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England and Wales High Court (Commercial Court) Decisions |
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You are here: BAILII >> Databases >> England and Wales High Court (Commercial Court) Decisions >> Invest Bank PSC v El-Husseini & Ors [2024] EWHC 996 (Comm) (30 April 2024) URL: http://www.bailii.org/ew/cases/EWHC/Comm/2024/996.html Cite as: [2024] WLR(D) 200, [2024] EWHC 996 (Comm), [2024] Bus LR 1162 |
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KING'S BENCH DIVISION
BUSINESS AND PROPERTY COURTS OF ENGLAND AND WALES
COMMERCIAL COURT
Fetter Lane, London, EC4A 1NL |
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B e f o r e :
____________________
INVEST BANK P.S.C. |
Claimant |
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- and - |
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(1) AHMAD MOHAMMAD EL-HUSSEINI (2) MOHAMMED AHMAD EL-HUSSEINY (3) ALEXANDER AHMAD EL-HUSSEINY (4) ZIAD AHMAD EL-HUSSEINY (5) RAMZY AHMAD EL-HUSSEINY (6) JOAN EVA HENRY (7) VIRTUE TRUSTEES (SWITZERLAND) A.G. (8) GLOBAL GREEN DEVELOPMENT LIMITED |
Defendant |
____________________
Niranjan Venkatesan and Constantine Fraser (instructed by Debenhams Ottaway) for the Second and Sixth Defendants
The Third Defendant in person
The Fourth Defendant in person
The Fifth Defendant in person, on his own behalf and as representative of the Eighth Defendant, pursuant to permission granted
Hearing dates: 22 April 2024
____________________
Crown Copyright ©
MR. ADRIAN BELTRAMI KC:
Introduction
"The Claimant relies upon (without limitation):
(a) All the evidence served in connection with the January Disclosure Application and disclosure generally in these proceedings.
(b) Statements as to factual matters made by the Defendants, and their solicitors, in inter partes correspondence in connection with the January Disclosure Application and disclosure generally in these proceedings…
(c) Disclosed documents in these proceedings, including those referred to in the inter partes correspondence in connection with the January Disclosure Application and disclosure generally in these proceedings…
(d) The trial evidence of the Defendants and hearsay notices served in these proceedings."
The issues
a. The parties use their reasonable endeavours to agree outstanding points of dispute in respect of the joint DRD, failing which the outstanding points would be addressed at a further short hearing before the Judge.
b. Disclosure in accordance with the joint DRD should be provided by 13 October 2023 (in respect of all parties other than Virtue Trustees) and by 12 January 2024 by Virtue Trustees.
c. Disclosure in accordance with Model D shall include searches for and disclosure of narrative documents.
a. Mohammed disclosed only 36 documents, and spent only £926 on solicitor costs for disclosure in the four months prior to 13 October 2023.
b. Alexander has provided no disclosure to date.
c. Ziad provided his disclosure late and there are "wholesale email collection and search failures".
d. Ramzy/Global Green disclosed only 38 documents.
e. Joan disclosed only limited documents and spent a minimal sum on solicitors' costs.
a. Issue 1: whether the disclosure respondents should be ordered to re-perform or perform their disclosure obligations against the issues in the DRD.
b. Issue 2: the treatment of intra-family communications.
c. Issue 3: the treatment of bank statement and bank records.
d. Issue 4: whether there should be further production orders against the non-represented disclosure respondents.
e. Issue 5: whether the scope of collection should extend to particular third parties said to be under the relevant disclosure respondent's "control".
f. Issue 6: whether the disclosure respondents should be obliged to produce a "privilege schedule".
g. Issue 7: residual/granular issues.
Legal basis
"17. Failure adequately to comply with an order for Extended Disclosure
17.1 Where there has been or may have been a failure adequately to comply with an order for Extended Disclosure the court may make such further orders as may be appropriate, including an order requiring a party to—
(1) serve a further, or revised, Disclosure Certificate;
(2)undertake further steps, including further or more extended searches, to ensure compliance with an order for Extended Disclosure;
(3) provide a further or improved Extended Disclosure List of Documents;
(4) produce documents; or
(5) make a witness statement explaining any matter relating to disclosure.
17.2 The party applying for an order under paragraph 17.1 must satisfy the court that making an order is reasonable and proportionate (as defined in paragraph 6.4).
17.3 An application for any order under paragraph 17.1 should normally be supported by a witness statement."
"18. Varying an order for Extended Disclosure; making an additional order for disclosure of specific documents
18.1 The court may at any stage make an order that varies an order for Extended Disclosure. This includes making an additional order for disclosure of specific documents or narrow classes of documents relating to a particular Issue for Disclosure.
18.2 The party applying for an order under paragraph 18.1 must satisfy the court that varying the original order for Extended Disclosure is necessary for the just disposal of the proceedings and is reasonable and proportionate (as defined in paragraph 6.4).
18.3 An application for an order under paragraph 18.1 must be supported by a witness statement explaining the circumstances in which the original order for Extended Disclosure was made and why it is considered that order should be varied.
18.4 The court's powers under this paragraph include, but are not limited to, making an order for disclosure in the form of Models A to E and requiring a party to make a witness statement explaining any matter relating to disclosure."
"6.4 In all cases, an order for Extended Disclosure must be reasonable and proportionate having regard to the overriding objective including the following factors—
(1) the nature and complexity of the issues in the proceedings;
(2) the importance of the case, including any non-monetary relief sought;
(3) the likelihood of documents existing that will have probative value in supporting
(4) or undermining a party's claim or defence;
(5) the number of documents involved;
(6) the ease and expense of searching for and retrieval of any particular document (taking into account any limitations on the information available and on the likely accuracy of any costs estimates);
(7) the financial position of each party; and
(8) the need to ensure the case is dealt with expeditiously, fairly and at a proportionate cost."
a. Mr Delehanty contended that it was not necessary to find that there had been or might have been a "breach" of an order for Extended Disclosure in order to engage the paragraph. Instead, it sufficed if there had been or might have been a "failure adequately to comply" with such an order. This appeared to me a distinction without a difference, if it is a distinction at all.
b. Mr Delehanty also contended that it was enough to establish a failure adequately to comply in any one respect as regards Extended Disclosure, at which point orders could be made under paragraph 17 which attached to any aspect of Extended Disclosure (whether or not there had been or might have been a failure adequately to comply in that respect). Mr Venkatesan argued for a more limited application of the paragraph. I agree that the wording employed is broad, no doubt deliberately so, and that there should not be room for fine distinctions. However, paragraph 17 is explicitly directed to a failure adequately to comply with an order for Extended Disclosure. I do not consider that the paragraph is available to revisit aspects of Extended Disclosure for which there has been no, or no case that there might have been a, failure adequately to comply. Such a case would have to be brought under paragraph 18.
a. The difference in wording between [17.3] ("should normally be supported by a witness statement") and [18.3] ("must be supported by a witness statement").
b. The decision of His Honour Judge Paul Matthews, sitting as a Judge of the High Court, in Brake v Lowes, in re Stay in Style [2020] EWHC 538 (Ch). Addressing this very point under the predecessor to PD 57AD, the Judge concluded that the evidential requirement was a "threshold condition" (at [13]), absent satisfaction of which the court could not make a variation order.
The issues on the application
Issue 1: whether the disclosure respondents should be ordered to re-perform or perform their disclosure obligations against the issues in the DRD.
Issue 2: the treatment of intra-family communications.
a. This is a critical source of core material of central relevance to the Bank's case. Under s. 423, the Bank must establish that Ahmad acted with the relevant intention namely for the purpose of putting assets beyond the reach of creditors other otherwise prejudicing the interests of creditors. That allegation is hotly contested in the action, with the defendants contending that, insofar as alleged transfers happened at all, they were for succession planning or other legitimate reasons.
b. The Bank has no direct visibility over the arrangements for the transactions themselves. Its case is largely an inferential one, drawn from the nature of the transfers and the surrounding circumstances. However, it is highly likely that the transactions would have been the subject of discussions between family members and that this will be evidenced by this body of communications.
c. There is evidence that some or all of the individual disclosure respondents used emails and most used WhatsApp and other media platforms, on which such relevant communications will have been exchanged. Further, the fact that Ahmad is playing no part in the proceedings, and has not given disclosure, makes the need for proper disclosure from the rest of the family more acute.
d. However, the individual disclosure respondents have disclosed either no or very few of such communications. The Bank infers that one of the reasons for this is that the disclosure respondents have inappropriately used key words as a filter before manual review, in circumstances where the likely range of informal family exchanges means that key words will often be inadequate to identify relevant hits.
a. As against the non-represented individual respondents, namely Alexander, Ziad and Ramzy, the Bank seeks what it describes as "production" orders, namely that they provide without prior review "All communications between [him and Ahmad and any of the other individual disclosure respondents] in the period 1 January 2016 to 31 December 2018 (subject only to CPR PD57 AC compliant redaction)."
b. As against the represented respondents, namely Mohammed and Joan, the Bank seeks relief in the alternative. Either
i. A production order in similar terms, that they provide without prior review "All communications between [him/her and Ahmad and any of the other individual disclosure respondents] in the period 1 January 2016 to 31 December 2018 (subject only to redaction performed by [his/her] solicitors." Or
ii. A review order, for "collection and search, without application of keywords, of all communications between [him/her and Ahmad and any of the other individual disclosure respondents] in the period 1 January 2016 to the date of this Order."
a. Is this a potentially central repository of documents, the content of which may have been overlooked? On this critical point, I am satisfied that the Bank has a sufficiently arguable case both that there may be highly relevant documents within the description of intra-family communications and that such documents might have been missed. There is a measure of speculation in this assessment but common sense does suggest that, if large transfers of value were being made between family members, this would have been the subject of relevant discussion and that this might well have gone beyond the purely oral.
b. Is the Bank precluded from seeking a variation by reason of the fact that it did not make this point at the CMC? The principal point underlying the Bank's case is that key words cannot be safely calibrated to the numerous variations which are likely to be found in intra-family communications. That is not a new point and could have been made at the CMC. Had it been so made, and had it been accepted, then either a different sort of disclosure exercise would have been conducted or there would have been greater focus on and discussion about possible expansions of key words. Either way, it would probably not have been necessary (in this respect at least) now to seek a variation and the undertaking of a new task. For the reasons I have explained above, I do not regard that, through the application of the Chanel principle, as a knock-out blow, but it is undoubtedly a relevant factor.
c. Is it necessary, reasonable and proportionate to require the disclosure respondents to carry out further work in respect of intra-family communications? With some hesitation, I am satisfied that it is necessary, reasonable and proportionate to require the disclosure respondents to carry out some further work in this area. That is principally because of the likely existence and relevance of material. I consider that, in accordance with Al-Wazzan, there is a real possibility that a further review will produce relevant and probative documents and that, in broad terms, if this can be proportionately undertaken, then it is in the interests of justice that it be done. But the circumstances of the matter and the proximity to trial will affect the scope of that work. I am conscious that any order for further work will impose an additional burden on the disclosure respondents, at a time when preparation for trial is being undertaken. I was also told of some particular personal burdens. Hence a balance needs to be struck, which to my mind should be set at finding the minimum that should properly be done to achieve some realistic prospect of the additional disclosure the Bank seeks.
d. What further work should be carried out? As for the possible further exercise itself, there are three variations on the table: (a) a full manual review without key words; (b) a full manual review with more extensive key words; and (c) production of everything without review. I am not attracted to the third option. Mr Delehanty submitted that this was the simplest and easiest solution, requiring the least amount of work but I do not see that as a principled basis to make disclosure decisions, even if it were correct, especially given the no doubt private nature of many of these communications (and, insofar as the proposed order allows for the redaction of such matters, the supposed benefit of the solution would be quickly lost). As between the other two options, this ultimately turns on the balance between likely effort and likely outcome. I am at a disadvantage because there is no evidence upon which a firm view can be taken on this point. For the present, my current view is that there should be a manual review without the application of key words, because (a) I am not aware of any specific evidence to indicate that this (on the more confined basis I discuss below) would be a task that could not be done; and (b) there has been no real discussion as to whether a more comprehensive set of key words could be devised and which would both reduce the burden and assuage the Bank's concerns.
e. I am prepared to leave this point open for further discussion and determination at a consequentials hearing, as I do not consider that it has been fully explored. However, there is not much time and it is important that this be resolved speedily. Hence, if any disclosure respondents wish to contend that it would be disproportionate to undertake a full manual review without search terms then they may do so, but at that stage I will need evidence of the actual scale of the task, together with a viable alternative solution by the use of key words that address the Bank's concerns.
f. Are there any other limitations to be placed on the exercise? I am concerned, as I say, to keep this exercise to the minimum, given the burden, whilst seeking to ensure that it has value. Particular aspects that arise:
i. The draft orders refer to "All communications". As discussed during the course of argument, I consider that to be too imprecise to be contained in an order, especially one which is intended for reasonably quick compliance. The parties must agree a specific list of media or platforms, together with a list of applicable fields (for example, to, from and cc), so that there is clear definition of what needs to be done.
ii. There is then the date range. The Bank alleges that the period from 1 January 2016 to 31 December 2018, is the "most intensive period of [Ahmad's] asset transferring activity". I consider that this is too broad. The Case Memorandum, at [3], records the Bank's case as being that "from 2017 D1 undertook a worldwide asset dissipation scheme" and several of the impugned transactions are in fact said to have taken place in mid-2017. I propose to order a date range of 1 January 2017 to 31 December 2018. That ought materially to reduce the burden of the exercise. I am aware that, by narrowing the range, this risks excluding, for example, earlier planning communications, if there were any. But the process is imperfect and the aim is not to guarantee that every stone is looked under. Given the circumstances, the balance favours a narrower range.
iii. I anticipate an order for compliance by 13 May 2024, if it can practicably be achieved by then. Again, if any disclosure respondent wishes to contend that this cannot be done within that timeframe, this can be resolved at the consequentials hearing, though I do not anticipate much leeway.
Issue 3: the treatment of bank statement and bank records.
a. Is this a potentially central repository of documents, the content of which may have been overlooked? The balance is to my mind rather different as regards the bank statements. They might or might not contain critical information, if there is indeed information to be found. The risk that that information, if it exists, has been overlooked, is much more slight. This is not a case where keywords might be said to prove inadequate because of the informality of language. See further the postscript to this Judgment.
b. Is the Bank precluded from seeking a variation by reason of the fact that it did not make this point at the CMC? Although this point is not determinative, the Bank's position is left more vulnerable. The Bank could have asked for Model C disclosure of bank statements at the CMC, which is what it is in effect asking for now. That would have been a relatively conventional approach to take. Such an order might or might not have been made, but it is not clear why it did not do so. Nothing that has happened since has changed the rationale for Model C.
c. Is it necessary, reasonable and proportionate to require the disclosure of the bank statements? I have come to the conclusion that the order sought is not necessary, reasonable or proportionate. The production of bank statements is a necessarily invasive exercise. The orders sought would not be straightforward or easy to comply with, given both the scope of the material sought (well beyond the statements themselves) and the redactions permitted. And fundamentally, if the application does not fit within paragraph 17, as I have found, it is difficult to see how it would be necessary, reasonable or proportionate to make a production order under paragraph 18, the only purpose of which would be to correct an error in review which, ex hypothesi, has not been established.
a. As I have said the Bank relied principally (though not exclusively) on the Medstar transaction to demonstrate the importance of bank records across a broad date range. Whilst there are elements of this argument which help to advance the Bank's position, countervailing points also undermine it. It is one thing to say, in any given case, for example, that a transaction did occur on a certain date and that therefore bank statements at or around that date are likely to show both the transaction and its antecedents or descendants. It is of a different scale to say that a transaction might have happened on an unknown date in an unknown amount and between unknown parties and that broad disclosure across accounts of multiple parties over an extensive period (currently 8 years) is needed to see whether anything can be found. The Bank is fully entitled to run its inferential case, and I say nothing about that, but this is not a firm basis for what could properly be characterised as speculative disclosure.
b. During argument, I discussed with Mr Venkatesan the possible "evidence of absence" aspect of this case, namely whether the purported absence of any relevant transactions over $100,000 would be deployed against the inference that the Bank was seeking to draw. In other words, could this be used in attempted support of a positive case advanced by the defendants that, in the case of the Medstar transaction for example, there was no such transfer. I rather understood that he would like to run that argument: at least he did not disclaim it. But it is an argument, if made, reliant on the fact that that is the asserted outcome of the disclosure process. I say nothing about the strength of that argument. For the purpose of the application before me, it does not make the actual production of the bank statements necessary for the fair disposal of the trial.
Issue 4: whether there should be further production orders against the non-represented disclosure respondents.
"All documents (including but not limited to notes, records, emails, electronic or text messages, other communications, bank statements, instructions and transaction records) in D4's possession or control concerning, or referring to, the transactions of (i) Ras Beirut 3486 SAL or (ii) Mistar, in the period from 1 January 2016 to the date of this Order.
"All documents (including but not limited to notes, records, emails, electronic or text messages, other communications, bank statements, instructions and transaction records) in D4's possession or control concerning, or referring to, the business of (i) Commodore Netherlands, (ii) Commodore Belgium, or (iii) D8, in the period from 1 January 2015 to the date of this Order. Without limitation, this shall include all such documents in relation to:
a. Transfers of money received from Federal Development Co in 2017;
b. The projects of Commodore Netherlands;
c. The liquidation of Commodore Turkey; and,
d. The alleged embezzlement of funds and diversion of projects to entities connected to Sheikh Tahnoon.
"All documents (including but not limited to notes, records, emails, electronic or text messages, other communications, bank statements, instructions and transaction records) in the D4's possession or control concerning, or referring to: (i) the Spring Blossom Trust; (ii) the property at 18bHyde Park; (iii) Marquee; or (iv) Norton BVI, in the period from 1 January 2016 to the date of this Order.
"All documents (including but not limited to notes, records, emails, electronic or text messages, other communications, bank statements, instructions and transaction records) in D4's possession or control concerning, or referring to, the operation of Federal Development Co in the period from 1 January 2015 to the date of this Order. Without limitation, this shall include all such documents in relation to transfers of money made by Federal Development Co in 2017 (whether to Commodore Netherlands, Commodore Belgium, entities which the Second Defendant owned or controlled, or otherwise).
"All documents (including but not limited to notes, records, emails, electronic or text messages, other communications, bank statements, instructions and transaction records) in D4's possession or control concerning, or referring to, Sheikh Tahnoon in the period from 1 January 2015 to 31 December 2019. Without limitation, this shall include all such documents in relation to:
(i) the First Defendant's ownership, control and operation of: (i) Federal Development Co, (ii) Commodore UAE, and (iii) Tadamun UAE;
(ii) any involvement of Sheikh Tahnoon (directly or indirectly) in the affairs of Commodore Netherlands or Commodore Belgium; and
(iii) any legal actions brought, or sought to be brought, against the First Defendant by or at the instigation of Sheikh Tahnoon.
"All documents (including but not limited to notes, records, emails, electronic or text messages, other communications, bank statements, instructions and transaction records) in D4's possession or control concerning, or referring to, the transfers of properties to: (i) ABR Real Estate Company SAL; and (ii) Ras Beirut 3486 SAL.
"All documents (including but not limited to notes, records, emails, electronic or text messages, other communications, bank statements, instructions and transaction records) in D4's possession or control concerning, or referring to, the status of the First Defendant's marriage to the Sixth Defendant in the period from 1 January 2016 to the date of this Order.
"All documents (including but not limited to notes, records, emails, electronic or text messages, other communications, bank statements, instructions and transaction records) in D4's possession or control concerning, or referring to, the subject matter of the claim brought against the First Defendant by Doha Bank."
Issue 5: whether the scope of collection should extend to particular third parties said to be under the relevant disclosure respondent's "control".
"Compliance with D4's obligations under paragraphs {122} and {13A} shall require D4 to collect documents held by: (i) Hachem law firm, (ii) Kendris AG, (iii) Mistar, (iv) Mistar's liquidator, (v) First National Bank, (vii) D7, (viii) Commodore Netherlands, (ix) Commodore Belgium, (x) D8, (xi) Ras Beirut 3486 SAL, and (xii) Norton BVI."
"D2 Corporate Vehicles" being special purpose vehicles / corporate entities in respect of which D2 was or is the ultimate beneficial owner and/or has total effective control (including but not limited to Ventura Capital Management Limited, Niosis Holdings Ltd and Orion Offshore Corp); and (ii) "D2 Connected Entities" being D2 Corporate Vehicles and other entities in which D2 has had or has an ownership or financial interest."
"Collection, and search of, documents from the following persons and entities: (i) Hachem law firm (in respect of documents within D2's control); (ii) Kendris AG (in respect of documents within D2's control); (iii) Streathers Solicitors (in respect of documents within D2's control); (iv) (in respect of documents within D2's control) any other person or entity who has provided professional services to D2, in the period of 1 January 2015 to the date of this Order, in connection with: (I) the incorporation, administration, or operation (including liquidation) of any D2 Corporate Vehicles; or (II) D2's interests in relation to, or dealings with, any D2 Connected Entities.
"Collection, and search of, documents (including but not limited to bank statements) held by (i) any D2 Corporate Vehicles; (ii) the liquidators of any D2 Corporate Vehicles (in respect of documents within D2's control); and (iii) any D2 Connected Entities in respect of which D2 (to his knowledge or that of his solicitors) has practical control over documents they hold."
a. The Bank had failed in principle to establish its case on control across the board, because it had sought to contend that control could be established by generic relationships, such as shareholdings in companies, but had not in accordance with the authorities established on an entity by entity basis the necessary relationship.
b. Insofar as, as against Mohammed and Joan, the Bank's most recent draft orders include the qualification that orders should only be made "in respect of documents within D2's control" or the like, this did not solve but rather exposed the problem. The court may make such an order only if the applicant establishes to its satisfaction that there was such control. It cannot make, or at least there is no value in, an order which merely begs the question. Two related difficulties are (a) if the court does not address the control issue, then the paragraph 17 route is not available and it is not obvious why this would then justify a paragraph 18 extension in such terms; and (b) the Bank's draft orders result in an asymmetry between the position of represented and non-represented disclosure respondents. For the represented parties, the court is being asked to pull its punches, not to decide control, but to make contingent orders which leave that point open (perhaps left to the respondents to decide, perhaps to be determined later). For the non-represented parties, in contrast, the court is being asked to make determinations of actual control for up to (in Ziad's case) 11 entities, including several entities for which no such determination is to be made in Mohammed and Joan's case.
Issue 6: whether the disclosure respondents should be obliged to produce a "privilege schedule"
"By no later than 4pm on 10 May 2024, D4 shall serve a schedule containing the information at Schedule C to this Order in respect of all documents being withheld from production on privilege grounds (other than those covered by litigation privilege in respect of these English proceedings and the related proceedings brought by the Claimant in the United States, Germany and Canada).
SCHEDULE C – PRIVILEGE SCHEDULE
(1) The time and date of the document;
(2) The author of the document;
(3) A description of the nature of the document (whether communication / correspondence, advice / opinion, note, record of meeting or call or otherwise);
(4) The lawyer(s) involved (if any);
(5) The primary addressee of, and other parties to, the document (including who sent and received it and for whom it was created);
(6) Insofar as the document is a note or record of a meeting or call, the persons the document identifies as having attended such meeting or call; and,
(7) The nature of the privilege in the document (whether legal advice, litigation or otherwise)."
a. He suggested that the court could not make such an order because paragraph 18, and PD57 AD in general, is concerned with the disclosure of existing documents, not the creation of new documents. However, both paragraphs 17 and 18 expressly envisage the provision of a witness statement as amongst the (non-exclusive list of) powers available to the court. This undermines the suggestion that PD57 AD must be tied to the disclosure of existing documents alone.
b. Mr Venkatesan went on to argue, somewhat inconsistently, that the only purpose for ordering a privilege schedule of this nature was to enable the applicant to challenge a claim for privilege. Accordingly, he submitted, an application such as this for a privilege schedule to assist at trial was for a collateral and impermissible purpose. I accept that there are examples of cases where such a course was indeed taken to assist in a challenge to a claim for privilege. But I am not persuaded that that means that there can be no other legitimate purpose, or that an application to obtain ostensibly non-privileged information for use at trial is in and of itself objectionable. The Bank's problem is not that it is seeking relief for an improper purpose but that it has not complied with the applicable rule and there is consequently no evidential basis on which the application can be granted.
Issue 7: Residual/granular issues.
a. One of the effects of the passage between the first and second applications is that some of the heads of relief that had initially been sought by the Bank, especially against Mohammed and Joan, were removed from the draft orders attached to the second application. This was done with a little equivocation, in that the Bank sought to preserve the right to bring such matters back, depending on the results of whatever order was actually made or agreed. For this purpose, it sought "liberty to apply". Mr Venkatesan objected to this approach and submitted that the removed matters should be considered and dismissed, so that there was no danger of their return. During the course of the hearing, I asked Mr Delehanty what he proposed to do about these matters. He confirmed that he was not advancing them before me and, moreover, was not seeking an order that they be adjourned until a future date. Upon that confirmation, I indicated that, so far as I was concerned, those removed matters had been abandoned and were no longer before the court. If and insofar as the Bank wished to seek such relief again, it would have to issue a new application. On that basis, Mr Venkatesan did not persist in the argument that I should consider and formally dismiss a residual application for such relief.
b. There are one or two additional orders sought, in particular in relation to document preservation statements, that I am prepared to grant. To identify these, and to provide what I hope is a clear statement of my decision, there is attached to this judgment an Appendix recording the outcome on each paragraph of the draft orders.
c. The Bank has identified certain email accounts which it contends should be searched and the subject of disclosure:
i. Alexander: [email protected]
ii. Ziad: [email protected]
iii. Ramzy: [email protected]
iv. Joan: [email protected]
The position of the disclosure respondents is that they do not have access to these accounts either because (in the case of the federal1.ae accounts), they have been shut out or because (in the case of the hotmail account) it was never Joan's account. The Bank has sought to circumvent this factual issue, which it cannot gainsay, by extending the draft orders to documents held "locally or remotely", supposedly to address the possibility that documents might be held on a local server. However, the problems here are that (a) the suggested wording does not limit the exercise but extends it so as to require collection from both local and remote sources; and (b) insofar as this were again modified just to focus on the local source, there is no evidence that I was shown these email accounts or their contents were in fact held locally and that there has been or may have been a deficiency in the exercise. I decline to make these orders.
Conclusion
a. I have concluded that Mohammed, Ziad, Ramzy and Joan must do further work in respect of intra-family communications, and that Alexander must do similar work as part of his own disclosure exercise. The precise detail will need to be worked out, within the parameters that I have explained. There are some further orders which I am prepared to make, as indicated in the Appendix.
b. Alexander must perform his disclosure exercise in full by 13 May 2024.
c. I will not order any of the other relief sought. Where there has been agreement to carry out further work which overlaps with or goes beyond that which I have ordered, this should be recorded in a Schedule to the court's order. Otherwise, I dismiss the applications.
Postscript
APPENDIX
Draft order | Outcome |
Mohammed | |
1 | Ordered |
2 | Ordered |
4 | Ordered, but only insofar as applies to the detail specified below |
5(a) | Ordered |
5(c) | Not ordered |
5(d) | Not ordered |
5(e) | Not ordered |
6(a) | Not ordered |
6(c) | Not ordered |
6(d) | Not ordered |
6(e) | Not ordered |
6(f) | Modified review ordered |
7(a) | Ordered, by 13 May |
7(b) | Ordered, by 13 May |
7(c) | Ordered, by 13 May |
7(d) | Ordered, by 13 May |
7A | Not ordered |
7B | Not ordered |
7C | Not ordered |
7D | Not ordered |
Alexander | |
8 | Ordered, by 13 May |
9(a) | Not ordered |
9(b) | Ordered |
9(c) | Ordered |
9(d) | Not ordered |
9(e) | Not ordered |
9(f) | Ordered |
9(g) | Ordered |
11 | Ordered, by 13 May |
11A(a) | Not ordered |
11A(b) | Modified review ordered |
11A(c) | Not ordered |
11A(d) | Not ordered |
11A(e) | Not ordered |
11A(f) | Not ordered |
11A(g) | Not ordered |
11A(h) | Not ordered |
11A(i) | Not ordered |
11B | Not ordered |
Ziad | |
12 | Ordered, but only insofar as applies to the detail specified below |
13(a) | Not ordered |
13(b) | Not ordered |
13(c) | Not ordered |
13(d) | Not ordered |
13(e) | Not ordered |
13(f) | Ordered |
13(g) | Ordered |
13A(a) | Not ordered |
13A(b) | Modified review ordered |
13A(c) | Not ordered |
13A(d) | Not ordered |
13A(e) | Not ordered |
13A(f) | Not ordered |
13A(g) | Not ordered |
13A(h) | Not ordered |
13A(i) | Not ordered |
13A(j) | Not ordered |
13B | Not ordered |
Ramzy | |
15 | Ordered, but only insofar as applies to the detail specified below |
16(a) | Not ordered |
16(b) | Not ordered |
16(c) | Not ordered |
16(d) | Not ordered |
16(e) | Not ordered |
16(f) | Ordered |
16(g) | Ordered |
16A(a) | Not ordered |
16A(b) | Modified review ordered |
16A(c) | Not ordered |
16A(d) | Not ordered |
16A(e) | Not ordered |
16A(f) | Not ordered |
16A(g) | Not ordered |
16A(h) | Not ordered |
16A(i) | Not ordered |
16A(j) | Not ordered |
16B | Ordered, by 13 May |
16C | Not ordered |
Joan | |
18 | Ordered, but only insofar as applies to the detail specified below |
19(a) | Ordered |
19(b) | Not ordered |
19(c) | Not ordered |
19(d) | Not ordered |
20(a) | Not ordered |
20(b) | Modified review ordered |
20(c) | Not ordered |
20(d) | Not ordered |
20A | Not ordered |
20B | Not ordered |
20C | Not ordered |
20D | Not ordered |
Global Green | |
21 | Not ordered |
22(a) | Not ordered |
22(b) | Not ordered |
22(c) | Not ordered |
22(d) | Not ordered |
22(e) | Not ordered |
22(f) | Not ordered |
22A(a) | Not ordered |
22A(b) | Not ordered |
22A(c) | Not ordered |
22B | Not ordered |
Note 1 Following the circulation of this Judgment in draft, Mr Delehanty referred me to the decision of His Honour Judge Worster in AAH Pharmaceuticals Ltd v Jhoots Healthcare Ltd [2020] EWHC 2524 (Comm), in which the Judge was critical of a party’s failure to co-operate in the agreement of search terms, contrary to the expectation contained in what is now paragraph 2.3 of PD57 AD. That is, to my mind, a different point and is not authority for the proposition advanced. [Back]