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You are here: BAILII >> Databases >> England and Wales High Court (Commercial Court) Decisions >> Primera Maritime (Hellas) Ltd & Ors v Jiangsu Eastern Heavy Industry Co Ltd & Anor [2013] EWHC 3066 (Comm) (15 October 2013) URL: http://www.bailii.org/ew/cases/EWHC/Comm/2013/3066.html Cite as: [2013] EWHC 3066 (Comm), [2014] 1 All ER (Comm) 813, [2014] 1 Lloyd's Rep 255 |
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QUEEN'S BENCH DIVISION
COMMERCIAL COURT
AND IN THE MATTER OF THE ARBITRATION ACT 1996
Fetter Lane, London, EC4A 1NL |
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B e f o r e :
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(1) PRIMERA MARITIME (HELLAS) LIMITED (2) ASTRA FINANCE INC (3) COMET FINANCE INC |
Claimants |
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- and - |
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(1) JIANGSU EASTERN HEAVY INDUSTRY CO LTD (2) NINGBO NINGSHING INTERNATIONAL INC |
Defendants |
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Graham Dunning QC and Jern-Fei Ng (instructed by DLA Piper UK LLP) for the Defendants
Hearing date: 3 October 2013
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Crown Copyright ©
The Honourable Mr Justice Flaux:
Introduction
Legal principles applicable to section 68(2)(d)
"68 Challenging the award: serious irregularity.
(1)A party to arbitral proceedings may (upon notice to the other parties and to the tribunal) apply to the court challenging an award in the proceedings on the ground of serious irregularity affecting the tribunal, the proceedings or the award.
A party may lose the right to object (see section 73) and the right to apply is subject to the restrictions in section 70(2) and (3).
(2)Serious irregularity means an irregularity of one or more of the following kinds which the court considers has caused or will cause substantial injustice to the applicant—
(d)failure by the tribunal to deal with all the issues that were put to it;"
"A distinction is drawn in the authorities between, on the one hand "issues" and, on the other hand, what are variously referred to as (for example) "arguments" advanced or "points" made by parties to an arbitration or "lines of reasoning" or "steps" in an argument (see, for example, Hussman (Europe) Ltd v Al Ameen Development & Trade Co [2000] 2 Lloyd's Rep 83, 97 and Bulfracht (Cyprus) Ltd v Boneset Shipping Co Ltd (The "Pamphilos") [2002] 2 Lloyd's Rep 681, 686). These authorities demonstrate a consistent concern to maintain the "high threshold" that has been said to be required for establishing a serious irregularity (see Lesotho Highlands Development Authority v Impergilo SpA and ors [2005] UKHL 34 paragraph 28 and the other judicial observations collected by Tomlinson J in AAB AG v Hochtief Airport GMBH and anor [2006] EWHC 388 paragraph 63). The concern has sometimes been emphasised by references to "essential" issues or "key" issues or "crucial" issues (see respectively, for example, Ascot Commodities NV v Olam International Ltd [2002] 2 Lloyd's Rep 277, 284; Weldon Plant v Commission for New Towns [2001] 1 All ER 264, 279; and Buyuk Camlica Shipping Trading and Industry Co Ltd v Progress Bulk Carriers Ltd [2010] EWHC 442 (Comm)), but the adjectives are not, I think, intended to import a definitional gloss upon the statute but simply allude to the requirement that the serious irregularity result in substantial injustice: Fidelity Management SA v Myriad International Holdings BV [2005] EWHC 1193 at paragraph 10. They do not, to my mind, go further in providing a useful test for applying section 68(2)(d)."
"The assumption of responsibility question, as it was identified and presented by PIC on this application is, to my mind, an "issue" within the meaning of sub-section 68(2)(d). It is not simply a way of presenting the question of foreseeability, and not simply an argument in support of a contention that losses were not within the First Limb or the Second Limb of Hadley v Baxendale. It can be difficult to decide quite where the line demarking issues from arguments falls, but here almost the whole of Dow's claim could have depended (and on the Tribunal's other conclusions did depend) upon how the assumption of responsibility question was resolved. I accept PIC's submissions about whether it was an issue because this accords with what I consider to be the ordinary and natural meaning of the word, and I find support for this conclusion in that, as I see it, fairness demanded that the question be "dealt with" and not ignored or overlooked by the Tribunal, assuming it was put to them."
"26 Sub-section 68(2)(d) is about the Tribunal "dealing with" issues. The question whether an issue was dealt with depends upon a consideration of the award: as Mr Gavin Kealey QC said in Buyuk Camlica Shipping Trading and Industry Co Inc v Progress Bulk Carriers Ltd [2010] EWHC 442 (Comm) at paragraph 38:
'It is not sufficient for an arbitral tribunal to deal with crucial issues in pectore, such that the parties are left to guess at whether a crucial issue has been dealt with or has been overlooked: the legislative purpose of section [68(2)(d)] is to ensure that all those issues the determination of which are crucial to the tribunal's decision are dealt with and, in my judgment, this can only be achieved in practice if it is made apparent to the parties (normally, as I say, from the Award or Reasons) that those crucial issues have indeed been determined.'
27 As Mr Smouha submitted, and Lord Grabiner acknowledged, a tribunal does not have to 'set out each step by which they reach their conclusion or deal with each point made by a party to an arbitration': Hussman (Europe) Ltd v Al Ameen Development and Trade Co and ors [2000] 2 Lloyd's Rep 83 paragraph 56. Nor does a tribunal fail to deal with an issue that it decides without giving reasons (or a fortiori without giving adequate reasons): see Margulead Ltd v Exide Technlogies [2004] EWHC 1019 (Comm) at paragraph 43. No less pertinent in this case, as I see it, are these considerations:
i) A tribunal does not fail to deal with issues if it does not answer every question that qualifies as an "issue". It can deal with an issue by making clear that it does not arise in view of its decisions on the facts or their legal conclusions.
ii) By way of amplification of this point, a tribunal may deal with an issue by so deciding a logically anterior point that the issue does not arise. For example, a tribunal that rejects a claim on the basis that the respondent has no liability is not guilty of a serious irregularity if it does come to a conclusion on each issue (or any issue) about quantum: by their decision on liability, the tribunal disposes of (or "deals with") the quantum issues.
iii) A tribunal is not required to deal with each issue seriatim: it can sometimes deal with a number of issues in a composite disposal of them.
iv) In considering an award to decide whether a tribunal has dealt with an issue, the approach of the court (on this as on other questions) is to read it in a "reasonable and commercial way expecting, as is usually the case, that there will be no substantial fault that can be found with it": Zermalt Holdings SA v Nu-Life Upholstery Repairs Ltd. [1985] 2 EGLR 14 at p.14F per Bingham J.
v) This approach may involve taking account of the parties' submissions when deciding whether, properly understood, an award deals with an issue. Although submissions do not dictate how a tribunal is to structure the disposal of a dispute referred to it, often awards (like judgments) do respond to the parties' submissions and they are not to be interpreted in a vacuum."
The case presented to the arbitrators on renunciation and affirmation
"Although the injured party is bound by his election once it has been made, the fact that he has affirmed the contract does not of course preclude him from treating it as discharged on a subsequent occasion if the other party again repudiates it."
"It does not follow from this analysis that the innocent party may in all cases change his mind after affirming the contract. If for example, after he had affirmed it, the repudiating party's conduct suggested that he proposed to perform after all, then that party's previous repudiation is spent. It had no further legal significance. If on the other hand, the repudiating party persists in his refusal to perform, the innocent party may later treat the contract as being at an end. The correct analysis in this case is not that the innocent party is terminating on account of the original repudiation and going back on his election to affirm. It is that he is treating the contract as being at an end on account of the continuing repudiation reflected in the other party's behaviour after affirmation."
"Once the innocent party has affirmed, he must go on performing. He must then be able to point to behaviour that amounts to a repudiation after the affirmation either by way of some fresh conduct amounting to repudiation or by way of the continuing refusal to perform amounting to repudiation..."
The Award dealt with the question of continuing renunciation
"We had to consider the parties' conduct over a period of months, both in relation to renunciation and to waiver. So far as the former is concerned, we think that only these four events require consideration as candidates for the role of renunciatory breach. We have however taken into account the whole history of the parties' acts and communications, because they provide both context for and illumination of these four events".
"It is important to notice, however, that this point has its limits. All that we are saying here is that the Yard did not satisfy the criteria to justify a finding that they would have performed the contract. That is not the same as saying that there was a continuing or repeated renunciation. This distinction is of some importance, though perhaps not crucial, when it comes to consider whether there or not the Buyers gave up their right to terminate. Our holding is that the Yard did not by its own actions destroy the Buyers' right to terminate. It does not follow that the Buyers had an endlessly repeated right to terminate, even if they had waived / the breaches of which they specifically complained. Whether or not they had done so is the topic to which we now turn." (my emphasis)
"On the other hand, where the anticipatory breach takes a continuing form, the fact that the innocent party initially continued to press for performance does not normally preclude him from later electing to terminate the contract provided that the party in breach has persisted in his stance up to the moment of termination."
"If the Yard had repeated the renunciatory breach in late December or January, the right to terminate would have revived. As Moore Bick J observed in Yukong v Rendsburg:
'Although the injured party is bound by his election once it has been made, the fact that he has affirmed the contract does not of course preclude him from treating it as discharged on a subsequent occasion if the other party again repudiates it.'
His affirmation does not extend to future renunciatory breaches of the same character. The Buyers said that the Yard had provided no answer to their claim that repeated renunciations revived their right to terminate. That submission was relevant only if the publishing of the Prospectus was a further renunciation. We have held that it was not. From mid-November onwards, the Yard remained silent on the question of what course of action they would take. It is overwhelmingly probable that they would never have yielded if the Buyers had insisted on timeous performance. They would never have announced that they would take all possible steps to secure engines in time to perform the contracts. But as events unfolded they did not tell the Buyers again that their position was unchanged. It would be a strong thing to hold that a fresh anticipatory breach of contract was committed by silence. No doubt, this can be done. In some cases, in the context of the dealings between the parties, the silence may be taken as an unequivocal re-iteration of a previous express renunciation. But in the present case, we think that matters had been left in a more fluid state by the Buyers' indications of what their intentions were and by the long period in which they failed to come to a decision. The breach had been waived by early December, waived again if it had been repeated by late December; and there was nothing in the parties' dealings in January 2008 which could be taken as having revived it." (my emphasis)
"The silence was not mere silence, it was overlaid with all that had gone before. It was a speaking silence. The difficulty with silence is that it is normally equivocal. Where, however, it is part of a course of consistent conduct it may be a silence which not only speaks but does so unequivocally. Where silence speaks, there may be a duty on the silent party in turn to speak to rectify the significance of his silence."
"50 Accordingly, in a case of renunciation or anticipatory breach of contract (as opposed to a repudiation based upon an actual breach) the tribunal of fact must carefully consider whether there were words or conduct after affirmation which demonstrate that the renunciation of the contract is continuing, so that a later acceptance of the continuing renunciation will be a legitimate termination of the contract.
51 Mr. Gunning submitted that it was clear that the charterers continued to renounce the charterparty after the affirmation and that therefore the court was able to consider whether the decision of the tribunal was correct in law or not. However, there was no express finding to that effect and I do not consider that I can draw an inference to that effect (assuming the court has power to do so, which is doubtful; see The Baleares [1993] 1 Lloyd's Reports 215 at p.228 per Steyn LJ). Whether the charterers, by words or conduct after the owners' affirmation, continued to renounce the charterparty cannot be said to an inference 'truly beyond rational argument' (which Steyn LJ suggested the court might have power to draw). The answer to that question is clearly a matter of fact for the tribunal. If the charterers were silent after the owners' affirmation of the charterparty it is for the tribunal to decide whether such silence was a 'speaking silence.'"
"I do not consider that s.68(2)(d) requires a tribunal to set out each step by which they reach their conclusion or deal with each point made by a party in an arbitration. Any failure by the arbitrators in that respect is not a failure to deal with an issue that was put to it. It may amount to a criticism of the reasoning, but it is no more than that. "
The quantum issue
"If a particular resale had been in contemplation at the time of contracting, that would be enough for the Buyers to succeed under this part of their claim. But that certainly was not the case. It does not follow from the fact that possible resales were in contemplation that the loss actually occurred. The burden of proof would still lie on the Buyers to establish that they would in fact have flipped the contracts. To show that they might have done so would not be enough."
"Mr Coronis is doubtless correct in saying that he would have been more ready to onsell contracts with the Yard than the contracts with New Times; but it by no means follows that he would actively have sought to do this. It is not correct as a matter of chronology to say that the money would not have been spent on New Times ships if the contracts with the Yard had gone ahead, because there was a period of well over a month when the Buyers were committed to both. There is no evidence in that period of their actively trying to sell on the contracts for the Yard's ships. It is not just that there was no evidence of any offers before us, but there was no evidence of the Buyers being involved in any market activity whatsoever. "
"It may very well be that the contracts would have been sold on. But the evidence was not sufficiently full and convincing for us to hold on the balance of probabilities that they would have been. Still less is it possible to say when that hypothetical transaction would have taken place. Accordingly, we consider that it is after all appropriate to make the relevant comparison as at the contractual date of delivery."
"On analysis, these criticisms are all directed to asserting that the arbitrators misdirected themselves on the facts or drew from the primary facts unjustified inferences. Those facts are said to be material to an "issue", namely what were the terms of the oral agreement. However, each stage of the evidential analysis directed to the resolution of that issue was not an "issue" within Section 68(2)(d). It was merely a step in the evaluation of the evidence. That the arbitrators failed to take into account evidence or a document said to be relevant to that issue is not properly to be regarded as a failure to deal with an issue. It is, in truth, a criticism which goes no further than asserting that the arbitrators made mistakes in their findings of primary fact or drew from the primary facts unsustainable inferences."
Conclusion