for the loss of their enjoyment.
200. The Court is fully aware that the Government has had to provide assistance to hundreds of thousands of Armenian refugees and internally displaced persons. However, while the need to provide for such a large group of people requires considerable resources, the protection of this group does not exempt the Government from its obligations towards another group, namely Azerbaijani citizens like the applicants who had to flee during the conflict. In this connection, reference is made to the principle of non-discrimination laid down in Article 3 of the Pinheiro Principles. Finally, the Court observes that the situation in issue is no longer an emergency situation but has continued to exist over a very lengthy period.
. In conclusion, as concerns the period under scrutiny, that is, from 26 April 2002, no aim has been indicated which could justify the denial of access of the applicants to their property and the lack of compensation for this interference. Consequently, the Court finds that there has been and continues to be a breach of the applicants’ rights under Article 1 of Protocol No. 1 for which Armenia is responsible.
VI. ALLEGED VIOLATION OF ARTICLE 8 OF THE CONVENTION
. The applicants claimed that their inability to return to the district of Lachin also involved a continuing violation of their right to respect for their homes and private and family life. They relied on Article 8, which reads as follows:
“1. Everyone has the right to respect for his private and family life, his home and his correspondence.
2. There shall be no interference by a public authority with the exercise of this right except such as is in accordance with the law and is necessary in a democratic society in the interests of national security, public safety or the economic well-being of the country, for the prevention of disorder or crime, for the protection of health or morals, or for the protection of the rights and freedoms of others.”
A. The parties’ submissions
1. The applicants
203. The basis for the applicants’ complaint was much the same as for the one submitted under Article 1 of Protocol No. 1: they maintained that the continuing refusal of the Government to allow them to return to the district of Lachin also violated their rights under Article 8 of the Convention. In this respect, they referred to Cyprus v. Turkey (cited above). Distinguishing their case from the situation in Loizidou (cited above), the applicants pointed out that, as opposed to Mrs Loizidou, they had all lived for many years in the Lachin area and had established homes and private and family lives there. There was allegedly no justification under Article 8 § 2 for the interference with their rights.
2. The Government
. The Government’s submissions also essentially mirrored their arguments under Article 1 of Protocol No. 1. In addition, they maintained that, since the houses and the other property allegedly owned by the applicants had been destroyed in 1992, the applicants could not claim to have had any private or family life or a home in the area in question after that date. To support this assertion, the Government likened the applicants’ situation to Loizidou ((merits), cited above) and referred to the Court’s finding in § 66 of the judgment:
“[I]t would strain the meaning of the notion ‘home’ in Article 8 to extend it to comprise property on which it is planned to build a house for residential purposes. Nor can that term be interpreted to cover an area of a State where one has grown up and where the family has its roots but where one no longer lives.”
In any event, the Government argued that the alleged interference was in accordance with the law and was necessary in a democratic society: by providing a “humanitarian corridor” linking the “NKR” with the outside world, control over the district of Lachin served the interests of national security, public safety and the economic well-being of the country.
3. The Azerbaijani Government, third-party intervener
. The Azerbaijani Government supported the position of the applicants.
B. The Court’s assessment
206. The notions of “private life”, “family life” and “home” under Article 8 are, like “possessions” under Article 1 of Protocol No. 1, autonomous concepts; their protection does not depend on their classification under domestic law, but on the factual circumstances of the case. As noted above (see paragraphs 137 and 150), all the applicants were born in the district of Lachin. Until their flight in May 1992 they had lived and worked there all, or for major parts, of their lives. Almost all of them married and had children in the district. Moreover, they earned their livelihood there and their ancestors had lived there. Furthermore, they had built and owned houses in which they lived. It is thus clear that the applicants had long-established lives and homes in the district, and that their situation contrasts with that of Mrs Loizidou in Loizidou (cited above). The applicants have not voluntarily taken up residence anywhere else, but live, out of necessity, as internally displaced persons in Baku and elsewhere. In the circumstances of the case, their forced displacement and involuntary absence from the district of Lachin cannot be considered to have broken their link to the district, notwithstanding the length of time that has passed since their flight.
207. For the same reasons as those presented under Article 1 of Protocol No. 1, the Court finds that the denial of access to the applicants’ homes constitutes an unjustified interference with their right to respect for their private and family lives as well as their homes.
208. Accordingly, the Court concludes that there has been and continues to be a breach of the applicants’ rights under Article 8 of the Convention and that Armenia is responsible for this breach.
VII. ALLEGED VIOLATION OF ARTICLE 13 OF THE CONVENTION
209. The applicants claimed that no effective remedies had been available to them in respect of their complaints. They relied on Article 13, which reads as follows:
“Everyone whose rights and freedoms as set forth in [the] Convention are violated shall have an effective remedy before a national authority notwithstanding that the violation has been committed by persons acting in an official capacity.”
A. The parties’ submissions
1. The applicants
. The applicants maintained that no remedy had been provided to persons displaced from the occupied territories. They asserted that, not being ethnic Armenians, it would have been entirely fruitless for them to seek redress from the authorities of Armenia or the “NKR”. In their view, no remedy existed which was available, in theory and in practice, for their complaints. The lack of domestic remedies became even more evident when regard was had to the fact that the issue of the right of return of internally displaced persons constituted one of the major disagreements between the parties to the ongoing peace process and, accordingly, remained unresolved.
2. The Government
. The Government claimed that the applicants had had effective administrative and judicial remedies at their disposal, both in Armenia and the “NKR”, which did not differentiate between displaced persons and people of another status. As regards the remedies in the “NKR”, the Government referred to the Court’s conclusions in Cyprus v. Turkey (cited above, § 98) and maintained that the remedies of an internationally unrecognised entity should be exhausted unless their inexistence or ineffectiveness could be proved. The Government further referred to the arguments and the examples of cases presented in relation to the issue of exhaustion of the domestic remedies and asserted that the applicants had failed to make use of the available remedies and had not submitted any evidence that the remedies were inexistent or ineffective.
3. The Azerbaijani Government, third-party intervener
. The Azerbaijani Government essentially agreed with the arguments submitted by the applicants. In addition, referring to Doğan and Others (cited above, § 106), they submitted that Armenia had not only failed to provide an effective remedy but had also failed to conduct an investigation to determine who was responsible for the refusal of access to property and homes.
B. The Court’s assessment
213. The Court has already found violations of Article 1 of Protocol No. 1 and Article 8 of the Convention in regard to the continuing denial of access to the applicants’ possessions and homes. Their complaints are therefore “arguable” for the purposes of Article 13 (see, for instance, Doğan and Others (cited above, § 163).
214. The present complaint comprises the same or similar elements as those already dealt with in the context of the objection concerning the exhaustion of domestic remedies. The Court reiterates its above finding that the Government have failed to discharge the burden of proving the availability to the applicants of a remedy capable of providing redress in respect of their Convention complaints and offering reasonable prospects of success (see paragraph 120 above). For the same reasons, the Court finds that there was no available effective remedy in respect of the denial of access to the applicants’ possessions and homes in the district of Lachin.
. Accordingly, the Court concludes that there has been and continues to be a breach of the applicants’ rights under Article 13 of the Convention and that Armenia is responsible for this breach.
VIII. ALLEGED VIOLATION OF ARTICLE 14 OF THE CONVENTION
. The applicants claimed that, in relation to the complaints set out above, they had been subjected to discrimination by the Government by virtue of ethnic and religious affiliation. They relied on Article 14, which provides as follows:
“The enjoyment of the rights and freedoms set forth in [the] Convention shall be secured without discrimination on any ground such as sex, race, colour, language, religion, political or other opinion, national or social origin, association with a national minority, property, birth or other status.”
A. The parties’ submissions
1. The applicants
. The applicants submitted that, if they had been ethnically Armenian and Christian rather than Azerbaijani Kurds and Muslim, they would not have been forcibly displaced from their homes by the Armenian-backed forces. They referred to the report by Mr David Atkinson and the Resolution of the Parliamentary Assembly, according to which “the military action, and the widespread ethnic hostilities which preceded it, led to large-scale ethnic expulsion and the creation of monoethnic areas which resemble the terrible concept of ethnic cleansing” (see paragraph 64 above). Alternatively, the applicants submitted that they had been subjected to indirect discrimination by Armenia, since the actions taken by the Armenian military and the Armenian-backed Karabakh forces had disproportionately affected Azerbaijani Kurds, who were individuals belonging to an identifiable group.
2. The Government
. The Government submitted that no issues arose under Article 14 of the Convention as there were no violations of the other Articles relied on by the applicants. In any event, the applicants had not been subjected to discriminatory treatment, because the military actions in Lachin had been aimed merely at opening a “humanitarian corridor” between Armenia and Nagorno-Karabakh and had not been directed against the residents of the district, whatever their ethnic or religious affiliation. Moreover, Kurds had never been subjected to discrimination in the Republic of Armenia or the “NKR” and the population of approximately 1,500 Kurds living in Armenia at present actively participated in social and political life and enjoyed all rights.
3. The Azerbaijani Government, third-party intervener
. The Azerbaijani Government contended that the military actions in the “NKR” and the surrounding districts had had the aim of creating a mono-ethnic area. They further submitted that the applicants and other Azerbaijani internally displaced persons were still prevented from returning to their homes and possessions, while Armenians were being offered various incentives (including free housing, money, livestock and tax benefits) to settle in the territory, especially in Lachin. The third-party intervener also stated that the Azerbaijani Kurds are different from the Kurds living in Armenia in that the former are Muslims whereas the latter practise the Yazidi religion.
B. The Court’s assessment
220. The Court’s findings of violations of Article 1 of Protocol No. 1 and Articles 8 and 13 of the Convention in the present case relate to a general situation which involves the flight of practically all Azerbaijani citizens, presumably most of them Muslims, from Nagorno-Karabakh and the surrounding territories, and their inability to return to these territories. The applicants’ complaint under Article 14 of the Convention is thus intrinsically linked to the other complaints. Consequently, in view of the violations found under the other provisions, the Court considers that no separate issue arises under Article 14 (see, for instance, Cyprus v. Turkey, cited above, § 199; Xenides-Arestis v. Turkey, no. 46347/99, § 36, 22 December 2005; and Catan and Others, cited above, § 160).
IX. APPLICATION OF ARTICLE 41 OF THE CONVENTION
221. Article 41 of the Convention provides:
“If the Court finds that there has been a violation of the Convention or the Protocols thereto, and if the internal law of the High Contracting Party concerned allows only partial reparation to be made, the Court shall, if necessary, afford just satisfaction to the injured party.”
222. The applicants claimed pecuniary damage in amounts varying from 808,950 to 2,093,050 Azerbaijani (new) manats (AZN), totalling – for all six applicants – AZN 8,386,600. This amount corresponds to approximately 7,900,000 euros (EUR). In addition, they claimed EUR 50,000 each in non-pecuniary damage. Finally, the legal costs and expenses, as of 6 October 2013, ran to 41,703.37 pounds sterling. At the Court’s hearing on 22 January 2014, the applicants’ representatives requested, however, that an expert be appointed to give an opinion on the evaluation of the damage incurred by the applicants.
223. The Government opposed all the applicants’ claims.
224. The Court, having regard to the exceptional nature of the case, finds that the question of the application of Article 41 is not ready for decision. It must accordingly be reserved and the further procedure fixed.
FOR THESE REASONS, THE COURT
1. Dismisses, by fourteen votes to three, the Government’s preliminary objection of non-exhaustion of domestic remedies;
2. Dismisses, by fifteen votes to two, the Government’s preliminary objection concerning the applicants’ victim status;
3. Holds, by fourteen votes to three, that the matters complained of are within the jurisdiction of Armenia and dismisses the Government’s preliminary objection concerning jurisdiction;
4. Holds, by fifteen votes to two, that there has been a continuing violation of Article 1 of Protocol No. 1;
5. Holds, by fifteen votes to two, that there has been a continuing violation of Article 8 of the Convention;
6. Holds, by fourteen votes to three, that there has been a continuing violation of Article 13 of the Convention;
7. Holds, by sixteen votes to one, that no separate issue arises under Article 14 of the Convention;
8. Holds, by fifteen votes to two, that the question of the application of Article 41 is not ready for decision;
accordingly,
(a) reserves the said question;
(b) invites the Government and the applicants to submit, within twelve months from the date of notification of this judgment, their written observations on the matter and, in particular, to notify the Court of any agreement that they may reach;
(c) reserves the further procedure and delegates to the President of the Grand Chamber the power to fix the same if need be.
Done in English and in French, and delivered at a public hearing in the Human Rights Building, Strasbourg, on 16 June 2015.
Michael O’Boyle Dean Spielmann
Deputy Registrar President
In accordance with Article 45 § 2 of the Convention and Rule 74 § 2 of the Rules of Court, the following separate opinions are annexed to this judgment:
(a) concurring opinion of Judge Motoc;
(b) partly concurring, partly dissenting opinion of Judge Ziemele;
(c) partly dissenting opinion of Judge Hajiyev;
(d) dissenting opinion of Judge Gyulumyan;
(e) dissenting opinion of Judge Pinto de Albuquerque.
D.S.
M.O’B.
CONCURRING OPINION OF JUDGE MOTOC
(Translation)
The Court, which is being asked to rule on one aspect of a multi-faceted and complex dispute while excluding the other aspects, is inevitably put in a difficult position. Nevertheless, its ruling must be exclusively confined to the subject of the dispute as delimited by the applicants. An international court cannot refuse to judge on the basis of a difficult political context or ongoing Minsk negotiations; non liquet cannot be accepted.
This judgment carries special weight on account of the context, the Nagorno-Karabakh conflict, and also raises the question as to whether it is a timely judgment. The legal, historical and political aspects of the NagornoKarabakh conflict are extremely complex.
“What is the cause of historical events? Power. What is power? Power is the sum total of wills transferred to one person. On what condition are the wills of the masses transferred to one person? On condition that the person expresses the will of the whole people. That is, power is power. That is, power is a word the meaning of which we do not understand.” (Leo Tolstoy, War and Peace)
How can we expect the Court to give a complete answer? Accordingly, the Court’s judgments concerning the Nagorno-Karabakh conflict are going to be yet another example of the Court’s empirical approach. “I am sitting with a philosopher in the garden; he says again and again ‘I know that that’s a tree’, pointing to a tree that is near us. Someone else arrives and hears this, and I tell him: ‘This fellow isn’t insane. We are only doing philosophy’” – these are the words of the outstanding empiricist author, Ludwig Wittgenstein. The limits of the empiricist approach of the Court are really visible in the second judgment of the Court regarding the Nagorno-Karabakh conflict, Sargsyan v. Azerbaijan ([GC], no. 40167/06, ECHR 2015).
Let me clarify briefly three questions: (1) the question of proofs, (2) the question of jurisdiction, and (3) the question of secession.
1. The question of proofs
In my view, there was no need for a fact-finding mission in this case. The paragraph of the judgment is quoting extensively the proofs, similar to the proofs required by the International Court of Justice (ICJ). The Court has made extensive references to the standards of proof used in Military and Paramilitary Activities in and against Nicaragua (Nicaragua v. the United States of America) (Merits) Judgment, ICJ Reports 1986.
2. The question of jurisdiction
In the present case, in order to establish the exercise by Armenia of extraterritorial jurisdiction, the Court uses the concept of “effective control” and considers (see paragraph 186 of the present judgment) that the central element of the exercise of this jurisdiction lies in the fact that Armenia and NagornoKarabakh are “highly integrated”:
“... Armenia, from the early days of the Nagorno-Karabakh conflict, has had a significant and decisive influence over the ‘NKR’, ... the two entities are highly integrated in virtually all important matters and ... this situation persists to this day. ... the ‘NKR’ and its administration survive by virtue of the military, political, financial and other support given to it by Armenia which, consequently, exercises effective control over Nagorno-Karabakh and the surrounding territories, including the district of Lachin.”
The Court also uses another concept of strong legal significance, which is that of military occupation and presence.
Before proceeding to an analysis of the application by the Court of these different legal concepts, in particular that of “effective control”, it is necessary to determine which concepts are applicable in the instant case. It is true that, as they are lex specialis, the various branches of international law have provided different legal answers to the question of interpretation of the concept of effective control. The Court itself had to clarify this matter in Catan and Others v. the Republic of Moldova and Russia ([GC], nos. 43370/04 and 2 others, ECHR 2012), paragraph 115 of which is cited in the present judgment. In order to outline the elements on the basis of which the Court’s case-law could be made more systematic and consistent in the area of jurisdiction, these various answers need to be examined.
(a) General international law
The applicable rules regarding the imputation to an external power of responsibility for the acts of a secessionist entity are set out in Articles 4 to 8 and 11 of the draft Articles of the International Law Commission (United Nations) on Responsibility of States for Internationally Wrongful Acts. The relevant parts of these Articles are worded as follows.
Article 4
Conduct of organs of a State
“1. The conduct of any State organ shall be considered an act of that State under international law, whether the organ exercises legislative, executive, judicial or any other functions, whatever position it holds in the organization of the State, and whatever its character as an organ of the central Government or of a territorial unit of the State.
...”
Article 5
Conduct of persons or entities exercising elements of governmental authority
“The conduct of a person or entity which is not an organ of the State under article 4 but which is empowered by the law of that State to exercise elements of the governmental authority shall be considered an act of the State under international law, provided the person or entity is acting in that capacity in the particular instance.”
Article 6
Conduct of organs placed at the disposal of a State by another State
“The conduct of an organ placed at the disposal of a State by another State shall be considered an act of the former State under international law if the organ is acting in the exercise of elements of the governmental authority of the State at whose disposal it is placed.”
Article 7
Excess of authority or contravention of instructions
“The conduct of an organ of a State or of a person or entity empowered to exercise elements of the governmental authority shall be considered an act of the State under international law if the organ, person or entity acts in that capacity, even if it exceeds its authority or contravenes instructions.”
Article 8
Conduct directed or controlled by a State
“The conduct of a person or group of persons shall be considered an act of a State under international law if the person or group of persons is in fact acting on the instructions of, or under the direction or control of, that State in carrying out the conduct.”
In order for the international responsibility of an external power for the internationally wrongful conduct of a secessionist entity to be established, it has to be shown that the scope of the international obligation of the external power extends beyond its own territory to that of the secessionist entity, namely, that the international obligation in question can apply extraterritorially and that the acts or omissions of the secessionist entity which violate that obligation are attributable to that external power.
The ICJ has established two criteria for determining the existence of extraterritorial jurisdiction. One of them is the “effective control” test.
The “effective control” criterion applies where there is evidence of “partial dependence” of the secessionist entity on the external power. That partial dependence can be presumed where, inter alia, the external power provides the secessionist entity with financial, logistic and military assistance and information based on intelligence, and selects and pays the leaders of that entity. That partial dependence gives rise to the possibility for the external power to control the entity.
However, unlike complete dependence, partial dependence does not permit the Court to consider the authorities of the secessionist entity as de facto organs of the external power and to find that the general conduct of those authorities can be regarded as acts by that power; responsibility for particular conduct has to be determined on a case-by-case basis. The responsibility of the authorities of the external power cannot be engaged purely and simply on account of the conduct of the authorities of the secessionist entity; it has to be imputable to the conduct of the organs of that power acting in accordance with its own rules. Moreover, the control in question is no longer that exercised over the secessionist entity itself but that exercised over the activities or operations which give rise to the internationally illegal act.
Barring a few exceptions, international legal commentary and jurisprudence refer to only one of the ICJ’s criteria: “effective control”. However, the ICJ did in fact apply two different criteria of control in the two leading judgments it has delivered on the subject: Nicaragua v. the United States of America (cited above), and Application of the Convention on the Prevention and Punishment of the Crime of Genocide (Bosnia and Herzegovina v. Serbia and Montenegro), Judgment, ICJ Reports 2007. The former concerned the responsibility of the United States of America for acts by the contras, an armed opposition group operating in Nicaragua, while the latter concerned the responsibility of Serbia and Montenegro for the activities of the Republika Srpska, a secessionist entity which had been created in 1992 with the assistance of the Federal Republic of Yugoslavia (FRY) on the territory of Bosnia and Herzegovina and had “enjoyed some de facto independence”.
In Nicaragua v. the United States of America, the ICJ established three elements that had to be made out in order to establish strict control:
– the secessionist entity has to be completely dependent on the external power;
– this complete dependence has to extend to all areas of activity of the secessionist entity;
– the external power must have actually made use of the potential for control inherent in that complete dependence, that is to say, it must have actually exercised a particularly high degree of control.
The secessionist entity must be “completely dependent on aid” from the external power for strict control to arise as a result of that complete dependence. Complete dependence means that the secessionist entity has “no real autonomy” and is “merely an instrument” or an “agent” of the external power, which acts through it. Use of the same currency or the fact that a substantial portion of the population of the secessionist entity has had, has claimed, or can claim, nationality or citizenship of the external power, are not in themselves a sufficient basis on which to conclude that the secessionist entity is an “agent” of the external power. The same is true of the payment of salaries, pensions and other advantages that the leaders of the secessionist entity may receive. In general, neither close political, military, economic, ethnic or cultural relations between the external power and the secessionist entity nor the provision of logistic support in the form of weapons, training or financial assistance will enable the existence of a relationship of complete dependence to be established without other evidence, even where the secessionist entity and the support it receives from outside, be this largely military, are complementary or pursue the same political objectives.
In Nicaragua v. the United States of America (cited above), the ICJ established two factors on the basis of which it considered that the existence of “complete dependence” could be established. In its view, the fact that the external power had created and organised the secessionist entity, or the armed opposition group which created the secessionist entity, appeared to establish a strong presumption that the secessionist entity was completely dependent on the external power – whose creation it was – and was none other than its instrument or agent. However, it did not suffice for the external power to have taken advantage of the existence of a secessionist movement and used it in its policies vis-à-vis the parent State. For the dependence on the external power to be complete, the latter must also provide assistance taking various forms (financial assistance, logistic support, supply of information on the basis of intelligence) and which is crucial for the pursuit of the secessionist entity’s activities. In other words, the secessionist entity is completely dependent on the external power if it can only carry out its activities with the various forms of support supplied by that power, so that withdrawal of that assistance would result in the cessation of the entity’s activities.
In Nicaragua v. the United States of America, the ICJ drew a distinction between the assistance provided by the United States of America to the contras during the first years and that provided subsequently. It found that the contras were completely dependent on the United States at the beginning but that this had subsequently ceased to be the case as the contras had pursued their activities despite the fact that they were no longer receiving military assistance from the United States. In respect of the latter period, the ICJ accordingly concluded that the United States did not exercise “effective control” in Nicaragua, the latter having failed to show that the United States had directed every activity by the contras on the ground.
(b) The European Convention on Human Rights
There is no need to repeat the case-law of our Court here; references to the relevant precedents can be found in the present judgment. Thus, it is reiterated in paragraph 168 that the Court has recognised the exercise of extraterritorial jurisdiction by a Contracting State when this State, through the effective control of the relevant territory and its inhabitants abroad as a consequence of military occupation or through the consent, invitation or acquiescence of the Government of that territory, exercises all or some of the public powers normally to be exercised by that Government. This is followed by the relevant passages from Catan and Others (cited above), in which the Court’s caselaw in the area is summarised and illustrated with a number of examples. However, the present judgment does not cite either the paragraphs of the decision in Banković and Others v. Belgium and Others ((dec.) [GC], no. 52207/99, ECHR 2001-XII), which heavily rely on international law, or paragraph 152 in Jaloud v. the Netherlands ([GC], no. 47708/08, ECHR 2014), in which the Court examined for the first time the concept of “attribution” under international law.
Accordingly, even if one can speak of lex specialis with regard to the Court’s case-law, that lex specialis establishes, save in Jaloud (cited above, § 154), an automatic link between control and jurisdiction.
(c) Application of the principles
The Court uses a number of legal concepts in the present case: occupation, military presence and, finally, effective control.
It can be said that in the present judgment the Court raises the threshold of effective control that it had established in earlier cases. In Loizidou v. Turkey ((merits), 18 December 1996, Reports of Judgments and Decisions 1996-VI), it took note of the substantial number of military officers present in Cyprus – a criterion it used again in Issa and Others v. Turkey (no. 31821/96, 16 November 2004), in which it concluded that Turkey did not exercise its jurisdiction. In the present case, however, it notes that “[t]he number of Armenian soldiers serving in the ‘NKR’ is in dispute” but that it “need not solve this issue as, based on the numerous reports and statements presented above, it finds it established that Armenia, through its military presence and the provision of military equipment and expertise, has been significantly involved in the Nagorno-Karabakh conflict from an early date”. It considers that “this military support has been – and continues to be – decisive for the conquest of and continued control over the territories in issue”, and that “the evidence, not least the [1994 military cooperation] Agreement, convincingly shows that the armed forces of Armenia and the ‘NKR’ are highly integrated” (see paragraph 180 of the present judgment).
Finding that the “high degree” of integration between the “NKR” and Armenia – a criterion that it uses here for the first time – also exists in the political and judicial sphere, the Court concludes that the latter exercises “effective control” over the former.
It does not, however, consider it necessary to draw a distinction between effective control and the type of control that it had established in Ilaşcu and Others v. Moldova and Russia ([GC], no. 48787/99, ECHR 2004-VII).
It is true that in the present case the Court did not examine the question of the attribution of the acts on account of which the applicants have been deprived of their possessions. However, the situation under general international law is not the same as in the earlier cases. Here, the Court has already established the existence of a high degree of integration between the two entities. A State may perhaps have been able to prove the involvement of the Armenian armed forces in the acts of the authorities of the “NKR”, but for an individual wishing to assert their fundamental rights that would have been very difficult, if not impossible. That is why this lex specialis was introduced. The Court’s logic is much easier to discern in the present case than in the earlier cases: even if it does not examine the question of attribution and does not seek to establish the actual participation of the Armenian forces in the acts that resulted in the applicants being deprived of their possessions, the exercise of jurisdiction by the defendant State has been convincingly established here.
In this respect, the present case looks to me to be the closer to the criterion of effective control, imposed by the ICJ. Even if the words “complete control” are not used by the Court, it does use “occupation” and “high degree of integration”. The reasoning of the Court follows Security Council Resolutions which use the words “local Armenian forces” and are expressed in the particular way of the Security Council (see my opinion in I. Motoc, Interpréter la guerre : les exceptions de l’article 2 § 4 de la Charte de l’ONU dans la pratique du Conseil de sécurité). In my opinion, this judgment represents one of the strongest returns to general international law or, to put it in a plastic way, to the “Oppenheim world”.
3. The question of secession
The Armenian Government has invoked the fact that the “NKR” is a State. The Court is not in a position to decide on issues of the creation of a State and on secession in this case, or on self-determination. Judge Wildhaber expressed a similar view in his concurring opinion in Loizidou (cited above). Any statement of the Court in this respect will be pure speculation since the Court has no arguments before it to judge the question of secession, whether remedial or not. The Court is not in a position to judge outside the framework of arguments and proofs brought before it and to develop theories of self-determination.
PARTLY CONCURRING, PARTLY DISSENTING OPINION
OF JUDGE ZIEMELE
1. In my view, the message of this judgment is not very clear. This difficulty is partly due to the methodology that the majority chose to follow in a case which, in essence, is about an international conflict with too many open and hidden dimensions for the Court to examine within the scope of its traditional competence. If the message to be conveyed is that Armenia should do its utmost to engage effectively with Azerbaijan in finding a solution to the conflict through the Minsk or any other process, I can follow the finding of a violation under Article 8 of the Convention and Article 1 of Protocol No. 1. Indeed, I voted with the majority with this understanding in mind. There is no question that persons such as the applicants who cannot access or claim compensation for their property should be able to do so. To my mind, however, Armenia’s responsibility lies in its positive obligations under these Articles. The Court does not have competence ratione temporis to assess how the property was lost or interfered with at the time. Today the Court can only examine whether by the time the applicants lodged a complaint with the Court, Armenia had done what is within its responsibility concerning the normalisation of the situation of those individuals. I see this obligation as one of a positive character.
2. The most complex issues in the case are yet again those of jurisdiction and attribution of responsibility. In Jaloud v. the Netherlands ([GC], no. 47708/08, ECHR 2014), with reference to Catan and Others v. the Republic of Moldova and Russia ([GC], nos. 43370/04 and 2 others, ECHR 2012), the Court attempted to further clarify the point that these concepts are not identical. They may overlap, but they may also be distinct. In paragraph 154 of that judgment the Court reiterated that “the test for establishing the existence of ‘jurisdiction’ under Article 1 of the Convention has never been equated with the test for establishing a State’s responsibility for an internationally wrongful act under general international law (see Catan and Others, cited above, § 115)”. In other words, the Court cannot assume that jurisdiction automatically leads to the responsibility of the State concerned for the alleged violations of their Convention obligations. At the same time, the absence of territorial jurisdiction does not mean that the State will never bear responsibility for those acts that it has generated, at least under general international law. The Court’s case-law has been criticised for creating uncertainty or even confusion between those two concepts. The Court’s argument has been that within the scope of Article 1 of the Convention it cannot proceed otherwise, since, according to the ordinary meaning of Article 1, the precondition for its assessment of responsibility is the establishment of jurisdiction of the respondent State. Within this logic jurisdiction is a threshold criterion, as the Court has always emphasised.
3. The need to establish Armenia’s jurisdiction over the district of Lachin so as to be able to assess whether Armenia has any obligations stemming from the Convention in relation to the applicants’ properties is exactly the issue which makes this an impossible case. As stated above, while I think Armenia has important obligations, I have great difficulty in following the Court’s reasoning in paragraphs 169 to 187 of the present judgment and therefore voted against establishing the jurisdiction of Armenia in the manner proposed in these paragraphs. Similarly, I cannot follow the inclusion in the section on Regulations concerning the Laws and Customs of War on Land (The Hague, 18 October) and Convention (IV) relative to the Protection of Civilian Persons in Time of War (Geneva, 12 August 1949). There is no further reference to these international texts in the Court’s assessment. The proposed legal weight of the reference to the documents regulating belligerent occupation is not at all clear.
4. Previously, the Court has examined cases such as Loizidou v. Turkey ((merits), 18 December 1996, Reports of Judgments and Decisions 1996VI), and Ilaşcu and Others v. Moldova and Russia ([GC], no. 48787/99, ECHR 2004VII) in which there was an evident and considerable presence of Turkish and Russian armed forces respectively in the disputed or occupied territories. The situation in northern Cyprus has been clearly defined as being contrary to the Charter of the United Nations. The situation after the demise of the Union of Soviet Socialist Republics (USSR), with its 14th Army remaining in the territory of Transdniestria, does not raise too many doubts as to the control of that territory. As far as our case is concerned, however, we have information which is somewhat disputed. The Court did not accept the proposal of a fact-finding mission, which, as in Ilaşcu and Others (cited above), might have provided it with much-needed evidence. In my view, the Court should have given proper weight to the UN Security Council assessment. The UN Security Council Resolutions have stated that “local Armenian forces” are well organised and have created their own governance of the territories that they occupy. It is also apparent from the UN Security Council Resolutions cited in the present judgment that Armenia can exercise influence over the Armenians of Nagorno-Karabakh. The question remains whether this is sufficient to establish Armenia’s jurisdiction in the disputed territories and to conclude that there is high integration in virtually all important matters between Armenia and the “NKR”.
5. Unlike the particularly scrupulous establishment of the facts normally carried out by the International Court of Justice (ICJ) in cases concerning disputes over territories, jurisdiction and attribution of responsibility, the Court appears to be watering down certain evidentiary standards in highly controversial situations. Furthermore, even if Armenia does have jurisdiction over Nagorno-Karabkh it is necessary, in order to find violations of the Convention, to attribute those alleged violations to Armenia, so one needs to have evidence that Armenia prevents the applicants from accessing their property in Lachin. The Court may not need to do so if it adopts a different interpretation of jurisdiction and responsibility for the purposes of the Convention, even though it has always reiterated that it refers to the definition of jurisdiction traditionally employed in international law. As far as international law is concerned, the establishment of the fact of jurisdiction does not mean that Armenia (a) had specific obligations under the Convention and (b) committed an internationally wrongful act. In both respects a careful examination is needed.
6. The following passage from the Court’s case-law does indeed indicate that it has developed its own interpretation of “jurisdiction and responsibility” for the purposes of compliance with Convention obligations. The Court has stated:
“Where the fact of such domination over the territory [effective control] is established, it is not necessary to determine whether the Contracting State exercises detailed control over the policies and actions of the subordinate local administration. The fact that the local administration survives as a result of the Contracting State’s military and other support entails that State’s responsibility for its policies and actions” (see paragraph 168 of the present judgment, citing Catan and Others, § 106).
This approach contrasts with the methodology employed by the ICJ, which uses the standard of “complete dependence”. Moreover, that is the standard for State responsibility irrespective of the issue of jurisdiction.
7. The ICJ reiterated its approach to the issue of the attribution of responsibility as concerns subordinate local administrations or similar groups in Application of the Convention on the Prevention and Punishment of the Crime of Genocide (Bosnia and Herzegovina v. Serbia and Montenegro), Judgment, ICJ Reports 2007. It stated as follows.
“391. The first issue raised ... is whether it is possible in principle to attribute to a State conduct of persons – or groups of persons – who, while they do not have the legal status of State organs, in fact act under such strict control by the State that they must be treated as its organs for purposes of the necessary attribution leading to the State’s responsibility for an internationally wrongful act. The Court has in fact already addressed this question, and given an answer to it in principle, in its Judgment of 27 June 1986 in the Case concerning Military and Paramilitary Activities in and against Nicaragua (Nicaragua v. United States of America) (Merits, Judgment, I.C.J. Reports 1986, pp. 62-64). In paragraph 109 of that Judgment the Court stated that it had to
‘determine ... whether or not the relationship of the contras to the United States Government was so much one of dependence on the one side and control on the other that it would be right to equate the contras, for legal purposes, with an organ of the United States Government, or as acting on behalf of that Government’ (p. 62).
Then, examining the facts in the light of the information in its possession, the Court observed that ‘there is no clear evidence of the United States having actually exercised such a degree of control in all fields as to justify treating the contras as acting on its behalf’ (para. 109), and went on to conclude that ‘the evidence available to the Court ... is insufficient to demonstrate [the contras’] complete dependence on United States aid’, so that the Court was ‘unable to determine that the contra force may be equated for legal purposes with the forces of the United States’ (pp. 62-63, para. 110).”
The ICJ summed up as follows.
“392. The passages quoted show that, according to the Court’s jurisprudence, persons, groups of persons or entities may, for purposes of international responsibility, be equated with State organs even if that status does not follow from internal law, provided that in fact the persons, groups or entities act in ‘complete dependence’ on the State, of which they are ultimately merely the instrument. In such a case, it is appropriate to look beyond legal status alone, in order to grasp the reality of the relationship between the person taking action, and the State to which he is so closely attached as to appear to be nothing more than its agent: any other solution would allow States to escape their international responsibility by choosing to act through persons or entities whose supposed independence would be purely fictitious.
393. However, so to equate persons or entities with State organs when they do not have that status under internal law must be exceptional, for it requires proof of a particularly great degree of State control over them, a relationship which the Court’s Judgment quoted above expressly described as ‘complete dependence’” (emphasis added).
8. The ICJ’s required standard of proof is high and it has, through several cases, developed a detailed methodology regarding different elements of evidence submitted by the parties. For example, in our case the applicants submitted to the Court statements allegedly made by highranking Armenian politicians. The Court has chosen to refer to Nicaragua v. the United States of America (cited above) in order to explain its decision to admit in evidence these statements, which, according to the Court’s interpretation, show the high level of integration between the armed forces of Armenia and the NKR entity (see paragraphs 178-79 of the present judgment). The Court refers to paragraph 64 in Nicaragua v. the United States of America, which indeed explains that “the Court takes the view that statements of this kind, emanating from high-ranking official political figures, sometimes indeed of the highest rank, are of particular probative value”. At the same time, in paragraph 65 of that same judgment – to which the Court does not make reference – the ICJ explains the limits of such a method. It states:
“However, it is natural also that the Court should treat such statements with caution, whether the official statement was made by an authority of the Respondent or of the Applicant. Neither Article 53 of the Statute, nor any other ground, could justify a selective approach, which would have undermined the consistency of the Court’s methods and its elementary duty to ensure equality between the Parties. The Court must take account of the manner in which the statements were made public; evidently, it cannot treat them as having the same value irrespective of whether the text is to be found in an official national or international publication, or in a book or newspaper. It must also take note whether the text of the officia1 statement in question appeared in the language used by the author or on the basis of a translation (cf. I.C.J. Reports 1980, p. 10, para. 13). It may also be relevant whether or not such a statement was brought to the Court’s knowledge by official communications filed in conformity with the relevant requirements of the Statute and Rules of Court. Furthermore, the Court has inevitably sometimes had to interpret the statements, to ascertain precisely to what degree they constituted acknowledgments of a fact.”
According to the facts of the present case, the applicants referred to statements by Armenian leaders and an interview which was published in the newspaper (see paragraphs 62 and 68 of the present judgment). In accordance with the principles stated by the ICJ in Nicaragua v. the United States of America, in such circumstances the principle of equality between the parties is of paramount importance as is a proper assessment of the source of such statements. The procedure followed by the Court concerning these pieces of information remains unclear and does not appear to have complied with the principles of fairness and caution.
9. As for the Agreement on Military Cooperation between the Governments of the Republic of Armenia and the “Republic of NagornoKarabakh” (see paragraphs 74 and 175 of the present judgment), there are many such agreements between two or more States. One would hope that they do not automatically result in the loss of jurisdiction or the acquisition of control over new territories for the purposes of international responsibility and do not in themselves represent a threat to the neighbouring countries. The letter, legal character and practical consequences of the agreement have to be examined carefully. It may well be that in terms of international law such an agreement between a State and a non-recognised entity does not have any legal value. It may also be that the international community, wishing to end the conflict in the region, does not appreciate such a document and condemns it. However, the manner in which the Court invokes the above-mentioned Agreement coupled with the assertion that Armenia “has been significantly involved in the Nagorno-Karabakh conflict from an early date” (see paragraph 180 of the present judgment) makes one wonder what the scope of the case is. Is it really a case about the lack of access to property following the ratification of the Convention by Armenia or is it a case about the war in 1992 in Azerbaijan and its consequences (see paragraphs 18-20)?
10. There is no question but that the Court has many choices. It may or may not choose to pronounce on broader questions of international law, such as the war and its consequences. With this case it has chosen to make certain pronouncements. It has done so in earlier cases too, but such a choice is still unusual for the Court. I do not have a problem with an international court, such as the European Court of Human Rights, taking cognisance of the broader picture. On the contrary. However, in that case the Court has to be consistent and do so in all relevant cases. There have been cases in which the Court has, on the contrary, openly refused to take into consideration arguments deriving from international law. This point does not, however, answer the more difficult question as to whether the Court should apply a different standard of attribution of responsibility than the one in international law and whether more or less the same standard should determine jurisdiction. I have serious reservations in that regard.
11. The Court has now established that Armenia controls the “NKR” in the same way that Turkey controls northern Cyprus or Russia controls Transdniestria. From now on it seems that the presumption will be that alleged violations of human rights within the “NKR” should be brought against Armenia. There is no doubt that one should not support a Convention vacuum in Europe. I do not think that Nagorno-Karabakh is such a vacuum. Clearly, cases coming from there should be adjudicated.
12. However, in my view, it is essential that in this category of cases, as in other cases, a proper attribution of responsibility test be carried out after the Court has identified the nature of the Convention obligation at stake. The Court has already done this, for example in cases that have arisen following the dissolution of the Socialist Federal Republic of Yugoslavia and in particular in the so-called “bank savings” cases. The Court examined the question of attribution of responsibility with regard to the specific context of State succession (see Kovačić and Others v. Slovenia [GC], nos. 44574/98 and 2 others, 3 October 2008, and JudgeRess’s concurring opinion therein). In the case at hand, the conclusion is that “the denial of access to the applicants’ homes constitutes an unjustified interference with their right to respect for their private and family lives as well as their homes” (see paragraph 207 of the present judgment). It is not previously explained by what means Armenia has denied them access to their homes, unless one considers that by the very fact that Armenia has, in the Court’s view, jurisdiction over Nagorno-Karabakh it denies access to homes. It is with this in mind that I voted against finding a violation of Article 13 since in my view the Court did not have sufficient information regarding whether property claims were indeed not examined by local courts. As I have explained above, this approach fails to address the real issue in the case. To my mind, the question is whether, given that Armenia can influence the local Armenian government in NagornoKarabakh and that it is one of the parties to negotiations, it bears responsibility for not having taken positive steps for many years which would have permitted the return of displaced persons or compensation. I cannot qualify that as a denial of property rights. It is an issue of positive obligations having regard to the more general context of international law. For all these reasons I did not find that Armenia has jurisdiction over Nagorno-Karabakh in the manner indicated in the judgment but I did find that Armenia has failed to comply with its positive obligations under Article 1 of Protocol No. 1 and Article 8 of the Convention.
PARTLY DISSENTING OPINION OF JUDGE HAJIYEV
The obvious fact of occupation of Nagorno-Karabakh and the surrounding region, constituting almost one fifth of the territory of Azerbaijan, by the Armenian Republic, has been politically recognised by four Resolutions of the United Nations Security Council, by Resolutions of the UN General Assembly, by the Parliament of the European Union, the Parliamentary Assembly of the Council of Europe and decisions of other international organisations. I note, with satisfaction, that with the present judgment the Court has confirmed this fact, once again, by a judicial decision. The Court has come to that conclusion on the basis of irrefutable evidence indicating that Armenia, through its military presence and provision of military equipment, has been significantly involved in the Nagorno-Karabakh conflict from an early date. The military support has been – and continues to be – decisive for the conquest of and continued control over the Azerbaijani territories. According to the Court, the evidence, not least the 1994 Agreement on Military Cooperation between the Governments of the Republic of Armenia and the “Republic of NagornoKarabakh”, convincingly shows that the armed forces of Armenia and the “NKR” are highly integrated, that the so-called “NKR” is under the influence of Armenia and enjoys its military, financial and political support, and that Nagorno-Karabakh and all the surrounding occupied regions of Azerbaijan are under the direct control of Armenia. As rightly noted by T. Ferraro, effective control is the main characteristic of occupation as, under international humanitarian law, there cannot be occupation of a territory without effective control exercised therein by hostile foreign forces (see T. Ferraro, “Determining the beginning and end of an occupation under international humanitarian law”, International Review of the Red Cross, no. 885, March 2012, p. 140). The foregoing is fully consistent, in my opinion, with the requirements of Article 42 of the Regulations concerning the Laws and Customs of War on Land (The Hague, 18 October 1907), to which the Court refers in paragraph 96 of the present judgment:
“[O]ccupation within the meaning of the Hague Regulations exists when a State exercises actual authority over the territory, or part of the territory, of an enemy State (see, for example, E. Benvenisti, The International Law of Occupation (Oxford: Oxford University Press, 2012), p. 43; Y. AraiTakahashi, The Law of Occupation: Continuity and Change of International Humanitarian Law, and its Interaction with International Human Rights Law (Leiden: Martinus Nijhoff Publishers, 2009), pp. 58; Y. Dinstein, The International Law of Belligerent Occupation (Cambridge: Cambridge University Press, 2009), at pp. 42-45, § 96-102; and A. Roberts, ‘Transformative Military Occupation: Applying the Laws of War and Human Rights’, American Journal of International Law vol. 100:580 (2006), pp. 585-86).”
The requirement of actual authority is widely considered to be synonymous with that of effective control. Military occupation is considered to exist in a territory, or part of a territory, if the following element can be demonstrated: the presence of foreign troops which are in a position to exercise effective control without the consent of the sovereign. According to widespread expert opinion, the physical presence of foreign troops is a sine qua non requirement of occupation (most experts consulted by the International Committee of the Red Cross (ICRC) in the context of the project on occupation and other forms of administration of foreign territory agreed that “boots on the ground” are needed for the establishment of occupation (see T. Ferraro, “Expert Meeting: Occupation and Other Forms of Administration of Foreign Territory” (Geneva: ICRC, 2012), pp. 10, 17 and 33; E. Benvenisti, cited above, pp. 43 et seq.; and V. Koutroulis, Le début et la fin de l’application du droit de l’occupation (Paris: Éditions Pedone, 2010), pp. 35-41).
In paragraph 174 of the present judgment, the Court rightly notes that
“... it is hardly conceivable that Nagorno-Karabakh – an entity with a population of fewer than 150,000 ethnic Armenians – was able, without the substantial military support of Armenia, to set up a defence force in early 1992 that, against the country of Azerbaijan with a population of approximately seven million people [at present more than nine million], not only established control of the former NKAO but also, before the end of 1993, conquered the whole or major parts of seven surrounding Azerbaijani districts”.
I would add that the occupation was accompanied by the forcible expulsion of almost 800,000 people, which in itself required substantial military force, military equipment and forcible retention. Accordingly, the continuing occupation requires no fewer human and material resources. Despite the frustration expressed by Armenian parents about their sons’ military service in the occupied territories, which can be seen in the press (www.epress.am, news bulletin of 11 June 2014), the situation of occupation continues. As recently as November 2014, Armenia conducted military manoeuvres in the occupied territories under the symbolic name of “Unity” with the participation of 47,000 military personnel and a large quantity of military equipment (www.regnum.ru, news bulletin of 12 November 2014). The existing situation was contrary to the very essence of the Convention at the time of its ratification by Armenia and continues to be contrary to it today. The Convention declares in its Preamble that the States which sign the Convention and which are members of the Council of Europe must demonstrate a profound belief in those fundamental freedoms which are the foundation of justice and peace in the world. This paradox has always reminded me of the words of Oscar Wilde: “I can believe in anything, provided that it is quite incredible”.
The Council of Europe has reacted to the current situation in Resolution 1416 (2015) of the Parliamentary Assembly of the Council of Europe adopted on 25 January 2005, in which it was noted that
“[t]he Assembly expresses its concern that the military action and the widespread ethnic hostilities which preceded it, led to large-scale ethnic expulsion and the creation of mono-ethnic areas which resemble the terrible concept of ethnic cleansing. The Assembly reaffirms that independence and secession of a regional territory from a state may only be achieved through a lawful and peaceful process based on the democratic support of the inhabitants of such territory and not in the wake of an armed conflict leading to ethnic expulsion and the de facto annexation of such territory of another state. The Assembly reiterates that the occupation of foreign territory by a member State constitutes a grave violation of that State’s obligations as member of the Council of Europe and reaffirms the right of displaced persons from the area of conflict to return to their homes safely and with dignity.”
As can be seen from the above-mentioned Resolution, the Assembly, by reflecting the existing picture, points to the ethnic nature of the expulsion of people from their homeland.
Taking into account the circumstances and the arguments of the applicants, which, in my view, had to be adequately answered, I disagreed with the majority’s conclusion that no separate issue arises under Article 14 of the Convention.
Thus, the applicants’ loss of all control over, as well as any possibility to use, sell, bequeath, mortgage, develop or enjoy, their property; the Government’s continued refusal to allow them to return to their homes in Lachin; and their failure to provide an effective or indeed any remedy to persons displaced from occupied territories are the result of discrimination and accordingly, in my opinion, are violations of Article 14 of the Convention taken in conjunction with Article 1 of Protocol No. 1 and Articles 8 and 13 of the Convention. The Court has repeatedly indicated that Article 14 of the Convention does not prohibit all differences in treatment. According to the Court, it is necessary to develop criteria on the basis of which it can be determined whether a given difference in treatment in securing the human rights and freedoms guaranteed in the Convention is contrary to Article 14. Following the principles which can be inferred from the legal practices of the numerous democratic countries, the Court will find that the principle of equal treatment is violated where a difference of treatment has no objective and reasonable justification. A difference in treatment in securing the rights and freedoms guaranteed by the Convention must not only pursue a legitimate aim; Article 14 will also be violated if there is not a “reasonable relationship of proportionality between the means employed and the aim sought to be realised” (see, for example, Rasmussen v. Denmark, 28 November 1984, § 38, Series A no. 87, and Lithgow and Others v. the United Kingdom, 8 July 1986, § 177, Series A no. 102).
The above-mentioned legal approach of the Court, when applied to the circumstances of the present case, demonstrates an obvious inequality of treatment with regard to the applicants. This difference of treatment does not pursue a legitimate aim and has no objective and reasonable justification. The applicants stress, not without reason, that they have been subjected to discrimination because the actions taken by the Armenian military forces have disproportionately affected them. I also agree that when considering the applicants’ Article 14 claim, the standard of proof which the Court adopts should not be equated with the criminal standard of proof applicable in common-law domestic courts. Other human rights tribunals do not require this high standard. Judge Mularoni, in her partly dissenting opinion in Hasan İlhan v. Turkey, no. 22494/93, 9 November 2004, noted:
“I consider that as long as the Court persists in requiring in the context of Article 14 complaints of discrimination on grounds of racial or national origin a ‘beyond reasonable doubt’ standard of proof, this will result in the removal in practice of human rights protection guaranteed by Article 14 in areas where the highest level of protection, rather than the highest level of proof, should be the priority. There could be no more effective a tool for ensuring that the protection against discrimination on grounds of racial or national origin will become illusory and inoperative than to expect victims to submit themselves to such a high standard of proof. In reality, the application of such a high standard is tantamount to rendering it impossible for applicants to prove that there was a violation of Article 14. I would add that this high standard is not required by other leading human rights tribunals.”
The given principle was recognised by the Court in Nachova and Others v. Bulgaria ([GC], nos. 43577/98 and 43579/98, ECHR 2005VII). Where, as in this case, on the face of it there is clear evidence of differential treatment of two different ethnic groups, it should be for the State to show that such treatment is not discriminatory. This is because they have exclusive access to the reasons behind their actions and accordingly are aware of whether the apparently differential treatment has some other innocent explanation.
The evidence suggests not only that the expulsions were discriminatory but that the respondent State has since allowed the return of non-Azerbaijanis who were displaced. This is not only clear evidence of a discriminatory policy but illustrates the ongoing nature of the violations. Moreover, in support of a finding that the treatment of the applicants was discriminatory, we can add the fact that after the ethnic cleansing of non-Armenian inhabitants of the Lachin region, a policy of populating the region with Armenians from Armenia was pursued. Thus, according to the “Report of the OSCE Fact-Finding Mission (FFM) to the Occupied Territories of Azerbaijan Surrounding Nagorno-Karabakh”, the FFM conducted interviews in the Lachin district with certain Lachin residents who had Armenian passports and claimed to take part in Armenian elections.
Accordingly, the applicants, who were expelled from Lachin more than twenty years ago and have no access to their homes in Lachin, are not in a position to assert their rights guaranteed under the Convention as they were discriminated against, contrary to Article 14 of the Convention taken in conjunction with Article 1 of Protocol No.1 and Articles 8 and 13 of the Convention.
DISSENTING OPINION OF JUDGE GYULUMYAN
It is with regret that I find myself in deep disagreement with the Grand Chamber judgment in the present case and cannot subscribe to either the reasoning or the conclusions of the majority for several reasons.
Firstly, by failing to address the question of the international legal personality of the Republic of Nagorno-Karabakh (NKR – questions of self-determination and statehood) the Court has oversimplified the legal issue at hand. I believe that in determining that the alleged violations came within the jurisdiction of Armenia the Court has confused two completely different concepts of international law – jurisdiction and attribution – and has effectively created an amalgamation of the two concepts. In so doing the Court has indirectly lowered to an unprecedented level the threshold for the responsibility of States for the acts of third parties, and has also contributed to the fragmentation of international law.
Secondly, in my view the evidence before the Court was not sufficient to discharge the high evidentiary burden that must be applied in this kind of sensitive case. Furthermore, the way in which the Court dealt with the admissibility and evaluation of the evidence was unacceptable and was an unfortunate case of the application of different standards in different cases. I find it hard to accept the majority’s selective approach regarding the resolutions of international organisations – accepting those favourable to the applicants and the third-party intervener, while completely ignoring those favourable to the respondent State.
I will set out my own views here on some of the significant issues in order to clarify the grounds for my dissent.
Issues of Statehood and Self-Determination of Peoples: Status of the NKR under International Law
1. The Court failed to touch even slightly upon the issue of the status of the NKR. This issue is of primary importance, in my opinion, given the different rules of attribution and different standards for engaging the responsibility of States that apply in cases of actions by non-State actors and groups, on the one hand, and States (whether recognised or unrecognised), on the other.
2. Thus, a State providing financial and any other form of assistance to another State would not be responsible for the acts of the latter, but only for the aid and assistance provided (Article 16 of the draft Articles of the International Law Commission (United Nations) on Responsibility of States for Internationally Wrongful Acts (“the ARS”), Report of the Commission to the General Assembly on the work of its fifty-third session, Yearbook of the International Law Commission (ILC), 2001, vol. 2, p. 26), unless of course it is proven that the latter State acted under the direction and control (ASR, Article 17) or under the coercion (ARS, Article 18) of the former, which is extremely hard to prove. According to the ILC, “the term ‘controls’ refers to cases of domination over the commission of” conduct, whereas the term “directs” does not imply “mere incitement or suggestion but rather connotes actual direction of an operative kind” (Commentaries to the ARS, Yearbook of the International Law Commission, 2001, vol. 2, p. 69).
3. Thus, if the NKR is a State, any aid and assistance provided to it by Armenia would not put the territories controlled by the NKR under the jurisdiction of Armenia, unless it is shown that the acts carried out by the NKR are dominated and are under the operative direction of Armenia.
4. It is important to differentiate between the present case and other situations previously examined by the Court, in order to show why the issue of status matters now whilst it did not really matter in earlier cases. Thus, in the situation concerning the so-called “Turkish Republic of Northern Cyprus” (the “TRNC”), there were United Nations Security Council Resolutions expressly “deploring” the declaration of independence of the “TRNC” and calling it “legally invalid”, and “condemning” the secession of the “TRNC” in general, and calling upon the international community to refrain from recognising it (Resolution 541 (1983), 18 November, 1983S/RES/541; Resolution 550 (1984), 11 May 1984, S/RES/550).
5. In the Cyprus cases there was simply no need to determine the status of the “TRNC”. The latter’s status had already been determined by the Security Council, which had qualified it as an illegal regime. The status of the “TRNC” could play no role in the determination of the responsibility of Turkey; it simply had no legal significance.
6. The situation here is completely different, however. The UN Security Council has never declared the Nagorno-Karabakh movement legally invalid. Furthermore, the mere fact that the peace process is ongoing also suggests that the issue of the status of the NKR has thus far remained open and remains a matter of political negotiation (see paragraph 29 of the present judgment).
7. Accordingly, the lack of international condemnation and invalidation of the NKR and its declaration of independence means that its international recognition as a State in the future is also a possible option. That said, an important issue here is the definition of statehood.
8. According to the classic formulation of statehood under the Montevideo Convention on the Rights and Duties of States, a State
“as a person of international law should possess ... a) a permanent population; b) a defined territory; c) government; and d) capacity to enter into relations with the other states” (Article 1, 26 December 1933, vol. 165, League of Nations Treaty Series 19).
9. That definition of statehood is widely accepted by international scholars (S. Rosenne, “The Perplexities of Modern International Law”, Collected Courses of the Hague Academy of International Law, vol. 291 (2001), p. 262; A.A.C. Trindade, “International Law for Humankind: Towards a New Jus Gentium”, Collected Courses of the Hague Academy of International Law, vol. 316 (2005), p. 205), by different international institutions (Report of the Working Group on Jurisdictional Immunities of States and their Property, Annex to the Report of the ILC on the work of its fifty-first session, A/54/10 (1999), p. 157) and even by courts (Deutsche Continental GasGesellschaft v. Polish State, [1929] ILR, vol. 5, p. 13). Furthermore, States have consistently and uniformly invoked these criteria when determining their policies of recognition (see, for example, Security Council official records, 383rd Meeting, 2 December 1948, S/PV.383).
10. Thus, the NKR possesses a government, a permanent population and is capable of entering into relations with other States, which is proven by the fact that the NKR does in fact have representations in a number of States. The NKR also controls territory; the central issue, however, is whether the NKR is entitled to all or at least part of that territory. And it is in this respect that the issue of self-determination becomes important.
Relevance of the right to self-determination of peoples
11. The Court’s determination for the NKR to be highly integrated with Armenia is effectively an intervention in the determination of the status and legal personality of the NKR, something that even the Security Council has abstained from doing.
12. Notably, and as indicated above, the declaration of independence by the NKR has never been criticised or invalidated by the Security Council, unlike similar declarations in Southern Rhodesia, northern Cyprus and the Republika Srpska.
13. In this respect, the interpretation by the International Court of Justice (ICJ) of the Security Council’s approach to certain declarations of independence, expressed in its Advisory Opinion on the Accordance with International Law of the Unilateral Declaration of Independence in Respect of Kosovo (“Kosovo Advisory Opinion”, ICJ Reports 2010, § 81), is of central relevance. In that opinion the ICJ indicated as follows.
“Several participants have invoked resolutions of the Security Council condemning particular declarations of independence: see, inter alia, Security Council resolutions 216 (1965) and 217 (1965), concerning Southern Rhodesia; Security Council resolution 541 (1983), concerning northern Cyprus; and Security Council resolution 787 (1992), concerning the Republika Srpska.
The Court notes, however, that in all of those instances the Security Council was making a determination as regards the concrete situation existing at the time that those declarations of independence were made; the illegality attached to the declarations of independence thus stemmed not from the unilateral character of these declarations as such, but from the fact that they were, or would have been, connected with the unlawful use of force or other egregious violations of norms of general international law, in particular those of a peremptory character (jus cogens). In the context of Kosovo, the Security Council has never taken this position. The exceptional character of the resolutions enumerated above appears to the Court to confirm that no general prohibition against unilateral declarations of independence may be inferred from the practice of the Security Council.”
14. Thus, those UN Security Council Resolutions examined by the ICJ were manifestations of the doctrine of collective non-recognition, that is situations where the Security Council calls upon the international community to refrain from recognising certain new entities as States, given that breaches of fundamental international obligations were involved during the process of their establishment (see, for example, J. Dugard and D. Raič, “The Role of Recognition in the Law and Practice of Secession”, in Secession: International Law Perspectives (M. G. Kohen ed., Cambridge, Cambridge University Press, 2006), pp. 100-01).
15. No such determination of illegality of conduct or call to the international community to refrain from recognition of the NKR was made in UN Security Council Resolutions 822, 853, 874 and 884 (1993), concerning the NKR conflict. Thus, the Security Council has left open the possibility for the NKR to become a full and legitimate member of the international community and to exercise its right to self-determination.
16. Despite that, and in stark contrast to the UN Security Council’s approach, the Court has now introduced qualifications that are, on the contrary, detrimental to the exercise of that right, and it thus fails to recognise that the creation of the NKR and its endurance was not only an expression of the will of the local population, but also done against the background of discriminatory policies of Azerbaijan.
17. In this respect the recent developments of the right to self-determination of peoples and the manifestation of that right, which has increasingly been labelled a right to “remedial secession”, are of primary importance.
18. The concept of “remedial secession” denotes the possibility for certain cohesive groups of people to secede from a State in cases of gross human rights violations and repression by the latter or of incapability of materialising their right to self-determination internally (C. Tomuschat, “Secession and Self-Determination”, in Secession: International Law Perspectives (M. G. Kohen ed., Cambridge, Cambridge University Press 2006), p. 23-45; A. Cassese, Self-Determination of Peoples: A Legal Reappraisal, Cambridge, Cambridge University Press, 1995, p. 120).
19. The concept is based on an a contrario reading of the “safeguard clause” of the Declaration on Principles of International Law concerning Friendly Relations and Co-operation among States in accordance with the Charter of the United Nations (General Assembly Resolution 2625 (XXV), 24 October 1970) (“the Friendly Relations Declaration”), which was described by the ICJ as being reflective of customary international law (Kosovo Advisory Opinion, cited above, § 80) and is widely accepted by prominent scholars to constitute an authoritative interpretation of the UN Charter (G. Arangio-Ruiz, The United Nations Declaration on Friendly Relations and the System of Sources of International Law, Aalphen an den Rijn, Sijthoff & Noordhoff, 1979, pp. 73-88, and I. Brownlie, Principles of Public International Law, 7th ed., New York, Oxford University Press, 2008, p. 581).
20. The Declaration states as follows:
“Nothing in the ... paragraphs [addressing the right of peoples to self-determination] shall be construed as authorizing or encouraging any action which would dismember or impair, totally or in part, the territorial integrity or political unity of sovereign and independent States conducting themselves in compliance with the principle of equal rights and self-determination of peoples ... and thus possessed of a government representing the whole people belonging to the territory without distinction as to race, creed or color.”
21. The same “safeguard clause” is also used in the Vienna Declaration and Programme of Action, adopted by the World Conference on Human Rights on 25 June 1993 (A/CONF.157/23, § 2). The “safeguard clause” suggests that in situations where States do not adhere to the conduct described in the second part of the clause, they do not merit protection of their territorial integrity (D. Murswiek, “The Issue of a Right of Secession – Reconsidered”, in Modern Law of Self-Determination (C. Tomuschat ed., Dodrecht, Martinus Nijhoff Publishers, 1993, pp. 21-39).
22. The understanding that violations of human rights create situations where a persecuted group becomes entitled to create its own statehood is further supported by a significant number of decisions of international and domestic institutions.
23. That right was implied in Kevin Mgwanga Gunme et al v. Cameroon (Communication No. 266/03 (2009), § 199) and in Katangese Peoples’ Congress v. Zaire (Communication No. 75/92 (1995)) of the African Commission on Human and Peoples’ Rights, which indicated that the obligation to “exercise a variant of self-determination that is compatible with the sovereignty and territorial integrity of Zaire” exists absent “concrete evidence of violations of human rights to the point that the territorial integrity of Zaire should be called to question” (Katangese Peoples’ Congress v. Zaire, cited above, § 6).
24. The same approach was also reflected in the concurring opinion of Judges Wildhaber and Ryssdal in Loizidou v. Turkey ((merits), 18 December 1996, Reports of Judgments and Decisions 1996VI) and in Reference re Secession of Quebec of the Supreme Court of Canada, which proposed that “when a people is blocked from the meaningful exercise of its right to self-determination internally, it is entitled, as a last resort, to exercise it by secession” ([1998] 2 SCR 217, § 134).
25. This right to remedial secession has further been acknowledged by many prominent scholars of international law, such as Thomas Franck (“Postmodern Tribalism and the Right to Secession”, in C. Brölmann et al. (ed.), Peoples and Minorities in International Law (Martinus Nijhoff Publishers 1993, pp. 13-14) or James Crawford (The Creation of States in International Law, (2nd ed., Oxford, Clarendon Press, 2006, p. 126).
26. The approach is also evident in the practice of States. Thus, only two years after the adoption of the Friendly Relations Declaration, forty-seven States had recognised the State of Bangladesh on account of the violence directed against the local population, despite the fact that Pakistan recognised it only in 1976. Today, 110 States recognise the State of Kosovo.
27. Thus, the right to remedial secession is now widely acknowledged in international instruments, judgments and decisions of international courts and institutions, the practice of States and the doctrine of international law.
28. Given the above, it must be noted that the anti-Armenian violence in Sumgait in February 1988, the persecution of Armenians in Baku in January 1990, the so-called “Operation Ring” in spring 1991, resulting in the emptying of more than twenty Armenian villages, were all events predating the declaration of independence of the NKR, which was simply a logical response. It is noteworthy that all these events have been recognised by independent human rights organisations, European Union and United Nations bodies (see, for example, Human Rights Watch, “Azerbaijan: Seven Years of Conflict in Nagorno-Karabakh” (Human Rights Watch, 1994), and Consideration of reports submitted by states parties under article 18 of the Convention on the Elimination of All Forms of Discrimination against Women: Armenia, Committee on the Elimination of Discrimination against Women (CEDAW/C/ARM/1/Corr.1, 11 February 1997).
29. The continuing policies of ethnic discrimination by Azerbaijan have also been recognised by the Committee on the Elimination of Racial Discrimination (Concluding Observation of the CERD: Azerbaijan, CERD/C/AZE/CO/4, 14 April 2005), by the European Commission against Racism and Intolerance of the Council of Europe in all three of its reports on Azerbaijan (adopted respectively on 28 June 2002, 15 December 2006 and 23 March 2011), as well as by the Council of Europe Advisory Committee on the Framework Convention for the Protection of National Minorities (Opinion on Azerbaijan, ACFC/INF/OP/I(2004)001 (22 May 2003), and Second Opinion on Azerbaijan, ACFC/OP/II(2007)007 (9 November 2007)).
30. The State-level propaganda of ethnic hatred towards Armenians is further confirmed by the continuing destruction of Armenian cultural heritage – of which the destruction of the Jugha necropolis was the most barbaric manifestation – and the glorification of the Azerbaijani officer who was convicted of murdering an Armenian colleague in Hungary in his sleep.
31. It is against this background that the issue of self-determination of the people of the NKR should be viewed, since the self-determination of the people of the NKR has been the sole means of ensuring their protection from those discriminatory policies, and it is this background that the Court has completely ignored when exercising its jurisdiction. This background is, notably, a human rights background and the Court, whose function is to protect human rights, has in fact produced a judgment that, as I have indicated above, is effectively detrimental to the exercise of the right to self-determination and therefore to the fundamental rights and freedoms of the people of the NKR.
Exhaustion of Domestic Remedies
32. An issue closely related to the question of the NKR’s international legal personality is the question of the exhaustion of domestic remedies. In dismissing the Government’s objection of non-exhaustion, the Court stated that it was not realistic that any possible remedy “in the unrecognised ‘NKR’ entity” could in practice afford displaced Azerbaijanis effective redress (see paragraph 119 of the present judgment). This approach conflicts with the established case-law.
33. It is noteworthy that in Demopoulos and Others v. Turkey ((dec.) [GC], nos. 46113/99 and 7 others, ECHR 2010), the Court acknowledged the fact that even de facto entities may have effective remedies, and that it was the particularities of the remedies at hand that made them ineffective. Thus, the Court found that there was no direct, or automatic, correlation between the issue of recognition of the self-proclaimed State and its purported assumption of sovereignty over northern Cyprus on an international plane and the application of Article 35 § 1 of the Convention (ibid., § 100). On the basis of the Court’s findings in Demopoulos and Others, it has to be noted that the fact that the sovereign status of Nagorno-Karabakh is not recognised by any State does not exempt the applicants from the duty to exhaust domestic remedies within the NKR.
34. There is absolutely no doubt that there is an established and working judiciary within Nagorno-Karabakh. However, the applicants had never made any attempt to lodge a claim before the courts of the NKR and had failed to provide any evidence that there were insurmountable obstacles to bringing proceedings in those courts. The fact that the applicants live outside the territory of the NKR provides no grounds for justifying their failure to pursue such remedies.
35. Borders, whether de facto or de jure, are not an obstacle to the exhaustion of domestic remedies. Thus, in Pad and Others v. Turkey ((dec.), no. 60167/00, § 69, 28 June 2007) concerning Iranian villagers shot in the border area by Turkish security forces, the Court upheld the Government’s objection on grounds of non-exhaustion of domestic remedies and noted that, given the applicants’ ability to instruct a lawyer in the United Kingdom, they could not claim that the judicial mechanism in Turkey – a foreign country – was physically and financially inaccessible to them. The fact that the applicants in the present case have successfully instructed English lawyers to act on their behalf shows that their abilities were not limited.
36. The sole obstacle to the applicants’ ability to exhaust the remedies available to them in the NKR has been created by their own government. Azerbaijan has announced its intention to “punish” people who visit the NKR without its permission by declaring them “persona non grata” and denying them further entry into Azerbaijan. Amongst those on the “black list” are members of parliament from the United Kingdom, Germany, France, Russia, as well as several other European countries, and others from as far away as Australia and Uruguay. This may be the reason why the applicants’ lawyers did not try to lodge a claim before the courts of the NKR.
37. The majority’s conclusion that the Government failed to discharge their burden of proving that there was an appropriate and effective remedy available to the applicants is the result of procedural deficiencies.
As can be seen from paragraphs 113 to 114 of the present judgment, the Government discharged their burden of proving that there was an effective remedy available to the applicants, but the President of the Court decided that the additional documentary material, including two judgments acknowledging the ownership rights of two displaced plaintiffs of Azeri ethnicity and delivered by the First Instance Court of the NKR, should not be included in the case file.
38. Absent any explicit provisions relating to the admissibility of evidence in the Convention, the Court, as a rule, takes a flexible approach, allowing itself an absolute discretion when it comes to the admissibility and evaluation of evidence. There are no procedural barriers to the admissibility of evidence, as the Grand Chamber of the Court reiterated in Nachova and Others v. Bulgaria ([GC], nos. 43577/98 and 43579/98, § 147, ECHR 2005VII). In some cases the Court has accepted new evidence even after the deliberations on the merits before the delivery of a judgment (see Vučković and Others v. Serbia (preliminary objection) [GC], nos. 17153/11 and 29 others, 25 March 2014, and W.A. v. France (dec.), no. 34420/07, 21 January 2014).
39. By a letter dated 7 June 2013, the Deputy Grand Chamber Registrar informed the Government Agent of the respondent State that the President of the Grand Chamber had decided to obtain the parties’ oral submissions. Moreover, the “Notes for the guidance of persons appearing at hearings before the Court” enclosed with the above-mentioned letter enabled the parties to rely on “any additional documentary material” with the only condition being that it “should be submitted at least three weeks before the hearing or be incorporated verbatim in their oral submissions”(emphasis added). Following the Registrar’s instruction on the possibilities of submitting evidence, the Government relied, in their oral submissions, on two judgments (incorporated verbatim) delivered by the NKR courts in favor of two Azeris.
40. Bearing in mind the Court’s established practice on the admissibility of evidence submitted before the Court, and taking into account the importance of the two above-mentioned judgments for the consideration of the present case and the fact that this evidence was submitted, at least orally, by the Government in due time, the refusal to receive crucial evidence on the grounds that the documents were submitted late is not convincing and gives the impression that the Court simply suppressed evidence which was inconvenient for its conclusions. I hope that this is the first and last time that the Court of Human Rights itself fails to guarantee that justice be seen to be done.
41. Given the above considerations, I cannot agree with the opinion of the majority of the Grand Chamber that the applicants were not required to exhaust domestic remedies.
Establishment of the facts
42. In the vast majority of cases the Court has been able to establish the facts from the documentary evidence before it. In view of the Convention requirement to exhaust domestic remedies prior to bringing an application before the Court, in most cases the significant facts are no longer in dispute following the decisions of the domestic courts. In exceptional situations, as in the present case, where the domestic authorities were unable to carry out a fact-finding function owing to the applicants’ failure to bring their claims before them, it falls to the Court to establish the circumstances of the case. It is evident that there were fundamental factual disputes between the parties in the present case, which could not be resolved by considering the submitted documents alone. The applicants submitted dozens of contradictory statements and evidence whose reliability can be considered only by means of investigatory measures. It is worth observing that the applicants made contradictory statements regarding the size of the land and homes in question and later submitted technical passports with substantially different figures.
43. Moreover, the fact of the existence of Armenian armed forces on the territory of the NKR cannot be substantiated by the Court on the basis of the hearsay evidence referred to by the applicants’ representatives and by dubious expert opinions. Fact-finding was therefore a precondition for, and an integral part of, any binding legal determination regarding the existence or non-existence of Armenian military control over the NKR. The only way for the Court to establish the facts of the case was therefore either to carry out a fact-finding mission, as in Loizidou (cited above) and Ilaşcu and Others v. Moldova and Russia ([GC], no. 48787/99, ECHR 2004VII) or hear evidence from witnesses and conduct an investigation, as in Georgia v. Russia (I) ([GC], no. 13255/07, ECHR 2014). Article 19 of the Convention obliges the Court “[t]o ensure the observance of the engagements undertaken by the High Contracting Parties”, which requires the comprehensive scrutiny of each application’s admissibility and merits. Where the facts cannot be established on the basis of the parties’ written submissions, the right of the Court to initiate a fact-finding mission turns into a legal obligation to do so in order to be in line with its obligations under the Convention.
44. A fact-finding mission was necessary not only for a decision regarding the admissibility of the case, but also for the consideration of the merits. The Court cannot come to any reasonable decision as to the size of the houses and the land allegedly owned by the applicants purely on the basis of the contradictory documents submitted by them. In particular, concerning Mr Chiragov’s alleged property, his representatives submitted that he used to have a house with a surface area of 250 sq. m. However, in the document submitted to prove the fact of his ownership of the house it is stated that his house had a surface area of 260 sq. m. On the other hand, in the technical passport relating to the house it is stated that the house had a surface area of 408 sq. m. The Court referred in this regard to Article 15 § 7 of the UN Principles on Housing and Property Restitution for Refugees and Displaced Persons (Commission on Human Rights, Sub-Commission on the Promotion and Protection of Human Rights, 28 June 2005, E/CN.4/Sub.2/2005/17, Annex, see paragraph 136 of the present judgment), which is not relevant because it concerns the non-existence of documentary evidence, whereas here we have conflicting documents concerning the same subject.
45. In this respect, in so far as the facts are concerned, the Court had no alternative but to go through the fact-finding procedure or take other investigative measures set out in Rule A1 of the Annex to the Rules of Court in administering proper and fair justice. Without carrying out one of these procedures the Court was not able to come to a definitive conclusion, at least in assessing the victim status of the applicants (admissibility criteria) and the merits of the case.
46. It is also strange, to say the least, that the Court has accepted the resolutions of some of the international organisations as fact, while completely ignoring others. In this respect it is important to note the “Report of the OSCE Fact-Finding Mission (FFM) to the Occupied Territories of Azerbaijan Surrounding Nagorno-Karabakh” which states very clearly that the “FFM found no evidence of the involvement of the Government of Armenia in the Lachin settlement”. The UN Security Council Resolutions which I am going to cite below are yet another group of documents which are important and which, although noted in the judgment, are ignored in the Court’s evaluation.
Jurisdiction and Attribution
47. Central to the present case is the question whether the applicants are to be regarded as being within the jurisdiction of Armenia for the purposes of Article 1 of the Convention. In my opinion, the previous jurisprudence of the Court on the issue of extraterritorial jurisdiction was in line with the generally accepted standards of responsibility of States for internationally wrongful acts as they have been codified by the ILC or applied and interpreted by the ICJ. The opinion expressed by the Court in the current case, however, is a new and – in my opinion – regrettable tendency.
48. The fundamental issue here lies in the method according to which the Court deems Armenia’s jurisdiction to be established. As the Court states in paragraph 169 of the present judgment, it is not referring to the agency exception, but to the “effective control over territory” exception. The Court indicates:
“Instead, the issue to be determined on the facts of the case is whether Armenia exercised and continues to exercise effective control over the mentioned territories and as a result may be held responsible for the alleged violations.”
49. The crux of the judgment on the issue of jurisdiction is in paragraph 180, where the Court states as follows:
“[B]ased on the numerous reports and statements presented above, it finds it established that the Republic of Armenia, through its military presence and the provision of military equipment and expertise, has been significantly involved in the Nagorno-Karabakh conflict from an early date. This military support has been – and continues to be – decisive for the conquest of and continued control over the territories in issue, and the evidence, not least the [1994 military cooperation] Agreement, convincingly shows that the Armenian armed forces and the ‘NKR’ are highly integrated.”
Thus, according to the majority, this case – like Catan and Others v. the Republic of Moldova and Russia ([GC], nos. 43370/04 and 2 others, ECHR 2012) – is a situation where the extraterritorial exercise of jurisdiction is based on the “effective control of an area” exception. How it is different, however, from other previous cases examined by the Court is that this control is allegedly exercised through “a subordinate local administration” (as I will indicate below, in the Cyprus cases such control was established on the basis of the direct involvement of the military forces of Turkey and not through “a subordinate local administration”).
50. The fundamental problem lies in the Court’s failure to distinguish situations where the control over the territory is established through “a subordinate local administration” from situations where control is established through “the Contracting State’s own armed forces”. And this is not simply a difference in fact; it is a difference in law, since both situations are concerned with different rules of attribution.
In Catan and Others (cited above), the Court claimed that it did not deal with attribution at all, indicating that “the test for establishing the existence of ‘jurisdiction’ under Article 1 of the Convention has never been equated with the test for establishing a State’s responsibility for an internationally wrongful act under international law” (ibid., § 115, and Jaloud v. the Netherlands ([GC], no. 47708/08, § 154, ECHR 2014)). This, in my opinion, is a fatal oversimplification and the primary reason why the Court has come to the conclusion that Armenia is responsible for the events that have occurred in the territory of Lachin.
51. This oversimplification is also the primary reason why I cannot agree with the Court. I will try to explain exactly why below.
Jurisdiction cannot be established without attribution of conduct
52. In my opinion, the very concept of a “subordinate local administration” implies that the rules of attribution are necessarily involved (see, for example, A. Cassese, “The Nicaragua and Tadić Tests Revisited in Light of the ICJ Judgment on Genocide in Bosnia”, European Journal of International Law, vol. 18, no. 4, (2007), p. 658, footnote 17).
53. Control over a territory by a local administration, no matter how effective or obvious such control is, can have no consequences for the responsibility of a Contracting State unless the acts of that local administration are attributable to that State or – in the language applied by the Court – if that local administration is “subordinated” to the State. Absent such attribution (or “subordination”), there is no control over the territory by the State and thus its jurisdiction cannot be established and, therefore, its responsibility cannot be involved.
54. In fact, attribution is also involved where control is exercised through “the Contracting State’s own armed forces”. The difference is only in the rule of attribution involved.
These rules of attribution are – of course – to be found in the ARS, which have been favoured by General Assembly Resolution 56/83, 28 January 2002, A/56/589) and have been widely accepted as reflecting customary law on the matter. In particular, the ARS have also been referred to by the Court in a number of cases (see, inter alia, Blečić v. Croatia [GC], no. 59532/00, § 48, ECHR 2006III, and Ilaşcu and Others (cited above), §§ 319-21).
55. Thus, where control over a territory is exercised through “the Contracting State’s own armed forces”, the rule involved is the attribution of “Conduct of organs of a State” (Article 4 of the ARS), whereas where control over a territory is exercised through “a subordinate local administration”, the rule involved is the attribution of “Conduct directed or controlled by a State” (Article 8 of the ARS).
56. Accordingly, attribution is always involved. The difference is that attribution of the conduct of armed forces of a State to that State is intrinsically implied, whereas attribution of acts of a local administration has to be proven and the threshold of the control required for such attribution has to be determined (given the ongoing debate on the matter in the doctrine of international law).
57. Thus, it would not be redundant to emphasise once again that the concept of “effective overall control” used by the Court in the Cyprus cases is a jurisdictional test and qualifies the level of control exerted by the State over territories outside its recognised borders, whereas the notions of “effective control” or “overall control” are attribution tests and refer to the State’s control over individuals, groups or entities (see, for example, M. Milanović, “State Responsibility for Genocide”, European Journal of International Law, vol. 17, no. 3 (2006), p. 586).
58. The equation of the two concepts is also unacceptable and is an attempt to show the need to prove one factor rather than two.
It would be relevant to state here once again that, despite the special character of the European Convention on Human Rights as a human rights treaty (see, inter alia, McElhinney v. Ireland [GC], no. 31253/96, § 36, 21 November 2001), the Court has indicated on a number of occasions that “the principles underlying the Convention cannot be interpreted and applied in a vacuum” and that the Court “must also take into account any relevant rules of international law when examining questions concerning its jurisdiction and, consequently, determine State responsibility in conformity and harmony with the governing principles of international law of which it forms part ...” (see Behrami and Behrami v. France and Saramati v. France, Germany and Norway (dec.) [GC], nos. 71412/01 and 78166/01, § 122, 2 May 2007, emphasis added, and Banković and Others v. Belgium and Others (dec.) [GC], no. 52207/99, § 57, ECHR 2001-XII).
59. Bearing that in mind, the approach applied by the Court in the present case is nothing but circumventing and turning a blind eye to the rules of general international law. This approach effectively results in the confusion and fusion of the notions of jurisdiction and attribution and the creation of a standard of responsibility which is unprecedented in the practice of international courts and tribunals and is exactly what the Court warned against earlier: the application of the Convention in a vacuum.
Earlier case-law of the Court is implicitly consistent with the differentiated application of rules of attribution and jurisdiction
60. As indicated above, the Court’s previous case-law on the issue of extraterritorial jurisdiction was, in my opinion, in line with the generally accepted standards of responsibility of States for internationally wrongful acts as they have been codified by the ILC or applied and interpreted by the ICJ. Therefore, no support can be found for the Court’s current position in that jurisprudence.
Starting with the Cyprus cases, despite the fact that the Court has indicated on a number of occasions that a State’s effective overall control over a territory can be established through a subordinate local administration, until quite recently the Court had not had a clear-cut case where control could be established through such administration alone, and the Cyprus cases are not an exception. Indeed, in all cases examined by the Court, except for Catan and Others (cited above), the Contracting State was directly involved either on account of its significant military presence (see Loizidou, cited above, § 56, and Cyprus v. Turkey [GC], no. 25781/94, § 77, ECHR 2001IV) or through its direct involvement in the violations in issue (which is already a case of the “State agent authority” exception).
In this regard the Cyprus cases stand as an important guideline. It is true that in both Loizidou and Cyprus v. Turkey the Court indicated that “effective overall control over a territory” could be exercised through a subordinate local administration (see Loizidou v. Turkey (preliminary objections), 23 March 1995, § 62, Series A no. 310, and Loizidou (merits), cited above, § 52). However, eventually such control was, in fact, established not on account of the control of the territory by the “TRNC”, but on account of the significant military presence of Turkey in northern Cyprus and their direct involvement in both the occupation of northern Cyprus and in preventing the applicant from gaining access to her property (see Loizidou (preliminary objections), cited above, § 63). The Court found as follows in Loizidou (merits), cited above, § 56:
“It is obvious from the large number of [Turkey’s] troops engaged in active duties in northern Cyprus ... that her army exercises effective overall control over that part of the island.”
The Court then proceeded to conclude that Turkey’s responsibility for the acts of the “TRNC” was engaged, but that it was not the level of control over the “TRNC” that was decisive but the fact of direct control over the territory itself.
61. This means that the degree of control exercised over the subordinate local administration was not really important for the Court, since, irrespective of the degree of control over the “TRNC” itself, the fact that Turkey had direct control over the island through its own forces would engage Turkey’s positive and negative human rights obligations.
62. Thus, the relevant rule of the ARS applicable in these cases is the attribution of the “Conduct of organs of a State” (Article 4).
“1. The conduct of any State organ shall be considered an act of that State under international law, whether the organ exercises legislative, executive, judicial or any other functions, whatever position it holds in the organization of the State, and whatever its character as an organ of the central Government or of a territorial unit of the State.
2. An organ includes any person or entity which has that status in accordance with the internal law of the State.”
Thus, the presence of the Turkish forces, whose conduct is obviously attributable to Turkey, was the means of establishing control over the territory.
63. As the Court indicated in Cyprus v. Turkey (cited above, § 77):
“Having effective overall control over northern Cyprus, [Turkey’s] responsibility cannot be confined to the acts of its own soldiers or officials in northern Cyprus but must also be engaged by virtue of the acts of the local administration ...”
Thus, that control was over the territory of northern Cyprus (a matter of jurisdiction) and not over the “TRNC” (a matter of attribution) and in that respect, whether that local administration survives through Turkey’s support or not, or what degree of control Turkey exercises over that administration are secondary issues, it is Turkey’s direct control over the territory that matters (and therefore the claim of the third-party intervener that these cases support the “overall control” test of attribution is without merit).
64. Thus, the Cyprus cases do not in fact provide a conclusive rationale for establishing a State’s indirect control over a territory through a subordinate administration either, since in those cases the subordinate local administration was not in fact the means of establishing effective overall control over the territory; the Turkish army was.
65. During the hearings, both the applicants’ representatives and the representatives of the third-party intervener referred to the Court’s judgment in Ilaşcu and Others (cited above) as an example of State control exercised over a subordinate local administration.
66. I believe, however, that Ilaşcu and Others was not a case of effective overall control over a territory – either directly or indirectly – but a case of a State agent authority exception and therefore completely distinguishable and irrelevant.
67. Nowhere in the Court’s analysis in Ilaşcu and Others of Russia’s extraterritorial exercise of jurisdiction (§§ 379-94) can terms such as “effective overall control over a territory”, “puppet State” or “subordinate local administration” be found; these terms are used only in the Court’s general description of situations where a State’s extraterritorial jurisdiction can be established (examination of the law on the question of extraterritorial jurisdiction), and not where the Court applies the law to the facts of the case.
68. Thus, the Court’s reasoning was based on a causal connection between the acts of the Russian forces and the applicants’ subsequent deprivation of liberty by the local administration. Although it did receive some political and military support from the Russian Federation, that support was not the decisive factor in determining Russia’s responsibility.
69. If Russia’s support to the Transdniestrian authorities had in itself sufficed to qualify the latter as a “subordinate local administration” through which Russia exercised effective overall control over the territory, there would have been absolutely no need to establish the direct involvement of the Russian forces in the arrest and subsequent treatment of the applicants in that case, since, as the Court has explained, the effective overall control over a territory engages the State’s responsibility for all events occurring on that territory irrespective of the State’s direct involvement, given that the controlling State has the responsibility under Article 1 to secure, within the area under its control, the entire range of substantive rights set out in the Convention and those additional Protocols which it has ratified. It will be liable for any violations of those rights (see Ilaşcu and Others, cited above, § 316, and Cyprus v. Turkey, cited above, § 77).
70. Thus, the Court did not indicate in Ilaşcu and Others that all the acts of the Transdniestrian authorities were attributable to the Russian Federation, but only that, on account of the support provided to those authorities, “the Russian Federation’s responsibility [was] engaged in respect of the unlawful acts committed by the Transdniestrian separatists, regard being had to the military and political support it gave them to help them set up the separatist regime and the participation of its military personnel in the fighting” (ibid., § 382, emphasis added).
71. In terms of public international law, this is not an attribution of acts of the Transdniestrian authorities to the Russian Federation as such (which is tantamount to qualifying the Moldovan Republic of Transdniestria as a “puppet State”), but the establishment of a State’s responsibility for aiding and assisting another entity. Thus, Article 16 of the ARS on Responsibility of States for Internationally Wrongful Acts provides for the responsibility of States for “[a]id or assistance in the commission of an internationally wrongful act”. It stipulates as follows.
“A State which aids or assists another State in the commission of an internationally wrongful act by the latter is internationally responsible for doing so if:
(a) that State does so with knowledge of the circumstances of the internationally wrongful act; and
(b) the act would be internationally wrongful if committed by that State.”
72. Such responsibility cannot, however, be established in abstracto, but must be related to each and every specific act or violation in question, hence the requirement of Article 16 (a) that the aiding and assisting State must have “knowledge of the circumstances of the internationally wrongful act”. And the Court was obviously following that line of reasoning when it established the direct involvement of the Russian authorities in the detention of the applicants and emphasised their knowledge of the subsequent events in issue that took place after the applicants were handed over to the Transdniestrian authorities (ibid., § 384, emphasis added):
“... the events which gave rise to the responsibility of the Russian Federation must be considered to include not only the acts in which the agents of that State participated, like the applicants’ arrest and detention, but also their transfer into the hands of the Transdniestrian police and regime, and the subsequent ill-treatment inflicted on them by those police, since in acting in that way the agents of the Russian Federation were fully aware that they were handing them over to an illegal and unconstitutional regime.
In addition, regard being had to the acts the applicants were accused of, the agents of the Russian Government knew, or at least should have known, the fate which awaited them.”
73. Thus, the Court did not conclude that the acts of the Transdniestrian authorities were attributable to the Russian Federation, which would be the logical consequence should those authorities be regarded as a “puppet State”, but only that the responsibility of the Russian Federation was engaged in relation to the specific acts, which is a language peculiar to the State’s responsibility for aiding and assisting (ibid., § 385):
“In the Court’s opinion, all of the acts committed by Russian soldiers with regard to the applicants, including their transfer into the charge of the separatist regime, in the context of the Russian authorities’ collaboration with that illegal regime, are capable of engaging responsibility for the acts of that regime.”
74. Thus, it is the accumulation of Russia’s collaboration with the Transdniestrian authorities (not control thereof), knowledge of the fate of the victims and the direct involvement of the agents of the Russian Federation in the events in issue that together engaged the responsibility of the latter. These elements are completely in line with the above-mentioned rule of State responsibility for aiding and assisting the commission of illegal acts.
75. Another important element here is the causal link between the acts of the agents of the Russian Federation and the subsequent treatment of the victims.
76. This was not defined by the Court for the first time in Ilaşcu and Others (cited above), however, but in the earlier case of Soering v. the United Kingdom, from which the language in Ilaşcu and Others came (see Soering v. the United Kingdom, 7 July 1989, § 88, Series A no. 161):
“The question remains whether the extradition of a fugitive to another State where he would be subjected or be likely to be subjected to torture or to inhuman or degrading treatment or punishment would itself engage the responsibility of a Contracting State ... It would hardly be compatible with the underlying values of the Convention that the ‘common heritage of political traditions, ideals, freedom and the rule of law’ to which the Preamble refers, were a Contracting State knowingly to surrender a fugitive to another State where there were substantial grounds for believing that he would be in danger of being subjected to torture, however heinous the crime allegedly committed.”
77. The above wording used in Soering (cited above) clearly and manifestly shows that the mere fact that the responsibility of a State is engaged through certain acts has nothing to do with attribution. The contrary argument would bring us to the preposterous conclusion that the potential acts of the authorities of the United States of America were attributable to the United Kingdom. Thus, in Soering, too, we were in fact dealing with the responsibility for aiding and assisting.
78. In Ilaşcu and Others (cited above), Russia’s responsibility was established on account of the cumulative combination of several factors: (1) direct involvement of Russian troops in the detention of the applicants, (2) the handing over of the applicants by the Russian troops to the Transdniestrian authorities and their knowledge of the fate of the applicants, and (3) support provided by the Russian authorities to Transdniestria. Therefore, in Ilaşcu and Others the responsibility of the State was established on account of its aid and assistance to the group perpetrating the illegal acts, while the threshold criterion of extraterritorial exercise of jurisdiction was established through the agency exception and by no means through the “effective overall control over a territory” exception, which is clear from the Court’s reliance on the causality between the acts of the Russian troops and the subsequent treatment and deprivation of liberty to which the applicants were subjected.
79. Therefore, Ilaşcu and Others, too, provides no support for the position of the Court expressed in the instant case, which is totally distinguishable. Absent any direct proof of the involvement of the Armenian forces in the deprivation of the applicants of their property or proof of huge numbers of those forces directly controlling the territories in issue, the only way of proving Armenia’s extraterritorial exercise of jurisdiction is to prove the subordination of the NKR to Armenia, whereupon the NKR must be the means of establishing the control over the territory.
80. At first sight a deviation from the said approach can be observed in Catan and Others (cited above). In that judgment, the Court indicated that the case had nothing to do with attribution at all (§ 115). However, the Court then went on to conclude that “the ‘MRT’’s [‘Moldovan Republic of Transdniestra’] high level of dependency on Russian support provides a strong indication that Russia exercised effective control and decisive influence over the ‘MRT’ administration during the period of the schools’ crisis” (ibid. § 122). Thus, unlike the wording used in the Cyprus cases, this is not control over the territory (jurisdiction), but control over an entity.
81. However, at the time Catan and Others (cited above) was being deliberated, the Court had already examined Ilaşcu and Others (cited above). Thus, the findings of the Court can to a certain extent be explained by the inclination of the Court to apply the same standards for the protection of all human rights in the same geopolitical situation.
The standard of attribution to be applied
82. Having thus indicated that the issue of attribution is indispensable to the determination of the exercise of extraterritorial jurisdiction through a subordinate local administration, the next question to be answered is the standard of attribution to be applied, that is, the standard of attribution which must be used in order to determine whether the local administration is in fact subordinate or not, or in other words whether the local administration can be qualified as a de facto body of the respondent State.
83. When determining this standard, we must bear in mind that it is part of the general international law on State responsibility and therefore needs to be found in the practice of States. Another matter of which heed must be taken when determining that standard is the obligation of any international tribunal to avoid contributing to the fragmentation of international law, or rather a particular type of that phenomenon, where the same international legal concepts are interpreted in a different manner by different fora.
84. As the ILC has indicated in its report on fragmentation, there is a strong presumption against normative conflict in international law. The ILC has further specified that “[d]iffering views about the content of general law ... diminish legal security” and “put legal subjects in an unequal position vis-à-vis each other”, given that “[t]he rights they enjoy depend on which jurisdiction is seized to enforce them” (“Fragmentation of international law: difficulties arising from the diversification and expansion of international law”, A/CN.4/L.682, § 52).
85. That said, the uniformity of interpretation and application of general international law by different courts and other institutions stands as a prerequisite of international justice and legal order. Thus, bearing this consideration in mind, regard must also be had to the practice of other international institutions.
86. The general rule is described under the ARS, namely in Article 8 (“Conduct directed or controlled by a State”), which provides as follows:
“The conduct of a person or group of persons shall be considered an act of a State under international law if the person or group of persons is, in fact, acting on the instructions of, or under the direction or control of, that State in carrying out the conduct.”
87. The pertinent question is therefore what kind of control must be exerted by a State in order to result in the attribution to it of the acts of persons or of a group of persons (or indeed of an entity having all the features of a State).
88. According to the ICJ’s reasoning in the Military and Paramilitary Activities in and against Nicaragua (Nicaragua v. the United States of America) (Merits) Judgment, ICJ Reports 1986, § 115 (emphasis added),
“[participation of a State], even if preponderant or decisive, in the financing, organizing, training, supplying and equipping [the non-state-actors] ... and the planning of the whole of its operation, is still insufficient in itself, ... for the purpose of attribut[ion] ... [E]ven the general control by the ... State over a force with a high degree of dependency on it would not in themselves mean, without further evidence, that the [State] direct[s] or enforce[s] the ... acts ... For this conduct to give rise to legal responsibility of the [State], it would in principle have to be proved that that State had effective control of the military or paramilitary operations in the course of which the alleged violations were committed.”
89. It is noteworthy that the ICJ has never deviated from the “effective control” rule, applying it consistently in all similar cases. Thus, in Armed Activities on the Territory of the Congo (Democratic Republic of the Congo v. Uganda), Judgment, ICJ Reports 2005, § 160, the ICJ did not attribute the acts of the so-called Congo Liberation Movement (MLC) to Uganda, despite the established fact of Uganda’s financial support and training provided to the former, the decisive factor being that the MLC was not created by Uganda and that Uganda did not control the manner in which the assistance provided was being put to use.
90. In its most recent case relevant to the subject matter, the Application of the Convention on the Prevention and Punishment of the Crime of Genocide (Bosnia and Herzegovina v. Serbia and Montenegro), Judgment, ICJ Reports 2007, §§ 410-11, the ICJ yet again confirmed its approach, denying the attribution of acts of the Republika Srpska to Serbia and Montenegro, despite the military, financial and logistical support provided by Serbia to the former, the active exchange of military personnel between the two entities, which was far greater than any support provided by Armenia to the NKR, and despite the fact that many of the high-ranking military officials in the Republika Srpska maintained simultaneous positions in Serbia and actually retired in Serbia, and despite the fact that, unlike in the Nicaragua and Congo cases, the forces of the Republika Srpska were in fact created by Serbia (see, for example, M. Milanović, “State Responsibility for Genocide”, cited above, p. 598). In paragraph 400 of Bosnia and Herzegovina v. Serbia and Montenegro, the ICJ noted as follows:
“It must however be shown that this ‘effective control’ was exercised, or that the State’s instructions were given, in respect of each operation in which the alleged violations occurred, not generally in respect of the overall actions taken by the persons or groups of persons having committed the violations.”
91. Thus, the practice of the ICJ – the primary judicial body dealing with the responsibility of States – in the area is absolutely consistent. However, an alternative claim has been raised by the third-party intervener that “overall control is sufficient”, and that issue must therefore also be addressed here.