Mahendra Lal Jaini Vs. The State of
Uttar Pradesh & Ors [1962] INSC 303 (7 November 1962)
WANCHOO, K.N.
SINHA, BHUVNESHWAR P.(CJ) GAJENDRAGADKAR,
P.B.
GUPTA, K.C. DAS SHAH, J.C.
CITATION: 1963 AIR 1019 1963 SCR Supl. (1)
912
CITATOR INFO :
RF 1964 SC 381 (53) D 1967 SC1480 (13,21) RF
1967 SC1643 (118) E 1968 SC 331 (12) RF 1972 SC2205 (26) RF 1974 SC1300 (35,41)
RF 1979 SC 25 (35) R 1984 SC1260 (14A) R 1985 SC1622 (16) D 1988 SC1621 (4)
ACT:
Compulsory acquisition--Permanent
Lease-Statute declaring transfer void-No provision for compensation-Statute, if
provides for compulsory acquisition--Constitutionality ofDoctrine of eclipse-If
not applicable to post-Constitution statutes-U.P. Land Tenures Regulation of
Transfers) Act, 1952 (U.P. 15 of 1952), s.3--Constitution of India Arts. 13,
31-Constitution (Fourth Amendment)Act 1955.
Forest-Declaration as reserve forest-Statute
providing for interim control-Constitutionality of-Indian Forest Act, 1927 (16
of 1927), Chs. II and V-Indian Forest (U.P Amendment) Act, 1956 (U.P. 5 of
1956), s. 3.
HEADNOTE:
By a registered lease dated June 14, 1952,
one M granted a perpetual lease of certain lands to the petitioner.
Formally a large number of trees stood on
these lands and the lease deed recited that the entire land had been cleared of
the trees and possession given to the petitioner who was made a hereditary
tenant of the land. The U. P. Zamindari Abolition and Land Reforms Act, 1951,
'hereinafter referred to as the Abolition Act) was made applicable from July 1,
1952, In the meantime the U. P, Land Tenures (Regulation of Transfers) Act,
1952 (hereinafter referred to as the Transfer Act) was passed which came into
force with retrospective effect from May 21 , 913 1952. By this Act all transfers
made by intermediaries after May 21, 1952, were declared void. The petitioner
was ordered to desist from clearing the land and from doing anything contrary
to the U. P. Private Forests Act, 1948.
On March 23, 1953, the respondent issued a
notification under s. 4 of the Indian Forests Act 1927, declaring that it had
been decided to constitute certain lands including the lands in dispute a
"reserve forest". Later, a proclamation under s. 6 was issued calling
for objections from claimants but the petitioner did not file any objections.
In March 1956, the Indian Forest (U. P. Amendment) Act, 1956, (hereinafter
referred to as the. Forest Amendment Act) was passed which introduced a new Ch.
VA consisting, ss. 38A to 38G in the Forest Act. A fresh notification was
issued prohibiting various acts mentioned in s. 38B. The petitioner contended
that the Transfer Act and the Forest Amendment Act were unconstitutional and
that the restrictions imposed upon him under these two Acts were illegal. The
respondent contended that the two Acts were valid and that the petitioner
acquired no right under the lease and had no right to maintain a writ petition
under Art. 32.
Held, that so long as the lease stood, the
petitioner had a right to maintain the petition. The lease created a right in
presenti and not merely some future right. The fact that the nature of the
right was disputed did not affect the right to maintain the petition.
Held, further, that the Transfer Act was
unconstitutional.
It deprived the petitioner of his property
without providing for payment of any compensation and contravened Art. 31.
The Transfer Act was law for acquisition of
property when it was passed in 1952 and the constitution (Fourth Amendment)
Act, 1955, which laid down that a law which did not provide for the transfer of
ownership or right to possession to the State was not a law for the compulsory
acquisition or requisition of property, was not applicable to it. The
constitutionality of a law had to be judged on the basis of the Constitution as
it stood at the time the law was passed, subject to any retrospective amendment
of the Constitution.
The Constitution (Fourth Amendment) Act,
1955, could not be applied to the Transfer Act by virtue of the doctrine of
eclipse. This doctrine was applicable to pre-Constitution laws but not to
post-Constitution laws.
State of West Bengal v. Sabodh Gopal Bose,
[1934] S.C.R.
587, Saghir Ahmad v. The State of U. P.,
[1955] 1 S.C. R.
707, Karam Singh v. Nihal Khan, A. I. R.
(1957) All. 549.
Bombay Dyeing and Manufacturing Co. Ltd. v.
The State of 914 Bombay, [1958] S. C. R. 1122, Behram Khurshed Pesikaka v. The
State of Bombay, [1955] 1 S. C. R. 613, Keshavan Madhava Menon v. The State of
Bombay, [1951] S. C. R. 228, Bhikaji Narain Dhakras v. The State of Madhya
Pradesh, [1955] 2 S. C. R. 589 and Deep Chand v. The State of Uttar Pradesh
[1959] Supp. 2 S. C. R. 8, referred to.
Held, further, that the Forest Amendment Act
,was not unconstitutional. Chapter VA introduced by Ch. II in the, Indian
Forest Act was ancillary to Ch. 11 and not to, Ch. V. Chapter VA was a mere
interim measure to deal with the situation arising after the Abolition Act
while steps were being taken to constitute reserved forests under Ch. II..
As originally enacted. Ch. VA was ancillary
to Ch. 11 and gave further powers of control besides those contained in Ch. II.
during the period that proceedings under Ch. 11 were pending. These provisions
which were for the interim protection of the forests pending declaration of
forests as reserved forests were in the interests of the general public. The
Amendment Act of 1960 which enacted ss. 38H to 38M made no difference to the
position that ss. 38A to 38G as originally enacted were ancillary to Ch.
II" Held, further, that ss. 38A to 38G of the Forest Act were applicable
to the lands in dispute. Chapter 11 to which these sections were ancillary,
dealt inter alia with forest and waste land belonging to the Government. After
the Abolition Act. the proprietary rights in the land vested in the Government
and the petitioner who claimed to have become a bhumidar could not be a
proprietor but only tenure-holder.
ORIGINAL JURISDICTION Petition No. 59 of
1962.
Petitioner under Art. 32 of the Constitution
of India for the enforcement of Fundamental Rights.
C.B. Agarwala and K. P. Gupta, for, the
petitioner.
G. S. Pathak, K. S. Hajela and C. P. Lal, for
the respondents 1962. November 7. The judgment 'of the Court was delivered by
WANCHOO, J.-This petition under Art. 32 of the Constitution challenges the constitutionality
of 915 U. P. Land Tenures (Regulation of Transfers) Act 1952, (U.
P. XV of 1952), (hereinafter called the
Transfer Act) and the Indian Forest (U. P. Amendment) Act 1956, (U. P. V of
1956), (hereinafter referred to as the Forest Amendment Act.) The case of the
petitioner is that he obtained a permanent lease from the Maharaja Bahadur of
Nahan of certain land known as "asarori" land, situate in the
district of 'Dehra Dun, in Uttar Pradesh. The area leased 'out to him was
1069.68 acres in Khewat No. 1, Mahal No. 8, Khasra Nos. 1A, 1B and 2. This land
was originally a Crown grant and had been free from revenue since 1866.
Initially, it belonged to Major P. Innes but was subsequently transferred to
the Maharaja Bahadur of Nahan. On January 25, 1951, an agreement was executed
by the Maharaja Bahadur in favour of the petitioner and one Virendra Goyal for
lease of this land for a consideration of an annual rent of Rs. 2,200/and a
premium of Rs. 64,000/-. The petitioner's case further is that the possession
of the land in dispute was delivered to him at the time the agreement to lease
was executed. It appears that at that time a large number of trees were
standing on this land and the-Maharaja Bahadur had given a contract for the
removal of the trees to another person with a view to making the land
culturable, and the intention of the lessor was to demise the land to the
petitioner after the trees were removed, so that the petitioner may carry on
agricultural operations thereon. On June 14,1952, a registered was executed by
the Maharaja Bahadur in favour of the petitioner and Virendra Goyal and it was
recited therein that the entire land had been cleared of the trees and had been
in possession of the lessees from the date of the agreement referred to above.
Therefore, in fulfillment of the agreement, the lease was executed demising to
the lessees the land in question on an annual rent of Rs. 2,200/-. The lease
was permanent, heritable and transferable. The lease also provided that the
lessor had given the right of 916 hereditary tenancy within the meaning of the
U. P. Tenancy Act, 1939 to the lessees. The lessees were also given the right
to put the land to any other use whatsoever besides agriculture and
subterranean rights were also conferred.
They had also the right to sub-let and assign
the land.
The petitioner's case further is that
Virendra Goyal is merely a benamidar and has no right, title or interest in the
land in dispute and that a suit for declaration in that behalf is pending in
the Civil Court at Dehra Dun between the petitioner and Virendra Goyal. A day
after the agreement of lease was executed, the U. P Zamindari Abolition and
Land Reforms Act, No. 1 of 1951, (hereinafter referred to as the Abolition
Act), came into force on January 26, 1951, and the land in dispute is land
within the meaning of this Act. The Abolition Act was actually applied to this
area by a notification issued under s. 4 thereof from July 1, 1952, shortly
after the registered lease in favour of the petitioner and another had been
made. The contention of the petitioner is that in consequence of the
application of the Abolition Act to this area, the petitioner became a
bhumidhar of the land under s. 18 (d) (iii) of the Abolition Act and that his
bhumidhari rights still subsist. On July 5, 1952, the petitioner and his
employees went to the land to carry on agricultural operations, but they were
stopped from doing so by the City Magistrate, Dehra Dun along with the
Divisional Forest Officer and the Tehsildar, Dehra Dun. He was ordered to
desist from clearing the land until further orders. The matter was then
referred to the Government of Uttar Pradesh, and the petitioner was ordered to
desist from doing anything, which was contrary to the U. P. Private Forests Act
1948 (U. P. VI of 1949). It may be mentioned that in the meantime the, Transfer
Act which was passed on June 23, 1952, came into force with retrospective
effect from May 21, 1952. By this Act all transfers made by intermediaries
after May 21, 917 1952, were declared void. The petitioner was therefore asked
by the City Magistrate not to do anything contrary to the Transfer Act until
the orders of the Government were received or the matter was decided by a court
of law. The petitioner's case is that the land was no longer forest land when
the registered lease in his favour was made in June 1952. The petitioner then
took up the matter with the Government but his representation in that behalf
was rejected in September 1952.
Thereupon in November 1952, the petitioner filed
a writ petition-in the High Court at Allahabad challenging the applicability of
the U. P. Private Forests Act to the land in dispute and also challenging the
constitutionality of the Transfer Act. An ad interim order was passed by the
High Court in December 1952 restraining the respondents from interfering with
the possession of the petitioner over the land in dispute and directing that
the parties should maintain the status quo. In February 1955, the petitioner
withdrew the petition filed in the High Court for various reasons into which it
is unnecessary to go. Thereafter the petitioner requested the Collector, Dehra
Dun, to allow him to carry out agricultural operations over the land in dispute
and he supported this prayer by a further allegation that he had at any rate
become a sirdar within the meaning of s. 210 of the Abolition Act and was thus
entitled to retain the land in dispute. The Collector again informed the
petitioner that the matter had been referred to the Government and in the
meantime the status quo should be maintained. In his present petition also, the
petitioner in the alternative raises the plea that he has become a sirdar of
the land in dispute and as no steps were taken by the State to eject him within
two years of the date of vesting, namely, July 1, 1952, he was. entitled to
retain the possession of the land as sirdar.
918 On March 23, 1955, the Government of
Uttar Pradesh issued a notification under s. 4 of the Indian Forest Act, 1927,
(XVI of 1927) ( hereinafter referred to as the Forest Act), declaring that 'it
had been decided to constitute Asarori village including the land in dispute a
"reserved forest", and appointing the, Forest Settlement Officer
Dehra Dun to call for objections from claimants under Chap. 11 of that, Act. On
April 26, 1955 , a proclamation was issued under s. 6 of the Forest Act,
calling for objections, from claimants.
The petitioner, however, has made no claim so
far in pursuance of the proclamation issued under s. 6 of the Forest Act, and
his reason for this is that his matter was still under the consideration of the
Government as intimated to him by the Collector of Dehra Dun, and no orders had
been passed by the Government thereon.
On December 3, 1955, the Governor of Uttar
Pradesh promulgated an Ordinance, named as "The Indian forest (U.
P. Amendment) Ordinance, 1955" adding
Chap. V-A to the Forest Act, and a notification was issued there under
restraining the claimants as defined in s. 38-A from doing acts prohibited
under s. 38-B. This Ordinance was made into an Act in March 1956, namely, the
Indian Forest (U.P.
Amendment) Act, 1966' (U. P. V of 1956) by
which Chap V-A was introduced into the Forest Act, and a fresh notification was
issued under the Act prohibiting various acts mentioned in s. 38-B thereof.
This is one of the Acts which the petitioner challenges as unconstitutional.
The petitioner asserts that the notification of March 17, 1956, was cancelled
on December 19, 1956, and thereupon he applied to the Collector again to allow
him to reclaim the land. The Collector fold him in reply that the orders of the
Government were awaited in that connection. The petitioner further alleges that
in November 1957 the State of Uttar Pradesh released over 293 acres out of the
land in dispute in favour of Virendra Goyal, his 919 benamidar. The petitioner
then made a representation to the Government in that behalf protesting against
the release of land in favour of Virendra Goyal, and was informed that order
had been cancelled on August 14, 1958. In May 1959, the legislature of Uttar
Pradesh passed another Act known as the Government Grants (U. P. Amendment)
Act, No. IX of 1959, and the petitioner contends that by virtue of this Act all
other laws ceased to apply to the land in dispute but as this Act was admittedly
repealed by the Government Grants (U. P. Amendment) Act,. No. XIII of 1960,
with retrospective effect, nothing turns on this Act 'now, though the
petitioner approached the Collector of Dehra Dun immediately after U. P. Act
No. IX of 1959 was passed to be allowed to carry on reclamation operations. The
Collector however told him that he should do nothing till specific orders were
received from the Government or the matter was decided by a court of law.
Thereupon the petitioner filed a writ
petition in this Court under Art. 32 which was admitted in February 1960. When
this writ petition came up for hearing on October 25 1961, this Court was
informed that certain notifications had been issued under ss.38-B and 38-C of
the Forest Amendment Act.
The petitioner was therefore allowed on March
19, 1962 to withdraw that petition with liberty to present a fresh writ
petition and thereupon the present petition was filed in April 1962.
The main contentions of the petitioner with
respect to the two Acts,, the constitutionality of which he challenges, are
these. He contends that the Transfer Act is unconstitutional, as it deprives
the lessees of their leasehold rights without, any provision for payment of
compensation in violation of Art. 31 (2) of the Constitution as it stood before
the Fourth, Amendment to the Constitution. In the alternative, he claims that
even if the Transfer Act 920 is valid, he has become a sirdar under s. 210 of
the Abolition Act. As to the Forest Amendment Act, it is contended that it is
unconstitutional as it imposes unreasonable restrictions on the fundamental
right of the petitioner enshrined in Art. 19 (1) (f) of the Constitution.
Besides these two main objections, the
petitioner further contends that the notification under s. 4 of the Forest Act
dated March 23, 1955, was cancelled so far as the land in dispute was concerned
and therefore would not affect the petitioner's case. It is also urged that as
no notification under s.20 of the Forest Act has been issued, it must be held that
the purpose of the notification under s. 4 had been abandoned. As to the
notification under s. 38-B of the Forest Amendment Act, it may be mentioned
that the petitioner made no objections as required under that Act;
but he claims that he could not do so because
before the time within which he had to file objections had expired, U.P. Act IX
of 1959 had come into force and it was not necessary for him to file any
objection in view of that Act.
The petitioner therefore prays that the
Transfer Act and the Forest Amendment Act be declared ultra vires and all
actions taken there under be held to be void as against the petitioner. He
further prays that he may be declared a bhumidhar or in the alternative a
sirdar under the provisions of the Abolition Act and the respondents be
restrained from interfering with his possession of the land.
He also prays that in case it is found that
he has been dispossessed, a writ in the nature of mandamus or any other
appropriate direction be issued against the respondents directing them to
withdraw from possession of the land in dispute and to permit the petitioner to
enjoy such rights to which he may be found entitled.
The petition has been opposed on behalf of
the State of Uttar Pradesh and it is maintained in the first place that the
Transfer Act is valid and constitutional. If that is held in favour of the
respondent, 921 nothing else will survive, for no rights would then arise in
favour of the petitioner under the registered lease of June 1952. Further.it
has been strenuously contended on behalf of the state that the petitioner never
obtained possession over the land in dispute. It has also Seen contended that
the land in dispute was never denuded of trees and that it is still forest land
on which a large number of trees are standing. The petitioner's claim that he
has become a bhumidhar under the Abolition Act is also denied. His further
claim that he has become a sirdar is also repelled.
The case of the State is that the petitioner
acquired no rights under the registered lease of June 1952 and has no right to
maintain the present petition in consequence, irrespective of whether the
Transfer Act is valid and constitutional or not. It is also contended that the
Forest Amendment Act is a valid and constitutional piece of legislation and the
various notifications issued under the Forest Act and the Forest Amendment Act
are perfectly good.
Lastly it is contended that the notification
under s. 4 of the Forest Act has never been withdrawn though no notification
under s. 20 has yet been issued in deference to the fact that the writ
petitions filed by the petitioner one after the other were pending either in
the High Court or in this Court. The three main points therefore which arise
for decision in the present petition are these :(1) Has the petitioner no right
whatsoever to any property by virtue of the registered lease deed of June 1952
in his favour irrespective of whether the Transfer Act is valid and
constitutional or not, and therefore has no locus standi to maintain the present
petition ? (2) Is the Transfer Act, 1952, valid and constitutional ? (3) Is the
Forest Amendment Act of 1956 valid and constitutional',? 922 There are some
subsidiary points with respect to the notifications issued which also arise for
consideration with which we shall deal when considering the three main points
mentioned above.
Re. (1).
The petitioner bases his right to move this
Court to protect his fundamental right on the basis of the registered lease in
his favour of June 14, 1952. There can be no doubt after a perusal of that
lease which is not said to be a fictitious document, that if various laws had
not been passed and had not come into force that might have affected this land,
it would have conferred a right of property on the petitioner, and he would be
entitled at least to be a permanent lessee of the land in dispute with such
rights as the lease confers upon him. It is therefore difficult to understand
how it can be said in the face of this lease that the petitioner has no right
to maintain the present petition. It may be that the lease may be of no force
and effect, if the Transfer Act is held valid-which is a question we shall
consider later-; but once it is conceded that the lease is not fictitious, it
does confer rights in the land affected by it on the petitioner. We cannot see
how the petitioner would have no right to maintain the present petition
irrespective of whether the Transfer Act is valid and constitutional or not.
What rights are conferred on the petitioner by this registered lease is a
different matter.
The petitioner claims that he has become a
bhumidhar under the Abolition Act by virtue of this lease; in the alternative
he claims that he has become a sirdar, as he is in possession. The State
however denies that the petitioner has become a bhumidhar under the Abolition
Act; it also denies that the petitioner is in possession and in consequence has
become a sirdar, under the Abolition Act.
The petitioner prays that his rights as a
bhumidhar or a sirdar, may be decided in the present petition. We are however
of opinion that it 923 will not be fair to either party to decide the question
whether or not the petitioner is either bhumidhar or sirdar by virtue of the
registered lease or the possession of the land demised which he claims, in
"View of the provisions of the Abolition Act. The petitioner'.-, status as
bhumidhar or sirdar will depend upon the decision of various questions of fact,
and we do not think that it will be fair to either party to decide those
questions of fact merely on the scanty documentary evidence available on this
record, in particular as the question of possession is also seriously disputed
and further there is a serious dispute as to whether any trees stand on this
land even now or whether trees had been cleared as recited in the registered
lease, before that lease was registered; these are all questions of fact on
which oral evidence will be necessary. There is a provision in the Abolition
Act, s. 229-B, which allows a person claiming to be a bhumidhar or sirdar under
it to file a suit to establish that right. We think, considering the serious
dispute as to facts which exists in this case between the parties both as to
the nature of the land and as to the possession of the petitioner, that the
petitioner should be left to establish his rights as bhumidhar or as sirdar by
suit, or it may also be possible for him to establish that right by filing
objections in response to the proclamation under s. 6 of the Forest Act with
which we shall deal in detail later. Therefore even though we are not prepared
to decide the question whether the petitioner is a bhumidhar or a sirdar, it
seems to us that in the face of the deed of lease in favour of the petitioner,
it cannot be said that he. has no right to maintain the present petition
(irrespective of whether the Transfer Act is valid or not). As we have already
indicated, if the Transfer Act is valid, then the lease in favour of the
petitioner will confer no right on him and in that case his petition must fail.
But if the Transfer Act is not a valid piece of legislation, the lease will
stand and so long as it stands, the petitioner would in our opinion be
competent to maintain the present 924 petition, though we make it clear that we
do not decide in this petition what right is conferred on the petitioner by the
lease and whether he is a bhumidhar or a sirdar by virtue of the lease and his
alleged possession over the land demised therein. We are therefore of opinion
that so long as the lease stands, the petitioner would have a right to maintain
the present petition, though we express no opinion as to the nature of that
right and leave it to the petitioner to have that determined in a proper forum.
It is also urged that no present tenancy
right was conferred by the lease on the petitioner though cl. (2) of the lease
purports to confer hereditary tenancy rights within the meaning of U. P.
Tenancy Act, as the land was at the time covered by trees and was not fit for
cultivation. This again raises the same question of fact, namely, the nature of
land at the time of the execution of the lease. It may be that no tenancy
rights may be created in' favour of the petitioner by the lease, if it is found
that the land in dispute was not land within the meaning of the U. P. Tenancy Act.
But that again is a question which will have to be decided in the proper forum
as indicated above by us. There can however be no doubt that the lease did
create some right, whatsoever be its nature, in presenti and though the nature
of that right may be disputed,, it is not a case where only some future right
is conferred. In the circumstances, it cannot be said that no right whatever in
presenti was created by the lease, and therefore the petitioner is not entitled
to maintain the present petition.
Lastly, it is urged that the lease was in
favour of two persons, namely, the petitioner and Virendra Goyal, and the
present petition has been filed only by the petitioner and Virendra Goyal has
not been made a party to it, even as respondent. It is urged therefore that the
present petition is not maintainable on that ground also, and reliance in this
connection is 925 placed on the analogy of suits, where all co-owners must join
in a suit to recover property unless the law otherwise provides, and if some
co-owners refuse to sue, the proper course to adopt as to the rest is to make
them defendants in the suit. It is enough to say that this principle applicable
to suits for possession can have no application to a petition under Art. 32,
which is not a suit for possession. Besides the case of the petitioner is that
the other lessee was a mere benamidar and if that case is right (on which again
we express no opinion, as the matter is sub judice in a civil court at Dehra
Dun), it would be unnecessary to make Virendra Goyal even a respondent. If the
petitioner has a right to maintain the present petition, the fact that he has
not made another person who would have equal right with him to maintain the
petition, even a party to the petition, would not in our opinion entail that
his petition should be thrown out on that ground alone and he should not be
granted any relief in the matter of enforcing his fundamental right. We are
therefore of opinion that the petitioner has a right to maintain the present
petition, though we express no opinion as to the nature of that right.
Re. (2).
The Transfer Act is a short Act of three
sections. The preamble to the Act says that as the Abolition Act has come into
force and it is expedient for the avoidance of transitional difficulties consequent
upon the said enforcement to regulate certain transfers of land by
intermediaries, the Act was enacted. Section I gives the short title, the
extent to which the Act extends and the date from which it came into force,
namely, May 21, 1952, though it was actually published on June 23, 1952.
Section 2 is the definition section. Section 3 is the main section, which lays
down that notwithstanding anything contained in any law or contract to the
contrary, a lease of land by an intermediary either granted or registered on or
926 after May 21, 1952 shall be and is hereby declared null and void from the
date of the execution and the lessee shall for purposes of s. 180 of the U.P.
Tenancy Act and s. 209 of the Abolition Act be deemed to be a person in possession
of the land otherwise than in accordance with the provisions of the law for the
time being in force. It is further provided that a transaction between an
intermediary and a tenant conferring on the tenant a right to transfer by sale
his holding or any part thereof either made or entered into or registered on or
after May 21, 1952 shall be and is hereby declared null and void from the date
of execution. It will thus be seen that the Transfer Act makes two kinds of
transfers made on or after May 21, 1952 null and void and thus deprives the
transferee of the right which he would otherwise acquire under the transfer.
The contention of the petitioner is that the Transfer Act contravenes Art. 31
of the Constitution, as it was at the time the Act was passed, and therefore is
unconstitutional, for though the transferee is deprived of his property, no
compensation is provided in the Act as required by Art. 31(2) of the
Constitution.
Reliance in this connection is placed on the
State of West Bengal v. Subodh Gopal Bose(1), where dealing with Art. 31, the
majority of the Court held that Art. 31 protects the right to property by
defining the limits on the power of the State to take away private property. It
was further held that clause (1) and (2) of Art. 31 were not mutually exclusive
in scope and content, but should be read together and understood as dealing
with the same subject, namely, the protection of the right to property by means
of the limitations, on the State power referred to above, the deprivation contemplated
in cl. (1) being no-other than the acquisition or taking possession of property
referred to in cl. (2).
The decision in Subodh Gopal's case(1) was
referred to in Saghir Ahmad v. The State of U. P.(2), and it was pointed out
that in view of the majority decision in that case, it must be taken to be
settled that "'clauses (1) and (2) of article 31 are not (1) [1954] S.C.R.
587.
(2) [1955] 1 S.C.R. 707.
927 mutually exclusive in scope but should be
read together as dealing with the same subject, namely, the protection of the
right to property by means of limitations on the State's powers, the
deprivation contemplated in clause (1) being no other than acquisition or
taking possession of the property referred to in clause (2)". Soon after
the decision in Subodh Gopal's case(1), Art. 31(2) was amended by the
Constitution (Fourth Amendment) Act, 1955, and cl. (2A) was introduced in Art.
31, the amendment being prospective. The new cl. (2-A) of Art. 31 lays down
that "where a law does not provide for the transfer of the ownership or
right to possession of any property to the State or to a corporation owned or
controlled by the State, it shall not be deemed to provide for the compulsory
acquisition or requisition of property, notwithstanding that it deprives any
person of his property." This amendment thus accepted the minority view of
Das, J., as he then was, in Subodh Gopal's case(1) and made it clear that mere
deprivation of property, without the ownership or right to possession being
transferred to the State, would not attract the provisions of Art. 31(2). The
contention on behalf of the petitioner is that the amendment to Art. 31 being
not retrospective would not apply to the consideration of the constitutionality
of the Transfer Act, which would have to be considered on the basis of the
Constitution as it stood in 1952. It is not seriously disputed on behalf of the
respondents that if the Constitution as it stood in 1952 has to be applied to
judge the constitutionality of the Transfer Act, the case would be completely
covered by the decision in Subodh Gopal's case(1), and the Transfer Act not
having provided for payment of compensation, as required by Art. 31(2), as it
stood in 1952, would be unconstitutional. We are unable to agree with the view
taken by the High Court at Allahabad in Karam Singh v. Nihal Khan(2) insofar as
it upholds the validity of the Transfer Act.
(1) [1954] S.C.R, 587.
(2) A.I.R. (1957) All. 549.
928 The contention on behalf of the
respondents in support of the constitutionality of the Transfer Act is,
however, twofold. In the first place, it is urged that the constitutionality of
the Transfer Act must be judged on the basis of the Constitution as it stood on
the date of the present petition and not as it stood on the date of the
Transfer Act. Reliance in this connection is placed on Bombay Dyeing and
Manufacturing Co. Ltd. v. The State of Bombay (1), where it was observed at p.
1131, that it was not disputed that the Constitution Fourth Amendment Act which
introduced cl. (2-A) in Art. 31 was not retrospective, and that the rights of
the parties must be decided in accordance with the law as on the date of the
writ petition.
It is urged that this observation is an
authority for the proposition that in every case the constitutionality of an
Act has to be judged by the Constitution as it 'stood on the date of the writ
petition. We are of opinion that this observation is not capable of this
interpretation and could not have intended to lay down any such proposition.
The judgment in the Bombay Dyeing case (1) nowhere considers the question
whether the constitutionality of an Act has to be judged on the basis of the
Constitution as it stood on the date on which the Act was passed or on the
basis of the Constitution as it stood on the date the writ petition was made.
In that case it made no difference whether the Constitution a; it stood on the
date the. Act was passed or on the date when the writ petition was filed, was
applied, for the writ petition was filed long before the Constitution Fourth
*Amendment was enacted. The observation therefore in that case that the
constitutionality of an Act has to be judged on the basis of the Constitution
as it stood on. the date of the writ petition, cannot be given the meaning
which the learned counsel for the respondents put on it, particularly, as the
context shows that the amendment of the Article by the Constitution (Fourth
Amendment) Act was not retrospective. Now, if the constitutionality was to be
(1) [1958] S.C.R. 1122.
929 judged by the date of the writ petition,
the result would be that sometime the Fourth Amendment of Art. 31 would become
retrospective and sometimes it would not, depending upon whether the writ
petition was filed before the Fourth Amendment Act was passed or after the said
amendment. If the writ petition was filed before the Constitution (Fourth
Amendment) Act, the same provision of an Act would be unconstitutional while if
it was filed after the Fourth Amendment Act, it may be constitutional. Such a
result is obviously impossible to accept and could not have been meant by the
observation in Bombay Dyeing case (1). It is in our opinion absolutely
elementary that the constitutionality of an Act must be judged on the basis of
the Constitution as it was on the date the Act was passed, subject to any
retrospective amendment of the Constitution. Therefore, the argument that the
constitutionality of the Transfer Act must be judged on the basis of the
Constitution as it stood on the date of the present writ petition has no force
and must be rejected. We have already indicated that if the constitutionality
is to be judged on the basis. of the Constitution as it stood when the Transfer
Act was passed, it is not seriously disputed that the Transfer Act would be
unconstitutional., in view of the decision of this Court in Subodh Gopal's case
(2).
The second contention on behalf of the
respondents is that even if the Transfer Act was unconstitutional, when it was
passed the inconsistency having been removed on the enactment of the Constitution
(Fourth Amendment) Act by which Art. 31 was amended, the Transfer Act revived
and became effective, at any rate from the date the Fourth Amendment Act came
into force. This brings us to a consideration of the doctrine of eclipse, on
which the contention is based. This doctrine first came to be considered in
Behram Khurshed Pesikaka v. The State of Bombay () where Venkatarama Aiyar, J.
drew a (1) [1958] S.C.R. 1122. (2) [1954] S.C.R. 587.
(3) [1955] 1 S. C. R. 613, 930 distinction
between the invalidity arising out of lack of legislative competence and that
arising by reason of a check imposed upon the legislature by the provisions
contained in the Chapter on Fundamental Rights. He relied on an earlier
decision of this Court in Keshavan Madhava Menon v. The State of Bombay (1) and
was of the view that the word "void" in Art. 13 (1) should be
construed as meaning in the language of the American jurists as
"relatively void". It may however be observed that the laws under
consideration in Keshavan Madhava Menon's case (1) as well as in Behram
Khurshed Pasikaka (2) were both pre-Constitution laws, and the effect of Art.
13 (1) had to be considered with respect to their constitutionality. Be ram
Khurshed Pesikaka's ( 2) case was later referred to a larger Bench in view of
the constitutional questions involved and in the majority judgment of the
Constitution Bench, Mahajan, C. J., into out that there was no scope for
introducing terms like " relatively void", coined by American Jurists
in con, strung a Constitution which is not drawn up in ~similar language.
The majority also observed that they were not
able to endorse the opinion expressed by ~Venkatarama Aiyar, J., ~t at ~p
declaration of unconstitutionality brought about by lack of legislative power
stood on a different footing from a declaration of unconstitutionality brought
about by reason of abridgement of fundamental rights, and that it was not
correct to say that constitutional provisions in Part III of the Constitution
~merely operated as a check on the exercise of legislative power. It was also
observed that when the lawmaking power of a State is restricted by a written
fundamental law, then any law enacted which is opposed to the fundamental law
was in excess of the; legislative authority and was thus a nullity. Both these
declarations of unconstitutionality go to the root of the power itself and
there was no real dtstinctioi4 between them and they represent two aspects of
want of legislative power.
(1) [1951] S. C. R. 228.
(2) [1955] 1 S. C. R. 613.
931 Finally, it was added that a mere
reference to the provisions of Art. 13 (2) and Arts. 245 and 246 was sufficient
to indicate that there was no competency in Parliament or a State legislature
to make a law which comes into clash with part III of the Constitution after
the coming into force of the Constitution.
Then came the decision in Saghir Ahmad's case
(1). In that case the law under consideration had been passed after the coming
into force of the Constitution, and the judgment of the Constitution Bench was
unanimous. The question there to be considered was the effect of the
Constitution (First Amendment) Act, which was passed shortly after the Act
under challenge there was passed. It was observed that "'amendment of the
Constitution which came later cannot be invoked to validate an earlier
legislation which must be regarded as unconstitutional when it was
passed", and the observation of Prof. Cooley in his work on Constitutional
Limitations to the effect that "a statute void for unconstitutionality is
dead and cannot be vitalised by a subsequent amendment of the Constitution
removing the constitutional objection but must be re-enacted" was accepted
as sound, and the Court therefore came to the conclusion that the legislation
in question which violated the fundamental right of the appellants under Art.
19 (1) (g) of the Constitution and was not shown to be protected by cl. 6 of
the Article, as it stood at the time of the enactment must be held to be void
under Art. 13 (2) of the Constitution. The Court further held that the Act then
under consideration also violated Art. 31 (2) of the Constitution, and thus was
invalid. It will be seen therefore that the doctrine of eclipse was not applied
to the case of a post-Constitution law, which was unconstitutional as it was in
violation of the Art. 17 (1) (g) and was not protected by Art. 19 (6) and also
because it was in violation of Art. 31 (2). Saghir Ahmad's case (1) in effect
completely demolishes the argument raised on (1) [1955] 1 S.C.R. 707.
932 behalf of the respondents that a
post-Constitution law which is void under Arts. 19 (1) and 31 (2) of the
Constitution and is thus void from birth can be revived under the doctrine of
eclipse.
The respondents, however, rely on the next
case in this series, namely, Bhikaji Narain Dhakaras v. The State of Madhya
Pradesh (1). That case was however dealing with a pre-Constitution law and not
with a post-Constitution law.
In that case an argument was put forward that
Saghir Ahmad's case(2) would apply. But it was held that would not be so far
the simple reason that Saghir Ahmad's case (2) was dealing with a
post-,Constitution law, while that case was concerned with a pre-Constitution
law. It was in that connection that Art. 13 (1) came to be considered, and it
was observed that the true effect of the Article is to render an Act,
inconsistent with a fundamental right,., inoperative to the extent of the
inconsistency. It was further observed that "it is overshadowed by the
fundamental right and remains dormant but is not dead". With the amendment
made in the Constitution, it was pointed out, the provisions of the particular
Act were no longer inconsistent therewith and the result was that the impugned
Act began to operate once again from the date of such amendment. In that
connection, it was observed at p. 599 that "'the true position is that the
impugned law became, as it were eclipsed, for the time being, by the
fundamental right. The effect of the Constitution (First Amendment), Act, 1951,
was to remove the shadow and to make the impugned Act free from all blemish or
infirmity". It was further pointed out that "the American authorities
refer only to post-Constitution laws which were inconsistent with the
provisions of the Constitution. Such laws never came to fife but were stillborn
as it were. The American authorities therefore cannot fully apply to
pre-Constitution laws which, were perfectly valid before the
Constitution". The respondents, however, (1) [1955] 2 S.C.R. 589.
(2) [1955] 1 S.C.R. 707.
933 rely on the following passage at p. 599
"But apart from this distinction between preconstruction and
post-Constitution laws on which, however, we need not rest our decision, it
must be held that these American authorities can have no application to our
Constitution. All laws, existing or future, which are inconsistent with the
provisions of Part III of our Constitution are, by the express provision of
article 13, rendered void "to the extent of such inconsistency'. Such laws
were not dead for, all purposes. They existed for the purpose of
pre-Constitution rights and liabilities and they remained operative, even after
the Constitution, as against non citizens. It is only as against the citizens
that they remained in a dormant or moribund condition".
It is true that the learned judges did say
that they need not rest their decision on the distinction between pre Constitution
and post-Constitution laws ; but the later part of these observations where the
learned judges say that such laws are not dead for all purposes shows that they
had in mind pre-Constitution laws, for otherwise they could not have said that
they existed for the purpose of pre Constitution rights and liabilities and
they remained operative even after the Constitution as against noncitizens. We
are therefore of opinion that the decision in Bhikaji Narain's case (1) must be
confined to pre Constitution laws to which the doctrine of eclipse would apply.
We are fortified in this opinion by the fact that the learned judges in Bhikaji
Narain's case(1) themselves distinguished the earlier decision in Saghir
Ahmad's case(2), to which Das Acting C. J, who delivered the judgment in
Bhikaji Narain's case(1) was also a party.
Next we come to the last case on the point,
namely, Deep Chand v. The State of Uttar Pradesh(3). In that case, the majority
after referring to all these (1) [1959] 2 S.C.R. 589. (2) [1955] 1 S.C.R. 707.
(3) [1959] Supp. 2 S.C.R. 8.
934 cases pointed out the distinction between
Arts. 13(1) and 13(2), and further held that the limitations imposed by Chap.
III on legislative power were on the same level as the competence of the
legislature to make laws. The following observations at p. 20 will bring out
the position clearly :"Parliament and the Legislatures of States have
power to make laws in respect of any of the matters enumerated in the relevant
Lists in the Seventh Schedule and that power to make laws is subject to the
provisions of the Constitution, including Art. 13., i.e., the power is made
subject to the limitations imposed by Part III of the Constitution. The general
power to that extent is limited. The Legislature, therefore, has no power to
make any law in derogation of the injunction contained in Art. 13. Art. 13(1)
deals with laws in force in the territory of India before the commencement of
the Constitution and such laws insofar as they are inconsistent with the
provisions of Part, III shall to the extent of such inconsistency be void. The
clause, therefore, recognises the validity of the pre Constitution laws and
only declares that said laws would be void thereafter to the extent of their
inconsistency with Part III ; whereas clause (2) of that Article imposes a
prohibition o n the State making laws ,taking away or abridging the rights
conferred by Part III, and declares that laws made in contravention of this
clause shall to the extent of the contravention be void. There is a clear
distinction between the two clauses.
Under clause (1) a pre-Constitution law
subsists except to the extent of its inconsistency with the provisions of Part
III, whereas no post-Constitution law can be made contravening the provisions
of Part III and therefore the law to that extent, though made, is a nullity
from its inception".
935 The minority however thought that it was
not necessary to decide this question in that case, and therefore did not
finally express its views.
A review of these authorities therefore in
our opinion clearly shows that the doctrine of eclipse will apply to
pre-Constitution laws which are governed by Art. 13(1) and would not apply to
post-Constitution laws which are governed by Art. 13(2). It is, however, urged
on behalf of the respondents that on the language of Art. 13(1) and (2) there
should be no difference in the matter of the application of the doctrine of
eclipse. It is said that Art. 13(1) prescribes that insofar as the existing
laws are inconsistent with the provisions of Part III, they shall to the extent
of such inconsistency be void. Similarly,, Art. 13(2) provides that any law
made in contravention of this clause shall to the extent of the contravention
be void. The argument is two-fold. In the first place, it is urged that the
words "'to the extent of the inconsistency" or "'to the extent
of the contravention" mean "'so long as the inconsistency continues or
so long as the contravention continues." We are of opinion that this is
not the meaning of these words in Art. 13(1) and (2). Obviously, the
Constitution makers when they used the words "'to the extent of" in
both clauses intended that the pre-existing law or the post-Constitution law
should only be void as far as the inconsistency or the contravention went i.e.
if only a part of the law was inconsistent or contravened the constitutional
prohibition, that part alone would be void and not the entire law. The obvious
intention behind the use of the words ""to the extent of" was to
save such parts of a law as were not inconsistent with or in making which the
State did not contravene the prohibition against infringement of fundamental
rights and that distinction may conceivably introduce considerations of
severability ; it has in our opinion no reference to the time for which the
void ness is to continue. Where the Constitution 936 makers intended to refer
to time they have used specific words for that purpose ; as, for instance, in
Art. 251. That Article deals with "'inconsistency between laws made by
Parliament under Articles 249 and 250 and laws made by the Legislatures of
States' , and provides that........... ..
the law made by Parliament, whether passed before
or after the law made by the Legislature of the State, shall prevail, and the
law made by, the Legislature of the State shall to the extent of the repugnancy
but so long only as the law made by Parliament continues to have effect, be inoperative."
If therefore the Constitution makers intended that the provisions in Art. 13(1)
and (2) would only affect laws so long as inconsistency continued or
contravention lasted, they could have provided specifically for it. On a plain
construction of the clause, the element of time, must be excluded. We cannot
therefore accept the contention that the words ""to the extent
of" import any idea of time. In our opinion, they only import the idea
that the law may be void either wholly or in part and that only such portions
will be void as are inconsistent with Part III or have contravened Part III and
no more.
We may in this connection also refer to the
difference in the language and scope of Art. 13(1) and 13(2). Art. 13(1)
clearly recognises the existence of pre-existing laws in force in the territory
of India immediately before the commencement of the Constitution and then lays
down that i in so far as they are inconsistent with the provisions of Part III,
they shall be void to the extent of such inconsistency. The pre Constitution
laws which were perfectly valid when they were passed and the existence of
which is recognised in the opening words of Art. 13(1) revive by the removal of
the inconsistency in question.
This in effect is the doctrine of eclipse,
which if we may say so with respect, was applied in Bhikaji Narain's case.(1)
(1) [1955] 2 S.C.R. 589.
937 Art. 13(2) on the other hand begins with
an injunction to the State not to make a law which takes away or abridges the
rights conferred by Part III. There is thus a constitutional prohibition to the
State against making laws taking away or abridging fundamental rights. The
legislative power of Parliament and 'the Legislatures of States under Art. 245
is subject to the other provisions of the Constitution and therefore subject to
Art. 13(2), which specifically prohibits the State from making any law taking
away or abridging the fundamental rights. Therefore, it seems to us that the
prohibition contained in Art. 13(2) makes the State as much incompetent to make
a law taking away or abridging the fundamental rights as it would be where law
is made against the distribution of powers contained in the Seventh Schedule to
the Constitution between Parliament and the Legislature of a State.
Further, Art. 13(2) provides that the law
shall be void to the extent of the contravention. Now contravention in the
context takes place only once when the law is "made, for the contravention
is of the prohibition to make any law which takes away or abridges the
fundamental rights. There is no question of contravention of Art. 13 (2) being
a continuing matter. Therefore, where there is a question of a post Constitution
law, there is a prohibition against the State from taking away or abridging
fundamental rights and there is a further provision that if the prohibition is
contravened the law shall be void to the extent of the contravention. In view
of this clear provision it must be held that unlike a law covered by Art. 13(1)
which was valid when made, the law made in contravention of the prohibition
contained in Art. 13 (2) is a still, born law either wholly or partially
depending upon the extent of the contravention.
'Such a law is dead from the beginning and
there can be no question of its revival under the doctrine of eclipse. plain reading
therefore of the words in Art. 13(1) and Art. 13(2) brings out a 938 clear
distinction between the two. Art. 13(1) declares such pre-Constitution laws as
are inconsistent with fundamental rights void. Art. 13 (2) consists of two
parts; the first part imposes an inhibition on the power of the State to make a
law contravening fundamental rights, and the second part, which is merely a
consequential one, mentions the effect of the breach. Now what the doctrine of
eclipse can revive is the operation of a law which was operative until the
Constitution came into force and had since then become inoperative either
wholly or partially; it cannot confer power on the State to enact a law in
breach of Art. 13(2) which would be the effect of the application of the doctrine
of eclipse to post-Constitution laws. Therefore, in the case of Art. 13(1)
which applies to existing law, the doctrine of eclipse is applicable as laid
down in Bhikuji Narain's case (1), but in the case of a law made after the
Constitution came into force, it is Art. 13(2) which applies and the effect of
that is what we have already indicated and which was indicated by this Court as
far back as Saghir Ahmvd's case (2).
It is however urged on behalf of the
respondents that this would give a different meaning to the word 'void" in
Art. 13 (1). as compared to Art. 13 (2). We do not think so. The meaning of the
word "void" in Art. 13 (1) was considered in Keshava Madhava Menon's
caseand again in Behram Khurshed Pesikaka's case In the later case, Mahajan, C.
J., pointed out that the majority in Keshava Madhava Menon's case (3) clearly
held that the word "void" in Art. 13(1) did not mean that the statute
stood repealed and therefore obliterated from the statute book; nor did it mean
that the said statute was void ab initio. This, in our opinion if we may say so
with respect, follows clearly from the language of Art. 13(1), which
presupposes that the existing laws are good except to the extent of the
inconsistency with the fundamental rights. Besides (1) [1955] 1 S.C.R. 589 (2)
[1955] 1 S.C.R. 707.
(3) [1951] S.C.R. 288. (4) [1953] 1 S.C.R.
613.
939 there could not be any question of an
existing law being void ab initio on account of the inconsistency with Art.
13(1), as they were passed by competent
legislatures at the time when they were enacted. Therefore, it was pointed out
that the effect of Art. 13(1) with respect to existing laws insofar as they
were unconstitutional was only that it nullified them, and made them
"'ineffectual and nugatory and devoid of any legal force or binding
effect". The meaning of the word "void" for all practical
purposes is the same in Art. 13(1) as in Art. 13(2), namely, that the laws
which were void were ineffectual and nugatory and devoid of any legal force or
binding effect. But the pre-Constitution laws could not become void from their
inception on account of the application of Art. 13(1) The meaning of the word
','void" in Art. 13 (2) is also the same viz., that the laws are
ineffectual and nugatory and devoid of any legal force on binding effect, if
they contravene Art. 13(2). But there is one vital difference between
pre-Constitution and post-Constitution laws in this matter. The voidness of the
pre-Constitution laws is. not from inception. Such voidness supervened when the
Constitution came into force; and so they existed and operated for sometime and
for certain purposes; the voidness of post-Constitution laws is from their very
inception and they cannot therefore continue to exist for any purpose. This
distinction between the voidness in one case and the voidness in the other
arises from the circumstance that one is a pre-Constitution law and the other
is a post-Constitution law; but the meaning of the word void" is the same
in either case, namely, that the law is ineffectual and nugatory and devoid of
any legal force or binding effect.
Then comes the question as to what is the
effect of an amendment of the Constitution in the two types of cases. So far
'as pre-Constitution laws ate concerned the amendment of the Constitution which
removes the inconsistency will result 940 in the revival of such laws by virtue
of the doctrine of eclipse, as laid down in Bhikaji Narain's case (1) for the
preexisting laws were not still-born and would still exist though eclipsed on
account of the in consistency to govern_ preexisting matters. But in the case
of post Constitution laws, they would be still born to the extent of the contravention.
And it is this distinction which results in the impossibility of applying the
doctrine of eclipse to post-Constitution laws, for nothing can be revived which
never had any valid existence. We are therefore of opinion that the meaning of
the word "void" is the same both in Art 13 (1) and Art. 13 (2), and
that the application of the doctrine of eclipse in one case and not in the
other case does not depend upon giving a different meaning to the word
"void' in the two parts of Art. 13; it arises from the inherent difference
between Art. 13 (1) and Art. 13 (2) arising from the fact that one is dealing
with pre-Constitution laws, and the other is dealing with post Constitution
laws, with the result that in one case the laws being not still-born the
doctrine of eclipse will apply while in the other case the laws being still_
born-there will be no scope for the application of the doctrine of eclipse.
Though the, two clauses form part of the same Article, there is a vital
difference in the language employed in them as also in their content and scope.
By the first clause the Constitution recognises the existence of certain
operating laws and they are declared void, to the extent of their inconsistency
with fundamental rights. Had there been no such declaration, these laws would
have continued to operate. Therefore, in the case of pre Constitution laws what
an amendment to the Constitution does is to remove the shadow cast on it by
this declaration. The law thus revives. However, in the case of the second
clause, applicable to post Constitution laws, the Constitution does not
recognise their existence, having been made in defiance of a prohibition to
make them. Such defiance makes the (1) [1955] 2 S.C.R. 589.
941 law enacted void. In their case therefore
there can be no revival by an amendment of the Constitution, MO though the bar
to make the law is removed, so far as the period after the amendment is
concerned. In the case of post Constitution laws, it would be hardly
appropriate to distinguish between laws which are wholly void-as for instance,
those which contravene Art. 31-and those which are substantially void but
partly valid,-as for instance, laws contravening Art. 1.9. Theoretically, the
laws falling under the latter category may be valid qua non-citizens; but that
is a wholly unrealistic consideration and it seems to us that such nationally
partial valid existence of the said laws on the strength of hypothetical and
pendantic considerations cannot justify the application of the doctrine of
eclipse to them. All post Constitution laws which contravene the mandatory
injunction contained in the first part of Art. 13 (2) are void, as void as are
the laws passed without legislative competence, and the doctrine of eclipse
does not apply to them. We are therefore of opinion that the Constitution
(Fourth Amendment) Act cannot be applied to the Transfer Act in this case by
virtue of the doctrine of eclipse It follows therefore that the Transfer Act is
unconstitutional because it did not comply with Art.
31 (2), as it stood at the time it was
passed. It will therefore have to be struck down, and the petitioner given a declaration
in his favour accordingly.
Re. (3).
We now come to the constitutionality of the
Forest Amendment Act. By this Act, Chap. V-A was added to the Forest Act, and
the main provision of it which has been attacked is s.
38-B. It lays down that the State Government
may by notification regulate or prohibit in any forest situate in or upon any
land of a claimant the doing of certain acts where such regulation or
prohibition appears necessary.
942 Claimant is defined in S. 38-A as meaning
a person claiming to be entitled to the land or any interest therein acquired,
owned, settled or possessed or purported to have been acquired, owned. settled
or possessed whether under, through or by any lease or licence executed prior
to. the commencement of the Abolition Act or under and in accordance with any
provision of any enactment,, including the Abolition Act. It may be added that
in 1960 there was an amendment to this Act by which certain other sections have
been added in Chap. V-A. We shall deal with the effect of that amendment later;
for the present we are dealing with the attack on S. 38-B. It is contended that
the regulation or prohibition contemplated in S. 38-B is of a permanent nature
and interferes even with forestry operations. It is also contended that it
takes away rights without any provision for compensation. In short, the attack
on Chap.
V-A, as originally enacted., is based on a
contrast of its provision with Chap. V of the Forest Act. Now if this is really
so, there may be something in favour of the petitioner's contention that
certain parts of Chap. V-A, as originally enacted, are unconstitutional. But
the contention on behalf of the respondents is that Chap. V-A, as originally
enacted (i.e. ss. 38-A to 38-G) is not supplementary to Chap. V, but is
supplementary to Chap. II of the Forest Act, and is thus intended to serve as a
temporary provision for protection of forests while proceedings under Chap. II
are going on. If this contention on behalf of the respondents is correct, the
attack of the petitioner on Chap. V-A, as originally enacted, would lose all
force because that attack is based on the assumption that Chap. V-A, as
originally enacted, allows the State to make permanent orders under it and then
the contrast between Chap. V-A as originally enacted and Chap. V would bring
out the infirmities in Chap. V-A.
It is necessary therefore to I look at the
scheme of Chap.
II of Forest Act, which contains sections 3
943 to 27 and deals with reserved forests. Section 3 provides that the State
Government may constitute any forest land or waste land which is the property
of Government or over which the Government has proprietary rights, or to the
whole or any part of the forest produce of which the Government is entitled, a
reserved forest. Section 4 provides for the issue of a notification declaring
the intention of the Government to constitute a reserved forest. Section 5 bars
accrual of forest rights in the area covered by notification under s. 4 after
the issue of the notification. Section 6 then inter alia gives power to the
Forest Settlement Officer to issue a proclamation fixing a period of not less
than three months from the date of. such proclamation and requiring every
person claiming any right mentioned in s. 4 and s 5 within such period either
to present to the Forest Settlement Officer a written notice specifying or to
appear before him and state the nature of such right and the amount and
particulars of the compensation (if any) claimed in respect thereof. Section 7
gives power to the Forest Settlement Officer to make investigation himself to
discover these rights. Section 8 prescribes the powers of the Forest Settlement
Officer, and lays down inter alia that he will have the same powers as a civil
court has in the trial of suits. Section 9 inter alia provides for the
extinction of rights where no claim has been made under s. 6 on the making of a
notification under s. 20. Section II (1) lays down that "in the case of a
claim to a right in or over any land, other than a right-of way or right of
pasture, or a right to forest-produce or a water-course, the Forest Settlement
Officer shall pass an order admitting or rejecting the same in whole or in
part." Section 11(2) lays that "if such claim is admitted in whole or
in part, the Forest Settlement Officer shall either (i) exclude such land from
the limits of the proposed forest, or (ii) come to an agreement with the owner
thereof for the surrender of his rights ; or (iii) proceed to acquire such land
in the manner provided by the Land Acquisition Act, 1894." 944 Sections 12
to 16 provide for the determination of rights other than rights in or over any
land, including commutation by the payment of a sum of money or by the grant of
land, or in such other manner as he thinks fit. Section 17 provides for appeals
from orders passed under ss. 11, 12, 15 and 16, while s. 18(4) provides for
revising an appellate order by the State Government. Section 19 permits lawyers
to appear before the Forest Settlement Officer or in appeal. When all these
proceedings are over, the State Government has to publish a notification under
s. 20 specifying definitely-the limits of the forest, which is to be reserved
and declaring the same to be reserved from the date fixed by the notification,
and from such date the forest shall be deemed to be a reserved forest. We need
not refer to the remaining sections which provide for ancillary matters after
the notification under s. 20.
It is clear from this review of the
provisions of Chap. II that it applies inter alia to forest land or waste land
which is the property of the Government or over which the Government has
proprietary rights. By the notification under s. 4, the Forest Settlement
Officer is appointed to inquire into and determine the existence, nature and
extent of any right-.; alleged to exist in favour of any person in or over any
land comprised within such limits, or in or over any forest produce, and to
deal with the same as provided in this Chapter. Section II then provides for
the adjudication of rights in or over land, and provides that if it is held
that rights in or over land exits, the land may be excluded from the limits of
the proposed forest or there may be some agreement between the owner of that
right and the Government with respect to it, or the Forest Settlement Officer
may proceed to acquire such land in the manner provided in the Land
Acquisition6n Act. It will be clear therefore that Chap. II contemplates that
where forest land or waste land is the property of Government or over which
the, 945 Government has proprietary rights, the Forest Settlement Officer shall
proceed to determine subordinate rights in the land before a notification under
s. 20 is issued making the area a reserved forest. In the determination of
these rights, the Forest Settlement Officer has the same powers as a civil
court has in the trial of suits, and his order is subject to appeal and finally
to revision by the State Government. Section 5 also shows that after a
notification under s. 4, no further forest rights can accrue. It appears, however,
that after the Abolition Act came into force, it was felt that more powers
should be taken to control forests than was possible under s. 5 as under the
Abolition Act all lands to which the Abolition Act applied had vested in the
State and become its property. That is why, according to the respondents, the
Forest Amendment Act was passed in 1956, and though there is no express or
specific provision therein to show that as originally enacted it was a mere
provision to tide over the difficulties arising during the time proceedings
under Chap.
II were pending, it appears that there is
force in the contention of the respondents that this was a mere interim measure
to deal with the situation arising after the Abolition Act came into force
while steps were being taken to constitute reserved forests under Chap. II, as
all lands had become the property of the State in the area to which the
Abolition Act applied. This is in our opinion 'Made clear by the definition of
the word "claimant" in s. 38-A, and the rest of the Chapter, as
originally enacted, deals with claimants. The heading of the Chapter does
appear to be somewhat ambiguous in as much as it says ""-of the
Control over Forests of Claimants." The idea one gets prima facie from
this heading is that the forests belong to claimants and the intention is to
control such forests.
This heading is in line with the heading of
Chap. V of the Forest Act, which is ""of the control over Forests and
Lands not being the property of Government", and so the first impression
created on one's mind is that just as Chap. V deals With 946 forests and lands
not being the property of Government, Chap. VA also deals with forests which
are not the property of Government but of claimants. But the definition of
"claimant" in s. 38-A clearly shows that the claimant therein is a
person making a claim and not a person whose claim has been recognised.
Therefore it would not in our opinion be incorrect to connect Chap. V-A, as
originally enacted, with Chap. 11 of the Forest Act, which clearly deals with
claims and has here and there used the word ."claimant" (as for
instance in s. 11(b) ), though the word "claimant" has not been
defined in that Chapter. It seems to us therefore that Chap. V-A, as originally
enacted (ss. 38-A to 38) was only dealing with claimants who were making claims
under Chap. II and whose claims would be dealt with there under, and so the
heading of Chap. V-A really means control of forests in respect of which claims
are made by claimants. If these claims are with respect to rights in or over
land, they would be dealt with under S. 11 and if they are claims with respect
to other matters, they would be dealt with under ss. 12 to 16. It seems to us
that if the claimant defined in s. 38A was not the person making a claim under
Chap. II, Chap. V-A, as originally enacted, would have little sense, for it
provides no 'Machinery for dealing with claims of claimants. Further, it is on
this basis that one can understand the use of the word "Prohibition"
in s. 38-B, which even restricts genuine forestry operations. It seems to us
unthinkable that genuine forestry operations should be restricted permanently
without any procedure for deciding the claims of claimants.
Therefore Chap. V-A, as originally enacted,
is ancillary to Chap. II and gives further power of control besides those
contained in Chap. II, during the period that proceedings under Chap. II are
pending. Looked at in this way Chap. V-A as originally enacted would be
constitutional, ,as it will be in the interest of the general public to provide
for interim protection of the forests pending disposal of claims 947 under
Chap. II and the declaration of the forest as reserved forest under s. 20
thereof.
But it is urged that the amendment in Chap.
V-A by the Indian Forest (U.P. Amendment) Act 1960, (U.P. XXI of 1960) destroys
this character of the Forest Amendment Act, as originally enacted. By this
'amendment, ss. 38-H to 38-M were added to Chap. V.A. Section 38-H (1) provides
for taking over the management of any particular forest or forest land for a
period not exceeding fifteen years.
Sub-section (2) thereof says that no
notification under sub-s. (1) shall be issued unless notice is issued to a
claimant, owner or tenure-holder of the forest or forest land. Obviously,
therefore, the provisions of s. 38-H and the subsequent sections are, wider
than the provisions of ss.38-A to 38-G, which were originally enacted. We are
not actually concerned with the provisions of s.38-H onwards, for no action has
been taken under those provisions; nor has the petitioner alleged that there is
any threat of such action. The argument, however is that this new provision
shows that ss.38-A to 38-G are not connected with Chap II , and really go with
this new provision. We cannot accept this argument, for, in the first place,
the legislature when it passed ss. 38-A to 38-G never had ss. 38-H to 38-M in mind.
In the second place, s. 38-H also deals with the land of claimants though it
further deals with the lands of tenure-holders or owners. So far as the
claimants are concerned, the position still remains that there must be some
provision for deciding their claims and no such provisions are found up to s.
38-M, and we are therefore thrown back on Chap. II so far as the claimants are
concerned. It must therefore be held that the enactment of new ss. 38-H to 38-M
made no difference to the position that ss. 38-A to 38-G as originally enacted,
are supplementary to Chap. II, though s. 38-H onwards may not be so and may
stand by themselves, so far as owners or tenure-holders are concerned. There is
no doubt, however, that ss. 38-A 948 to 38-G are ancillary to Chap. II and must
be read as such and in this view their constitutionality as interim provisions
cannot be successfully assailed.
It is next urged that even if ss. 38-A to
38-G are ancillary to Chap. II, they would not apply to the petitioner's land,
as Chap. II deals inter-alia with waste land or forest land, which is the
property of the Government and not with that land which is not the property of
the Government, which is dealt with under Chap. V. That is so. But unless the
petitioner can show that the land in dispute in this case is his property and
not the property of the State, Chap. II will apply to it. Now there isno
dispute that the land in dispute belonged to the Maharaja Bahadur of Nahan
before the Abolition Act and the said Maharaja Bahadur was an intermediary.
Therefore, the land in dispute vested in the State under s. 6 of the Abolition
Act and became the property of the State. It is however, contended on behalf of
the petitioner that if he is held to be a bhumidhar in proper proceedings, the
land would be his property and therefore Chap. V-A, as originally enacted, if
it is ancillary to Chap. II would not apply to the land in dispute. We are-of
opinion that there is no force in this contention. We have already pointed out
that under s. 6 of the Abolition Act all 'property of intermediaries including
the land in dispute vested in the State Government and became its property. It
is true that under s. 18, certain lands were deemed to be settled as bhumidhari
lands; but it is clear that after land vests in the State Government under s. 6
of the Abolition Act, there is no provision therein for divesting of what has
vested in the State Government. It is however urged on behalf of the petitioner
that he claims to be the proprietor of this land as a bhumidhar because of
certain provisions in the Act. There was no such proprietary right as
bhumidhari right before the Abolition Act. The Abolition Act did away with all
proprietary 949 rights in the area to which it applied and created three
classes of tenure by s. 129: bhumidhar, sirdar and asami, which were unknown
before. Thus bhumidhar, sirdar and asami are all tenure-holders under the
Abolition Act and they hold their tenure under the State in which the
proprietary right vested under s. 6. It is true that bumidhars have certain
wider rights in their tenures as compared to asirdars similarly sirdars have
wider rights as compared to asamis ;
but nonetheless all the three are mere tenure
holders-with varying rights under the State which is the proprietor of the
entire land in the State to which the Abolition Act applied. It. is not
disputed that the Abolition Act applies to the land in dispute and therefore
the State 'is the proprietor of the land in dispute and the petitioner even if
he were a bhumidhar would still be a tenure-holder.
Further, the land in dispute is either waste
land or forest land (for it is so far not converted to agriculture) over which
the State has proprietary rights and therefore Chap. II will clearly apply to
this land and so would Chap. V-A. It is truethat a bhumidhar has got a
heritable and transferable right and he can use his holding for any purpose
including industrial and residential purposes, and if he does so that part of
the holding will lie demarcated under s. 143. It is also true that generally
speaking, there is no ejectment of a bhumidhar and no forfeiture of his land He
also pays land revenue (s.241) but in that respect he is on the same footing as
a sirdar who can hardly be called a proprietor because his interest is not
transferable except as expressly permitted by the Act.
Therefore, the fact that the payment made by
the bhumidhar to the State is called land revenue and not rent would not
necessarily make him of a proprietor, because sirdar also pays land Revenue
though his rights are very much lower than that bhumidar. It is true that the
rights which the bhumidar has to a certain extent approximate to the rights
which a proprietor used to have before the Abolition Act was passed; but it is.
clear that rights of 950 a bhumidhar are in many respects less and in many
other respects restricted as compared to the old proprietor before the
Abolition Act. For example, the bhumidhar has no right as such in the minerals
under the sub-soil. Section 154 makes a restriction on the power of a bhumidhar
to make certain transfers. Section 155 forbids the bhumidhar, from making
usufructury mortgages. Section 156 forbids a bhumidhar, sirdar or asami from
letting the land to others, unless the case comes under s. 157. Section 189
(aa) provides that where a bhumidhar lets out his holding or any part thereof
in contravention of the provisions of this Act, his right will be extinguished.
It is clear therefore that though' bhumidhar have higher rights than sirdars
and asamis, they are still mere tenure-holders under the State which is the
proprietor of all lands in the area to which the Abolition Act applies. The
petitioner therefore even if he is presumed to be a bhumidhar can of claim to
be a proprietor to whom Chap. II of the' Forest Act does not apply, and
therefore Chap. V-A, as originally enacted, would not apply: (see in this
connection, Mst. Govindi v. The State, of Uttar Pradesh)(1). As we have already
pointed out ss. 4 and 11 give power for determination of all rights subordinate
to those of a proprietor, and as the right of the bhumidhar is that of a
tenure-holder, subordinate to the State, which is the proprietor, of the land
in dispute, it will be open to the Forest Settlement officer to consider the
claim made to the land in dispute by the petitioner, if lie claims to be a
bhumidhar. This is 'in addition to the provision of s.229-B of the Abolition
Act. The petitioner therefore even if he is a bhumidhar 'cannot claim that the
land in dispute is out of the provisions of Chap. II and therefore Chap. V-A,
even if it is ancillary to" Chap.II would not apply. We must therefore
uphold the constitutionality of Chap. V-A, as originally enacted, in the view
we have taken of its being supplementary to Chap. II, and we further hold that
Chap. II and Chap. V-A will apply to the land in dispute even (1) A.I.R. (1952)
All. 88.
951 if the petitioner is assumed to be the
bhumidhar, of that land.
The only other question that remains to be
considered is whether the notification under s. 4 is still in force. That
notification was issued under Chap. II of the Forest Act on March 23, 1955 and
thereafter a proclamation under s. 6 ibid was issued on April 26, 1955. The
petitioner contends that the notification under s. 4 was withdrawn so far as
his land was concerned by notification dated December 19, 1956. That is however
not a notification at all. It is a mere government order issued to all Conservators
of Forests, Divisional Forest Officers and District Officers as well as the
Secretary, Board of Revenue, and all that is stated there is that a number of
representations had been made to the Government by claimants of lands situated
in the erstwhile private forests under agreements executed before July 1952 by
them with their owners, and the Governor, on careful consideration, had decided
that all such lands in respect of which valid legal reclamations leases were
executed by the owners should be released in favour of the lessees. It was also
pointed out that if such land was included in any of the notifications issued
under s. 4 of the Forest Act, it should be deemed to have been excluded from
that notification. It may be mentioned that this government order was cancelled
by a later government order dated July 7, 1958, which was also not published.
Now a notification under s. 4 of the Forest Act is required to be published in
the Gazette and unless it is so published, it is of no effect. The notification
of March 23, 1956, was published in the Gazette and was therefore a proper
notification. It is also not disputed that in view of s. 21 of the U. P.
General Clauses Act (No.1 of 1904) a notification issued under s. 4 could have
been cancelled or modified but it could be done in the like manner and subject
to the like sanction and conditions, i.e. by notification in the gazette.
952 The Government order of December 1956
therefore cannot amount to excluding anything from the notification issued under
S. 4, for it was never published; it was a mere departmental instruction by
Government to its officers which was later withdrawn. The notification
therefore stands as it was originally issued and the petitioner cannot claim
any benefit of the government order of December 1956, which was later cancelled
. Further in view of the fact that we have held that Chap. V-A, as originally
enacted, is valid, being a measure supplementary to Chap. II, the notification
issued under Chap. V-A mu-St also be upheld.
In the result therefore the' petition is
allowed to this extent that the Transfer Act No. XV of 1952 is struck down as
unconstitutional and of no force and effect. We may add, however, that learned
counsel for the respondents has stated before us that if a claim is made even
now under Chap. II by the petitioner within thirty days of our judgment, even
though it' may be time-barred as from the date of the proclamation issued under
S. 6, the Forest Settlement Officer will entertain it and consider the claim as
required under Chap. II.
We therefore allow the petition in part and
strike down the U. P. Land Tenures (Regulation of Transfers) Act, No. XV of
1952 as unconstitutional. The rest of the prayers in the petition are rejected,
subject to the petitioner being free to take such steps as may be open to him
in law to establish his right whatever it may be under the registered lease of
June 1952 and subject to the State having the right to contest the said claim.
In the circumstances, the parties will bear their own costs oft this petition.
Petition allowed in part.
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