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England and Wales High Court (Chancery Division) Decisions |
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You are here: BAILII >> Databases >> England and Wales High Court (Chancery Division) Decisions >> Roberts v Egan [2014] EWHC 1849 (Ch) (07 May 2014) URL: http://www.bailii.org/ew/cases/EWHC/Ch/2014/1849.html Cite as: [2014] EWHC 1849 (Ch) |
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CHANCERY DIVISION
LIVERPOOL DISTRICT REGISTRY
35 Vernon Street Liverpool L2 2BX |
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B e f o r e :
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DAVID TUDOR ROBERTS | Claimant | |
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GEOFFREY ROBERT EGAN | Defendant |
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8th Floor, 165 Fleet Street, London, EC4A 2DY
Tel No: 020 7421 4036 Fax No: 020 7404 1424
Web: www.merrillcorp.com/mls Email: [email protected]
(Official Shorthand Writers to the Court)
MR NEIL BERRAGAN (instructed by Squire Sanders (UK) LLP) appeared on behalf of the Defendant
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Crown Copyright ©
"[i] This agreement sets out the entire agreement of the Members in relation to the constitution and operation of the LLP;
[ii] and each Member confirms that he is not relying on any commitment or representation by any of the other Members, except as set out in this Agreement.
[iii] In particular, each Member confirms that it has made its own evaluation of its participation in the LLP in the light of such legal, property and financial advice as he has seen fit to take; and
[iv] recognises that the information prepared by the LLP and its Members in relation to the Property has been derived from information provided by the proposed sellers of the Property and/or their representatives and/or the LLP's professional advisers."
"Therefore paragraphs 25 and 30 of my first witness statement should properly record that I received only one email from Anthony Downes, that being the second email, and which included both the three-page summary and the one-page summary that the defendant sent to Anthony Downes on 10 and 17 July 2006 respectively."
(Quote unchecked)
(1) Both the email and the PDF attachment made it clear that the funding agreement had been completed. Mr Downes accepted in cross-examination that he should have taken more notice of these documents and that he could not stop apologising. I am satisfied that Mr Downes did appreciate that the funding agreement had been completed. Had he entertained any doubts in that regard, they must have been dispelled when he spoke to Mr Egan, who must have reiterated what had been said in his email, that the funding agreement had been completed.(2) As Mr Downes acknowledged, Mr Roberts was an experienced lawyer and, of the two of them, Mr Roberts was the one who would have been able to make more sense of the documents.
(3) In relation to the attachments to the 10 and 17 July emails from Mr Egan, Mr Downes's evidence was that he had sent everything through to Mr Roberts. I have rejected that evidence; but, had I accepted it, I would have found it even more difficult to accept that Mr Downes had not forwarded the email of 25 July and/or its attachment to Mr Roberts.
(4) In cross-examination Mr Downes accepted that he must have spoken to Mr Roberts before he released the personal details recorded in his email to Mr Egan of 7 August 2006 (at page 877) and that he must have told Mr Roberts what he knew about the investment proposal by then, yet he did not accept that he would have told Mr Roberts about the 25 July email. When asked why not, he replied that he must put his hands up and say that he did not know why. I simply cannot accept this evidence.
(5) Mr Downes accepted that he would not have expected Mr Roberts to have disbursed any moneys without the funding agreement in place yet there were no emails asking Mr Egan for the funding agreement. I do not accept Mr Downes's evidence that the question in his email to Mr Egan of 11 September 2006 (at page 942): "Is the amended agreement ready?" was a request for the funding agreement. Such a form of question was not appropriate given that I am satisfied that Mr Downes already knew (from the 25 July email) that the funding agreement had already been completed (as indicated by the recently disclosed email of 21 August and the terms of the loan agreement for the Sittingbourne site, which had been sent to Mr Downes by the email of the 29 August at page 878). If this were not a reference to the second version of the 2006 addendum (because this only surfaced as an issue on or about 28 September: see page 945), then I am satisfied (contrary to Mr Downes's evidence) that this was a request for copies of the 2004 LLP agreement and its first, 2005 amending addendum (which Mr Egan had previously promised in his emails of 25 July at page 776 and 29 August at page 877A) and for which Mr Roberts was still asking after he had signed the second version of the addendum on 16 October 2006 (at page 967) and which he only received on 17 September 2008 (at page 1217). Those are my reasons for rejecting the evidence of Mr Roberts and Mr Downes.
"However, the misrepresentee must still prove inducement. If the misrepresentation was in very 'rough and ready terms', while the contract was a detailed financial instrument which the investor would be expected to read in order to discover the details which he claimed were of importance to him, but the investor signed the contract without reading it, he may be held not have relied on the misrepresentation."
"In my judgment, this jurisprudence confirms my provisional conclusion on the wording of clause 24. No doubt all such cases are only authority for each clause's particular wording: nevertheless it seems to me that there are certain themes which deserve recognition. Among them is that the exclusion of liability for misrepresentation has to be clearly stated. It can be done by clauses which state the parties' agreement that there have been no representations made; or that there has been no reliance on any representations; or by an express exclusion of liability for misrepresentation. However, save in such contexts, and particularly where the word "representations" takes its place alongside other words expressive of contractual obligation, talk of the parties' contract superseding such prior agreement will not by itself absolve a party of misrepresentation where its ingredients can be proved."
"If a clause is to have the effect of excluding or reducing remedies for damaging untrue statements, then the party seeking that protection cannot be mealy-mouthed in his clause. He must bring it home that he is limiting liability for falsehoods he may have told."