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England and Wales Court of Appeal (Civil Division) Decisions |
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You are here: BAILII >> Databases >> England and Wales Court of Appeal (Civil Division) Decisions >> Byrne (A Minor) v The Motor Insurers Bureau & Anor [2008] EWCA Civ 574 (22 May 2008) URL: http://www.bailii.org/ew/cases/EWCA/Civ/2008/574.html Cite as: [2008] Lloyd's Rep IR 705, [2009] QB 66, [2008] 3 WLR 1421, [2008] 3 CMLR 4, [2008] 4 All ER 476, [2008] Eu LR 732, [2008] RTR 26, [2008] PIQR P14, [2008] EWCA Civ 574 |
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COURT OF APPEAL (CIVIL DIVISION)
ON APPEAL FROM QUEEN'S BENCH DIVISION
MR JUSTICE FLAUX
HQ06X00793
Strand, London, WC2A 2LL |
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B e f o r e :
LORD JUSTICE KEENE
and
LORD JUSTICE CARNWATH
____________________
BEN BYRNE (a minor by his litigation friend, Julie Byrne) |
Respondent |
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- and - |
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THE MOTOR INSURERS BUREAU THE SECRETARY OF STATE FOR TRANSPORT |
Appellants |
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Mr Dermod O'Brien QC and Mr Fergus Randolph (instructed by Greenwoods) for the 1st Appellant
Mr Jonathan Crow QC, Ms Jemima Stratford and Mr David Barr (instructed by Treasury Solicitors) for the 2nd Appellant
Hearing dates : 6th and 7th May 2008
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Crown Copyright ©
Lord Justice Carnwath :
Introduction
i) Declaration (1) that on the true construction of the Second Directive and/or by virtue of the Community principle of equivalence, the MIB procedure should be subject to a limitation period no less favourable than that which applies to the commencement of actions in the Courts in respect of claims brought by minors for personal injury in tort against a traced driver ("the limitation issue");
ii) Declaration (4) that the UK was in "sufficiently serious breach" of its obligations under European Community law to give rise in principle to liability in damages for failure to ensure conformity with the Directive in that respect ("the liability issue").
Domestic law
The MIB regime
The Limitation Act 1980
Community law
The First and Second Directives
"1. The insurance referred to in Article 3(1) of Directive 72/166/EEC shall cover compulsorily both damage to property and personal injuries.
2. Without prejudice to any higher guarantees which Member States may lay down, each Member State shall require that the amounts for which such insurance is compulsory are at least:
- in the case of personal injury, ECU 350 000 where there is only one victim; where more than one victim is involved in a single claim, this amount shall be multiplied by the number of victims,
- in the case of damage to property ECU 100 000 per claim, whatever the number of victims.
Member States may, in place of the above minimum amounts, provide for a minimum amount of ECU 500 000 for personal injury where more than one victim is involved in a single claim or, in the case of personal injury and damage to property, a minimum overall amount of ECU 600 000 per claim whatever the number of victims or the nature of the damage.
...
4. Each Member State shall set up or authorise a body with the task of providing compensation, at least up to the limits of the insurance obligation[,] for damage to property or personal injuries caused by an unidentified vehicle or a vehicle for which the insurance obligation provided for in paragraph 1 has not been satisfied. This provision shall be without prejudice to the right of the Member States to regard compensation by that body as subsidiary or non-subsidiary and the right to make provision for the settlement of claims between that body and the person or persons responsible for the accident and other insurers or social security bodies required to compensate the victim in respect of the same accident.
The victim may in any case apply directly to the body which, on the basis of information provided at its request by the victim, shall be obliged to give him a reasoned reply regarding the payment of any compensation.
However, Member States may exclude the payment of compensation by that body in respect of persons who voluntarily entered the vehicle which caused the damage or injury when the body can prove that they knew it was uninsured. Member States may limit or exclude the payment of compensation by that body in the event of damage to property by an unidentified vehicle.
They may also authorise, in the case of damage to property caused by an uninsured vehicle, an excess of not more than ECU 500 for which the victim may be responsible.
Furthermore, each Member State shall apply its laws, regulations and administrative provisions to the payment of compensation by this body, without prejudice to any other practice which is more favourable to the victim."
(I have emphasized the parts most directly material to the present case. I have also added the missing comma in the first paragraph of 1(4), in accordance with its natural reading, which is confirmed by the French text of the judgment.)
Evans v Secretary of State
"20. The questions referred to the Court, which it is appropriate to consider together, raise a number of problems concerning the nature of the body which the Member States are required to establish in order to implement the Second Directive (fourth question), the remedies which must be available to victims of damage or injury caused by unidentified vehicles or vehicles for which the insurance obligation has not been satisfied (hereinafter insufficiently insured vehicles) (third and fourth questions), the need to provide for interest to be payable on sums paid to victims by the abovementioned body (first question), the need to provide for reimbursement of costs incurred by victims pursuing claims for compensation (second question) and the possible liability of the Member State concerned for failure to transpose the Second Directive correctly (fifth question)." (emphasis added)
"21. It is appropriate, first, to consider the nature of the system established by the Second Directive for the benefit of the victims of damage or injury caused by unidentified or insufficiently insured vehicles.
22. In contrast to victims of damage or injury caused by an identified vehicle, victims injured by an unidentified vehicle are normally unable to enforce their claims in legal proceedings for compensation because of the impossibility of identifying the person against whom proceedings should be brought.
23. In the case of an insufficiently insured vehicle, even if the victim is able to identify the person against whom legal proceedings should be brought, such proceedings are often liable to be fruitless because the defendant does not have the requisite financial resources to comply with the judgment given against him, or even to pay the costs incurred in the proceedings.
24. It is against that background that the first subparagraph of Article 1(4) of the Second Directive provides that each Member State is to set up or authorise a body with the task of providing compensation, at least up to the limits of the insurance obligation for damage to property or personal injuries caused by an unidentified or insufficiently insured vehicle.
25. The insurance obligation laid down in Article 3(1) of the First Directive covers civil liability in respect of the use of vehicles, at least on the basis of the minimum amounts of cover set by the Community legislature.
26. As regards the extent of the insurance obligation, the fifth recital in the preamble to the Second Directive indicates that the amounts of compulsory insurance cover must in any event guarantee victims adequate compensation.
27. It is thus clear that the Community legislature's intention was to entitle victims of damage or injury caused by unidentified or insufficiently insured vehicles to protection equivalent to, and as effective as, that available to persons injured by identified and insured vehicles.
28. It must nevertheless be emphasised that, to meet the requirements of the Second Directive, the body responsible for awarding compensation does not necessarily have to be placed, as far as civil liability is concerned, on the same footing as a defendant such as the driver of an identified and sufficiently insured vehicle."
i) It was immaterial that the MIB was established by agreement rather than by statute, provided that the agreement had the effect of obliging the body to provide victims with the compensation guaranteed to them by the Second Directive and that victims might apply directly to that body (para 37);
ii) Under the heading "The remedies available to victims", the court reaffirmed the principles of equivalence and effectiveness:
"It is settled case-law that in the absence of Community rules governing the matter it is for the domestic legal system of each Member State to designate the courts and tribunals having jurisdiction and to lay down the detailed procedural rules governing actions for safeguarding rights which individuals derive from Community law, provided, however, that such rules are not less favourable than those governing similar domestic actions (the principle of equivalence) and do not render virtually impossible or excessively difficult the exercise of rights conferred by Community law (the principle of effectiveness)…" (para 45)
iii) Under the same heading, the judgment dealt in terms with the latter principle of effectiveness. It noted that, notwithstanding the lack of an oral hearing or any right to appeal to a court, the procedure gave the victim "the advantages of speed and economy of legal costs":
"The United Kingdom Government claimed, without being contradicted, that the bulk of the costs incurred in relation to applications for compensation and gathering of relevant evidence are borne by the MIB, which makes contact with all the witnesses to the accident to obtain statements from them and endeavours to obtain all necessary medical or other expert evidence."
Accordingly, the procedural arrangements did not
"… render it practically impossible or excessively difficult to exercise the right to compensation conferred on victims of damage or injury caused by unidentified or insufficiently insured vehicles by the Second Directive…" (para 53-4)
iv) In what appears to be its comment on the other principle of "equivalence", the Court said:
"55. In view of the objective pursued by the Second Directive which, as stated in paragraphs 21 to 28 of this judgment, is to provide a simple mechanism for compensating victims, it further appears that the cumulative effect of the possibilities of review available under the procedure established in the United Kingdom and also the practical advantages associated with that procedure confer on victims of damage or injury caused by unidentified or insufficiently insured vehicles a level of protection corresponding to that provided for by that directive…"
v) Under "Payment of interest", it noted Mr Evans' argument that the "principle of equal treatment" was not fulfilled in the United Kingdom, because, in contrast to victims of identified and insured vehicles, victims of untraced vehicles do not obtain compensation that includes interest (para 59). It observed that the Second Directive contained no provision concerning interest on sums awarded by way of compensation, but, on the other hand, that to achieve "restitution", compensation for loss could not leave out of account "factors, such as the effluxion of time, which may in fact reduce its value". In the absence of Community rules, it was for Member States to decide on the rules to be applied to such issues, for example, by choosing between awarding interest or "paying compensation in the form of aggregate sums which take account of the effluxion of time" (paras 65-70).
vi) Under the heading "Reimbursement of costs" it observed that there was no specific provision in the Second Directive, and that this was a "procedural matter" in relation to which:
"… it is for the domestic legal system of each Member State to lay down the detailed procedural rules governing actions for safeguarding rights which individuals derive from Community law, in conformity with the principles of equivalence and effectiveness."
It was for the national court to verify whether, under the procedural arrangements adopted in the United Kingdom, those principles are complied with:
"In particular, it should assess whether, in view of the less advantageous position in which victims find themselves vis-à-vis the MIB and the conditions under which such victims are able to submit their comments on matters that may be used against them, it appears reasonable, or indeed necessary, for them to be given legal assistance." (paras 76-78)
"the rule of law infringed must be intended to confer rights on individuals; the breach must be sufficiently serious; and there must be a direct causal link between the breach of the obligation incumbent on the State and the loss or damage sustained by the injured parties."
If the compensation system set up in the United Kingdom were found to be "subject to one or more defects of transposition", it would be incumbent on the national court to determine "whether or not those defects have adversely affected Mr Evans", and if so whether the non-fulfilment of the United Kingdom's obligation to transpose the Second Directive is "sufficiently serious":
"86. In that connection, all the factors which characterise the situation must be taken into account. Those factors include, in particular, the clarity and precision of the rule infringed, whether the infringement or the damage caused was intentional or involuntary, whether any error of law was excusable or inexcusable, and the fact that the position taken by a Community institution may have contributed towards the adoption or maintenance of national measures or practices contrary to Community law (see Haim, cited above, paragraph 43).
87. Those criteria must in principle be applied by the national courts in accordance with the guidelines laid down by the Court (see, in particular, Brasserie du Pêcheur and Factortame, cited above, paragraphs 55 to 58)."
i) It is for national courts to determine whether the MIB arrangements satisfied the principles of effectiveness and equivalence. In making that assessment the court should look at -
"the cumulative effect of the possibilities of review available under the procedure established in the United Kingdom and also the practical advantages associated with that procedure…" (see paragraph 19 sub-para (iv) above)
ii) The appropriate comparison for the purposes of the principle of equivalence is the system of remedies available for insured drivers. In that respect, I agree with Mr Paines that paragraph 27 should read as meaning what it says. If it is seen in the context of the whole passage (rather than simply of the immediately preceding paragraphs), and against the background of the ordinary understanding of the principle of equivalence in Community law, there is no reason to adopt a more restrictive meaning. Further, if the judgment is read against the background of the Advocate General's Opinion, it seems clear that the Court was rejecting the UK's argument (see e.g. para 24) that comparison with the regime for insured drivers was not relevant. By implication, I think that this must also be the comparison to which paragraph 55 (see above) was intended to refer ("a level of protection corresponding to that provided for by that directive").
iii) The fact that the MIB procedure, looked at as a whole, met the requirements of effectiveness and equivalence was not a sufficient answer to the specific complaints in respect of interest and costs. They were looked at as distinct items in that overall context. The former was treated as a substantive matter (one aspect of adequate "restitution"), but one for which a statutory right to interest was not the only remedy. The latter, by contrast, was a procedural matter for which the Member State was responsible, subject again to the principles of effectiveness and equivalence. By the same token, in the present case, even if the limitation rules are regarded as "procedural", that does not remove the need to examine them as distinct matters against the same criteria.
iv) In the event of non-compliance being established, the liability of the State is to be judged by the national courts in accordance with the principles established by cases such as Brasserie du Pêcheur and Factortame.
The principle of "equivalence" in the present case
"Two principles can be drawn from this part of the judgment [of the European Court in Palmisani v INPS [1997] ECR I-4025]. First, the principle of "equivalence" really does mean what it says. The domestic court, in applying the principle, must look not merely for a domestic action that is similar to the claim asserting Community rights, but for one that is in juristic structure very close to the Community claim. It does that, in the words of the Court of Justice in Case C-326/96, Levez, [1999] IRLR 36 at paragraph 43, by considering "the purpose and the essential characteristics of allegedly similar domestic actions". That approach was demonstrated in Palmisani by the rejection of a claim for specific payments, as opposed to compensation, as a relevant comparison. It was also demonstrated by the need to find in the domestic law not merely a cause of action for reparation, but one for reparation for conduct of a public authority in the exercise of its powers…"
They argued that a claim in tort in court proceedings was very different "in juristic structure" from the claim under MIB procedure. One was a claim to enforce a liability in tort against an insured driver, the other to enforce the contractual liability of the MIB under its agreement with the Secretary of State.
Less favourable treatment
"… that quick, cheap and easy procedure (even assuming that is a correct characterisation of the procedure) can hardly be used to justify the much shorter time limit under Clause 1 (1) (f) than under the Limitation Act if, as a consequence of Clause 1 (1) (f), it is said by the Defendants that the Claimant cannot even begin to invoke the procedure."
Francovich damages
i) the rule of law infringed must have been intended to confer rights on individuals;
ii) the breach must be sufficiently serious; and
iii) there must be a direct causal link between the breach of the obligation resting on the State and the loss or damage sustained by the injured parties.
"The factors which the competent court may take into consideration include the clarity and precision of the rule breached; the measure of discretion left by the rule to a national or Community authorities; whether the infringement and the damage caused was intentional or involuntary; whether any error of law was excusable or inexcusable; the fact that the position taken by a Community institution may have contributed towards the omission, and the adoption or retention of national measures or practices contrary to Community law."
"More recent cases show the working out of these rules. Thus in Reg. v. H.M. Treasury, Ex parte British Telecommunications Plc. (Case C-392/93) [1996] QB 615 the Court held that where the interpretation adopted by the United Kingdom was arguable on the basis of an imprecisely worded article of the relevant directive and where there was no case law to give guidance the state was not liable in damages. In Reg. v. Ministry of Agriculture, Fisheries and Food, Ex parte Hedley Lomas (Ireland) Ltd. (Case C-5/94) [1997] QB 139 where there was no or very little room for discretion in granting a licence that could in itself be a sufficiently serious breach. In Dillenkofer v. Federal Republic of Germany (Case C-178/94) [1997] QB 259 it was held that a failure to implement a directive, where no or little question of legislative choice was involved, the mere infringement may constitute a sufficiently serious breach. In Denkavit Internationaal B.V. v. Bundesamt für Finanzen (Cases C-283/94) [1996] ECR I-5063 the Court held that other member states, after discussion with the Council had adopted the same interpretation of the Directive as Germany and as there was no relevant case law of the Court it was held that the breach was not sufficiently serious."
"…the clarity and precision of the rule infringed, whether the infringement or the damage caused was intentional or involuntary, whether any error of law was excusable or inexcusable, and the fact that the position taken by a Community institution may have contributed towards the adoption or maintenance of national measures or practices contrary to Community law."
i) The Secretary of State relied on the absence of any objection on this point when the Department was consulting prior to implementation of the Directive in the 1980s; and that, 18 years after the date for transposition of the Directive, this was the first case in which it has been suggested that the United Kingdom failed to transpose the Directive correctly in this respect. This consideration was reinforced by the contents of a report, commissioned by the Department from the British Institute of International and Comparative Law, on how other Member States have dealt with this issue. This showed a wide disparity as to limitation periods in general, and several other States (including France, Greece and Luxembourg) in which there is a significant difference between the limitation rules applying to liability of untraced drivers as compared to insured drivers.
ii) The Claimant, on the other hand, pointed to evidence that in 1987, when the United Kingdom was seeking to implement the Second Directive by introducing compensation for property damage caused by uninsured drivers, the Department of Transport appeared to have been alive to the point that a three year time limit for such claims (as requested by the MIB) would be contrary to Article 1(4) of the Second Directive. It had apparently overlooked the potential significance of the same point in relation to the limit in the Untraced Drivers Agreement. This, Mr Paines argued, was "not some excusable misunderstanding as to the law or as to what compliance with the Directive required, but an inexcusable lack of thoroughness" (judgment para 69).
"It is inherently unlikely, in view of what was said in the Department's letter of 16 September 1987 about the proposed three year time limit being precluded by Article 1 (4) of the Second Directive, that the Department could or would have taken a different view in relation to the existing time limit in the Untraced Drivers Agreement, which might be said to be an a fortiori case. Even if a different view had been taken, it would surely have been documented. I consider that the most likely explanation is that no-one in the Department checked the existing Untraced Drivers Agreement for compliance with the Directive. Contrary to Mr Crow's submission, it is my view that, in the context of the obligations of the Member State to ensure compliance with a Council Directive, that was an extremely serious breach. Of course it is not being suggested that the United Kingdom acted in bad faith or intentionally inflicted damage… but as Mr Paines pointed out, the fact that a Member State acted in good faith is not an answer if the lack of thoroughness, although inadvertent, is a sufficiently serious breach." (paras 73-4)
Conclusions
Lord Justice Keene :
Lord Justice Waller :