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England and Wales High Court (Queen's Bench Division) Decisions |
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You are here: BAILII >> Databases >> England and Wales High Court (Queen's Bench Division) Decisions >> Wattleworth v Goodwood Road Racing Company Ltd & Ors [2004] EWHC 140 (QB) (04 February 2004) URL: http://www.bailii.org/ew/cases/EWHC/QB/2004/140.html Cite as: [2004] EWHC 140 (QB) |
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QUEENS BENCH DIVISION
Strand, London, WC2A 2LL |
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B e f o r e :
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Elisabeth Ruth Wattleworth (Widow and administratrix of the estate of Simon Wattleworth (deceased)) |
Claimant |
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- and - |
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(1) Goodwood Road Racing Company Limited (2) Royal Automobile Club Motor Sports Association Limited (3) Federation Internationale de l'Automobile |
Defendants |
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Anthony Barker QC and Malcolm Duthie (instructed by Paris & Co) for the first Defendant.
Graham Eklund QC and Bruce Gardiner (instructed by Edwards Davies) for the second Defendant
Justin Fenwick QC and Prashant Popat (instructed by Mayer Brown Rowe & Maw) for the 3rd Defendant
Hearing dates :Wednesday 3rd Friday 19th December 2003
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Crown Copyright ©
Mr Justice Davis :
Introduction
The Goodwood Circuit
"A discussion then began as to whether what LM intended to achieve at Goodwood (which was a FOS [Festival of Speed] atmosphere with racing incorporated) was compatible with what the FIA may require. DC said that the event would certainly need RAC approval which may well attract an FIA inspection. LM was anxious that if that was going to happen then what he did now should, ultimately, satisfy the FIA. DC suggested that LM invite Max Mosley over for an informal meeting and tell him, in general terms, what he intended to do. DN asked if the FIA criteria were defined anywhere. DC said that they were not. LM said he would like to carry out the circuit works in an "FIA friendly way."
The minutes also record Mr Symes stating that "the Lavant banks should allow a car with an impact angle of 30° or less to slide along the front". Mr Symes was there, as I think, speaking of the Lavant banks generally (earth banks being constructed both on the left and right side) and not simply of the bank to be constructed on the right side.
"The general principle of truck tyre reinforced earth banks is fine and accepted both by the RACMSA and the FIA. If you want to disguise them with foliage this is fine....."
(This last point is to be explained by Lord March having frequently expressed concern about the appearance of the barriers at the circuit and as to the aesthetic considerations he desired for the circuit). Mr Symes went on in the letter:
"The basis of the reopening of Goodwood as a racing circuit is well understood. We see no reason why it should not have the general appearance it had when last in use as a race circuit. Reality will be that safety installations will be such as to satisfy modern day requirements......."
The letter went on to deal with specific parts of the circuit. Dealing with Lavant, he said:
"Lavant looks ok though how we deal with the head on the inside needs to be carefully thought through. The exit area is not over generous but impact is likely to be at a shallow angle......"
The first sentence is clearly dealing with the "nose" on the inside of the Lavant bend.
"The circuit runs pretty close to the property boundary in places which limits the run off area possibilities and I've thus placed a fair amount of emphasis on providing suitable barriers. There is hardly any Armco, generally the barrier is a truck tyre reinforced earth bank which gives a vertical face at a normal one metre height. The presence of the tyre reinforcement is disguised by foliage so it looks very much as it always did. Where appropriate I've insisted on such as (sic) double tyre barriers and in many areas these are to be conveyor belt fronted. Not only does this help from an impact viewpoint but also means they can disguise them better."
"One of the conditions imposed by the local authorities was a requirement to erect earth banks all around the circuit to reduce the noise level. Thus, the outer limit of the circuit (driver's left, this being a clockwise circuit) is defined in most areas by an earth bank, the track side of which is stabilised by truck tyres embedded in the earth, forming a vertical face approximately one metre high. In areas where the risk of impact is high, the bank is faced with at least one row of car tyres, bolted together to form vertical stacks. NOTE: the method used for bolting tyres does not comply with our current standards. The bolts used are of the self-tapping type and the washers are far too small (less than 20mm diameter). It should be ensured that the owners are provided with our latest standard on this topic. It is understood that conveyor belting will be added to many of these tyre walls, to improve their integrity, prior to the September event. On the "infield" side (driver's right) the track is bounded in most sectors by a flat cornfield. The crop was quite tall during my visit, tending to obscure the view, but I understand that this will be harvested prior to the event."
In a list of specific recommendations at the end of his report, he said, with regard to the Lavant bend, that the beginning of the earth bank on the driver's right could present a hazard. He recommended extending the existing tyre wall to cover completely the end of the bend and faced with two rows of car tyres securely bolted together in stacks. He thus was dealing with the "nose". He recommended, with regard to Woodcote, the addition of conveyor belting to the car tyre barrier in that area, "to facilitate sliding contact and improve the integrity of the barrier". After various other recommendations, he concluded by saying that he would attend the Revival Meeting in September and might thereafter propose further safety improvements. He commented that the circuit "presents quite a challenge to the inspector" given its high speed potential and minimal run-off area: "However, I have taken into account the nature of the planned activity, which is not intended to be championship type racing but more of a show". Mr Peart in this report was, I accept, himself focusing on the forthcoming Revival Meeting which, to him, was of a kind to be regarded as a Restricted Event, in FIA terminology. He made no recommendations in his report for any adjustment to the lorry tyre faced earth bank on the inside (right side) of the second part of the Lavant bend.
"Subject to completion of the minor points noted above the circuit is approved for the hosting of car events as authorised by the FIA and RACMSA."
"I stood on the outside of Lavant for a couple of races and found the approach speed was possibly a little less than I originally envisaged. Any car suffering total brake failure is likely to be collected up by the gravel trap and if the car just goes off I'm reasonably confident that it will not reach the barrier, but if it does any impact is likely to be relatively small. I know Roger [Peart] was mainly thinking of debris but the risk of debris with the sort of cars you run is, in many ways, more controlled in that many components are grossly over engineered and tend to bend rather than break
Woodcote continues to exercise my mind a little for it is undeniable that the entry speed is significant. That said the layout of the bend is such that cars are braking earlier than you first think they will. As long as the gravel trap is turned over, dressed frequently and the barriers maintained I'm reasonably comfortable. Any car going off in the later stages of the bend is likely to make a sliding impact with the barrier which is accommodated by the conveyor belt fronting."
He also referred to an incident involving a Mrs Mason, who had been injured driving her Maserati coming out of the Lavant bend, in what he called a "tank-slapper" (that is, the car veering from side to side), describing it is a "classic driver error incident". No recommendation for any change at Lavant was made, although Mr Symes did say, speaking generally, "looking to the future circuit wise, I suspect we will be looking at barrier construction, such things as inserts in tyre walls and the like but do not anticipate anything too serious. As always our endeavour will be to ensure we minimise the consequences of any incident........"
The MSA and the FIA
"The safety measures on the course are intended for the protection of spectators, drivers, race officials and service personnel, during competitions. When determining the safety measures, the characteristics of the course must be taken into consideration (layout, adjacent areas, buildings and constructions) as well as the speed attained at any point of the track. The type of track protection recommended is dependent on the available space and the likely impact angle. As a general principle, where the probable impact angle is high a system of deceleration (e.g. gravel bed) and stopping (e.g. tyre barrier) devices should be used, it being indispensable to provide for sufficient space at such points in the planning stage. The FIA can provide advice on the above, after examination of the proposed layout in each case."
Article 19 sets out special provisions for Restricted Events.
"These guidelines are intended to provide a reference for the assessment of a circuit by the FIA Circuits and Safety Commission and its inspectors, for inclusion on the FIA calendar of international events. This document may also be made available, at the FIA's discretion, to ASNs. Although constructors of new circuits are advised to respect the recommendations herein, all FIA circuit guidelines are subject to interpretation according to each individual case and to local conditions, laws and inspections. The operators of a circuit are responsible for the safety conditions prevailing within its precincts."
Article 3.1 provided as follows:
3.1/OBJECT
"The safety measures on a course are intended for the protection of spectators, drivers, race officials and service personnel, during competitions. When determining the safety measures, the characteristics of the course must be taken into consideration (layout, adjacent areas, buildings and constructions) as well as the speed attained at any point of the track. The type of track protection recommended is dependent on the available space and the likely impact angle. As a general principle, where the impact angle is low a continuous, smooth, vertical barrier is preferable, and where the impact angle is high and there is sufficient ground available, a system of deceleration and stopping devices should be used.
3.1.1/Deceleration devices include
- Gravel beds (or beds of equivalent material), to slow a car efficiently with minimal damage (see art. 3.2.3).
- Open space in which a car may lose speed;
3.1.2/Stopping devices include
- Guardrails (see Appendix 1 and figure 2); concrete walls (Appendix 2); all of the above may be used in conjunction with barriers or tyres or other FIA approved energy absorbing devices (see Appendix 5 and figure 3).
Each installation is subject to individual approval by FIA inspectors. Other deceleration or stopping devices may be approved by the FIA."
Article 3.2.2 (relating to first line of protection: interior of curves) provided:
"The barrier should be parallel to the trajectory and as far from the edge as the nature of the ground and the needs of the emergency services permit, in order to provide maximum vision along the track. There should be a correctly overlapped access point. After the exit of the corner it may be necessary to provide a deceleration device in front of the barrier."
Article 4.8 recommended regular inspection by the relevant national sporting association during the period of a licence. Article 5 provided recommendations for temporary circuits (including, in Article 5.2, detailed provision for circuit protection, including as to tyre barriers). Appendix 5 (as incorporated by Article 3.1.2) provided, in the relevant respects as follows:
"Car tyres of uniform diameter will be stacked to form a homogenous barrier, placed in front of and normally fixed to a permanent barrier. The tyre barrier should be at least as high as the permanent barrier (minimum 1m).
Severely worn tyres, which provide reduced impact resistance, should not be used. New "reject" tyres are ideal, and can often be obtained from local tyre manufacturers.
Two types of tyre barriers are recommended by the FIA, although other types may be approved, individually, by the Circuits and Safety Commission for particular applications. The types recommended are illustrated in figure 3 and are subject to the following general considerations:
- Individual tyres should be secured to each other, horizontally and vertically, bolting being the preferred method (adequate bolts, min. 8mm, and hexagonal nuts with large steel washers or plates, min. diameter 40mm, min. thickness 2mm, on both sides).
Other methods of attachment may be authorised by the Circuits and Safety Commission. Tyres should not be baled or shrink-wrapped in plastic.
A tyre barrier in contact with a first line of protection should be securely attached to it.
- There should be a firm smooth surface under the tyres.
- Pre-fabricated piles of tyres should be held in stock for quick repairs between races (at least 50 piles). A preferred method of repair during an event is with pre-assembled packs of 6 piles of tyres such as illustrated in figure 3b.
It is strongly recommended that the outer vertical face of the completed tyre barrier be covered by a continuous, reinforced flexible sheet or belt. This has been shown to substantially improve the integrity and effectiveness of the tyre barrier system. The lower edge of the belt should be in contact with the ground and the upper edge should be at least the same height as the top of the tyre barrier. Reinforced rubber industrial conveyor belting (either new or used), which will normally have a minimum thickness of 12mm, is ideal for this purpose."
"Barriers of different types, e.g. motorway-type crash barriers, tyre walls and straw bales.
24 The construction of the barriers will depend on a number of factors including the type and speed of the vehicles, the level of protection the vehicle gives to the competitor and the likely angle of impact. For example, if a vehicle is likely to collide with a barrier at a 'glancing' angle, the barrier should be of a type which allows the vehicle to slide along it, so that the risk of injury to the competitor is reduced.
25 If a collision is likely to occur 'head on', barriers such as tyre walls or straw bales can be used to absorb the impact. Different arrangements may be needed for different types of event. Sports' governing bodies may be able to recommend which ones are the most suitable for individual circumstances."
Mr Wattleworth and the events of 5th November 1998
Events after 5th November 1998
"1. Firstly, I feel that safety could be improved by some work on the tyre barriers around the circuit. From the copy of our current guidelines on this subject (attached to my original report), it will be clear that many of the existing tyre barriers would benefit from upgrading. Additional rows of tyres would be helpful at certain points where there is a high risk of impact at significant angles, and the tyres should be reinforced with plastic tube inserts as are now used at several International circuits. In all such locations, the tyre walls should be faced with conveyor belting, again all as detailed in our guidelines. It would really take another visit to establish the exact locations where this work would be most beneficial, but the following areas come to mind:-
- Madgwick, in the "head-on" position and at the exit, drivers left.
- The approach to St. Mary's, driver left.
- Lavant, in the "head-on" position, behind the gravel bed and at the exit of the corner, driver's left.
- Woodcote, again on the driver's left.
Also, the tyre barrier protecting the end of the pit wall needs upgrading, with plastic tube inserts conforming to our standards (as yet unpublished, admittedly).
2. Consideration should be given to extending the gravel beds in certain areas. Particularly at Madgwick (at both entry and exit) and Lavant, at the exit of the corner."
As is reasonably clear from its wording, and as was confirmed by Mr Peart in evidence which I accept, he was there dealing with sections of the circuit other than that part of the tyre wall at the Lavant bend where Mr Wattleworth had his accident. Mr Peart was not making any recommendation for change there. On the 10th March 1999 Mr Houghton wrote to Mr Symes confirming that he had effected certain required changes to tyre barriers at certain points of the circuit (not Lavant) as had been requested. On the 21st June 1999, Mr Symes and Mr Peart together inspected the circuit. Mr Symes had, as it happened, himself made another inspection on the 20th May 1999 and had issued on the 26th May 1999 a further Track licence, for car racing and sprints, expiring on 31st December 1999. Mr Symes wrote a letter on 21st June 1999 to Mr Houghton (copied to Mr Peart) in consequence. The various recommendations there made did not extend to alteration of the lorry tyre faced earth bank on the right side of the second part of the Lavant bend. Various other changes elsewhere were made during the year, at the request of Mr Houghton.
"5. Lavant: in the area to the rear of the gravel trap and thereafter to where the barrier on the left terminates either a conveyor belt fronted double tyre wall or a conveyor belt fronted single tyre wall with "Recticel" inserts. On the left from the overlap to just short of the kink a conveyor belt fronted single tyre wall to be provided. On the right the nose of the bank to be fronted with a conveyor belt fronted double tyre wall and from this point until approximately 50 metres past where the barrier has been rebuilt a conveyor belt fronted single tyre wall to be provided.
6. Lavant Straight: On both sides from where the tyre walls terminate the existing barrier to be conveyor belt fronted. On the right the observers box to be protected by a truck tyre reinforced earth bank which can either be an extension of the existing barrier or built as a short stand alone section with the access gap overlapped."
"In addition to the basic truck tyre wall (which is backed up in all locations by earth banking) a single row barrier of car tyres has been added in appropriate areas. These are all bolted together in vertical stacks as per FIA guidelines and faced with conveyor belting. In areas where large-angle impacts are likely double-row tyre barriers have been installed. "
The inside of the second part of the Lavant bend (on the right side of the track) was, of course, one such area where a single row barrier of car tyres had now been installed.
The proceedings
Medical Issues
Duty of care
(i) Goodwood
"2 Extent of occupier's ordinary duty
(1) An occupier of premises owes the same duty to take such care , to all his visitors, expect in so far as he is free to and does extend, restrict, modify or exclude his duty to any visitor or visitors by agreement or otherwise visitors by agreement or otherwise
(2) The common duty of care is a duty to take such care as in all the circumstances of the case is reasonable to see that the visitor will be reasonably safe in using the premises for the purposes for which he is invited or permitted by the occupier to be there.
(3) The circumstances relevant for the present purpose include the degree of care, and of want of care, which would ordinarily be looked for in such a visitor, so that (for example) in proper cases
(a) an occupier must be prepared for children to be less careful than adults; and
(b) an occupier may expect that a person, in the exercise of his calling, will appreciate and guard against any special risks ordinarily incident to it so far as the occupier leaves him free to do so.
(4) In determining whether the occupier of premises has discharged the common duty of care to a visitor, regard is to be had to all the circumstances, so that (for example)-
(a) where damage is caused to a visitor by a danger of which he had been warned by the occupier, the warning is not to be treated without more as absolving the occupier from liability, unless in all the circumstances it was enough to enable the visitor to be reasonably safe; and
(b) where damage is caused to a visitor by a danger due to the faulty execution of any work of construction, maintenance or repair by an independent contractor employed by the occupier, the occupier is not to be treated without more as answerable for the danger if in all the circumstances he had acted reasonably in entrusting the work to an independent contractor and had taken such steps (if any) as he reasonably ought in order to satisfy himself that the contractor was competent and that the work had been properly done.
(5) The common duty of care does not impose on an occupier any obligation to a visitor in respect of risks willingly accepted as his by the visitor (the question whether a risk was so accepted to be decided on the same principles as in other cases in which one person owes a duty of care to another).
(6) For the purposes of this section, persons who enter premises for any purpose in the exercise of a right conferred by law are to be treated as permitted by the occupier to be there for that purpose, whether they in fact have his permission or not."
Mr Glancy and Mr Barker concentrated on that section. It may be that section 5 of that Act is also in point, given that Mr Wattleworth was visiting the circuit pursuant to the contract of hire which he had signed. But it is not suggested anything turns on that, given that the like common duty of care would arise. I should add that, although Goodwood pleaded reliance on section 2(4) (b) of the 1957 Act in its Amended Defence as a defence, Mr Barker did not in his closing submissions place reliance on that subsection as a defence in itself.
"He does, however, warrant, not only that there shall be due care on the part of himself and his servants, but also that there shall be due care on the part of any independent contractor who may have been employed by him in the construction or repair of the premises. The principle is that where a legal duty is incumbent on a person, that duty is not discharged by employing a contractor who imperfectly performs it."
But that was said in the context of a case occurring before the passing of the 1957 Act. In my view, that common law proposition has been overtaken by that Act, which substantially altered the pre-existing law. It is true that section 2(4) (b) provides specifically that an occupier is not ("without more") liable for the faulty execution of work of an independent contractor reasonably employed. But it does not follow that the occupier is necessarily liable for the faulty omissions of such an independent contractor. Indeed sub-section (4) (b) is in terms stated to be by way of example: and I can see no reason to gloss or delimit section 2(2) in the way Mr Glancy's argument would suggest.
(ii) The MSA
"What emerges is that, in addition to foreseeability of damage necessary ingredients in any situation giving rise to a duty of care are that there should exist between the party owing the duty and the party to whom it is owed a relationship characterised by the law as one of "proximity" or "neighbourhood" and that the situation should be one in which the law considers it fair, just and reasonable that the law should impose a duty of a given scope upon the one party for the benefit of the other".
That case, of course, was one involving economic loss, not personal injury.
"In cases of personal injury, it suffices that the activity of the defendant has given rise to the situation which has caused the injury to the plaintiff. Where the defendant is involved in an activity which, if he is not careful, will create a foreseeable risk of personal injury to others, the defendant owes a duty of care to those others to act reasonably having regard to the existence of that risk. The limiting factors are the concepts of foreseeability and reasonableness. (e.g. Woods v. Duncan [1946] A.C 401)."
And at p262 he said this:
"Where the plaintiff belongs to a class which either is or ought to be within the contemplation of the defendant and the defendant by reason of his involvement in an activity which gives him a measure of control over and responsibility for a situation which, if dangerous, will be liable to injure the plaintiff, the defendant is liable if as a result of his unreasonable lack of care he causes a situation to exist which does in fact cause the plaintiff injury.
Once this proximity exists, it ceases to be material what form the unreasonable conduct takes. The distinction between negligent misstatement and other forms of conduct ceases to be legally relevant, although it may have a factual relevance to foresight or causation. Thus a person may be liable for directing someone into a dangerous location (e.g. the Hillsborough cases; e.g. Sharpe v. Avery,[1938] 4 All E.R. 85) or a producer may be liable for the absence of an adequate warning on the labelling of his product (e.g Heaven v. Pender, (1883) 11 Q.B.D 503 at p.517, per Lord Justice Cotton). Once the defendant has become involved in the activity which gives rise to the risk, he comes under the duty to act reasonably in all respects reLavant to that risk. Similarly none of the particular difficulties which arise in relation to economic loss arise in relation to the causing of personal injury. Once proximity is established by reference to the test which I have identified, none of the more sophisticated criteria which have to be used in relation to allegations of liability for mere economic loss need to be applied in relation to personal injury, nor have they been in the decided cases."
"49. It seems to me that the authorities support a principle that, where A places himself in a relationship to B in which B's physical safety becomes dependent upon the acts or omissions of A, A's conduct can suffice to impose on A a duty to exercise reasonable care for B's safety. In such circumstances A's conduct can accurately be described as the assumption of responsibility for B, whether "responsibility" is given its lay or legal meaning."
And at paragraph 72, after reviewing further authorities (including Perrett), he said this:
"These cases establish that, where A advises B as to action to be taken which will directly and forseeably affect the safety or well-being of C, a situation of sufficient proximity exists to found a duty of care on the part of A towards C. Whether in fact such a duty arises will depend upon the facts of the individual case and, in particular upon whether such a duty of care would cut across any statutory scheme pursuant to which the advice was given."
Lord Phillips went on to consider whether it was fair just and reasonable to impose a duty of care. He said this at paragraph 87:
"87. While I do not agree with Mr Mackay's submission that Perrett v Collins [1998] 2 Lloyd's Rep 255 provides a close analogy to the present case, I do find helpful the formulation of legal principle by Hobhouse LJ, at p262, which I have set out above. Mr Watson belonged to a class which was within the contemplation of the board. The board was involved in an activity which gave it, not merely a measure of control, but complete control over and a responsibility for a situation which would be liable to result in injury to Mr Watson if reasonable care was not exercised by the board. Thus the criteria identified by Hobhouse LJ for the existence of a duty of care were present. In this case the following matters are particularly material. (1) Mr Watson was one of a defined number of boxing members of the board. (2) A primary stated object of the board was to look after its boxing member's physical safety. (3) The board encouraged and supported its boxing members in the pursuit of an activity which involved inevitable physical injury and the need for medical precautions against the consequences of such injury. (4) The board controlled every aspect of that activity. (5) In particular, the board controlled the medical assistance that would be provided. (6) The board had, or had access to, specialist expertise in relation to appropriate standards of medical care. (7) The board's assumption of responsibility in relation to medical care probably relieved the promoter of such responsibility. If Mr Watson has no remedy against the board, he has no remedy at all. (8) Boxing members of the board, including Mr Watson, could reasonably rely upon the board to look after their safety.
88. All these matters lead me to conclude that the judge was right to find that the board was under a duty of care to Mr Watson."
It is to be noted that the fact of the board's complete control of the match and of Mr Watson's actual reliance on the Board in looking after his safety were important features in that case. An appeal to the House of Lords was not, as I was told, pursued.
116.1 The licensing of circuits by the MSA is simply part of the management of risk in motor racing.
116.2 In respect of MSA events, the MSA seeks to put in place a system of controls, in accordance with its regulations, and to authorise the actual track so as to minimise accidents as well as by ensuring that the track has protective devices where necessary.
116.3 A Track licence and the exercise of other controls are inter-dependent.
116.4 It is not open to the Claimant to fasten onto one part of the MSA's control which it exercises for the management of risk without regard to the other controls and checks in place.
116.5 There was no evidence of Mr Wattleworth placing any reliance on any MSA licence or approval when hiring the circuit for the track day to be held on 5th November 1998.
116.6 To impose a duty of care on the MSA would give rise to a liability to an indeterminate class.
116.7 The only classes of persons whom the MSA had in contemplation when licensing the track were those who would accept the regulations and controls of the MSA, as is required by the Track licence and event permit: thus the duty extended only to those participating in MSA events (Mr Eklund stressing that the MSA Track licence, and event permit, were only required for such events: they were not required for track days as such at all).
116.8 In contrast to both Perrett and Watson, the MSA here, if it is to be styled as a regulatory authority, did not exercise control over track days (or any other non-MSA event). In Perrett, on the other hand, the inspector had, in effect, certified the aircraft as fit for use. In Watson the Board exercised entire control over the match in question.
116.9. It would not be fair, just or reasonable to impose a duty of care on the MSA in all the circumstances.
"18. In licensing a venue for MSA events I would not have taken into account the wide range of drivers who may take part in non MSA events I am not authorising the venue for every potential use of it. I have to anticipate that those taking part have knowledge and experience of racing (i.e. they will have a MSA competition licence). They may drive a circuit in a wholly different way from someone who has no previous racing experience. For example licensed racing drivers will take predictable racing lines as a result of which you can better anticipate angles and areas of impact on the track and plan safety features accordingly. A driver with no race training or experience may drive in a less predictable way and could come off the track at different points or at different angles. If a circuit was being designed to cater for such drivers it would have to be designed differently, for example to limit speed and provide greater run off areas in parts of the track where you might not reasonably anticipate a racing driver to come off, but where a non racing driver might. A number of circuit operators have mentioned to me that they often find participants in track day activities incur accidents of a different nature and at different locations to those experienced in MSA authorised competition. For a venue such as Goodwood this would probably involve considering moving the track, making it smaller to create bigger run off areas, and moving the spectators further from the track."
Although Mr Symes in some respects sought to maintain this in his oral evidence and continued to assert that he did not consider that he had accepted responsibility for non-MSA events, Mr Symes in substance significantly departed from this in his cross-examination, taking it as a whole: for example, by his acceptance that his recommendations with regard to circuits and barriers would be appropriate for drivers, even if inexperienced foreseeably using the circuit at Goodwood; his acceptance that he knew of the other uses (eg track and training days) at Goodwood and that he did not expect the circuit or barriers to be any different for those days; his acceptance that, if specifically asked, on the 5th November 1998, whether he would have made any different recommendation with regard to the circuit and barriers, he would not. I reject Mr Symes' evidence as set out in this paragraph of his witness statement (and I also record that Mr Peart a conspicuously even-handed witness had difficulty in associating himself with it). To the extent that Mr Lankshear adopted the same party line I reject that too.
(iii) The FIA
136.1 The involvement of the FIA (and Mr Peart in particular) at Goodwood was far less than that of Mr Symes. His inspections and attendances were much less frequent and he had much less contact with Mr Houghton or Lord March. It is to be noted that it was also left to Mr Symes of the MSA to check that Mr Peart's recommendations in 1998 had been carried out.
136.2 Mr Peart, unlike Mr Symes, had a far hazier idea of what other uses of the circuit at Goodwood might be undertaken. He did, I find, know that there would most probably be uses other than for FIA or MSA authorised events and he knew, for example, that a driving school operated there: but he had a much less clear picture than Mr Symes of what the various uses might be. Mr Peart was also, in his inspections and reports, focusing on the Revival Meeting, as he told me, and was equating it with a Restricted Event (see Article 19 of the Code).
136.3 No licence at the relevant times was issued by the FIA (contrary to the pleaded case of the Claimant). The national and international licences were issued by the MSA. (Indeed, even when the FIA eventually did issue a circuit licence, on the 5th June 2001, for the Goodwood circuit that in terms was issued to the MSA and on terms that it did not relieve the MSA of its own obligations as to safety).
136.4 The terms of the Code, the structure of the FIA and the way in which its dealings with the relevant national sports association are conducted show that primary responsibility with regard to safety at circuits for licensing purposes is left to the national sports association in question.
136.5 Article 4.5 of Appendix O to the International Code provides that a standard fee for the FIA inspection is to be paid by the national sporting association- not the circuit owner. I did not understand Goodwood to have paid any fee direct to the FIA: on the contrary, the evidence of Mr de Coninck was that the FIA charged the MSA (emphasis added) 4,000 Euros for the FIA inspection in 1998. It is also, I note, provided that only inspection reports sent from the FIA offices to the national sporting association concerned should be valid. It is further to be noted that most (if not all) of Mr Peart's written communications about the Goodwood circuit were directed to the MSA.
136.6 The licences, although said to be in part based on FIA safety criteria, made clear that the MSA also based its requirements "on its own information and studies". The licence conditions incorporated the MSA Regulations not any of the FIA.
136.7 The role of the FIA was (and was perceived to be, both by Goodwood and also, if it be relevant, I have no doubt, by Mr Wattleworth) with regard to international events that is, those entered on the International Racing Calendar. It had no function at all with regard to national events, let alone uses such as track days.
136.8 Perhaps reflecting the foregoing, it was clear to me from the evidence of Mr Houghton and Lord March that it was primarily the MSA (and, specifically, Mr Symes) to whom Goodwood was looking for guidance on circuit safety and on whom it was relying. I think Goodwood did place some reliance on the FIA indeed the minutes of the meeting of 7th February 1997 show that Lord March was anxious that what was done would ultimately satisfy the FIA. Nevertheless it was Mr Symes to whom Goodwood principally looked in these respects and when it wanted advice or wished to make its own proposals it was him, on behalf of the MSA, it approached.
136.9 The role of the FIA was, in effect, at one remove from that of the MSA. Mr Peart was minded to agree that he was, in effect, "auditing" the judgment of the MSA (Mr Symes).
136.10 The FIA in general terms had to concern itself with all the scores of countries from which its members were drawn. It did not have specialist country knowledge.
Standard of care
Breach of duty of care
Causation
171.1 His explanation called for an impact by a lorry tyre with the helmet towards the vertex on the right side of the helmet in the site of marks shown on the photograph of the helmet. But his calculations as to the height of the tyre wall necessarily had to be approximate (see in particular Figure 12.2 in this first report); in addition his measurement of the car was by a scaling off process and he had also had to make suppositions, albeit informed ones, as to Mr Wattleworth's posture and movements.
171.2 His theory involved Mr Wattleworth's helmeted head moving at least some 8 inches and, more probably, perhaps some 12 inches forward to the right (with some dipping) and beyond the line of the A frame of the car. (Dr Ashton did not suggest that a lorry tyre had somehow inserted itself within the line of the A-frame). As Dr Searle pointed out, that was not something to be expected in the case of a driver firmly strapped, as I find Mr Wattleworth was, by a harness type seat belt of this type: the shorter (and therefore less flexible) of the straps, moreover, being on the left shoulder.
171.3 The pocketing occurred as the offside front of the car was rotating clockwise into the tyre wall. The corollary of this was that the rest of the offside of the car was at the point of the third impact rotating clockwise away from the tyre wall.
171.4 The actual dislocation of the tyre wall is probably to be seen (as Professor Troutbeck had observed) in terms of consequence of the third impact rather than in terms of cause of injury.
171.5 No damage to the chrome strip on the driver's door or to the steering wheel, or other such damage, was noted which might support the theory that Mr Wattleworth's head and torso had moved in this way.
171.6 The marks on the right side of the helmet (so far as revealed on the photograph of the helmet and the notated drawing of the helmet which had been made by Mrs Wattleworth's brother) were inconclusive as to whether they were caused by the impact of a lorry tyre.
171.7 A deceleration table prepared by Dr Ashton (Table 12.10 in his first report) does not show any very pronounced deceleration between point of first impact and point of third impact.
171.8 There was no clear evidence of tyre impact on the offside door or frame.
Other matters
175.1 that Mr Wattleworth approached the second apex of the Lavant bend at excessive speed and without due care; and
175.2 that Mr Wattleworth unreasonably failed to attempt to brake once his nearside wheels had gone into the grass and he started to go across the circuit.
Conclusion
179.1 Goodwood was not in breach of the duty of care which it owed Mr Wattleworth.
179.2 The MSA owed a duty of care to Mr Wattleworth but was not in breach of that duty of care.
179.3 The FIA did not owe a duty of care to Mr Wattleworth; but, even if it did, it was not in breach of that duty of care.
179.4 Causation in any event was not proved by the Claimant.