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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 >> London Executive Aviation Ltd v Royal Bank of Scotland Plc [2017] EWHC 1037 (Ch) (28 February 2017) URL: http://www.bailii.org/ew/cases/EWHC/Ch/2017/1037.html Cite as: [2017] EWHC 1037 (Ch) |
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CHANCERY DIVISION
7 Rolls Buildings Fetter Lane London EC4A 1NL |
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B e f o r e :
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LONDON EXECUTIVE AVIATION LIMITED | Claimant | |
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ROYAL BANK OF SCOTLAND PLC | Defendant |
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8th Floor, 165 Fleet Street, London, EC4A 2DY
Tel No: 020 7404 1400 Fax No: 020 7404 1424
Web: www.DTIGLOBAL.com Email: [email protected]
(Official Shorthand Writers to the Court)
PAUL SINCLAIR QC and LAURIE BROCK (instructed by Dentons) appeared on behalf of the Defendant
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Crown Copyright ©
MR JUSTICE NEWEY:
"The extent of the legal duty in any given situation must, I think, be a question of law for the court. Clearly, if there is some practice in a particular profession, some accepted standard of conduct which is laid down by a professional institute or sanctioned by common usage, evidence of that can and ought to be received. But evidence which really amounts to no more than an expression of opinion by a particular practitioner of what he thinks that he would have done had he been placed, hypothetically and without the benefit of hindsight, in the position of the defendants, is of little assistance to the court; whilst evidence of the witnesses' view of what, as a matter of law, the solicitor's duty was in the particular circumstances of the case is, I should have thought, inadmissible, for that is the very question which it is the court's function to decide."
"In my judgment the authorities which I have cited above establish the following propositions: expert evidence is admissible under section 3 of the Civil Evidence Act 1972 in any case where the Court accepts that there exists a recognised expertise governed by recognised standards and rules of conduct capable of influencing the Court's decision on any of the issues which it has to decide and the witness to be called satisfies the Court that he has a sufficient familiarity with and knowledge of the expertise in question to render his opinion potentially of value in resolving any of those issues. Evidence meeting this test can still be excluded by the Court if the Court takes the view that calling it will not be helpful to the Court in resolving any issue in the case justly. Such evidence will not be helpful where the issue to be decided is one of law or is otherwise one on which the Court is able to come to a fully informed decision without hearing such evidence."
"While construction of the applicable rules and interpretation of the ambit of the duty of reasonable skill and care is the Court's function and not the function of an expert, the process of construction and interpretation takes place in a context. An expert can give evidence about that context. If the meaning of the rule and/or ambit of the duty is clear without such evidence, the evidence is likely to be of assistance in determining whether the rule has been broken or the duty breached. It will provide a yardstick either to assist in determining what the duty encompasses or to assist in resolving whether the defendant's conduct fell short of the required standard."
A little later in his judgment, in a passage which Mr Marshall stressed, the judge said:
"The second factor is that in the overwhelming majority of swaps cases the defendant bank is able to call witnesses of fact who have considerable experience in the practice and procedure employed in selling IRHPs. These often include senior executives from the derivatives selling division and sometimes executives responsible for regulatory compliance. They have no difficulty explaining the systems put in place by the bank to ensure the discharge of its duties to the customer. The customer, by contrast, has no evidence with which to challenge the adequacy of these systems by reference to practice elsewhere unless it comes from an expert. The background of the players means that there is not a level playing field. Therefore unless there are reasons to suppose that any expert evidence will not be credible or is bound to lack utility, the claimant should be permitted to call it. Fairness then dictates that the bank should be given similar permission since evidence from an independent source that its practice is up to industry standards and compliant with the regulatory regime will carry more weight than evidence pointing in the same direction from its employees."