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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 >> TRW Pensions Trust Ltd & Anor v Indesit Company Polska SP Z.O.O & Anor [2020] EWHC 1414 (TCC) (5 June 2020) URL: http://www.bailii.org/ew/cases/EWHC/TCC/2020/1414.html Cite as: 190 Con LR 84, [2020] EWHC 1414 (TCC) |
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BUSINESS AND PROPERTY COURTS
TECHNOLOGY AND CONSTRUCTION COURT (QB)
Fetter Lane London, EC4A 1NL |
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B e f o r e :
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(1) TRW Pensions Trust Limited (2) TP ICAP plc |
Claimants |
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- and – |
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(1) Indesit Company Polska Sp. Z.o.o (2) Whirlpool Company Polska Sp. Z.o.o (3) Eichenauer Heizelemente GmbH & So. KG (4) Askoll TRE S.r.l (5) Whirlpool Emea Spa |
Defendants |
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Anneliese Day QC and Richard Liddell QC (instructed by Taylor Wessing LLP)
for the First, Second and Fifth Defendants
Antony White QC (instructed by Reed Smith LLP) for the Third Defendant
Ben Elkington QC (instructed by Keoghs LLP) for the Fourth Defendant
Hearing date: 20 May 2020
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Crown Copyright ©
Covid-19 Protocol: This judgment is to be handed down by the judge remotely by circulation to the parties' representatives by email and release to Bailii. The date for hand-down is deemed to be 5 June 2020.
Mr Justice Fraser:
Introduction
"123. It is apparent from the evidence that the action being brought in the name of C2 is a subrogated claim being pursued on behalf of C2's insurers, Allianz and Chubb. There is no evidence that either C2 or TPGSL will themselves suffer any loss or prejudice if these proceedings fail.
124. If Allianz or Chubb suffer any loss, then that is an issue that they can take up with their insured (C2) (which apparently gave misleading instructions to RPC) and/or with RPC (which failed to ensure proceedings were issued in the name of the correct claimant)."
"(a) the new party is substituted for a party whose name was given in any claim made in the original action in mistake for the new party's name; or (b) any claim already made in the original action cannot be maintained by or against an existing party unless the new party is joined or substituted as plaintiff or defendant in that action."
This essentially clarifies the requirement of "necessary" which is used in section 35(5).
1. The Second Claimant was always intended to be the lessee of the third floor of the Property.2. RPC, the solicitors acting for the claimants in the proceedings, believed that entity to be Tullett Prebon plc, which is now called TP ICAP plc. Some of the correspondence prior to issue of proceedings had used the term "Tullett Prebon" in any event.
3. In fact, the lessee was Tullett Prebon Group Ltd, now called TP ICAP Group Services Ltd, or as I have termed it in this judgment, TP ICAP Group.
4. Tullett Prebon plc, which prior to proceedings changed its name to TP ICAP plc, did not hold the lease, but as I have said RPC believed that it did. This was a mistake, and it was made by the particular solicitor who was responsible for issuing the claim form.
5. TP ICAP Group is a company within the same group as TP ICAP plc, and provides support services to the other companies within the group.
6. After the fire, Allianz and Chubb engaged loss adjusters who referred to the insured and the lessee of the third floor as Tullett Prebon plc, or simply as Tullett Prebon.
7. Allianz and Chubb insure both TP ICAP plc and TP ICAP Group.
8. The name Tullett Prebon plc was used in correspondence from RPC to the defendants, and also from and to the loss adjuster and to the insured, all of which used Tullett Prebon plc. The letter of claim, and indeed the whole pre-action protocol process, continued in the same vein using Tullett Prebon plc and also "Tullett Prebon". Other correspondence has simply used the term "Tullett".
9. RPC correctly ascertained that Tullett Prebon plc had changed its name to TP ICAP plc on 28 December 2016, and so the claim form was correctly issued (in so far as the name of that particular company was concerned) using the latter, current name, and not its former name. However, the name of the Second Claimant was not correct in this sense. That party was intended to be the lessee of the third floor of the Property, and the lessee was TP ICAP Group, and not TP ICAP plc.
"Paragraphs 3 and 4 [of the Particulars of Claim] are not admitted and the status of the Claimants and their entitlement to bring proceedings are for them to prove."
"[55] CPR 19.5(3)(a) makes it a precondition of substituting a party on the ground of mistake that:"The new party is to be substituted for a party who was named in the claim form in mistake for a new party"
It is clear from this language that the person who has made the mistake must be the person responsible, directly or through an agent, for the issue of the claim form. It is also clear that he must be in a position to demonstrate that, had the mistake not been made, the new party would have been named in the pleading.
[56] The nature of the mistake required by the rule is not spelt out. This Court has held that the mistake must be as to the name of the party rather than as to the identity of the party, applying the generous test of this type of mistake laid down in Sardinia Sulcis. The 'working test' suggested in Weston v Gribben, in as much as it extends wider than the Sardinia Sulcis test, should not be relied upon.
[57] Almost all the cases involve circumstances in which (i) there was a connection between the party whose name was used in the claim form and the party intending to sue, or intended to be sued and (ii) where the party intended to be sued, or his agent, was aware of the proceedings and of the mistake so that no injustice was caused by the amendment. In SmithKline, however, Keene LJ accepted that the Sardinia Sulcis test could be satisfied where the correct defendant was unaware of the claim until the limitation period had expired. We agree with Keene LJ's comment that, in such a case, the Court will be likely to exercise its discretion against giving permission to make the amendment."
"[29] There is a considerable body of case law on the question of what type of mistake the court has power to relieve by substituting a new party for one named in mistake. In Adelson v Associated Newspapers Ltd [2008] 1 WLR 585, 598, at para 5, the Court of Appeal described this as a "difficult area of procedural law" and set out to clarify it. The Court of Appeal decided that, in order to fall within CPR r.19.5(3)(a), the mistake must be as to the name of the party rather than as to the identity of the party, applying "the generous test of this type of mistake" laid down in The Sardinia Sulcis [1991] 1 Lloyd's Rep 201. In that case the proceedings were mistakenly brought in the name of the owners of the ship Sardinia Sulcis, when the owners had in fact assigned their claims to another party. The issue was whether that other party could be substituted as plaintiff after the limitation period had expired. Lloyd LJ (subsequently Lord Lloyd of Berwick) said at p.207:"In one sense a plaintiff always intends to sue the person who is liable for the wrong which he has suffered. But the test cannot be as wide as that. Otherwise there could never be any doubt as to the person intended to be sued, and leave to amend would always be given. So there must be some narrower test. In Mitchell v Harris Engineering [1967] 2 QB 703 the identity of the person intended to be sued was the plaintiff's employers. In Evans v Charrington [1983] QB 810 it was the current landlord. In Thistle Hotels v McAlpine (unreported) 6 April 1989 the identity of the person intending to sue was the proprietor of the hotel. In The Joanna Borchard [1988] 2 Lloyd's Rep 274 it was the cargo-owner or consignee. In all these cases it was possible to identify the intending plaintiff or intended defendant by reference to a description which was more or less specific to the particular case. Thus if, in the case of an intended defendant, the plaintiff gets the right description but the wrong name, there is unlikely to be any doubt as to the identity of the person intended to be sued. But if he gets the wrong description, it will be otherwise."
[30] In The Sardinia Sulcis Lloyd LJ was not considering CPR r.19.5(3)(a) but an earlier rule of court in different terms, RSC Order 20, r.5. That rule stated:
"(3) An amendment to correct the name of a party may be allowed [after any relevant period of limitation current at the date of issue of the writ has expired] notwithstanding that it is alleged that the effect of the amendment will be to substitute a new party if the court is satisfied that the mistake sought to be corrected was a genuine mistake and was not misleading or such as to cause any reasonable doubt as to the identity of the person intending to sue or, as the case may be, intended to be sued."
[31] It was thus a requirement of RSC Order 20, r.5(3) that the mistake was "not misleading or such as to cause any reasonable doubt as to the identity of the person ... intended to be sued". Lloyd LJ was clearly addressing that requirement when he referred at the start and at the end of the passage I have quoted above to whether there could be any doubt as to the person intended to be sued.
[32] CPR r.19.5(3) does not contain such a requirement. (The requirement survives only in CPR r.17.4(3), which applies to an amendment made after the end of the limitation period to correct the name of a party where this does not involve the addition or substitution of a new party.) Not least for that reason, after the Civil Procedure Rules replaced the old Rules of the Supreme Court, there was uncertainty as to whether the Sardinia Sulcis test still applied. In Morgan Est (Scotland) Ltd v Hanson Concrete Products Ltd [2005] 1 WLR 2557 the Court of Appeal held that it did not. Jacob LJ (with whom Hooper LJ agreed), after reviewing the earlier cases, decided that under the new rule there was no longer any restriction on the kind of mistake required. Jacob LJ said (at para 37) that The Sardinia Sulcis should be allowed to sink back to the ocean bottom.
[33] Reports of the sinking, however, proved premature. In Adelson Lord Phillips of Worth Matravers CJ, giving the judgment of the court (which also included Jacob LJ), said that the Morgan Est case had been decided on the assumption that the Limitation Act 1980 (under which CPR r.19.5 but not RSC Order 20, r.5 was made) was intended to liberalise the law in this area. However, the legislative history of the 1980 Act showed that assumption to have been mistaken. The Morgan Est case should not be followed. The Sardinia Sulcis test still applies.
[34] The Court of Appeal in Adelson concluded (at paras 55-56) that, for CPR r.19.5(3)(a) to apply, three requirements must be met: (1) the person who has made the mistake must be the person responsible, directly or through an agent, for the issue of the claim form; (2) it must be shown that, had the mistake not been made, the new party would have been named; and (3) the mistake must be as to the name of the party, applying the Sardinia Sulcis test.
[35] This is confirmed by the decision of the Court of Appeal in Horne-Roberts v SmithKline Beecham plc [2002] 1 WLR 1662. In that case the claimant initially sued Merck believing it to be the manufacturer of a vaccine which the claimant had received and which he claimed had caused him personal injury. In fact, the vaccine had been manufactured by SmithKline. After the expiry of the limitation period Bell J granted an application to substitute SmithKline as the defendant. The order was upheld by the Court of Appeal. Keene LJ said at para 45 that "the claimant always intended to sue the manufacturer of the identified vaccine and that is sufficient to give the court the power to substitute the true manufacturer."
"[20] Mr Morgan [for the directors, the respondents on the appeal] also submitted that the wider reading of rule 19.5(3)(b) would mean that it would rarely be necessary to resort to rule 17.4 or rule 19.5(3)(a) in a case of mistake. As to that, we do not have to decide the position, but it occurs to me that, if a party sought to use rule 19.5(3)(b) in what was really a case of mistake but in which rule 17.4 or rule 19.5(3)(a) could not for some reason be satisfied, the court, in considering the exercise of its discretion, might well take a dim view of an attempt to escape the limits imposed in the express provisions dealing with mistake cases by resort to this other, arguably more general, provision, even if the court found that the case fell within the language of rule 19.5(3)(b) as a matter of its natural reading.[21] Considering the application to amend in the light of these considerations, I am not persuaded by the distinction which Mr Morgan seeks to draw between a case where the original claimant has a cause of action, even if one to which there is a cast iron defence on the basis of which the claim could be struck out, and another where there is a proper cause of action but the claim is not the right party to bring it because he does not have the necessary locus standi, and the claim could be struck out on that basis.
[22] Mr Morgan submitted that to allow a substitution on such a case would permit the possibility of a claim being brought by a complete stranger against the relevant defendant and then, outside the limitation period, that claim being sought to be adopted or validated by the substitution of the relevant company as claimant.
[23] Mr Irwin is not, of course, a complete stranger. His task is to collect in the assets of the company for the benefit of it and its creditors, and the claim which he asserted was avowedly brought on the part of the company. For my part, the idea of a complete stranger bringing such a case seems rather fanciful. If for some reason it were to prove real, it seems to me that the court would be likely to regard it as an unsuitable exercise of the court's discretion to substitute the company as claimant outside the limitation period for a complete stranger who had brought a case within the limitation period, which could no doubt have been struck out because he had no right to bring the claim. It seems somewhat unlikely that if this hypothetical complete stranger were to bring proceedings within the limitation period, it would in fact assert the same cause of action as that which the company could itself assert but had chosen not to.
[24] It seems to me that the present case is one in which the substitution is necessary for the determination of the original claim because the particular claim cannot be maintained unless the company is substituted as claimant. The original claim is a claim that the respondents were in breach of duty in causing the company to enter into the contract, thereby causing the company loss. The claim, as amended with the substituted claimant, is identical. The original claim cannot be maintained successfully; the new claim can be maintained successfully, subject obviously to proof of the facts. If it is so asserted, it is the identical claim but with a substituted and correct claimant."
"[41] However, at this stage of the process, this is not a matter of discretion. It is a matter of statutory construction. Absent section 35 and CPR 19 there is no power to substitute the deceased's Estate outside the limitation period. The Appellants must bring themselves within the section if their claim based on the driver's negligence is to proceed. In my view they cannot. There is a flaw in Mr Burton's analysis of the original cause of action. When he listed the essential ingredients of the original cause of action, he stopped at the negligence of the driver and the relief sought. He ignored the additional and vital element in the original claim for relief against the Respondents, namely the provisions of Regulation 3. The cause of action (the factual situation which entitles a person to obtain a remedy) against the Respondents may have been based on Mr Bura's negligence but it derived from statute. Had it not been for Regulation 3, there could be no claim against them.[42] Regulation 3 required certain conditions to be fulfilled. Thus, in a properly constituted claim under Regulation 3 there would have been additional assertions in the Particulars to the effect that the accident occurred in the United Kingdom and the tortfeasor was insured by the Defendant. The claim for relief would have referred to the Regulation and presumably sought payment from the Defendant 'to the extent that (the Defendant) was liable to pay the insured tortfeasor' as per the Regulation. The original claim was not, therefore, a claim for damages for personal injury against the Respondents, as Mr Burton insisted. It was not a claim in negligence. It was effectively a claim for an indemnity under statute (as the Claim Form made clear) limited to the Respondents' liability to their insured.
[43] By contrast, the new claim is a claim in negligence against the alleged tortfeasor. The claim for relief is a claim for damages for personal injury allegedly caused by that negligence. Any judgment would be against the Estate. The fact that the Appellants, if successful, may be entitled to recover payment from the Respondents of "any sum" found due, under section 151 of the 1988 Act, is beside the point for these purposes.
[44] Thus, although the late Mr Bura's alleged negligence underlies both claims, the claims are not the same. It is not simply a matter of form. In substance these are two different causes of action.
[45] A deliberate decision was taken at the outset, no doubt for tactical and financial reasons, to sue one defendant, the Respondents, on a particular cause of action rather than sue another defendant, the Estate, on a different cause of action. After the expiry of the limitation period, the decision was taken to pursue the Estate because the first cause of action could not be maintained. It was properly constituted but doomed to fail for substantive reasons. No amount of amendment could save it. The proposed substitution of a new party is not designed to maintain the original claim; it is designed to launch a new claim against a new party. A mistake was made but not the kind of mistake the section was designed to remedy. The Judge was correct, in my view, to find that the amendment is not "necessary for the determination of the action".
(emphasis added)
"[41] Where the requirements of section 35(6)(a) of the 1980 Act and CPR r.19.5(3)(a) are satisfied, the court has a discretion whether or not to allow substitution. The existence of this discretion might be thought sufficient to enable any potential injustice to be avoided, without the need to try to draw distinctions between different categories of mistake."
(emphasis added)
" On the contrary, it seems to me that the court should generally be willing to "excuse such mistakes", in the sense of permitting substitution, even if there is no good explanation, where – as the Master found to be the case here – there is no prejudice to the party who is substituted. The court's discretion should not be exercised in a way that amounts, in effect, to punishing a party for the harmless error of its legal representatives."
I do not consider here there was "no good explanation" but the rationale holds good nonetheless.