Sunday, July 6, 2025

Gujarat, Anticipatory Bail, and Police Custody: A Peculiar Practice

Almost a year ago now, on 07.08.2024 the Supreme Court delivered its judgment in a contempt petition titled Tusharbhai Shah v. Kamal Dayani [2024 INSC 588 ("Tusharbhai")]. The only reason to cover the judgment is because it offered a window into a highly peculiar practice, and in turn offered a timely lesson about the sheer degree of variety in how criminal law works across India. A lesson which, sadly, falls on deaf ears more often than not.  

After giving a brief about why Tusharbhai Rajnikantbhai Shah went to the Supreme Court, the post takes a brief detour to give a quick explainer about how anticipatory bail works in India, since that is the heart of the case. I then go into the peculiar practice of enforcing anticipatory bail in Gujarat which the Supreme Court was confronted by in Tusharbhai — a practice which the Court has declared was contrary to law. I did not find any other jurisdiction as having imported this condition of permitting remand while dealing with anticipatory bail. It would be interesting to examine whether having this condition made courts in Gujarat more hesitant in granting anticipatory bail or made them more liberal.  

The Facts in Tusharbhai 

A commercial dispute about the sale of property led to registration of a criminal case against Tusharbhai Rajnikantbhai Shah. He sought anticipatory bail fearing his arrest but his plea was rejected by both the Sessions Court and the High Court of Gujarat. This led to his first petition before the Supreme Court, and he finally got some reprieve as the Court gave him interim protection of being released on anticipatory bail if arrested till his petition was finally decided, so long as he cooperated with the investigation.

Shah went to the police to offer his cooperation. He was formally arrested and released on bail in line with the Supreme Court's orders, and directed to come again. On his second visit to the police station, he was given a notice to appear before the concerned local court on 13.12.2023 "for the matter of remand". On this day, police filed an application before the court asking to take Tusharbhai Shah into police custody for seven days. The magistrate was seemingly shown the Supreme Court's order granting Shah his temporary reprieve. It would seem that the magistrate did not think this reprieve came in the way of granting custody of Shah to the police, and directed him to be sent to police custody for three days. Shah was confined in police custody and, according to him, was tortured. When the three days ended, he was brought before the court, and now was granted regular bail by the court. Shah filed a detailed complaint later on about the ill-treatment he faced in custody which the court did not entertain.

All this took place in the shadow of the Supreme Court petition that Shah filed, which was still pending. With good reason, he perceived the acts of the police and the judge to be in contempt of the Supreme Court's orders. Shah now filed his second petition before the Supreme Court, for contempt. What interests me here is not the allegations about police torture and how that was first handled by the trial court and later the Supreme Court in the contempt, but the police having asked for his custody in spite of granting him anticipatory bail and the magistrate not only being fine with the request but granting it. To understand  these aspects, we need to deal a little bit with anticipatory bail. Readers familiar with the concept can skip the next part.

The Mechanics of Anticipatory Bail 

The blog has covered anticipatory bail on many an occasion and a brief recap would do. Normally, 'bail' as a concept refers to being released from actual custody. 'Anticipatory Bail' by contrast refers to a remedy in which a person can apply for bail in anticipation of being arrested and taken into custody. A person must demonstrate a reasonable apprehension of arrest in a case where she does not have a right to bail (termed a 'non-bailable' offence), and show that permitting the arrest and custody will be unjust. If a court agrees, it can pass a directive to police that, in the event of arresting the person, he must be released on bail. 

Any bail, whether regular bail which is sought after arrest, or a direction for anticipatory bail sought prior to arrest, means a release from custody that continues till a court permits the re-taking of a person into the custody of law by cancelling bail (or a superior court finding that the bail order was perverse). Normally, bail is granted on the promise of fulfilling various conditions, the most important of which is continued participation with the legal process. If an accused fails to do so, or meet any other condition, then bail can be cancelled. But without this cancellation, you can't send the accused into custody even while you are on bail. These concepts do not overlap.       

Explaining the Gujarat Model of Anticipatory Bail 

Well, it would seem they did overlap in Gujarat, which is why the police had no qualms in seeking police custody of Tusharbhai Shah, and the magistrate no qualms in granting it, even though he had been granted bail and no cancellation of his bail was sought. In the hearing before the Supreme Court, lawyers for many of the contemnors confirmed this: In Gujarat, they said, it was a "long prevailing practice" for courts to grant anticipatory bail with an express stipulation that at any point of time the police can make a request for custody of an accused where felt necessary for an investigation. They cited a 2014 decision of that High Court in support of their claim. In this case as well, police claimed non-cooperation by Tusharbhai Shah, and the magistrate upon reviewing the record agreed and decided it was a fit case for custody.

The explanation did not cut it for the Supreme Court as a justification for the conduct of the police officer and the magistrate in question in the facts and circumstances of this case because the Supreme Court's order never had any such stipulation permitting custody in the first place. It also specifically held that this "long prevailing practice" of Gujarat was contrary to law and condemned it. But in doing so, the Court did not go into the practice much, which is precisely what piqued my curiosity when I read about it.

Was this claim of a long standing practice true? Absolutely. And it has a fascinating history that goes much further back than 2014. The practice appears to have been birthed in the first few years of anticipatory bail. At this juncture court were, to put it mildly, extremely reticent about this concept and worried deeply about its negative impact on a successful police probe. The broad ambit of the provision invited courts to invent guidelines to prevent misuse, and one saw different High Courts come up with ideas for controlling arbitrary judicial discretion. The Gujarat High Court made such an attempt in Somabhai Patel (1976) where the Court laid down 12 guidelines for courts to exercise anticipatory bail. One of these guidelines was that:

The power cannot be allowed to be invoked in order to defeat, thwart, stall, or render impotent, the provisions relating to remand to police custody for the purposes of facilitating investigation. It may, therefore, be specified in the order that the accused is to be released on anticipatory bail provided he is not required to be remanded to police custody and that if he is so required the police officer would be at liberty to obtain suitable orders from the Court in that behalf either before the arrest or within a reasonable time of the arrest. [Emphasis supplied]

Now, a trend of High Courts placing restrictive covenants upon exercise of judicial discretion for grant of anticipatory bail was stopped in its tracks by the Supreme Court in Gurbaksh Sibbia (1980). But as I have argued earlier, the inherent tension between liberal grant of anticipatory bail and its negative impact on the police investigation was never quite resolved. So it would seem that at least this guideline of Somabhai Patel continued to be followed. I came across one such order in Pankaj D. Suthar v. State (1991) where the High Court granted anticipatory bail in an atrocities act case on a condition that the accused report to the police to cooperate with the probe and "thereafter also for the purposes of being taken on remand in the event of necessities so felt by the Investigating Officer, which the learned magistrate shall decided the same on merits without being influenced by the fact that the petitioner is ordered to be released on an anticipatory bail by this Court on usual terms and conditions." (Interesting aside: Justice J.B. Pardiwala appears to have been the counsel appearing for the petitioner).

In the 2000s, this condition was fully part of the system, so much so that you can find lawyer's suggesting it as a means to convince a court to grant anticipatory bail in an otherwise unfavourable case. For instance, the counsel for the petitioner in Yazdi Icchaporia (2003) the lawyer suggested that stringent conditions may be imposed while granting bail including "specific condition giving liberty to the prosecution to move remand application in the event of grant of anticipatory bail" (the petition failed regardless). The same submission, with the same result, was made in Jitendra Rajgor (2004). An example of just how entrenched a view it was that custodial remand was permissible for persons on anticipatory bail can be seen in Pragnesh H. Parikh (2007) where when the magistrate denied a remand request for an accused who was on anticipatory bail, the sessions judge set aside this observation in a revision petition stating there was no such bar on seeking custody. Where anticipatory bail was being granted, especially in financial crimes, the bail order would carry a standard stipulation at the end — "it would be open to the investigating officer to file an application for remand if he considers it proper and just"

The first ripples in this otherwise placid pond of the Gujarat Model of anticipatory bail were seen after the Supreme Court's decision in Mhetre (2010). This judgment emphasised that there was no difference in the effect of an order for bail and anticipatory bail, and also deprecated a practice of passing anticipatory bail orders of a limited duration of time. As one can see, treating anticipatory bail and bail as different was the crux of how Gujarat was enforcing anticipatory bail. This was the logical justification for conditions where the life of anticipatory bail orders was restricted, and the remand condition imposed. 

A petitioner naturally challenged such conditions soon thereafter, and in Jashuben (2011) the Court had to decide the issue. It held that a limited time period for an anticipatory bail was clearly contrary to how the Supreme Court had explained the law, and the condition could not continue. But for the other condition about remand, the Court upheld the condition and gave insight into why the approach had come to be so popular:

Uptil now, under the order of anticipatory bail, an accused would be, immediately, upon his arrest, released on bail. For the purpose of seeking remand, during such a period, he would be treated as if in custody, but, under the protective umbrella of the Court, under an order of anticipatory bail. Right of the prosecution to seek remand of an accused, who has been granted anticipatory bail, deletion of the said condition, without any substitution would create serious complication. In a given case, when the prosecution is desirous of seeking police remand, question would arise whether the anticipatory bail order should be granted and if it is required to be granted on merits, what would be the position of the remand application, which the prosecution may file, later on. Obviously, if an order of anticipatory bail is granted, the accused immediately upon his arrest shall have to be released on bail. As long as he remains on bail, the prosecution cannot seek his remand. The prosecution, therefore, shall have to seek cancellation of the bail, before it can apply for remand. This situation would create two complications. Firstly, parameters for cancellation of bail are entirely different from those, for granting or refusing bail. Secondly, any such application by the police seeking cancellation of bail, may consume considerable time during which period the evidence may be destroyed or lost. [Emphasis supplied]

The High Court lays bare for us the tension between too wide an ambit for anticipatory bail and successful police investigations, which continue to remain hinged upon securing custodial interrogations as the ideal form of cooperation. Legitimising a cumbersome process — of seeking cancellation — before police can go seek remand would tilt the system too far in favour of the accused. Permitting police to seek remand struck a balance because it effectively required a judge to decide the question, safeguarding liberty against the threat of immediate arrest. 

Another challenge to this long prevailing practice came in 2014. This time, the Single Judge referred the issue to a Division Bench, as he did not agree with the conclusions in Jashuben. It would appear that this Division Bench did not explicitly overrule the practice either, which continued to flourish till 2024.

Conclusion: A Complicated Set of Lessons from History

The Supreme Court has now declared a practice of permitting police remands for persons who are granted anticipatory bail as being contrary to law. From past experience, it is fair to expect some time before this decades-long practice is finally uprooted, and the message from on high to trickle down to the remotest districts in Gujarat. 

In declaring the practice as contrary to law, the Supreme Court emphasised the idea of personal liberty and held that allowing the police to seek remands in this fashion rendered anticipatory bail nugatory. But as we saw with a deeper scrutiny of the Gujarat approach, the condition imposed was not to render anticipatory bail nugatory but strike a balance between liberty and effective investigations, which remains the heart of anticipatory bail jurisprudence since the topic entered the lexicon. If anything, we saw that lawyers were actively batting in favour of this condition as a means to get anticipatory bail in otherwise difficult cases. 

One wonders whether the outright removal of this condition will make courts in Gujarat more reticent in giving anticipatory bail in those cases where, previously, this condition may have convinced them that the grant of relief will not hamper an effective investigation. I suspect that it may well prove to make courts a bit more hesitant, initially at least, and end up with a situation where the Supreme Court's avowedly pro liberty intervention ends up actively having a negative impact for personal libery. The entire episode is a reminder that the lessons from history are not as simple as we might think.

Saturday, June 28, 2025

Guest Post: The Penetration Paradigm and Inadequacies in India's Non-Penetrative Sexual Offence Law

(This is a guest post by Khushi Agarwal)

In India, sexual offences against women are broadly categorised into penetrative and non-penetrative acts. The former comes under the purview of Section 63 of the Bharatiya Nyaya Sanhita 2023 (“BNS”) dealing with rape whereas all other non-penetrative sexual acts are mostly brought under Section 74 dealing with indecent assault. Such binary classification often results in acts preceding penetration being prosecuted under Section 74 and are rarely categorised as an attempt to rape. The legal distinction between these provisions creates a disparity in the quantum of punishment awarded and calls for a deeper examination of the relevance of the penetration standard which distinguishes the two. By centring the definition of rape around penetration, does the BNS sufficiently address the gravity of other sexual offences which are non-penetrative in nature in terms of punishment? Can sexual activity be interpreted solely through the lens of penetration?

This post attempts to answer the questions posed above. To that end, I argue that the penetration standard is phallocentric in nature due to which it is problematic for deciding the severity of non-penetrative sexual offences. As a result, non-penetrative offences broadly get classified under any of the lesser offences. This argument, however, does not imply that the distinction should be abolished altogether. Its larger purpose is to show that the penetration standard is insufficient for determining the gravity of non-penetrative sexual offences.

The Penetration Standard and its Relevance in Non-Penetrative Sexual Offences
‘Grabbing the breasts of a minor girl, breaking the string of her pyjama and trying to drag her beneath a culvert would not come under the offence of rape or an attempt to rape.’ Anjale Patel v. Union of India |Diary No. 15118-2025 (Supreme Court of India – 24 March 2025).
‘Removing Girl's Innerwear, Undressing Oneself Not 'Attempt to Rape' But Indecent Assault’ Suwalal v. State of Rajasthan | S.B. Criminal Appeal No. 272/1991 (Rajasthan High Court – 9 June 2024).

If such actions do not amount to ‘attempt to rape,’ then what does? These rulings display the inclination towards the penetration test in the Indian legal system, while adjudicating over non-penetrative sexual violence. The judicial ambiguity surrounding the two offences primarily arises due to a broad classification of sexual offences as penetrative or non-penetrative in India. This raises questions about the relevance of penetration as a standard for distinction in sexual offences.

Notwithstanding anal, oral or urethral penetration, several jurisdictions, including India, refer to the vagina as the female sex organ. As a result, the penetration requirement is not fulfilled in certain acts such as those involving contact with the clitoris by the penis because of which the offender is charged under any of the lesser offences. For a woman, physical contact of her genitalia, or clitoris or sex organ(s) by the penis or any other object is a grave violation of her sexual autonomy and can be considered to be as violative as the penetration of her vagina. It constitutes a bodily invasion of a substantial privacy interest but due to the prevalence of the penetration standard, it is trivialised and not viewed as a grave offence. The idea that sexual intercourse necessarily involves some form of penetration, preferably penile, is an inherently male concept linked to male pleasure which has severe repercussions when viewed from a socio-legal perspective.

Presently, to constitute serious sexual violations means to engage in such conduct (such as penetration of vagina) which meets masculinist understandings of sexual intercourse. This implies that other sexual acts such as touching a woman's labia majoria or fondling breasts would constitute a lesser offence, though the acts are no less invasive or violative than penetration. It reflects a phallocentric bias as subjecting a victim to overtly sexual acts, penetrative or not, immensely violates the autonomy of an individual to determine who she wishes to engage in sexual interactions with and to what extent. It is here where the feminist perspective on the penetration standard gains importance and calls for a better legislation which addresses these gaps, especially when it comes to non-penetrative criminal acts.

Attempt to Rape and its conflation with Indecent Assault
It is due to insufficiency of the penetration standard that there have been overlaps in application of Section 64 r/w Section 62 BNS, dealing with attempt to rape, and Section 74 BNS. Where the actus reus of penetration is intervened before the actual commission takes place, there is a dilemma – will the antecedent acts come under the ambit of Section 64/62 or Section 74?

To answer this, it is important to understand the constituent elements of the two offences. The primary focus of Section 74 lies in “outraging the modesty of a woman” due to which questions as to which acts constitute a violation of woman’s modesty arise. In Keshab Padhan, the High Court laid out the test for application of Section 354 IPC (now Section 74 BNS) wherein it stated that culpability depends on whether a reasonable man would have thought that the act would likely outrage the modesty of a woman. However, such a broad test raises question regarding its application ranging from relatively minor offences to extremely serious incidents. It calls for altering the focus of the offence from notions of “modesty” to violation of sexual autonomy and for reorganising the provision in varying degrees of severity. “Modesty” becomes an archaic term which is unable to inculcate relatively serious offences which deeply violate a woman’s sexual autonomy.

An attempt under Section 64 or 62 BNS would refer to the intent of committing rape, combined with an act committed in furtherance of that intent which fell short of the actual commission of such offence. Often, the underlying principle for categorising acts under indecent assault and not attempts is that acts of the accused qualify under the ‘preparatory stage’. Preparation involves arranging the means essential for commission of the offence; attempt is the direct step towards the actus reus of the offence after the preparations are over. Indian courts have repeatedly held that the act(s) may not be the penultimate act to qualify as an attempt; but acts precedent which have been done with the objective of the completion of the offence also come under the scope of attempt. Hence, it is sufficient that the acts were reasonably proximate to the offence or if not prevented, would have resulted in the full consummation of the act attempted.

In Niranjan Singh, the accused undressed the victim, made her lie on the floor and proceeded towards penetration when he was caught. Applying Venkat Rao to the facts at hand, a clear case of attempt was made out — the accused’s acts had clearly gone beyond the preparatory stage and if someone had not intervened, it would lead to commission of the offence of rape, satisfying the test(s) laid out above. However, despite commission of such proximate acts, the Court ruled that since the accused had not tried to forcibly penetrate the victim, (which would otherwise have been the penultimate act for rape) ingredients of Section 376 IPC (now Section 64 BNS) were lacking and thus, it was not an attempt. This highlights an inconsistent stance and the courts’ inclination towards the penultimate act (i.e. penetration) test while determining culpability for an attempt to rape. It underlines the ambiguity surrounding an attempt to rape: Should an attempt to rape necessarily centre around an attempt to penetrate? If it is penetration, the slightest penetration would amount to rape and not attempt, if not then it is mostly brought under Section 354 IPC (Section 74 BNS). The court's reliance on penetration as the defining factor effectively downplays severity of near-identical acts preceding penetration in cases of both rape and indecent assault. Right to bodily autonomy is violated regardless of penetration due to which penetration as the sole defining factor for severity is insufficient. Thus, centring attempts around penetration leads to a grey area whereby courts are unclear about acts which sufficiently convey an attempt to penetrate to bring a charge under Section 376/511 IPC.

Case in point is Tarkeshwar Sahu, where the accused had taken a minor to his gumti for committing illicit sexual intercourse but had failed in the attempt because of the alarm raised by the victim. The Supreme Court decided that since the accused had not undressed himself or the victim, his acts came under the preparation stage whereas in Niranjan Singh, the accused had done so yet his acts came under the ambit of preparation and not attempt. Such contradictions signify the egregious approach taken by courts when it comes to non-penetrative sexual acts. The accused’s attempt to penetrate becomes the sole determining factor for distinguishing the two. An attempt to penetrate becomes an attempt to rape, thereby overlooking other aspects of the crime. Due to a high standard of penetration, victims are often unable to discharge the high burden of proof which results in comparatively minor consequences for severe offences. These cases are mere instances in a broad trend of troubling leniency in cases of non-penetrative sexual offences.

Conclusion
Therefore, reliance on penetration as a decisive factor creates ambiguity in determining the severity of non-penetrative sexual acts, often leading to lenient punishments for serious offences which would otherwise amount to attempt. This ambiguity not only undermines the victim's pursuit of justice but also creates loopholes for offenders to evade harsher consequences. From a victim’s point of view, penetration may not be the essence of sexual violence. While penetration is also harmful, it should not be the only defining criteria for imposing a harsher punishment and the standard should be in line with the severity of the accused’s actions. The sharp distinction between penetrative and non-penetrative offences overlooks the severity of violations of sexual autonomy and highlights a masculine outlook towards sexual offences which is inadequate in addressing trauma faced by victims. The law in its present form fails to acknowledge the gravity of non-penetrative acts of sexual violence and abuse. It calls for better understanding of sexual violence to not term actions under Section 62/64 BNS to be constituting violations of Section 74 BNS. This would ensure a fairer and a more correct application of the law while better addressing the gravity of non-penetrative sexual crimes.

Sunday, June 22, 2025

Guest Post: Criminal Law and Linguistic Majoritarianism

(This is a guest post by Bhushan Raut)

India is home to over 22 constitutionally recognised languages and hundred other dialects. The ability to co-exist in differences is not just a cultural imperative rather a constitutional mandate. The last few months have witnessed a rise in linguistic discrimination especially in the states of Karnataka and Maharashtra. Recently a video surfaced where an SBI employee was harassed by a local Kannada speaker for not talking to him in Kannada. Similar incidents have surfaced in Maharashtra where a native Marathi speaker was seen forcing a non-Marathi speaker to talk in Marathi and questioning their legitimacy to inhabit the state without the knowledge of the native language. Multiple incidences on such lines have surfaced over social media. Such linguistic majoritarianism leaves a deep and unsettling scar on the foundational ideas of the Indian Constitution, particularly pluralism, equality, and unity in diversity.

This article examines the intersection of constitutional and criminal law in addressing linguistic discrimination and coercion in India. While the Constitution lays down foundational rights—such as the freedom of speech, expression, movement, and residence—it is the criminal law that enforces these guarantees when they are threatened or violated. In particular, this piece focuses on how the Bhartiya Nyaya Sanhita 2023 (BNS) penalizes acts of linguistic harassment, intimidation, and the promotion of enmity on the basis of language. Can a State or its people lawfully condition a citizen’s right to reside or work on linguistic conformity? What specific offences under the BNS apply when individuals attempt to enforce such conformity through threats or public hostility? And what remedies exist to protect linguistic freedom and preserve public harmony? These are the key questions this article explores.

Language and Identity in Indian Constitutional Framework
As per the Constitution of India, it does not have any National Language. Although under Article 343 read with the Official Languages Act, 1963 it does provide for Hindi and English as the official languages of the Union. For States, under Article 345 the state legislatures can adopt or use any one or more as official languages of the State for ‘official purposes of the State’ which means it be imposed upon individuals in private or social spheres. This distinction allows us to carve out two spheres for languages. First is the Official or Public-Facing Sphere which includes government offices, public sector undertakings (PSUs) like banks, and other institutions that provide public services. In these contexts, it is reasonable—if not essential—that public-facing employees be conversant in the state’s official language(s) to effectively serve local populations. The obligation here lies with the state to ensure accessibility and communication in the official language for the benefit of its citizens. The second sphere is the Private or Personal Sphere which includes individual daily life, private interactions, and non-governmental spaces where people interact socially or commercially. Here, knowledge of the state’s official language is not obligatory. The Constitution does not—and cannot—mandate linguistic conformity in personal spaces. To do so would violate fundamental rights as we will see in the next section.

Violation of Constitutional Rights
Coming to the rights of the individual citizens, Article 19(1)(a) provides freedom of speech and expression to every citizen. It is not confined to any particular language, be it the 22 languages in the Eighth Schedule to the Constitution or any official language. The freedom of speech and expression can be restricted by the State under article 19(2) on eight grounds which are security of the state, friendly relations with foreign states, defamation, incitement to an offence, public order, decency or morality, contempt of Court and sovereignty and integrity of India.

Moreover, there is a negative right i.e. the right not to be compelled to speak in a particular language. The US Supreme court in West Virgina Board of Education v. Barnette held that compelled speech is just as much a violation of free speech as prevented speech. Similarly, in Bijoe Immanuel v. State of Kerala the Supreme Court of India held that not being forced to sing the national anthem was protected under Article 19(1)(a). Therefore, let alone private individuals, even the State cannot impose conditions requiring the use of a specific language in personal or private spaces.

Apart from the freedom of speech and expression, Article 19(1)(d) and (e) guarantees every citizen a right to move freely, reside and settle in any part of India. The only restrictions the State can impose are identified under Article 19(5) which include the “interest of general public” or “protection of the interest of any scheduled tribe.” A citizen does not need a certificate of proficiency of the local language to move freely or reside in part of the country. Therefore any coercion to demand that persons must speak a regional language to freely reside in an area is a clear infringement of the fundamental rights guaranteed under Article 19(1)(d) and (e).

Article 29(1) explicitly guarantees the right of any section of citizens to conserve their distinct language, script, or culture. The use of ‘conserve’ implies not only the freedom to preserve and practice one’s linguistic identity but also a corresponding freedom from being compelled to abandon or suppress it. Therefore, any act—whether by the State or by private individuals—that seeks to forcibly impose a dominant regional language upon individuals who do not natively speak it constitutes a violation of the spirit and text of Article 29(1).

In addition to this it is the fundamental duty of every citizen under Article 51(e) “to promote harmony and the spirit of common brotherhood amongst all the people of India transcending religious, linguistic, and regional or sectional diversities…”

Criminal Remedies against Linguistic Harassment
This brings us to the next question – what remedies does a citizen have against such linguistic harassment? There is arguably a positive obligation on the State to prevent private persons from violating fundamental rights through coercion. It may choose to deliver upon this obligation in a multitude of hitherto undecided ways. But while it does so, one avenue for state-based action already exists in the form of India’s criminal law. While the constitutional guarantees establish a right to linguistic freedom, the criminal law that secures their protection. And the harms that are visited by coercion necessarily lead us into the field of criminal law.

Under the BNS a series of provisions directly address the acts of linguistic harassment, coercion and criminal intimidation which are discussed below. Section 196 BNS, a person who promotes enmity between different groups on grounds of language and doing acts prejudicial to the maintenance of harmony is punished with an imprisonment of up to three years, or with fine or with both. The offence is cognizable, non-bailable and non-compoundable. Section 196 is analogous to Section 153-A of the Indian Penal Code 1860 (IPC), but it explicitly extends to acts committed through electronic communication, thereby including offensive social media posts, viral videos, or messages that attempt to stir linguistic discord. For an offence under Section 196 two essential ingredients must be established. First, is the presence of two groups or communities [See, Bilal Ahmed Kaloo v. State of AP]. Second, prosecution must show that the accused acted with a deliberate intention to promote enmity or disturb public peace and it was not a careless or incident remark [See, Trustees of Safdar Hashmi Memorial Trust v. Govt of NCT Delhi; Balwant Singh v. State of Punjab]. In addition to this, the Supreme Court held in Azizul Haq Kausar Naquvi and Anr. v. State that criminality is not attached to words used rather to the manner in which they are used. It further held that “If the words spoken or written are couched in temperate, dignified, and mild language, and do not have the tendency to: insult the feelings or the deepest religious convictions of any section of the people, penal consequences do not follow.” The standard for assessing impact is that of a reasonable, strong-minded, firm, and courageous person, not that of one with weak or overly sensitive disposition, nor someone who perceives hostility in every dissenting view. The “reasonable person” test was affirmed in Ramesh Chotalal Dalal v. UOI, wherein the Court approved observations in Bhagwati Charan Shukla v. Provincial Government, likened to the well-established English law standard of “the man on the Clapham omnibus.” In addition to Section 196, Section 353(2) of BNS—earlier 505(2) of IPC—makes it a crime to make, publish or circulate any statement including electronic means which is likely to create or promote feelings of enmity hatred or ill will between different linguistic groups.

In the recent past, incidents in Maharashtra and Karnataka vividly illustrated behaviour that fits within the scope of Sections 196 and 353 (2) of the BNS. For example, a video went viral where a Marathi customer threatened a non-Marathi shopkeeper to learn Marathi and warned that “If you don’t learn Marathi, I’ll close your shop in two weeks.” Then in another instance a Kannada speaking bus conductor was assaulted in Belagavi as he couldn’t speak to a passenger in Marathi. This linguistic chauvinism forced suspension of interstate bus services between Maharashtra and Karnataka. In another incident a video went viral of a heated argument between a man and an autorickshaw driver where the commuter was aggressively insisting that an autorickshaw driver converse in Hindi rather than Kannada.

There are two different groups: on one side are the native language speakers (Marathi speakers in Maharashtra, Kannada speakers in Karnataka) who assert a regional linguistic identity, and on the other are the migrant or non-native language speakers (such as Hindi-speaking or non-Kannada-speaking individuals). The incidents reflect an explicit ‘us versus them’ narrative based on language difference—a textbook case of inter-group division. Secondly, the behaviour of the aggressors leaves little doubt about their intent. A “reasonable man” can clearly identify the threatening nature of their words—such as demanding that non-natives “speak Marathi or leave” or warning that a shop “will be shut down if you don’t learn the local language”—goes far beyond casual or incidental remarks. The anger, coercion, and public humiliation evident in these threats strongly suggest a deliberate design to subordinate or expel those who do not conform linguistically, fostering hostility between the two groups. Thirdly, the manner in which these threats are delivered amplifies the gravity of the issue. These are not private disagreements or isolated exchanges; rather, they occur in public and commercial spaces and are made in an aggressive and demeaning manner, belittling a non-native speaker before onlookers and underscoring a deliberate attempt to disturb societal harmony. In most of the cases the aggressors themselves filmed confrontations and shared them on social media, amplifying the message of exclusion and hostility beyond the immediate scene. Importantly, liability under this provision extends not just to the original offenders but also to those who forward or circulate such content, as they too contribute to promoting enmity between linguistic groups and risking public disorder.

Conclusion
These incidents of linguistic coercion are not just random isolated events, they represent a deeper problem of intolerance where language is being used as a weapon to shame, threaten and exclude. There is a crucial difference between celebrating and promoting language—which is every community’s right—and bullying or intimidating others for not speaking it, which is not only socially damaging but criminal. To conclude, Language, like culture, is not meant to divide but to connect. We don’t need a single tongue to be united — we need mutual respect.

Saturday, June 14, 2025

Guest Post: LIberty 'Defaulted' — The Unraveling of Section 167(2) in Our Lower Courts

(This is a guest post by Raunaq Jaiswal and Eesha Mohapatra. Views are personal)

That procedure is the handmaiden of justice, and any interpretation of a rule of procedure which eludes substantive justice is not to be followed is a now well settled principle of law. Procedural Law can never be a tyrant. So naturally, when a person is arrested on mere suspicion, procedure dictates they have to be produced before a magistrate. But when the handmaiden of justice metamorphosizes into a tyrant, it is difficult to tell, because understanding procedure and applying it to do substantive ‘justice’ is easier said than done. Procedure was arguably there as a letter of law when ADM Jabalpur is being decided, yet justice is arguably not. When procedure is a handmaiden, and when it is a tyrant is definitely a case of blurred lines.

One such statutory provision which encapsulates this blurring of line is Section 167(2) of the Code of Criminal Procedure, 1973. This provision encapsulates one of the most important handmaidens of justice—the procedure for ‘default bail’. The procedure for default bail sits uncomfortably with the principle of presumption of innocence to begin with, but both these procedures are meant to serve the dialectics of Lady Justice. It sits at odds with the principle of presumption of innocence because a strict reading of the principle would iterate that an accused person should not be spending even a day behind the bars as this would be an unconscionable interfere with their guarantee of presumption of innocence. This balance between the State’s duty to protect, against the individual’s right to liberty has not always been there, and it arguably took a state of emergency for the Government to reform the law of pre-trial detention.

Consider if such a procedure is allowed to be circumvented, as in the case of Mantoo Majumdar [AIR 1980 SC 487] — where Justice Krishna Iyer famously wrote that Art. 21 of the Constitution and s. 167(2) of the Criminal Procedure Code, are dead letter for each petitioner, two people who were kept behind the bars for nearly eight years. Their personal liberty was “subverted by the police, prison officials and the magistracy…[and the] State did not even furnish the basic facts about the imprisonment of the petitioners, the offences for which they were kept in judicial custody…”. 

If what happened in Mantoo Majumdar continues to happen today, then a person may be accused of a crime and subsequently arrested on mere suspicion—and procedures such as investigation and chargesheet are not submitted on time, then the accused person’s liberty are abrogated indefinitely, i.e., a person is assumed to be guilty without being tried.

Liberty after Mantoo Majumdar
Mantoo Majumdar’s case could very well have been our own ‘never again’ moment, and we should have had better procedural safeguards against abuse of government machinery then and there. However, as a recent report published in this forum would indicate, that has not been the case. In theory at least, the rule of default bail imbibes a sense of necessity and urgency on the investigating officers to finish an investigation on time—which may result in a person being in custody (read behind the bars) for 60/90-day period on basically a mere assertion by the police—and if during this time the investigating officers cannot file the chargesheet, then the procedure dictates that after the 60/90-day period is over, and the chargesheet has not been filed, the accused person should be give default bail.

In practice, this simple rule has encountered quite a few interpretative difficulties, and different benches of the Supreme Court have added some variations to its interpretation over time. Illustratively, these relate to the matter and form of interpretation—relating to the principles for the computation of time in the 60/90-day clause; the meaning of ‘chargesheet’ and so forth. The point to note here is that a simple procedural rule, meant to aid justice has been made difficult in practice. Sanjay Dutt’s case (1994) had sought to rectify these muddied waters of the procedure to obtain default bail. They held that the accused’s right to default bail is indefeasible, and an accused can avail their right of default bail, if the investigating officers have not filed charge sheet (challan) before the end of the 60/90-day period. If they have filed the chargesheet by this period, then the accused can apply for other kinds of bail as per the CrPC.

The true meaning of “availed off” in Sanjay Dutt was the next ground of contestation. These lead us to some specific instances where the investigating agencies are filing the chargesheet at the very last moment of the 60/90-day period—and the contention of the public prosecutor in these circumstances is that since the chargesheet has been filed, it should have more weight than the application to enlarge the accused on default bail. In Uday Mohanlal Acharya, the Supreme Court had to adjudicate in one such case. In this matter, the Court held that the expression “if not already availed of… must be understood to mean…when the accused files an application and is prepared to offer bail on being directed.” It is however from the dissenting opinion of Justice Agarwal in Uday Mohanlal Acharya that a small lacuna in interpretation is created. Justice Agarwal suggests that Sanjay Dutt’s ‘if not availed off’ should be interpreted to connote “that if the challan is filed before any order directing release on bail is passed and before the bail bonds are furnished, the right under Section 167(2) would cease to be available to the accused”.

On a plain reading of the dissent, the personal liberty of an accused could be constrained beyond the 60/90-day period if a magistrate, for example, had not heard the default bail even on the 97th day, and in the meanwhile, a chargesheet has subsequently been filed. What is important to note in Justice Agarwal’s dissent is the constraining effect it would have on personal liberty of the construct of procedure is the handmaiden of justice, and it is meant to serve substantive justice. This dissenting opinion, based on a personal liberty constraining interpretation, was impliedly accepted by the Court in Pragyna Thakur (2011). By accepting this proposition, Pragyna Thakur’s ratio automatically came in conflict with Sanjay Dutt’s ratio.

Overturning Liberty Through a Flawed Precedent
The flawed interpretation of default bail procedure in Pragnya Thakur persisted for nearly a decade, during which numerous courts denied default bail to accused persons, relying on the incorrect reasoning (of the Pragyna Thakur ruling). In the meantime, another two-judge bench of the Supreme Court in Union of India v. Nirala Yadav (2014) had observed that the law laid down in Pragnya Thakur was incorrect and bad. However, it wasn’t until 2020, when a three-judge bench in the case of M. Ravindran v. Intelligence Officer, DRI, rectified this error and declared the Pragyna Thakur decision to be per incuriam, reaffirming the legal position established in Sanjay Dutt: that once the 60/90-day period for filing the chargesheet expires, the accused’s right to default bail becomes automatic, and the subsequent filing of the chargesheet does not invalidate this right.

However, despite the Supreme Court’s clear ruling in Ravindran, this correction has not fully permeated the district judiciary which continues to apply the erroneous Pragyna Thakur interpretation, thus creating a significant gap between Supreme Court doctrine and the trial court practice. This has resulted in denial of default bail unjustly leading to prolonged incarceration of individuals who should have been granted bail as a matter of right.

For instance, the Guwahati Hight Court in 2021 and various other district courts across the nation such as the Additional Sessions Judge, Bombay (2021), Chief Judicial Magistrate, Prayagraj (2022), the Judicial Magistrate, Allahabad (2022) appear to have denied default bail to the accused persons relying on Pragnya Thakur. This troubling pattern indicates that despite clear and authoritative guidance on the correct interpretation from the Supreme Court, lower courts are either unaware of per incuriam rulings or choose to disregard the careful application of the applicable legal precedents. To wit, the rule has been that procedure is the handmaiden of justice. Here there is a clear pattern where the ends of substantive justice are being defeated by procedure.

This brings us to an important problem which currently overwhelms the Indian Supreme Court, namely how their judicial opinions are not percolating down to the district court level again. Previously in Shreya Singhal (2015), the Supreme Court had held Section 66-A of the IT Act to be unconstitutional—only to find later that fresh cases were still being instituted under the said unconstitutional statute. These cases were essentially being filed and argued in ignorance of the law laid down in Shreya Singhal. In a similar fashion, the Supreme Court had held a part of Pragyna Thakur to be per incuriam—but we saw a similar pattern of misapplication emerging again.

This misapplication creates inconsistency, uncertainty and catalyses the metamorphosis of handmaiden of justice into tyrannical deprivation of the accused person’s liberty beyond the procedure established by law. Resultantly, we have a paradoxical bail jurisprudence—where the right to obtain default bail has been iterated to be a part of right to life under art. 21, yet the procedure to obtain default bail has been made a marketplace of uncertainty.

Where Do We Go from Here?
In a country like India, where the judicial process is often slow and cases can drag on for years, the denial of default bail can mean years of imprisonment without trial. This attacks the very essence of justice, as individuals who have not yet been proven guilty are effectively punished by the system. The persistence of this issue raises a fundamental question: where do individuals turn when the courts themselves are responsible for perpetuating injustice? Not every accused has the resource or the privilege to approach the top court when the lower courts fail to uphold their indefeasible right to bail. It is hardly a surprise that the plaintiffs in most authoritative bail cases are what one would term as elites, who have employed the legal doyens of the day. Not everyone has the privilege to do that.

This issue certainly calls for internal introspection, and stronger mechanisms of judicial accountability, especially in cases where personal liberty is at stake; and ideally greater efforts to ensure that Supreme Court rulings are uniformly applied across the country. One potential solution is for the Supreme Court to take a more proactive role in monitoring the implementation of its rulings through a judicial audits. This could involve issuing specific directives to lower courts or creating mechanisms for reviewing cases where lower courts are found to be applying outdated or incorrect precedents. Additionally, the National Judicial Academy as well as all State Judicial Academies through regular training of judges at all levels shall ensure that they are aware and updated of the recent Supreme Court rulings. It is as bleak a situation as it gets for a person who is accused of an offence. However, we hope that we may have our ‘never again’ moment soon, and hopefully, the future generations may not have to encounter a matter like Mantoo Majumdar or ADM Jabalpur.


Saturday, June 7, 2025

Guest Post: A Battle Between Bail and Silence — Comparing Section 45 PMLA with US Pre-Trial Prosecutorial Discovery

(This is a guest post)

The present post analyses the constitutionality of restrictive bail conditions in the Indian anti money laundering law from the perspective of the right against self-incrimination. Section 45 of the Prevention of Money Laundering Act, 2002 (“PMLA”) imposes twin conditions that an accused must meet to secure bail: (i) satisfy a court that there are “reasonable grounds to believe” that the accused is “not guilty of the offence”, and (ii) that the accused is unlikely to commit any further offences while on bail. By way of background, the Indian Supreme Court dismissed a challenge to Section 45, PMLA in Vijay Madanlal Choudhary v. Union of India. Petitions seeking a review of the judgment are pending). However, neither the original judgment nor grounds taken in the review petition sufficiently discuss the interplay between Section 45, PMLA, and the right against self-incrimination.

This post employs a comparative analysis of case law pertaining to pre-trial prosecutorial discovery rules in criminal cases in the United States to explore the intersection between Section 45, PMLA, and the right against self-incrimination.

Hypothetical Scenario: The Conflict Between Self-Incrimination and Disclosure of Material During a Bail Hearing
Imagine an accused is facing charges of money laundering, with one of the key allegations being that they received the proceeds of a crime from person X at location Y on a specific date. Aware that they must provide prima facie evidence of innocence to secure bail, the accused submits an affidavit to the court asserting that their mobile phone’s GPS data places them far from location Y at the relevant time. In response to this assertion, the prosecution requests the accused’s phone password to verify the accuracy of the GPS data. Apprehensive that failure to comply with this request could result in their bail application being denied, the accused agrees to provide the password to unlock the phone voluntarily.

Upon inspection, the prosecution confirms accuracy of the GPS data, but in the process, examines other files and data on the phone, discovering additional incriminating material that they were not aware of. The prosecution subsequently submits a counter-affidavit, which includes this newly discovered material. In response, the accused argues that this material should not be taken into consideration, asserting that it was obtained through their compelled disclosure and is therefore subject to the protections afforded by the right against self-incrimination. The prosecution argues that the password was provided voluntarily without any court order, and it does not amount to compelled disclosure.

I’ll build on this example and examine the constitutionality of pre-trial disclosures made by an accused during the bail stage.

US Case Law
The Indian guarantee against compelled self-incrimination avowedly borrows from the self-incrimination clause of the Fifth Amendment to the U.S. Constitution. Historically, the values of the American accusatorial system required the state to shoulder the entire burden in a criminal prosecution without any compelled help from the accused and the accused is not required to disclose their defence until the prosecution has presented its case. However, this privilege has been eroded through legislative provisions that require the accused to disclose certain portions of their evidence before trial.

In Williams v. Florida (“Williams”), the rule under challenge required the accused to disclose a list of alibi witnesses before trial. The accused was convicted and appealed against conviction on the ground that compelling him to reveal the name of his alibi witnesses violated his right against self-incrimination. However, the challenge was dismissed by the U.S. Supreme Court. To reach its conclusion, the Court first recognised that the privilege against self-incrimination consists of three elements: (i) compelled disclosure (ii) related to testimonial matter (iii) incriminating nature of the communication. The Court held that two elements, i.e., testimonial communication and ‘tendency to incriminate were present in the rule requiring disclosure of alibi witnesses. However, it concluded that the relevant rule did not compel the accused to disclose alibi witnesses. It reasoned that the defence had intended to present the alibi witnesses at trial regardless, and by providing the prosecution with this information prior to trial, the defence was simply ‘accelerating the timing of the disclosure’, thereby facilitating a more efficient trial process. It was held that even during the trial, the accused would still face the same choice: (i) to remain silent, or (ii) to offer a defence that could potentially lead to self-incrimination through cross-examination.

‘Acceleration of timing’ is an established principle today based on which pre-trial discovery by prosecution has been expanded vastly over the years. It is widely believed that prosecutorial discovery enhances the state’s ability to rebut the accused’s case and effectively cross-examine their witnesses. In light of the analysis of Williams, the issue arises as to whether the prosecution is entitled to seek any and all forms of disclosure under the guise of the ‘acceleration of timing’ principle. The subsequent cases suggest a different interpretation.

There are two ways in which pre-trial discovery from an accused can assist the prosecution. It can either (i) help prosecution in investigating the grounds of defence taken by the accused and consequently, help in preparing rebuttal evidence to the defence of the accused; and (ii) provide leads to the prosecution that can help in building a case-in-chief against the accused.

Various commentators have argued that Williams was only concerned with and envisaged the preparation of rebuttal evidence using pre-trial discovery by an accused. The Court's reasoning supports this argument. Firstly, the court equated the situation of pre-trial discovery with the stage of defence evidence at a trial, where the accused must reveal the identity of their witnesses and submit them to cross-examination, which may furnish the State with leads to incriminating rebuttal evidence. Therefore, the court only intended to confine itself to rebuttal evidence while testing constitutionality of the discovery rule requiring disclosure of alibi defence. 

In this regard, it is further pertinent to recall that in Williams, the Court held that the alibi discovery rule did not amount to a compelled disclosure since the choice between (i) remaining silent and (ii) presenting a defence that might incriminate the accused through cross-examination or provide leads to the state to impeach their witness is ‘inherent in the trial process’. The natural corollary of this reasoning is that choices compelling an accused to make choices not inherent in a trial process amount to a compelled disclosure and, hence, violate the right against self-incrimination. In a case where the accused’s disclosure can be used to build the prosecution’s case-in-chief, the accused’s decision whether or not to disclose requires them to choose between defending by affirmative evidence or defending by failure of government proof. 

In his article on prosecutorial discovery, Prof. Eric Blumenson argues that such a choice is not inherent in the trial process, since at a trial, the accused leads evidence only after the government proves a prima facie case, and hence, the adversarial criminal process protects an accused from aiding the prosecution in building its case in chief. Therefore, if the prosecutorial discovery rule, as approved in Williams, is used by the prosecution to build its case in chief, the said discovery would not pass the ‘acceleration of timing’ principle in Williams and, accordingly, would violate the right against self-incrimination.

Secondly, the fact that the majority opinion’s focus was only on rebuttal evidence can be gauged from the examples it cites in the opinion. The Court gave an example to the effect that if the disclosure rule was not in place, the way alibi testimony would have played out is that the prosecutor would have asked for a continuance / adjournment after the alibi witness’s examination-in-chief and would have found rebuttal testimony to impeach the alibi witness before cross-examining them. The Court concluded that since the said sequence of events would not violate the accused’s right against self-incrimination, neither would the pre-trial discovery rule at issue in Williams. Therefore, the said example makes it evident that the scope of Williams was limited to rebuttal evidence and the judgment did not envisage use of prosecutorial discovery as a tool to build a case-in-chief.

The Scarcity of Jurisprudence on the Use of Pre-Trial Discovery from the Accused to Construct the Prosecution’s Case-in-Chief
There appears to be a dearth of case law addressing whether pre-trial discovery from the accused can be used by prosecution to build its case-in-chief. Before Williams, the California Supreme Court in Prudhomme v. Superior Ct (“Prudhomme”) delineated two important points concerning the right against self-incrimination: (i) the right against self-incrimination is compromised when the disclosure could potentially ease the prosecution’s burden of proving its case in chief and the accused’s disclosure cannot be used for the said purpose; (ii) any disclosure that could serve as a “link in a chain” of evidence establishing the accused’s guilt is prohibited under the principle of right against self-incrimination.

Another Californian case took the same view as Prudhomme. In re Misener (“Misener”), a broader interpretation than Prudhomme was taken when the majority held that Fifth Amendment privilege does not end upon the establishment of a prima facie case by the prosecution and that it barred any prosecutorial discovery that prevented the prosecution from carrying the entire burden of proving the accused guilty beyond a reasonable doubt, whether compelled disclosure might serve to make the prosecution’s case or to unmake the accused’s.

Therefore, in Prudhomme and Misener, the California Supreme Court explicitly recognised that any pre-trial disclosure that lessens the burden of the prosecution in proving its case-in-chief is unconstitutional. However, none of these cases dealt with a scenario in which the prosecution used pre-trial disclosure to build its case-in-chief.

Both Prudhomme and Misener were subsequently overruled in Izazaga v. Superior Court. Here, the California Supreme Court sustained a broad reciprocal disclosure requirement, rejecting the Prudhomme analysis. The California Supreme Court held that under the rationale of Williams, pre-trial discovery does not constitute compelled self-incrimination. Therefore, Prudhomme and Misener were overruled based on the reasoning in Williams, which was itself confined to envisioning pre-trial discovery for the purpose of collecting rebuttal evidence, rather than for building the prosecution’s case-in-chief.

It is pertinent to note that the issue of whether the prosecution can use pre-trial discovery to build its case-in-chief was not answered and has remained unanswered. There is no denying that prosecutorial pre-trial discovery over the years has become broader. For example, trial court rulings, based on the ‘acceleration of timing of disclosure’ laid down in Williams, have accepted a requirement of advance notification of defences, of expert witnesses, and of all other witnesses. Nevertheless, it can be fairly argued that these pre-trial disclosures should serve solely to counter defence witnesses and cannot be utilised by the prosecution to establish its case-in-chief. 

An example of this principle can be found in a trial court judgment in State v. McClaren in which while allowing pre-trial discovery, the court held that “any concerns defendant has concerning the disclosure [itself] potentially being used by the prosecutor in the case-in-chief could be addressed by an in camera review by the circuit court.” Further, even in Izazaga, which overruled Prudhomme and Misener, the concurring opinion by Justice Kennard mentions that there is a limitation on the manner in which the prosecution may use the discovery, and that it would be “impermissible for the prosecution to use, as part of its case-in-chief, evidence gained through discovery of statements of potential defense witnesses.” Therefore, while courts have been liberal in allowing prosecutorial pre-trial discovery based on Williams' acceleration principle, they are cognizant of the possibility of violation of the Fifth Amendment Principle if the said discovery is used for building prosecution’s case-in-chief.

Applying U.S. Pre-Trial Discovery Principles to the Hypothetical Scenario in Bail Proceedings under Section 45, PMLA
The principles discussed in the preceding section regarding pre-trial prosecutorial discovery should be applied in bail proceedings under PMLA. The justification for this is evident: Section 45, PMLA forces the accused to reveal their defence at a pre-trial stage. Consequently, bail proceedings under PMLA mirror the function of pre-trial prosecutorial discovery, insofar as they afford the state early access to key aspects of the accused’s defence before the commencement of trial.

Accordingly, applying these principles in the Indian context, the argument remains that if the prosecution uses the information disclosed by the accused to build the ‘foundational facts’ in its counter-affidavit (or the chargesheet later), the same would violate Article 20 (3) of the Constitution. Currently, the prosecution is not restricted from doing this, and in practice, the prosecution routinely files supplementary reports / complaints based on arguments made by the accused at the bail and charge stage to plug loopholes in its case-in-chief. Accordingly, even as per a broad interpretation of discovery rules under U.S. jurisprudence, the current use of Section 45, PMLA is violative of Article 20 (3) of the Constitution.

In light of the discussion of jurisprudence surrounding pre-trial prosecutorial discovery in the U.S., it can be concluded that Section 45, PMLA directly impacts the right against self-incrimination. The compelled disclosure of the accused’s defence at this stage undermines the privilege against self-incrimination. The argument that such disclosure is voluntary overlooks the coercive nature of the choice between liberty and silence. Courts must adopt a restrictive interpretation of Section 45, PMLA to prevent its misuse by the prosecution as a tool to build its case-in-chief through the accused’s pre-trial disclosures at the bail stage. This approach ensures that bail proceedings do not become a prosecution strategy session.

Saturday, May 31, 2025

Guest Post: Trial in Absentia under BNSS — A Procedural Quagmire?

(This is a guest post by Acharaj Kaur Tuteja)

The Bhartiya Nagrik Suraksha Sanhita, 2023 has made several conspicuous departures from the Criminal Procedural Code, 1973 in an attempt to streamline criminal procedures in the country. Among these is Section 356 which permits the trial of proclaimed offenders in their absence and points towards the evolving relationship between state convenience and procedural fairness. At first glance, the provision seeks to solve a practical problem: the stagnation that follows in courtrooms when accused persons abscond. But beneath the pragmatic veneer lies a set of unanswered questions about what is willing to be traded in the name of efficiency.

Trials in absentia are not a novel idea. Jurisdictions across the world have flirted with the idea out of political necessity or emergency. Indian law, however, has resisted this temptation by tethering the right to a fair trial to the physical and participatory presence of the accused. Section 356 marks a departure from that tradition. What does it mean to conduct a criminal trial without the accused? Can the adversarial process survive the absence of one of its central participants? And how, if at all, does this square with the constitutional promise of due process under Article 21?

This post explores Section 356’s structure and underlying presumptions. It demarcates the dangers it presents to a system already overburdened by inequitable procedural protections. The BNSS’s solution leans towards the kind of innovation that is prioritising closure before justice. A hasty conclusion may reconstruct Kafka’s courtroom in modern Indian criminal law, despite the validity of the state’s interest in avoiding delay.

Dissecting Section 356: Text and Structure
To break it down, Section 356(1) empowers the Court to proceed with trial if the accused, after being declared a proclaimed offender under Section 84, continues to evade appearance. This proclamation arises only after issuance and non-compliance with a warrant, followed by a public notice. The trial may not only begin, but conclude, and a judgement may be rendered in the absence of the accused. The Court merely has to record the reasons in writing and ensure representation via a pleader. A notice has to be published additionally in a national or local newspaper – a formality that may neither inform or alert the accused in rural or otherwise marginalised contexts.

Section 356 fails to make a legal distinction between two conflated categories: the absconding accused and the absentee accused. The former is a legal status granted by Section 84 BNSS after meeting specific requirements, mostly post-proclamation wilful evasion. The latter’s absence may be for a variety of reasons, including illness, non-service of summons, coercion, or logistical inaccessibility. There is a chance that the legislation will dismantle these classifications, establishing a loophole whereby absence is assumed to be inherently related to guilt. Unfortunately, the language of Section 356 does not operationalise the subtlety that not all absentees are absconding.

Section 356 sidelines the requirement for deeper judicial inquiry into whether such evasion is wilful, or whether the absence results from coercive tactics or abuse of power by investigating agencies. This opens the door to strategic absences orchestrated by the police or other law enforcement authorities. The absence of terms such as ‘maliciously’ or ‘deliberately’ in the statutory text does not relieve the Court from conducting such inquiries; rather, this omission renders the provision even more susceptible to abuse, where the bare fact of non-appearance becomes sufficient to greenlight trial.

The Illusion of Remedy: Examining of Witnesses and Making an Appeal
The proviso under clause (4) of Section 356 states that if the proclaimed offender is arrested and produced before the Court during trial, the Court may, in the interest of justice, allow him to examine any evidence which may have been taken in his absence. Firstly, the clause imposes a double burden: the accused must prove both a) lack of notice and b) the absence of a wilful evasion. This reverses the usual presumption of innocence and places the accused in a position where they are trying to recover a sliver of participation in proceedings that have already condemned them.

Secondly, the court is under no obligation to allow cross-examination, nor is there a requirement to re-open earlier stages of the trial. The word ‘may’ vests a discretionary power with the court. This lack of guarantee under the clause goes against the principle of providing the accused with a reasonable opportunity of being heard. The Supreme Court, in the case of State of Kerala v. KT Shaduli Grocery Dealer, allowed the assessee to cross-examine the witnesses on whose evidence the Sales Tax Officer had relied to make the arrest. The Court recognised that under the rule of audi alterem partem, “to prove” means to establish the correctness, or completeness of a fact by any mode permissible under law. The usual mode recognised by law for proving a fact is by production of evidence and evidence includes oral evidence of witnesses. The opportunity to prove the correctness would, therefore, necessarily carry with it the right to cross-examine the witnesses.

The accused, once labelled a proclaimed offender and tried in absentia, may find themselves returned to a process that has long since passed them by, with key evidentiary stages foreclosed. The danger of an unfair trial is further compounded by clause (6) that states that even if the accused is produced before court or arrested at the conclusion of the trial, the proceedings need not be stalled. The judgement can be pronounced in their absence. Moreover, the right to appeal is curtailed under Section 356(7) wherein the appeal is barred unless the offender presents himself before the appellate court within 3 years of the passing of the judgement.

What happens then, is a skeletal notion of a trial, moving from absence to conviction without substantive procedural rights. In Kartar Singh v. State of Punjab, the Supreme Court was unequivocal in its caution: dilution of safeguards in the name of expediency, carries the risk of systemic abuse and wrongful conviction. The purity of the procedure to discover truth shall always remain fair, sensitive to the needs of the society and fairly and justly protect the accused. And these clauses of Section 356 exist not to protect the accused, but to immunise the provision from critique.

Undermining Adversarial Ethos
Under Section 356(1) the Court is empowered to proceed with the trial of a proclaimed offender “in the like manner and with the like effect as if he was present”, thereby eliminating any procedural distinction between a full adversarial trial and a unilateral one. The assertion that the accused’s wilful absence amounts to a waiver of rights, becomes a linchpin to justify lack of procedural parity.

The right to be tried in person, to confront witnesses, and to mount a defence are all implicit in Article 21’s expansive right to a fair trial. The Supreme Court in Zahira Habibullah Sheikh v. State of Gujarat, while affirming the centrality of a fair trial, clarified that it includes not just the right of the prosecution but, more importantly, of the accused to have their case heard fully and fairly. This renders the trial permitted under Section 356 structurally disfigured. Informing the accused’s friend or relative and ensuring that legal aid is appointed does not cure the deeper malaise of negating the accused’s participatory rights.

This transformation of the trial from adversarial to inquisitorial is not accompanied by the institutional safeguards of the latter. In inquisitorial systems, the judge assumes an investigative role, bound by duties of neutrality and evidence-gathering in favour of both sides. Indian courts, in contrast, are not structured for such a role. The result is a hybrid system that borrows the most coercive aspects of the inquisitorial form while discarding the checks and balances that justify its operation.

Conclusion
There is no denying that trials in absentia address a very real institutional challenge. In an overburdened criminal justice system, where accused persons routinely manipulate safeguards to stall proceedings, Section 356 may act as a corrective. It reaffirms that justice will not be held hostage to deliberate non-appearances.

However, the problem does not justify abandonment of the process. The risk lies in the unstructured application of trials in absentia. The provision, in its current form, rests on a troubling presumption: that a proclaimed offender’s absence is necessarily wilful, and that procedural compliance with notice formalities is enough to substitute meaningful participation. A declaration under Section 84 BNSS is formally premised on wilful concealment or absconding but the statute’s structure outsources that finding to procedural triggers (two warrants, public notice, etc.), not to a substantive inquiry into motive or capacity. In other words, the statute assumes wilfulness from procedural non-compliance. But procedural non-compliance can occur in a number of ways that have nothing to do with intent. The ask isn’t to duplicate the finding of wilfulness - it’s to interrogate how shallow the first one really is. If procedural default alone gets elevated into a legal fiction of intentional evasion, then a second judicial inquiry – before triggering the far more serious consequence of trial in absentia – becomes less redundant and more necessary.

To avoid this turning into a tool of convenience, certain safeguards must be built into the provision. Firstly, the judicial determination of whether the accused has actually absconded should be more than just a declaration. It should follow an inquiry to examine whether the accused had a reasonable opportunity to appear, and whether the evasion is deliberate or due to an extraneous hardship. Secondly, recording depositions via audio-video [as mentioned in Section 356(5)] should be the norm, not a technological afterthought. The attempts to contact the accused in any manner must be furnished duly. Thirdly, the accused should have the opportunity to retrospectively participate in the trial and cross-examine the witnesses if the conviction has been based on their evidence. And lastly, use of Section 356 must be accompanied by periodic judicial review to ensure that the waiver of rights was voluntary in nature.

Trial in absentia, then, is not inherently illegitimate, but it is inherently dangerous. It demands a justice system that can distinguish between tactical evasion and structural absence, between the wilfully hidden and the invisibly marginalised. Without such discernment, Section 356 risks becoming a procedural sleight of hand, manufacturing the illusion of fair process while steadily hollowing it out. The State’s interest in proceeding with trials must not eclipse the constitutional guarantee of a fair one. To that end, the legitimacy of this provision will rest not on how often it is used, but on how scrupulously it is constrained.