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IN THE HIGH COURT OF JUSTICE QUEEN'S BENCH DIVISION High Court Appeal Centre Leeds On appeal from the Middlesbrough County Court
Leeds Combined Court Centre 1, Oxford Row, Leeds LS1 3BG
23/11/2018
B e f o r e :
MR JUSTICE MARTIN SPENCER
____________________
Between:
Mr Stephen Mark
Claimant/Appellant
- and –
Universal Coatings & Services Limited
First Defendant/ Respondent
Barrier Limited
Second Defendant/ Respondent
____________________
Ronald Walker QC & Mr J Swoboda (instructed by Neumans LLP) for The Claimant
Patrick Limb QC (instructed by Weightmans LLP) for The First Defendant and
(instructed by Langleys LLP) for The Second Defendant
Hearing dates: 5 November 2018
____________________
HTML VERSION OF JUDGMENT APPROVED
____________________
"8. The medical evidence to support Pneumoconiosis is highly specialised. The number of private medico-legal experts in the Claimant's area is restricted and as a result obtaining any medical report can take several weeks. Without the Claimant's medical evidence we will be unable to serve the papers upon the Defendant and fully assess the prospects of success.
9. The Claimant's solicitors have now instructed a medical agency to arrange an appointment on behalf of the Claimant and we are currently awaiting an appointment date.
10. The Claimant's solicitors will require to review the medical report, and if necessary, instruct Counsel to advise and to draft the Particulars of Claim and any supporting schedule of loss."
On the basis of that application and supporting evidence, Deputy District Judge Greenan made an order extending time for service of the Claim Form until 1 March 2016, that order being dated 5 October 2015.
"(1) This rule applies where the court has disposed of an application which is permitted to be made without service of a copy of the application notice.
(2) Where the court makes an order, whether granting or dismissing the application, a copy of the application notice and any evidence in support must, unless the court orders otherwise, be served with the order on any party or other person –
a) against whom the order was made;
b) against whom the order was sought.
(3) The order must contain a statement of the right to make an application to set aside or vary the order under Rule 23.10."
Rule 23.10 provides:
"(1) A person who is not served with a copy of the application notice before an order is made under Rule 23.9, may apply to have the order set aside or varied.
(2) An application under this rule must be made within 7 days after the date on which the order was served on the person making the application."
Had the order and application with supporting evidence been served on the First Defendant, the First Defendant could have taken a number of steps. First, it could have applied to set aside or vary the order. Secondly, it could have sought an order requiring the Claimant to serve the Claim Form so that it could contest the jurisdiction. Thirdly, it could have sought an order from the court laying down a timetable for service of the Claim Form and for the Particulars of Claim. Thus, service in accordance with CPR 23.9 would have enabled the First Defendant to become engaged with the litigation and ask the Court to undertake some case management.
"Deputy District Judge Pickup sitting at Northampton County Court Money Claims Centre, PO Box 527, Salford, M5 0BG made the following comment:
'Application dismissed. I see no reason why the Claim Form cannot be served upon the Defendant. If the Claimant wants to add more Defendants he will have to apply to amend the Claim Form in any event.'"
"The rules in this Part deal with amendments to 'Statements of Case', a term which means 'a Claim Form, Particulars of Claim, where these are not included in the Claim Form, Defence, Part 20 Claim or a reply to a Defence'".
Referring to CPR Rule 2.3.1, Part 17 then provides:
"i) A party may amend his Statement of Case at any time before it has been served on any other party.
ii) If his Statement of Case has been served, a party may amend it only –
a) With the written consent of all the other parties; or
b) With the permission of the court …"
CPR Part 17.2 gives the court powers to disallow amendments made without permission, providing:
"(1) If a party has amended his statement of case where permission of the court was not required, the court may disallow the amendment.
(2) A party may apply to the court for an order under paragraph (1) within 14 days of service of a copy of the amended statement of case on him."
If you do not file an application to dispute the jurisdiction of the court within 14 days of the date of filing this acknowledgment of service, it will be assumed that you accept the court's jurisdiction and judgment may be entered against you."
In its acknowledgement of service dated 14 March 2016, the Third Defendant ticked box 3 indicating an intention to contest jurisdiction. However, the First and Second Defendants simply ticked box 1 indicating an intention to defend all of the claim.
"The First Defendant submits that the Claimant's failure to comply with CPR 16 PD 4.2 and 4.3 is an abuse of process and/or is otherwise likely to obstruct the just disposal of the proceedings; as a consequence the First Defendant submits that the Claimant's claim should be struck out pursuant to CPR 3.4(2)."
CPR 16 PD 4.2 and 4.3 are set out in paragraph 33 below.
(i) It is pleaded that the Second Defendant reserved the right to contend the Claim Form had not been validly amended to join the Second Defendant so that the claim against the Second Defendant is a nullity.
(ii) Secondly, the Second Defendant reserved the right to contend that the Claim Form had been served out of time against it.
(iii) Thirdly, the Second Defendant reserved the right to contend that these proceedings should be struck out for failure to comply with the CPR and/or practice directions in that the Claimant had failed to serve a schedule of loss and a copy of a medical report with the Particulars of Claim.
(iv) Fourthly, the Second Defendant reserved the right to contend that the proceedings against it are statute barred within the provisions of the Limitations Act 1980.
(v) Fifthly, the Second Defendant pleaded that the Claim Form contained a deliberate understatement of the value of the claim, so stated in order to pay a reduced issue fee and/or to stop the limitation period from running and that this amounted to an abuse of process whereby the Claimant should be struck out.
"5. … following the transfer of this case to Neumans LLP a notice of change of solicitor was filed with the court on 22 October 2015.
6. Following a review it soon became apparent that no steps had been taken to obtain medical evidence or indeed to obtain a witness statement from the Claimant. …
13. Following Neumans LLP being instructed in mid-October 2015 steps were taken to obtain medical evidence."
HHJ Gargan contrasted Mr Taylor's statement that no steps had been taken to obtain medical evidence by GT Law with Ms Butler's statement that the Claimant's solicitors had instructed a medical agency to arrange an appointment on behalf of the Claimant and that they were currently awaiting an appointment date and he found that, given Mr Taylor's evidence, Ms Butler's evidence was materially inaccurate. He did not, however, think it appropriate (or necessary, at that stage at least) to make the finding that Ms Butler was lying.
"What is clear to me is that the reasons put forward for extending the time for service of the claim form in this case are wholly unacceptable. The reasons claimed by Mr Patterson may well be strong reasons for delaying service of the Particulars of Claim but to my mind they come nowhere near sufficient reasons for extending the time for service of the claim form. There is just no reason why the claim form could not be served on an application to extend the time for serving the Particulars of Claim."
In the course of his judgment on appeal, Dyson LJ said:
"39. In Glass v Surrenderan[2006] 1 WLR 1945 the reason given by the claimant's solicitors for not serving the claim form was that they were awaiting receipt of an accountant's report. In fact, the report was received more than one month before the expiry of the four months' period. This court said at paragraph 150, that there was no basis on which a competent litigation solicitor could have justified delaying service of the claim form beyond the four months' period. The extension of time granted by the District Judge was therefore set aside by this court.
40. We have referred to these decisions because they illustrate the general principle that, where there is no good reason for the failure to serve the claim form within the four months' period the court still retains a discretion to grant an extension of time, but is unlikely to do so.
41. We would agree with the District Judge that there was no good reason for the claimant's failure to serve within the four months' period in this case."
The Court of Appeal referred to the solicitor in that case as having made a serious error of judgment in failing to serve the Claim Form and found that the reason he gave at paragraph 26 of his witness statement was not a good reason for so failing.
"3.9 - (1) On an application for relief from any sanction imposed for a failure to comply with any rule, practice direction or court order, the court will consider all the circumstances of the case, so as to enable it to deal justly with the application, including the need –
(a) For litigation to be conducted efficiently and at proportionate cost; and
(b) To enforce compliance with rules, practice directions and orders."
This provision was considered by the Court of Appeal in Mitchell v News Group Newspapers Ltd[2014] 1 WLR 795 and then reconsidered by the Court of Appeal in Denton v TH White Ltd [2014] 1 W.L.R. 3296. The principles laid down are that a judge should address an application for relief from sanction in three stages:
(i) The first stage is to identify and address the seriousness and significance of the failure which engages Rule 3.9. If the breach is neither serious nor significant, the court is unlikely to need to spend much time on the second and third stages.
(ii) Secondly, the court should consider why the default occurred.
(iii) Finally, the court evaluates all the circumstances of the case.
"4.2 The claimant must attach to his Particulars of Claim a schedule of details of any past or future expenses and losses which he claims.
4.3 Where the claimant is relying on the evidence of a medical practitioner the claimant must attach to or serve with his Particulars of Claim a report from a medical practitioner about the personal injuries which he alleges in his claim."
The learned Judge referred to the fact that there had been no application for permission to serve the Particulars of Claim without the medical report or schedule and, further, there had been no formal application since service for permission to serve the medical report/schedule out of time or for relief from sanction.
"105. In my judgment a claimant who cannot prove his claim without medical evidence is 'relying on the evidence of a medical practitioner' for the purposes of CPR 16 PD 4.3 whether or not a medical report has yet been obtained. Therefore, such a claimant is under an obligation to serve the evidence of a medical practitioner with the Particulars of Claim. To hold otherwise would mean that a claimant in a personal injury action who delayed in obtaining medical evidence would never be required to seek permission to extend the time for service of the medical evidence and/or seek permission from the court to serve the Particulars of Claim without such evidence. There was widespread acceptance among personal injury practitioners that such applications are required. (Indeed, the claimant's solicitors in this case included applications for such extensions when applying to extend the time for service of the Claim form). It is quite clear that medical evidence will be required to establish causation and quantum in this case. Therefore, in my judgment, the claimant was obliged to serve a medical report with the Particulars of Claim unless the court granted an extension of time for such service."
I would comment, at this stage, that it seems to me that, in this passage, the learned judge elided the distinction between a medical report dealing with causation and a medical report dealing with condition and prognosis. It is the latter which needs to be served with the Particulars of Claim. The former will usually be served at a later stage, upon an exchange of medical reports as laid down in directions at a case management hearing, and it is this report to which the learned judge was referring as needed by the Claimant in order to prove his claim. See further paragraph 48 below).
"cannot simply ignore the provisions of the practice direction. The implied sanction is that the claimant is not entitled to rely upon any such medical report/schedule unless the defendant has waived the breach. Therefore, I'm firmly of the view that the claimant has an obligation to apply for an extension of time."
"117. … however, the provisions of the practice direction are designed to ensure that defendants generally know the case that they have to meet at an early stage in order to promote settlement and so that the parties can concentrate on the material issues, thereby avoiding unnecessary expense.
118. Therefore I'm not prepared to regard the breach as immaterial. In my judgment it is a form of breach which should be regarded as serious and significant although I regard it as very much at the lower end of the scale of such breaches."
He considered that the conduct of Neumans was wholly unacceptable and compounded the earlier problems arising from the failure of Ms Butler to obtain medical evidence and, in addition, Neumans could be criticised for failure to serve a schedule of special damages. For these reasons he considered there was no good explanation for the failure.
"126. Therefore when the claimant's default is placed in context, it shows what amounts to a flagrant disregard for the rules and practice directions governing the conduct of litigation. The claimant's overall conduct has, in my judgment, significantly prejudiced the defendants and has undoubtedly affected the smooth running of the litigation as a whole. Therefore in all the circumstances of the case I do not consider that relief from sanctions should be granted even though the effect of that is to deprive the claimant of a substantial personal injury claim. It follows that the claimant cannot rely upon the medical report and/or the schedule. Therefore, it necessarily follows that his claim must fail and be struck out."
In addition to the failure to serve the medical report and schedule, the learned Judge relied additionally upon the following:
"1) The Claimant's solicitors procured an extension of time for the service of the Claim form by misrepresenting the attempts which had been made to obtain medical evidence;
2) The Claimant's solicitors failed to serve the September 2015 application to extend the time for service of the Claim form or the statement from Ms Butler on the First Defendant at the time the order was obtained;
3) More significantly, the Claimant's solicitors failed to serve those documents on the Second and Third Defendants when they were joined;
4) Further still the Claimant's solicitors failed to serve any details connected with the failed application to extend the time for the service of the Claim form (and the Particulars of Claim, and the medical report and schedule) made in January 2016 and dismissed in February 2016."
"In my judgment the claimant's conduct (or that of his solicitors with which he is fixed) represents a flagrant disregard for the rules. In my judgment the failures have (cumulatively) had a significant adverse impact upon the way in which the defendants have been able to deal with the claim.
131. Therefore, even were this not an implied relief against sanctions claim I would strike out the Claim."
"It must be stressed, however, that the ultimate question for the court in deciding whether to impose the sanction of strike-out is materially different from that in deciding whether to grant relief from a sanction which has already been imposed. In a strike-out application under rule 3.4 the proportionality of the sanction itself is in issue., whereas an application under rule 3.9 for relief from sanction has to proceed on the basis that the sanction was properly imposed (see Mitchell at 44-45). The importance of that sanction is particularly obvious where the sanction being sought is as fundamental as a strike-out."
Mr Walker submitted that the learned Judge, by introducing and assuming an implied sanction that, where the medical report and/or schedule is not served, the claimant cannot rely upon the medical report or schedule, thereby excluded consideration of the proportionality of the sanction which is an important consideration in relation to strike out applications, as the decision in Walsham shows. He submitted that the implied sanction contended for (and which the learned Judge found applied) is disproportionate to the default and cannot be said to arise by logical implication. The learned Judge incorrectly equated permission to rely on the medical evidence and schedule of loss with the steps required by PD 16 paras 4.2 and 4.3.
"There are some cases where the first instance judge has made the decision which involved the assessment and balancing of a large number of factors, for example, determining whether an action constitutes abuse of process. Such a decision is not an exercise in discretion, because there is only one right answer to the question before the judge. The Court of Appeal is reluctant to interfere with such a decision. However, the Court of Appeal will interfere if the judge has taken into account immaterial factors, omitted to take into account material factors, erred in principle or come to a decision that is impermissible: see Aldi Stores Ltd v WSP Group plc [2007] EWCA Civ 1260. The Court of Appeal will also interfere if the judge's decision was "plainly wrong": see Stuart v Goldberg[2008] 1 WLR 823 (CA) at [76] and [81]."
Mr Limb submitted, correctly, that my position on an appeal from HHJ Gargan is the same as the position of the Court of Appeal referred to in that passage.
"a number of cases dating back more than a decade [in which] the courts have recognised the existence of implied sanctions capable of engaging the approach contained in rule 3.9 and the Mitchell/Denton principles."
Thus, he referred to Sayers v Clarke Walker[2002] 1 WLR 3095 where the court considered the approach to be adopted to applications for permission to appeal out of time. Implying the application of rule 3.9 and the Mitchell/Denton principles, Brooke LJ said:
"In my judgment it is equally appropriate to have regard to the checklist in CPR 3.9 when a court is considering an application for an extension of time for appealing in a case of any complexity. The reason for this is that the applicant has not complied with CPR 52.4 (2) and if the court is unwilling to grant him relief from this failure to comply through the extension of time he is seeking, the consequence would be that the order of the lower court will stand and he cannot appeal it. Even though this may not be a sanction expressly 'imposed' by the rule, the consequence will be exactly the same as if it had been, and it would be far better for courts to follow the checklist contained in CPR 3.9 on this occasion, too, than for judges to make their own checklists for cases where sanctions are implied and are not expressly imposed."
Thus, applications for permission to appeal out of time are considered to be analogous to applications under rule 3.9 and are therefore to be decided in accordance with the same principles. Moore-Bick LJ said:
"16. The reason given by Brooke LJ in Sayers v Clarke Walker for treating an application for permission to appeal out of time as analogous to an application for relief from sanctions was that without such an extension the appeal could not proceed. Mr Knox submitted that an application for permission to file a Respondent's Notice out of time is different because the proceedings will continue in any event. That is certainly true, but in my view that is not a significant ground of distinction. The purpose of the Respondent's Notice to enable Altomart to rely at the hearing of the appeal on grounds for upholding the judgment that were not before the court below. If an extension of time is not granted it will be unable to do so. To that extent that area of dispute will not come before the court. In my view for a respondent to be prevented from pursuing the merits of a case it wishes to pursue on the appeal is no more or less of an implied sanction than it is for an appellant to be prevented from pursuing its case on appeal. In my view, therefore, the Mitchell principles apply with equal force to an application for an extension of time in which to file a Respondent's Notice."
"1) On an application for relief from any sanction imposed for any failure to comply with any rule, practice direction or court order, the court will consider all the circumstances of the case, so as to enable it to deal justly with the application including the need –
a) For litigation to be conducted efficiently and at proportionate cost;
b) To enforce compliance with rules, practice directions and orders.
2) An application for relief must be supported by evidence."
It is to be noted that this provision refers to "any sanction imposed for a failure to comply …". Often such a sanction is imposed by the order of the court. Thus, if the court orders something to be done within a certain period of time and lays down a sanction if that is not done, then a defaulting party needs to apply for relief from sanction. Alternatively, the rule or practice direction may itself contain a sanction. An example is CPR 3.7 A1, a rule which provides sanctions for non-payment of the trial fee by the claimant. Part of that rule states that if the claimant has had notice to pay the trial fee and has not applied to have the trial fee remitted in whole or in part and the trial fee has not been paid on or before the trial fee payment date, then the claim will automatically be struck-out without further order of the court and the claimant will be liable for the costs which the defendant has incurred.
In my judgment, the principle behind the reason why those rules carry with them an implied need to apply for relief from sanction when breached can be discerned by reference to the default position if the application is refused. In the case of a litigant who fails to serve and file a notice of appeal in time, without an extension of time the litigant is unable to appeal as any notice of appeal would be invalid as having been served out of time and the judgment in the court below will stand. This is so significant for the purposes of the litigation that the need to apply for relief from sanction is implied. Similarly, as explained by Moore-Bick LJ in Altomart, the failure to serve a respondent's notice means that, without permission to do so, the respondent is fixed with relying on the grounds relied on below and may not argue that the judgment below should be upheld for different reasons. This may so significantly confine the scope of the appeal as to be highly significant for the purposes of the litigation and has therefore also been held to require relief from sanction although, as it seems to me, this is much closer to the line than the failure to serve a notice of appeal in time considered in the Sayers' case.
"Under rule 3.4(c) a judge has an unqualified discretion to strike out a case such as this where there has been a failure to comply with a rule. The fact that a judge has that power does not mean that in applying the overriding objectives the initial approach will be to strike out the statement of case. The advantage of the CPR over the previous rules is that the court's powers are much broader than they were. In many cases there will be alternatives which enable a case to be dealt with justly without taking the draconian step of striking the case out."
Similarly, in Marstons plc v Charman[2009] EWCA Civ 719, Rix LJ said at para. 21:
"… the well-known case of Biguzzi v Rank Leisure plc, almost the first and perhaps, in its way, to this day the leading case in this court from the judgment of Lord Woolf, the Master of the Rolls himself, on the case management powers of the then new CPR. The essence of the decision in that case was that, while it had to be recognised that under the CPR delays in complying with court orders would not be tolerated in the leisurely way in which they had perhaps been tolerated under the Rules of the Supreme Court, nevertheless courts exercising their new case management powers were not to abuse those powers by going to the extreme of striking out a case for delay in compliance with court orders when a more proportionate use of the much more flexible powers granted under the CPR would be more attuned to the problems in question in a particular."