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England and Wales High Court (Senior Courts Costs Office) Decisions |
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You are here: BAILII >> Databases >> England and Wales High Court (Senior Courts Costs Office) Decisions >> Christodoulides v Holbech [2024] EWHC 2172 (SCCO) (03 July 2024) URL: http://www.bailii.org/ew/cases/EWHC/Costs/2024/2172.html Cite as: [2024] EWHC 2172 (SCCO) |
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SENIOR COURTS COSTS OFFICE
Thomas More Building Royal Courts of Justice, Strand, London, WC2A 2LL |
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B e f o r e :
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MS N CHRISTODOULIDES |
Applicant |
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- and - |
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MR C HOLBECH |
Respondent |
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Mr L Thompson appeared for the Respondent
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Crown Copyright ©
Costs Judge Roy KC:
When a provisional assessment has been carried out the court must send a copy of the bill as previously assessed to each party with a notice stating that any party who wishes to challenge any aspect of the provisional assessment must within 21 days of receipt of the notice file and serve on all of the parties a written request for an oral hearing. If no such request is filed and served within that period the provisional assessment shall be binding upon the parties save in exceptional circumstances.
The written request referred to in paragraph seven must –
(a) identify the item or items in the court's provisional assessment which are sought to be reviewed at the hearing; and
(b) provide a time estimate for the hearing.
In current circumstances the court will appreciate that a litigating in person is not always a matter of choice. At a time when the availability of legal aid and conditional fee agreements have been restricted some litigants may have little option but to represent themselves. Their lack of representation will often justify making allowances in making case management decisions and in conducting hearings. But it will not usually justify applying to litigants in person a lower standard of compliance with the rules or orders of the court. The overriding objective requires the court so far as practical to enforce compliance with the rules, CPR rule 1.1(1)(f). Rules do not in any relevant respect distinguish between represented and unrepresented parties. In applications under CPR 3.9 for relief from sanctions it is now well established that the fact that the applicant was unrepresented at the relevant time is not in itself a reason not to enforce rules of the court against him.
At best, it may affect the issue "at the margin", as Briggs LJ observed (para 53) in the latter case, which I take to mean that it may increase the weight to be given to some other, more directly relevant factor. It is fair to say that in applications for relief from sanctions, this is mainly because of what I have called the disciplinary factor, which is less significant in the case of applications to validate defective service of a claim form. There are, however, good reasons for applying the same policy to applications under CPR rule 6.15(2) simply as a matter of basic fairness. The rules provide a framework within which to balance the interest of both sides. That balance is inevitably disturbed if an unrepresented litigant is entitled to greater indulgence in complying with them than his represented opponent. Any advantage enjoyed by a litigant in person imposes a corresponding disadvantage on the other side, which may be significant if it affects the latter's legal rights, under the Limitation Acts for example. Unless the rules and practice directions are particularly inaccessible or obscure, it is reasonable to expect a litigant in person to familiarise himself with the rules which apply to any step which he is about to take.
(1) This is not a minor slip. It is not, for example, a case of a request being served a day later. There has been wholesale non-compliance.
(2) This non-compliance is persistent and continuing. Notwithstanding the terms of my order of 7 May 2024, there has still be no attempt to provide a compliant request. The application notice did not contain or append any such. It was really just more of the same. In my judgment it would be contrary to the overriding objective to allow what would be a third bite of the cherry. This is especially as the claimant has not stated any intention to rectify the problem by producing a compliant request.
(3) To allow non-compliance here would undermine the very point of the rule, which is to ensure that any oral hearing should be conducted properly and fairly and within properly identified limits in accordance with the overriding objective. See by analogy PME v The Scout Association [2019] EWHC 3421 (QB); [2020] 1 WLR 1217 and Ainsworth v Stewarts Law LLP [2020] EWCA Civ 178; [2020] 1 WLR 2664. In other words it is not to be a free-for-all. If I were to allow an oral hearing on the basis of the current request I am afraid to say that free-for-all is precisely what the assessment would be.
(1) The fact that serious allegations are raised is not by itself any excuse for non-compliance: Gentry v Miller [2016] EWCA Civ 141; [2016] 1 WLR 2696.
(2) In this case, the point cuts both ways. Indeed, in my view overall it tells against the application. Fairness to those facing such serious allegations (and at the moment they are just allegations, I can make no finding either way as to their merits) requires that the allegations be clearly and precisely identified so that they have a fair and proper chance to meet them. That would simply will not be possible given the non-compliance here.