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England and Wales High Court (Technology and Construction Court) Decisions |
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You are here: BAILII >> Databases >> England and Wales High Court (Technology and Construction Court) Decisions >> Stagecoach East Midlands Trains Ltd & Ors v The Secretary of State for Transport [2019] EWHC 2047 (TCC) (31 July 2019) URL: http://www.bailii.org/ew/cases/EWHC/TCC/2019/2047.html Cite as: [2019] EWHC 2047 (TCC) |
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HT-2019-000160 HT-2019-000173 HT-2019-000187 |
QUEEN'S BENCH DIVISION
TECHNOLOGY AND CONSTRUCTION COURT
2019 RAIL FRANCHISING LITIGATION
Fetter Lane, London, EC4A 1NL |
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B e f o r e :
____________________
STAGECOACH EAST MIDLANDS TRAINS LIMITED and others |
Claimants |
|
- and - |
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THE SECRETARY OF STATE FOR TRANSPORT |
Defendant |
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- and - |
||
ABELLIO EAST MIDLANDS LIMITED |
Interested Party |
|
And Between: |
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ARRIVA RAIL EAST MIDLANDS LIMITED |
Claimant |
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- and - |
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THE SECRETARY OF STATE FOR TRANSPORT |
Defendant |
|
- and - |
||
ABELLIO EAST MIDLANDS LIMITED |
Interested Party |
|
And Between: |
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WEST COAST TRAINS PARTNERSHIP LIMITED AND OTHERS |
Claimants |
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- and - |
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DEPARTMENT FOR TRANSPORT |
Defendant |
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- and - |
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(1) MTR WEST COAST PARTNERSHIP LIMITED (2) FIRST TRENITALIA WEST COAST LIMITED |
Interested Parties |
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And Between: |
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STAGECOACH SOUTH EASTERN TRAINS LIMITED AND OTHERS |
Claimants |
|
- and - |
||
SECRETARY OF STATE FOR TRANSPORT |
Defendant |
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- and – |
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(1) SOUTH EASTERN RAILWAYS LIMITED (2) LONDON AND SOUTH EAST PASSENGER RAIL SERVICES LIMITED |
I nterested Parties |
____________________
MR TIM WARD QC (instructed by Herbert Smith Freehills LLP) for the Stagecoach Claimants
MR JASON COPPEL QC and MR PATRICK HALLIDAY (instructed by Ashurst LLP) for the West Coast Claimants
MR RHODRI THOMPSON QC, MS FIONNUALA McCREDIE QC, MS ANNELI HOWARD and MS FIONA BANKS (instructed by Eversheds Sutherland (International) LLP [East Midlands], Addleshaw Goddard LLP [West Coast] and DLA Piper UK LLP [South Eastern]) for the Defendant
Hearing dates: 18th/19th July 2019
____________________
Crown Copyright ©
Mr Justice Stuart-Smith:
Introduction
i) The introduction of the pension requirements as part of the rebidding process after the date of the original ITT;
ii) The substance of the pension requirements that were introduced by the additional drafting after the issuing of the original ITT; and
iii) The extent of the Defendant's discretion as set out in the original ITT.
The Notices of Application
"The Defendant applies for an Order to strike out pursuant to CPR Parts 3.4(2)(a) and/or for summary judgment pursuant to CPR Part 24 in respect of those parts of the Claimants' Particulars of Claim and Claim Forms insofar as they seek to challenge, quash and/or seek declaratory/injunctive relief and/or damages in respect of:
(i) the design and requirements of the franchise competition, as specified in the invitation to tender (ITT) documents;
(ii) the introduction of the Pensions Requirements as part of the Revised Bid instructions and their legality; and
(iii) the existence and scope of the Defendant's reserved discretion to evaluate and disqualify bids as part of the tender process for non-compliance with the above requirements, (together, the "tender process complaints")
on the basis that those parts of the Claims are out of time and have not brought with the required rapidity pursuant to Regulation 1370/2007, namely within 3 months of the date when the Claimants knew, or ought to have known the grounds giving rise to their claim, within the meaning of CPR Rule 54.5 and applicable EU and UK law.
In the alternative, the Claimants have no real prospect of succeeding on these issues because the Claimants knew, or could with reasonable diligence have discovered, prior to the 3 month deadline, the relevant facts to constitute the cause of action and thus necessary to commence proceedings in respect of the claim, namely that the matters of which they complain caused or risked causing them loss."
"If the Applications are successful, there will be no basis for declaratory or other relief in respect of the ITT or the Re-Bid Instructions and/or the Pensions Requirements set out therein (in the case of [C] including but not limited to its non-compliances concerning the Pension Requirements). Accordingly those remedial aspects of the Claims should be struck out or summary judgment granted in the Defendant's favour in that regard. The Claimants should be directed to amend their pleadings to reflect the ongoing scope of the matters in dispute."
Basic Principles
The Test on an Application to Strike Out or for Summary Judgment
"The court may strike out a statement of case if it appears to the court –
(a) that the statement of case discloses no reasonable grounds for bringing …the claim;
(b) that the statement of case is an abuse of the court's process or is otherwise likely to obstruct the just disposal of the proceedings; or
(c) that there has been a failure to comply with a rule, practice direction or court order."
"The court may give summary judgment against a claimant … on the whole of a claim or on a particular issue if –
(a) it considers that –
(i) that claimant has no real prospect of succeeding on the claim or issue; or
(ii) …; and
(b) there is no other compelling reason why the case or issue should be disposed of at a trial."
Private and Public Law and the Claimants' Claims
i) [67]-[70] of SEMTL's Particulars of Claim in the Part 7 proceedings pleads as follows:
"67. In his conduct of the Procurement, the Secretary of State was required to comply with the terms of the Railway Regulation (which was expressly referred to as the basis for the Procurement). The Railway Regulation gives rise to directly effective rights and is a concrete expression of obligations flowing from EU Treaty principles, in particular those of equal treatment, transparency, non-discrimination, proportionality, good administration, non-arbitrariness, protection of legitimate expectations and the requirement to act without manifest error (the "EU Treaty principles"). The Secretary of State was required expressly (but without limitation) to comply with:
a. Article 3, concerning public service contracts and general rules.
b. Article 4, concerning the mandatory content of public service contracts and general rules.
c. Article 5, concerning the award of public service contracts which requires that the procedure adopted "shall be fair and observe the principles of transparency and non-discrimination". (emphasis original)
d. Article 6, concerning public service compensation.
e. Article 9, concerning compatibility with the Treaty.
68. Further or alternatively, the Secretary of State was required to comply with those same obligations flowing from the EU Treaty principles as they arise out of the EU Treaties themselves and which give rise to directly effective EU law rights and the general principles of EU law.
69. Further or alternatively, the Secretary of State was required to comply with obligations arising under Articles 49 and/or Article 56 of the Treaty on the Functioning of the European Union ("TFEU") on freedom of establishment and the freedom to provide services.
70. The Secretary of State's breaches of the terms of the Railway Regulation and/or Articles 49 and/or Article 56 TFEU and/or obligations flowing from EU Treaty principle which give rise to directly effective EU law rights constitute breaches of the terms of section 2(1) European Communities Act 1972 and are actionable in domestic law by way of a claim for breach of statutory duty." (emphasis added)
The same passage is pleaded as [71]-[74] of SEMTL's Statement of Facts and Grounds in its judicial review proceedings save that the words I have italicised at the end of [74] of the Particulars of Claim are replaced by " … and are actionable by judicial review". One further paragraph is added at [75] of the Statement of Facts and Grounds which alleges that the Defendant "was required to comply with the public law obligations imposed by common law … ", which are also pleaded to be actionable by way of judicial review. In this way SEMTL draws the distinction between the effect of the pleaded duties in private and public law respectively;
ii) SSETL adopts the same approach and wording as SEMTL at [69]-[72] of its Part 7 Particulars of Claim and [75]-[79] of its Statement of Facts and Grounds in its judicial review proceedings;
iii) [91]-[92] of WCTP's Particulars of Claim in its Part 7 proceedings pleads as follows:
"91. In its conduct of the Procurement, the Defendant is required to comply with:
(i) the provisions of Regulation (EC) No 1370/2007 of the European Parliament and of the Council of 23 October 2007 on public passenger transport services by rail and by road ("the Railway Regulation"), including:
(a) Article 4(1), by which the Franchise Agreement must clearly define the franchisee's public service obligations and must establish in advance, in an objective and transparent manner (inter alia), the nature and extent of any exclusive rights granted, the arrangements for the allocation of costs connected with the provision of services and the parameters on the basis of which the franchisee's compensation is to be calculated;
(b) Article 5(3), by which the procedure for competitive tendering of the Franchise Agreement must be fair and must observe the principles of transparency and non-discrimination, as well as (by implication) the principle of equal treatment, and (by implication) by which assessment of bids must be free from manifest error;
(ii) Articles 49 and/or 56 of the Treaty on the Functioning of the European Union ("TFEU"), on, respectively, freedom of establishment and the freedom to provide services;
(iii) general principles under the TFEU, including the principles of non-discrimination, proportionality, transparency, equal treatment, the protection of legitimate expectations, the requirement to act without manifest error and good administration.
92. Any breach by the Defendant of the obligations referred to in paragraph 91 above constitutes a breach of section 2(1) of the European Communities Act 1972 and is actionable in domestic law by way of a claim for breach of statutory duty. …"
At [9] of the Statement of Facts and Grounds in its judicial review proceedings, WCTP replicates [91] of its Particulars of Claim (as set out above) with the addition at [9(iv)] of an additional obligation "s. 26 RA, as supplemented by his domestic public law duties." [10] of the Statement of Facts and Grounds then draws the distinction between WCPT's private law and public law proceedings by stating:
"Without prejudice to its contention that breaches of the duties described in sub-paragraphs 9(i), 9(ii) and 9(iii) above are actionable by way of private law claims for breach of statutory duty under section 2(1) of the European Communities Act 1972, the Claimant avers that the Defendant's breaches of such duties are also amenable to judicial review."
iv) [96]-[101] of Arriva's Particulars of Claim in the Part 7 proceedings pleads as follows:
"96. In his design and conduct of the Procurement, the Defendant owed the Claimant a duty to comply with the following (collectively, "the Defendant's obligations"):
a. the Regulation and/or;
b. enforceable general principles of EU law arising the EU Treaties and/or the ECA72, including (without limitation) those of equal treatment, transparency, non-discrimination, non-arbitrariness, proportionality, good administration, procedural fairness, and the protection of legitimate expectations; and/or
c. Ars. 49 and 56 of the Treaty on the Functioning of the European Union (the "TFEU"); and/or
d. the Railways Act 1993 as amended by the Railways Act 2005 (together "the Acts"); and/or
e. the Implied Tender Contract; and/or
f. enforceable general public law duties owed as a public authority, namely to take decisions in a procedurally proper fashion that are lawful, reasonable, proportionate, procedurally fair, substantively fair and respect legitimate expectations.
97. The Defendant was further required to conduct a process for the selection of tenderers and award of the Contract that was free from manifest error and/or irrationality.
98. In particular, the Defendant was required to treat the Claimant equally, transparently and in a proportionate way. It was required to conduct the Procurement in accordance with the procedure set out in the ITT and other tender documents, and to assess each bid solely by reference to the award criteria and scoring criteria set out therein. The Defendant was further required to conduct a fair and objective assessment of the tender responses to the Procurement that was free of manifest error.
99. Further or alternatively, by their respective conduct relating to the Procurement, the Claimant and the Defendant established an implied tender contract that comprised express and/or implied terms that the Defendant would conduct the Procurement in accordance with the aforementioned general EU Treaty principles ("the Implied Tender Contract").
A. The Regulation
100. Without prejudice to the generality of the obligations identified above, insofar as the Regulation is concerned, the Defendant (as a competent authority and/or public service operator, as defined in the Regulation) owed the Claimant (as a public service operator, as defined in the Regulation) a duty to comply (without limitation) with the following Articles:
a. Article 2a(1): "When laying down those specifications and the scope of their application, the competent authority shall duly respect the principle of proportionality, in accordance with Union law" and "The specifications shall be consistent with the policy objectives stated in public transport policy documents in the Member States"; and/or
b. Article 2a(2): "The specifications of the public service obligations and the related compensation of the net financial effect of public service obligations shall: (a) achieve the objectives of the public transport policy in a cost-effective manner; and (b) financially sustain the provision of public passenger transport, in accordance with the requirements laid down in the public transport policy in the long term"; and/or
c. Article 4(1): "Public service contracts and general rules shall: (a) clearly set out the public service obligations, defined in this Regulation and specified in accordance with Article 2a thereof, with which the public service operator is to comply, and the geographical areas concerned; [and] (b) establish in advance, in an objective and transparent manner: (i) the parameters on the basis of which the compensation payment, if any, is to be calculated; and (ii) the nature and extent of any exclusive rights granted, in a way that prevents overcompensation"; and/or
d. Article 5: "(1) Public service contracts shall be awarded in accordance with the rules laid down in this Regulation" and/or "(3)The procedure adopted for competitive tendering shall be open to all operators, shall be fair and shall observe the principles of transparency and non-discrimination" and/or "(7) Member States shall take the necessary measures to ensure that decisions taken in accordance with paragraphs 2 to 6 may be reviewed effectively and rapidly, at the request of any person having or having had an interest in obtaining a particular contract and who has been or risks being harmed by an alleged infringement, on the grounds that such decisions have infringed Community law or national rules implementing that law"; and/or
e. Article 6(1): "All compensation connected with a general rule or a public service contract shall comply with the provisions laid down in Article 4, irrespective of how the contract was awarded".
B. The Acts
101. Without prejudice to the generality of the obligations identified above, insofar as the Acts are concerned, the Defendant owed the Claimant a duty to comply (without limitation) with the following Sections:
a. Section 4(1): The Defendant has a duty to exercise his functions in the manner with which are "best calculated": "(c) to promote efficiency and economy on the part of persons providing railway services"; and/or "(d) to promote competition in the provision of railway services for the benefit of users of railway services"; and/or "(g) to enable persons providing railway services to plan the future of their businesses with a reasonable degree of assurance"; and/or
b. Section 4(2): The Defendant has a duty to exercise functions in the manner which are "best calculated to protect": "(b) the interests of persons providing services for the carriage of passengers or goods by railway in their use of any railway facilities which are for the time being vested in a private sector operator, in respect of—(i) the prices charged for such use; and (ii) the quality of the service provided"; and/or
c. Section 26(3): "The appropriate franchising authority shall not issue an invitation to tender under this section to (or entertain such a tender from) any person unless it is of the opinion that the person has, or is likely by the commencement of the franchise term to have, an appropriate financial position and managerial competence, and is otherwise a suitable person, to be the franchisee.""
v) Arriva incorporated its Particulars of Claim in the Part 7 proceedings into its Statement of Facts and Grounds, alleging at [9] that "the Claimant's substantive grounds of challenge – as detailed in the PoC – fall to be determined in one or other sets of proceedings. The PoC is, accordingly, adopted and should be treated as incorporated by reference into this statement of facts and grounds."
i) WCTP in its Part 7 Particulars of Claim alleges financial loss and damage and claims at [121]:
"(i) a declaration that the Defendant has acted unlawfully in: (a) its design of the Procurement in the ways described in paragraphs 94 to 106 above; and/or (b) in allowing MTR to continue to participate in the Procurement despite adding RENFE as a key subcontractor; and/or (c) in taking the Disqualification Decision; and/or (d) in its treatment of MTR's and FTWC's bids;
(ii) an injunction requiring the Defendant: (a) to desist from conducting the Procurement on the basis of a Procurement design which is unlawful, as described in paragraphs 94 to 106 above; and/or (b) to exclude MTR from the Procurement; and/or (c) to restart the Procurement on a lawful basis; and/or (d) to revoke the Disqualification Decision;
(iii) damages for the losses described in paragraph 120 above, and in this regard the Claimants aver that the breaches particularised above are sufficiently serious to warrant an award of damages;
(iv) interest;
(v) such further relief as may be just and appropriate; and/or
(vi) costs."
By its judicial review Claim Form WCTP seeks (i) a declaration that the disqualification decision was unlawful; (ii) an order quashing the disqualification decision; (iii) such other relief as is necessary to give effect to the Court's judgment; and (iv) costs. These heads of relief are replicated at [27] of WCTP's Statement of Facts and Grounds. Subject to the "cross-over" claims for declaratory relief and an injunction in the Particulars of Claim (to which I will return) WCTP has therefore confined itself to private law remedies in the Particulars of Claim and a typical public law remedy in its judicial review proceedings.
ii) SEMTL and SSETL claim identical relief in their respective Particulars of Claim. After alleging that the Defendant's breaches of duty have caused them to suffer loss and damage (and/or that they risk suffering loss or damage) they claim (with adjustments depending upon the franchise being addressed included in square brackets below):
"1. A declaration or declarations that the Secretary of State acted unlawfully and in breach of statutory duty in (a) disqualifying [SEMTL/SSETL] from the [EM/SE] Franchise Competition [and (b) awarding the EM Rail Franchise to Abellio and/or not awarding the EM Rail Franchise to SEMTL];
2. An injunction requiring the Secretary of State to revoke the Disqualification Decision and/or restart the Procurement on a lawful basis;
3. Damages for loss of profit and/or contribution to overheads and/or wasted tender costs;
4. Damages for loss of reputation, goodwill and the ability to win and earn profits on other similar contracts;
[5. Damages for the loss of the chance of being awarded the EM Rail Franchise;]
6. Interest pursuant to section 35A of the Senior Courts Act 1981 or the equitable jurisdiction of the Court on the amount found to be due to the Claimant at such rate and for such period as the Court sees fit; and/or
7. Such further or other relief as the Court may determine.
8. Costs."
The remedies sought by the SEMTL and SSETL judicial review Claim Forms and Statements of Facts and Grounds are essentially identical. The Statements of Facts and Grounds conclude (again with suitable adjustments):
"By way of remedy, the Claimants seek a declaration or declarations that the Secretary of State acted unlawfully in (a) disqualifying [SEMTL/SSETL] from the [EM/SE] Rail Franchise Competition [and (b) awarding the EM Rail Franchise to Abellio and/or not awarding the EM Rail Franchise to SEMTL, and that accordingly the contract awarded to Abellio is void.]
Further or alternatively, the Claimants seek an order quashing the Disqualification Decision [and the Award Decision].
[An order remitting the Disqualification Decision and Award Decision for re-consideration.]
The Claimants further seek damages by means of the Part 7 proceedings."
iii) Following an allegation that the Defendant's breaches of duty have caused them to suffer or risk suffering loss and damage, the prayer in Arriva's Part 7 Particulars of Claim is for:
"(1) A declaration that the Procurement undertaken by the Defendant and/or the Award Notification breached the ECA72; and/or the Regulation; and/or the general principles of EU law; and/or Articles 49 and/or 56 TFEU; and/or the Acts; and/or the Implied Tender Contract and/or the Defendant's general public law duties; and/or involved manifest error(s), and are thereby unlawful;
(2) An order that the Procurement and/or the Award Notification be set aside pursuant to the Defendant's obligations and/or for breach of the Implied Contract and/or quashed for unlawfulness;
(3) An order that the Franchise Agreement be awarded to the Claimant (and/or a declaration that the Defendant, if it had acted lawfully, would have determined that the Claimant should be awarded the Franchise Agreement), or alternatively an order that the Procurement be re-run in full accordance with the Defendant's obligations;
(4) An order that the Franchise Agreement be quashed.
(5) Further or alternatively damages in an amount to be assessed (for, inter alia, loss of profit and/or contribution to overheads and/or wasted tender costs and/or loss of reputation, goodwill and/or the ability to win and/or earn profits on other similar contracts), the aforesaid breaches being sufficiently serious breaches of obligations to give rise to a compensation (if, which is denied, it is relevant to the Claimant's case as pleaded);
(6) Interest pursuant to section 35A of the Senior Courts Act 1981 or the equitable jurisdiction of the Court on the amount found due to the Claimant at such a rate and for such period as the Court shall think fit;
(7) Such further or other relief as may be just and appropriate; and
(8) Costs."
iv) In Arriva's case the relief sought by the judicial review Claim Form and Statement of Facts and Grounds is materially identical to the relief sought by the Part 7 Particulars of Claim. However, a fair reading of the Arriva pleadings suggests that this is a consequence of having incorporated the Particulars of Claim into the Statement of Facts and Grounds and, perhaps, a less rigorous attention to the distinction between public and private law remedies when it came to the prayer in each case. Viewed overall, it is evident (and Arriva asserts) that the general thrust of Arriva's Part 7 proceedings is the breach of private law rights and obligations and that the thrust of their judicial review proceedings is the breach of public law rights and obligations; and that, as Mr Moser QC put it, when they came to remedies, they put the kitchen sink in both sets of proceedings. At worst, this may lead to temporary confusion at this stage because Arriva has expressly sought public law remedies in its Part 7 proceedings and private law remedies in its judicial review proceedings. Once again, I am more concerned with substance than form in the absence of compelling or binding reasons to the contrary.
The Limitation Act 1980
The Jurisdiction of the Administrative Court and judicial review
"29.— Mandatory, prohibiting and quashing orders.
(1) The orders of mandamus, prohibition and certiorari shall be known instead as mandatory, prohibiting and quashing orders respectively.
(1A) The High Court shall have jurisdiction to make mandatory, prohibiting and quashing orders in those classes of case in which, immediately before 1st May 2004, it had jurisdiction to make orders of mandamus, prohibition and certiorari respectively.
…
30.— Injunctions to restrain persons from acting in offices in which they are not entitled to act.
(1) Where a person not entitled to do so acts in an office to which this section applies, the High Court may—
(a) grant an injunction restraining him from so acting; and
(b) if the case so requires, declare the office to be vacant.
(2) This section applies to any substantive office of a public nature and permanent character which is held under the Crown or which has been created by any statutory provision or royal charter.
31.— Application for judicial review.
(1) An application to the High Court for one or more of the following forms of relief, namely—
(a) a mandatory, prohibiting or quashing order;
(b) a declaration or injunction under subsection (2); or
(c) an injunction under section 30 restraining a person not entitled to do so from acting in an office to which that section applies,
shall be made in accordance with rules of court by a procedure to be known as an application for judicial review.
(2) A declaration may be made or an injunction granted under this subsection in any case where an application for judicial review, seeking that relief, has been made and the High Court considers that, having regard to—
(a) the nature of the matters in respect of which relief may be granted by mandatory, prohibiting or quashing orders ;
(b) the nature of the persons and bodies against whom relief may be granted by such orders; and
(c) all the circumstances of the case,
it would be just and convenient for the declaration to be made or the injunction to be granted, as the case may be.
…
(3) No application for judicial review shall be made unless the leave of the High Court has been obtained in accordance with rules of court; and the court shall not grant leave to make such an application unless it considers that the applicant has a sufficient interest in the matter to which the application relates.
…
(4) On an application for judicial review the High Court may award to the applicant damages, restitution or the recovery of a sum due if–
(a) the application includes a claim for such an award arising from any matter to which the application relates; and
(b) the court is satisfied that such an award would have been made if the claim had been made in an action begun by the applicant at the time of making the application.
(5) If, on an application for judicial review, the High Court quashes the decision to which the application relates, it may in addition–
(a) remit the matter to the court, tribunal or authority which made the decision, with a direction to reconsider the matter and reach a decision in accordance with the findings of the High Court, or
(b) substitute its own decision for the decision in question.
…
(6) Where the High Court considers that there has been undue delay in making an application for judicial review, the court may refuse to grant—
(a) leave for the making of the application; or
(b) any relief sought on the application,
if it considers that the granting of the relief sought would be likely to cause substantial hardship to, or substantially prejudice the rights of, any person or would be detrimental to good administration.
(7) Subsection (6) is without prejudice to any enactment or rule of court which has the effect of limiting the time within which an application for judicial review may be made.
…"
i) S. 31 does not impose any limitation period for judicial review, though it could have done. The limitation period for judicial review is established by rules of Court: see below;
ii) Despite the absence of a statutory limitation period in s. 31, where there has been "undue delay" in bringing an application, s. 31(6) gives the Court power to refuse leave or, as appropriate, to refuse relief on specified grounds which include that the giving of relief would be detrimental to good administration;
iii) S. 31(2) enables the court to make a declaration or grant an injunction in judicial review proceedings if an applicant asks for that relief and the court considers it to be convenient to make such an order on specified grounds. It is therefore contemplated by the section that the applicant may be prevented from bringing a claim for a declaration or an injunction as part of its judicial review proceedings on the grounds of procedural convenience. This does not mean or imply that the claim for a declaration or injunction would be invalid if brought by action rather than by the judicial review proceedings, though this needs further consideration below;
iv) S. 31(4) contemplates that a claim for damages (or restitution or recovery of a sum due) may be brought by action separately from the judicial review proceedings: that possibility is made a prerequisite to the making of an award of damages (or restitution or recovery of the sum due) in the judicial review proceedings themselves. There could be no basis for making such an award of damages in the judicial review proceedings unless the right to such an award in an action would arise from facts and matters that were also in play in the judicial review proceedings. Thus s. 31(4) expressly contemplates the bringing of an action and concurrent judicial review proceedings arising out of the same facts and matters.
i) The judicial review procedure must be used in a claim for judicial review where the claimant is seeking a mandatory order, a prohibiting order, a quashing order, or an injunction under section 30 of the Supreme Court Act 1981 (restraining a person from acting in any office in which he is not entitled to act): CPR 54.2. This relates back to s. 31(1);
ii) The judicial review procedure may be used in a claim for judicial review where the claimant is seeking a declaration or an injunction: CPR 54.3(1). This relates back to the power granted by s. 31(2);
iii) A claim for judicial review may include a claim for damages, restitution or the recovery of a sum due but may not seek such a remedy alone: CPR 54.3(2). This relates back to the power granted by s. 31(4);
iv) The claim form must be filed promptly and in any event not later than 3 months after the grounds to make the claim first arose; and these time limits in the rule may not be extended by agreement between the parties: CPR 54.5(1) and (2);
v) CPR 54.5 provides exceptions to the general time limit imposed by CPR 54.5(1) in cases involving planning decisions or the Public Contracts Regulations 2015 ("PCR") or where another enactment provides for a shorter period for bringing judicial review proceedings.
Specific Provision for Procurement Law
i) The PCR do not apply to public service contracts for public passenger transport services by rail and therefore do not apply in the present case: see PCR Regulation 10(1)(i). Where they do apply, the duties owed to economic operators are set out at regulations 89 and 90; and a breach of duties in accordance with those regulations is actionable by any economic operator which, in consequence of the breach, suffers or risks suffering, loss or damage: see PCR Regulation 91. The PCR provides special time limits for bringing claims by Regulations 92 and 93. The time limits differ, depending upon whether the claimant seeks a declaration of ineffectiveness. The general time limit for bringing a claim where the proceedings do not seek a declaration of ineffectiveness is (subject to qualifications) 30 days beginning with the date when the economic operator first new or ought to have known that the grounds for starting the proceedings had arisen: see Regulation 92. Where a declaration of ineffectiveness is sought, the time limit is 30 days beginning with the relevant date (as defined) with a longstop 6 months beginning with the date on which the contract was entered into: see Regulation 93;
ii) The Utilities Contracts Regulations 2016 ("UCR") also do not apply to service contracts for public passenger transport services by rail and therefore do not apply in the present case: see Regulation 21(1)(g). Where they do apply, the duties owed to economic operators are set out at Regulations 104 and 105. Regulation 106 provides that a breach of the duty owed in accordance with Regulation 104 or 105 is actionable by any economic operator which, in consequence, suffers, or risks suffering, loss or damage. As with the PCR, the UCR provides separate time limits depending upon whether the proceedings seek a declaration of ineffectiveness. Once again, the headline time limit where no declaration of ineffectiveness is sought is 30 days starting with the date when the economic operator first knew or ought to have known that grounds for starting proceedings had arisen; and where a declaration of ineffectiveness is sought, the time limit is 30 days beginning with the relevant date (as defined) with a longstop 6 months beginning with the date on which the contract was entered into: see Regulations 107 and 108.
"5.3 Any competent authority which has recourse to a third party other than an internal operator, shall award public service contracts on the basis of a competitive tendering procedure, except in the cases specified in paragraphs 4, 5, and 6. The procedure adopted for competitive tendering shall be open to all operators, shall be fair and shall observe the principles of transparency and non-discrimination. Following the submission of tenders and any preselection, the procedure may involve negotiations in accordance with these principles in order to determine how best to meet specific or complex requirements.
…
5.7 Member States shall take the necessary measures to ensure that decisions taken in accordance with paragraph 2 to 6 may be reviewed effectively and rapidly, at the request of any person having or having had an interest in obtaining a particular contract and who has been or risks being harmed by an alleged infringement, on the grounds that such decisions have infringed Community law or national rules implementing that law.
…
8.2 … [T]he award of public service contracts by rail and by road shall comply with Article 5 as from 3 December 2019. During this transitional period Member States shall take measures to gradually comply with Article 5 in order to avoid serious structural problems in particular relating to transport capacity."
Uniplex and SITA
Accrual of Completed Cause of Action
Summary
i) When dealing with duties such as are alleged in the present litigation, the same facts and matters that are alleged to constitute breach of duty may give rise to both public law challenges and private law claims;
ii) There is no legislative requirement that private law claims be brought by judicial review proceedings, though judicial review proceedings may in some circumstances be used as the vehicle for claiming private law remedies such as damages, declaratory relief and injunctions as well as public law remedies;
iii) By ss. 2 and 5 of the Limitation Act 1980 the limitation period for an action founded on tort or on simple contract is six years;
iv) By CPR Rule 54.5, an application for judicial review must be brought promptly and in any event within three months;
v) There has been legislative intervention to impose specific time limits for claims arising under the PCR and the UCR. Despite the longstanding existence of Regulation 1370/2007, it has not been implemented by regulations or otherwise in the United Kingdom and there is no specified legislative time limit for bringing private law claims to which Regulation 1370/2007 might apply;
vi) The principle of effective protection requires the Court to operate domestic law provisions such as those considered in Uniplex in a way that allows a claim based on EU law grounds of challenge to be brought by reference to the date when the claimant knew or ought to have known of the alleged breach of EU law.
The Defendant's Submissions
Discussion
Limitation for private law claims
"The point we are making is if the initial phase of proving breach is precluded as a matter of public law, then the reservoir of rights in the EU doesn't contain a right to damages and so nothing flows down the conduit pipe. That's the basic point."
The second, in reply, was:
"What we are saying is that in these circumstances a successful public law challenge is a pre-condition for a successful private law claim for Francovich damages."
"We say that it's a basic principle of administrative law that a public law measure is valid if it is not challenged within the relevant time period and as such it cannot form the basis for an action for damages under EU law if it is in fact valid."
"Regulation 32(4) specifies a short limitation period. That is no doubt for the good policy reason that it is in the public interest that challenges to the tender process of a public service contract should be made promptly so as to cause as little disruption and delay as possible. It is not merely because the interests of all those who have participated in the tender process have to be taken into account. It is also because there is a wider public interest in ensuring that tenders which public authorities have invited for a public project should be proceeded as quickly as possible. A balance has to be struck between two competing interests: the need to allow challenges to be made to an unlawful tender process, and the need to ensure that any such challenges are made expeditiously."
"17-112 Although damages are a private law remedy, a claim may be attached to a claim for public law remedy in a claim for Judicial review. In practice, the court will first determine whether there has been any breach of EU law and whether the claimant is entitled to any remedies in public law, such as quashing order to quash an unlawful decision or a declaration. Then the court will deal with the question of damages."
"32. Counsel for the Crown accepts that the claim of PPL may be brought by ordinary action. But, he submits, the cause of action is sui generis and based on a core allegation that that the UK should have amended the 1988 Act so as to repeal ss.67 and 72. He contends that such a claim is inherently a public law claim which ought to be pursued in proceedings for judicial review. To require such a procedure will enable the court to exercise control over the claims and the periods for which they may be pursued. In those circumstances, he submits the Court has jurisdiction to strike out the action as an abuse of process of its process.
33. This is disputed by Counsel for PPL. He accepts that the complaint of PPL could have been brought by judicial review. But, he contends, this is a private law claim which PPL is entitled to bring by ordinary action commenced within the limitation period."
"47. I start with a consideration of the nature of the proceedings. The decision of the Divisional Court in Factortame V … was considered by the Court of Appeal ([1998] EuLR 456) and the House of Lords ([2000] 1 AC 524) … . In both those courts there was clear recognition that the effect of Francovich and subsequent cases was to subject Member States to an obligation under Community Law to compensate individuals who have sustained consequential loss if they satisfy the conditions identified by the ECJ in those cases. Such an obligation gives rise to a correlative right in one who has suffered such damage. Such a right is not discretionary.
48. Nor in my view can such a right be categorised as a public law right even though the Crown's obligations under Community Law and how to discharge them fall to be considered. As in the context of the Limitation Act , the remedy is for damages for breach of a statutory duty arising under Article 8.2 of the Rental Directive and s. 2(2) European Communities Act. This is recognised by the relief sought in the form of a declaration and damages. Counsel for PPL accepted that a declaration was a discretionary remedy but offered to abandon it if that mattered.
49. Neither party referred me to the provisions of CPR Part 54. Nevertheless it appears to me that though the nature of the proceedings might fall within the definition of a claim for judicial review in Rule 54.1(2)(a) if the claim for a declaration is abandoned it would be excluded by Rule 54.3(2). I do not suggest that the form of the proceedings can govern their substance but, to my mind, this confirms the view that the proceedings are essentially private law proceedings which can and prima facie should be brought by an ordinary claim.
50. I see nothing in the features on which the Crown relied to suggest that the court should regard the continuation of the claims as ordinary actions as an abuse of the process. So to do would be to subject the rights of an individual to a discretion and a time limit much more restrictive than those normally appropriate to a private law claim for breach of statutory duty and would itself constitute a breach of community law."
Limitation for Public Law Claims
"69. …The argument is that the refusal to supply the fully executable version was the subject of a clear decision by NICE which was capable of being challenged at the time; yet Eisai waited some 18 months, until the end of the appraisal process, before mounting its challenge. There was a failure to apply within the time limit laid down in CPR 54.5(1) ("promptly and in any event not later than 3 months after the grounds to make the claim first arose"), and there was therefore "undue delay" within the meaning of the statute. Had a prompt challenge been made, the court would have entertained it at that time, rather than allowing the appraisal process to continue for over a year in circumstances of doubt as to its lawfulness.
70. I do not accept that the court would have viewed an early challenge in that way. It is more likely that such a challenge would have been considered premature and inappropriate. At the time when NICE refused to release the fully executable version, it was uncertain what the outcome of the appraisal process would be. The Final Appraisal Determination might have proved to be acceptable to Eisai, in which case the issue concerning release of the fully executable version would have been academic. Further, and very importantly, Eisai had a right of appeal to the Appeal Panel against that determination, and the grounds on which such an appeal lay included procedural unfairness. That might well have been viewed as providing an appropriate alternative remedy, rendering a judicial review challenge inappropriate at that stage.
71. Even if there had been undue delay in applying for judicial review, it would only be a factor to be taken into account in the exercise of the court's discretion as to the grant of relief; and in the light of the matters set out below it would in my view be of no materiality.
72. Mr Pannick made clear that Eisai does not seek to have the existing guidance quashed if that can be avoided. It simply wants the fully executable version to be released to it and to have an opportunity to make representations on it, with a view to NICE making a further determination in the light of any such representations and with a right of appeal to the Appeal Panel if the further determination is adverse to Eisai. If that course can be achieved, as may well be possible through the provision of an appropriate undertaking by NICE, then it seems to me to be an eminently sensible one.
73. Mr Pannick also indicated that Eisai would want the court to make a declaration. For my part, I doubt whether a formal declaration would be appropriate. The judgment will speak for itself."
Abuse of process
"The exclusivity principle
20. The main issue in the present case turns on the effect of the so-called exclusivity" principle, established in O'Reilly v Mackman [1983] 2 AC 237: that is, that in general it is an abuse of process to challenge the validity of public law actions or decisions other than by judicial review. Among the factors leading to this conclusion was the streamlined procedure by then available for judicial review, the requirement for leave, and the short time-limit (normally three months) for commencing proceedings. Lord Diplock said:
"The public interest in administration requires that public authorities and third parties should not be kept in suspense as to the legal validity of a decision the authority has reached in purported exercise of decision-making powers for any longer period than is absolutely necessary in fairness to the person affected by the decision." (p 281A, see also p 284E)
21. Subsequent experience has shown that a clear division between public and private law is often difficult to maintain, and the rigidity of the rule has had to be relaxed accordingly. Wade and Forsyth Administrative Law 10th Ed p 570–81 gives a valuable description of this evolutionary process, leading to the emergence of "signs of liberality", and to some abatement of the "rigours of exclusivity" under the new CPR. A particular area of difficulty was in relation to private law disputes involving public authorities, for example employment and contractual relations (ibid p572). In Roy v Kensington and Chelsea FPC [1992] 1 AC 624, the scope for relaxation of the rule was acknowledged by the House of Lords, when they accepted that private law rights could be enforced by civil action, even though they might involve a challenge to a public law decision or action (ibid p578).
22. De Smith's judicial review 6th Ed para 3-097 contains a similar account, suggesting that a "new approach" is required following the replacement in 2002 of Order 53 by the new CPR 54:
"What matters under the CPR regime is not the mode of commencement of proceedings but whether the choice of procedure may have a material effect on the outcome."
Cases such as Clark v University of Lincolnshire [2000] 1 WLR 1988 (a case involving an alleged breach of contractual relationship with a public authority) are cited to support the proposition that the courts should avoid "sterile and expensive procedural disputes which may be of no practical significance to the outcome of the case" (para 3-103). There is a discussion to similar effect in the White Book (para 54.3.2: "Distinction between public and private law").
23. The problems described in those passages arose principally from cases in which private and public law principles overlapped (see De Smith para 3-102). I do not read them as seeking to undermine the principles that purely public acts should be challenged by judicial review, and that it is in the public interest that the legality of the formal acts of a public authority should be established without delay. The latter is confirmed by the retention in CPR 54 of the requirement that an application to bring judicial review proceedings must be made promptly, and in any event within three months. This principle is not undermined by the fact that it is subject to the general power to extend time-limits (CPR 3.1(2)(a) ), the exercise of which is itself governed by well-established principles (see 2010 White Book para 3.1.2, 54.5.1).
24. Nor do I find in the textbooks support for the suggestion that the existence of factual disputes is a reason for an exception to the exclusivity principle. The need to resolve such disputes does not often arise, because of the nature of most judicial review proceedings. But, when it does arise, it does not create any particular conceptual or procedural problems. The permission stage gives the court full control of the proceedings. It may give any necessary directions for the attendance of witnesses and cross-examination ( CPR 8.6(2)-(3) , not disapplied by CPR 54.16 : see White Book para 54.16.1-2, R (G) v Ealing LBC(No 2) [2002] EWHC 250 (Admin) para 20).
25. …
26. The exclusivity principle is in my view directly applicable in the present case. The service of a breach of condition notice is a purely public law act. There is strong public interest in its validity, if in issue, being established promptly, both because of its significance to the planning of the area, and because it turns what was merely unlawful into criminal conduct. It is an archetypal example of the public action which Lord Diplock would have had in mind. It does not come within any other categories identified in Wade and Forsyth or De Smith as requiring a more flexible approach."
"The judicial review procedure has special provisions designated to protect public bodies, most notably, a short time limit and the need to obtain permission. Declarations and injunctions remain available by way of an ordinary Pt 7 or Pt 8 claim where these restrictions do not apply. The courts have had to consider the extent to which a declaration or injunction may be sought by way of an ordinary claim where the claim raises public law issues that could have been brought by way of a claim for judicial review."
The Individual Applications
The WCTP Application
i) [94]-[95] and [105]-[106] on the basis that they challenge the unlawful design of the procurement competition, including the extent of the Defendant's discretion and lack of guidance as to how non-compliances would be treated, submitting that such facts were known at the time they arose and, in any event, more than three months before proceedings were issued;
ii) [94]-[101] on the basis that they challenge the substance of the pension requirements as set out in the Re-bid instructions and favour certain types of bidders, submitting that such facts were known at the time they arose, which was more than three months before proceedings were issued;
iii) [102]-[106] on the basis that they relate to changes in the procurement rules part way through the procurement process, submitting that such facts were known at the time they arose, which was more than three months before proceedings were issued. [105]-[106] are attacked on the additional ground that they relate to the ability of the Defendant to determine and vary the terms of the Franchise Agreement unilaterally, which the Defendant submits was clear on the face of the ITT from the date of its issue; and
iv) [107]-[108] on the basis that they challenge the admission of a new subcontractor, RENFE by MTR, of which WCTP was informed in June 2018, well in advance of MTR's announcement on 20 December 2018 that it would participate in the bid, that later date still being more than three months before proceedings were issued.
i) Sub-paragraphs (i)(a) and (b) should be struck out as they relate to public law claims that are time barred;
ii) Sub-paragraphs (ii)(a), (b) and (c) should be struck out as remedies seeking in substance to challenge the design of the procurement, quash the ITT and re-start the procurement process are time-barred. In the alternative it is submitted that sub-paragraph (ii)(c) needs to be amended;
iii) Sub-paragraphs (iii)-(vi) insofar as the relief relates to loss allegedly caused by MTR's continuation in the tender process as that claim is time-barred.
i) It would not be appropriate to strike out the paragraphs of the pleading identified in the Defendant's skeleton argument and at [90] above as each is relevant to the private law claim for damages being brought by WCTP;
ii) It is not open to WCTP to bring a direct public law challenge to set aside the original ITT or the introduction of the pension requirements or the Re-bid instructions as such, since such a challenge would have to be brought within three months and was not. WCTP also recognises that no public law challenge to the decision to admit RENFE to MTR's bid as such was brought on any view within the three month judicial review time limit;
iii) Equally, it would not be open to WCTP to use the discretionary private law remedies of declaratory relief and injunction to replicate and in that sense bypass the mandatory requirements of s. 31 and CPR Part 54 for bringing a public law challenge by judicial review;
iv) WCTP has brought its judicial review proceedings to mount a direct public law challenge to matters occurring within the three month time limit and has not included in the relief claimed in those proceedings any public law challenge to matters occurring outside the three month time limit;
v) For the purposes of this strikeout application, WCTP is entitled to refer to matters occurring more than three months before the issue of proceedings in support of its public law challenge to matters occurring within three months before the issue of proceedings on the principles laid down by Burkett and Eisai;
vi) Turning to the relief claimed in WCTP's Part 7 proceedings:
a) Sub-paragraph (i) does not on any view seek to use the discretionary private law remedy of declaratory relief to replicate and in that sense bypass the mandatory requirements of s. 31 and CPR Part 54 for bringing a public law challenge by judicial review. The making of a declaration in the terms sought would not "invalidate" the acts or decisions that would be the subject of the declarations and is therefore not abusive. Referring back to [73] of Eisai, for my part I doubt whether a formal declaration would be appropriate since it is unlikely to add anything: any judgment is likely to speak for itself. However, since the prayer for this relief is not demonstrably abusive, it would be wrong to strike it out. The better course is to wait and see if, contrary to my doubts, there are good reasons to use the discretionary remedy of a declaration at the end of the trial;
b) It is notable that the Defendant's objection to the relief claimed in sub-paragraph (ii) is that it is in substance a public law challenge to the design of the procurement, an application to quash the ITT and to restart the Procurement process and that, as such, it is time barred. WCTP's response to this is to rely upon Burkett and Eisai which, in my judgment, has a realistic prospect of success. The Defendant does not take the technical objection that the relief was such that s. 31 requires to be brought exclusively by judicial review, which appears to be a welcome concentration on substance over form and means that I do not have to decide the point. What can be said, however, is that if it is in substance a claim that should be brought by judicial review, WCTP may be faced with an argument at a later date based upon the date of issue of the Part 7 proceedings since it appears plain that the relief claimed in the judicial review proceedings is more limited than that sought under [121(ii)];
c) Sub-paragraphs (iii) to (vi) are not statute barred and, for the reasons set out above, there is no reason to strike them out or modify them.
The SEMTL Application
i) [73], [74(a)] and [74(b)] on the basis that they attack the allegedly unlawful rules and the discretion conferred by the ITT, submitting that these were known on publication of the ITT, more than three months before the issuing of proceedings;
ii) [73], [74(e)], [76(b)], [76(f)] and [78(e)] on the basis that they attack the imposition of the pension requirements part way through the tender process, submitting that the relevant facts occurred and were known when the changes were made, more than three months before the issuing of proceedings;
iii) [73], [74(e)(v)], [76(f)] and [80(a)] on the basis that they attack the legality or rationality of the pension requirements and the Re-bid instructions, submitting that the object of these attacks occurred and were known to have occurred more than three months before the issuing of proceedings; and
iv) The prayer at [80]-[85] "insofar as they relate to tender process complaints".
i) It would not be appropriate to strike out the paragraphs of the pleading identified in the Defendant's skeleton argument and at [94] above as each is relevant to the private law claim for damages being brought by SEMTL;
ii) It is not open to SEMTL to bring a direct public law challenge to set aside the original ITT or the introduction of the pension requirements or the Re-bid instructions as such, since such a challenge would have to be brought within three months and was not;
iii) Equally, it would not be open to SEMTL to use the discretionary private law remedies of declaratory relief and injunction to replicate and in that sense bypass the mandatory requirements of s. 31 and CPR Part 54 for bringing a public law challenge by judicial review;
iv) SEMTL has brought its judicial review proceedings to mount a direct public law challenge to matters occurring within the three month time limit and has not included in the relief claimed in those proceedings any public law challenge to matters occurring outside the three month time limit;
v) For the purposes of this strikeout application, SEMTL is entitled to refer to matters occurring more than three months before the issue of proceedings in support of its public law challenge to matters occurring within three months before the issue of proceedings on the principles laid down by Burkett and Eisai;
vi) Turning to the relief claimed in SEMTL's Part 7 proceedings as set out at [21] above:
a) A declaration in the terms sought in paragraph 1 would not "invalidate" the acts or decisions that would be the subject of the declarations and is therefore not abusive. For the same reasons as given in relation to WCTP's prayer for declaratory relief, I doubt whether a formal declaration will prove to be appropriate or necessary; but the better course is to wait until the end of the trial to see whether a declaratory remedy serves a useful purpose;
b) The Defendant has shifted his position in the new table, by focusing on the prayer for an injunction directing the Defendant to restart the procurement on a lawful basis. The Defendant submits that "in light of the Defendant's submissions in respect of the Claimants' inability to quash and/or otherwise vary the terms of the competition … the Defendant denies that the Claimant is otherwise able to seek by way of remedy the restarting of the competition." SEMTL's response is that this remedy is a private law remedy and that the proceedings were brought within three months of the decision to disqualify. I accept that submission, but it does not provide a full answer to the Defendant's objection;
c) There are two problems with this head of relief. First, such an order, if it is to be made, appears to me to fall squarely within the ambit of s. 31 and CPR Part 54. It is not replicated in the prayer for relief in SEMTL's judicial review proceedings and, if things remain as they are now, SEMTL may be faced with an argument based on the date on which the Part 7 proceedings were issued. Secondly, and more fundamentally, I cannot at present conceive of circumstances in which the Court would make such an order in this case. It is within the competence and power of the Court to set aside the decisions that have been made where a direct public law challenge is made, but it would then be for the Defendant to decide what to do in the light of the decisions that the Court has made. Obviously if he were to decide to restart the procurement he should do so on a lawful basis; but the decision on how to proceed would be his and I cannot envisage that the Court would direct him to restart;
d) As things stand, therefore, this appears to me to be an inappropriate claim for relief, whether framed as a public law remedy or a private law one, for reasons that are rather different from those advanced by the Defendant in the new table. As such I would strike out the words but on the basis that, if it later appeared that this was a necessary and appropriate remedy, SEMTL would then be entitled to apply to amend to re-plead the prayer for relief.
The SSETL Application
The Arriva Application
i) [106] on the basis that it challenges the unlawful design of the procurement competition, including the extent of the Defendant's discretion, lack of transparency and lack of guidance as to how non-compliances would be treated, submitting that such facts were known at the time they arose and, in any event, more than three months before proceedings were issued;
ii) [107] on the basis that it challenges the substance of the pension requirements and the issuing of the Re-bid instructions and favour certain types of bidders, submitting that such facts were known at the time they arose, which was more than three months before proceedings were issued;
iii) [110] on the basis that it relates to changes in the procurement rules part way through the procurement process, submitting that such facts were known at the time they arose, which was more than three months before proceedings were issued; and
iv) [121(a)], which was originally identified under the heading "remedies" but is identified in the new table as being subject to attack on the basis that "public law claims regarding the design and content of the Pensions Requirement are time barred. Other arguments regarding efficiency or economy or users' benefits and interests could, and should have been raised over 3 months ago."
i) It would not be appropriate to strike out the paragraphs of the pleading identified in the Defendant's skeleton argument and at [101] above as each is relevant to the private law claim for damages being brought by Arriva;
ii) It is not open to Arriva to bring a direct public law challenge to set aside the original ITT or the introduction of the pension requirements or the Re-bid instructions as such, since such a challenge would have to be brought within three months and was not;
iii) Equally, it would not be open to Arriva to use the discretionary private law remedies of declaratory relief and injunction to replicate and in that sense bypass the mandatory requirements of s. 31 and CPR Part 54 for bringing a public law challenge by judicial review;
iv) Arriva has brought its judicial review proceedings to mount a direct public law challenge to matters occurring within the three month time limit and has not included in the relief claimed in those proceedings any public law challenge to matters occurring outside the three month time limit;
v) For the purposes of this strikeout application, Arriva is entitled to refer to matters occurring more than three months before the issue of proceedings in support of its public law challenge to matters occurring within three months before the issue of proceedings on the principles laid down by Burkett and Eisai;
vi) Turning to the relief claimed in Arriva's Part 7 proceedings:
a) Arriva has not attempted to place its claims for public law relief only in the judicial review proceedings and its claims for private law remedies only in the Part 7 proceedings, preferring the kitchen sink approach in both. While technically imperfect, this does not cause any real difficulty. What is clear is that (2), (3) and (4) of the prayer on their face appear to relate to Arriva's public law challenges which, for the reasons I have given, survive the Defendant's attempt to strike them out because they directly challenge acts or decisions happening within the three month time limit for judicial review;
b) Paragraph (3) of Arriva's prayer includes "an order that the Procurement be re-run in full accordance with the Defendant's obligations." This appears to me to suffer from the same defect as the provision in Stagecoach's cases: see [96] above. For the same reasons and on the same basis, it should be struck out.