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You are here: BAILII >> Databases >> Jersey Unreported Judgments >> Al Thani v Yaheeb Trust [2001] JRC 247C (14 December 2001) URL: http://www.bailii.org/je/cases/UR/2001/2001_247C.html Cite as: [2001] JRC 247C |
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Application by Attorney General for leave to cross-examine Representor.
Before : |
Sir Philip Bailhache, Bailiff. |
Between |
Sheikh Hamad Bin Jassim Bin Jaber Al Thani |
Representor |
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(1) Advocate David Fisher Le Quesne, on behalf of minor/unborn beneficiaries (2) Standard Chartered Grindlays Trust Corporation (Jersey) Limited (3) State of Qatar (4) Her Majesty's Attorney General
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Respondents
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In the matter of the Yaheeb Trust, the Havana Trust and the Yaheeb No. 2 Trust.
And in the matter of Articles 47 and 49 of the Trusts (Jersey) Law 1984 as amended
Application by the fourth Respondent, the Attorney General, to cross-examine the Representor and the Managing Director of the second Respondent, in the context of the Representor's application for relief under Article 47 of the Trusts (Jersey) Law, 1984.
Advocates G.R.Boxall and F. B. Robertson for the Representor
Advocate D.F. Le Quesne for the 1st Respondent
Advocate M.J.Thompson for the 2nd Respondent
Advocate J.D.Kelleher for the 3rd Respondent
W.J.Bailhache QC, H.M. Attorney General
judgment
the bailiff:
1. This is an application by the Attorney General to cross-examine His Excellency Sheikh Hamad Bin Jassim Bin Jaber Al Thani ("the representor") and Mr. Clive Black, ("Mr. Black") managing director of Standard Chartered Grindlays Trust Corporation (Jersey) Limited ("the trustee") in the context of an application by the representor for relief pursuant to Article 47 of the Trusts (Jersey) Law 1984, as amended. The application is opposed by the representor and by the trustee. Counsel for the State of Qatar and Advocate Le Quesne representing the minor and unborn beneficiaries of the trusts in question also oppose the application. In order to set this application in context, it is necessary to describe the history in outline.
2. On 17th May 2001, on the application of the representor, this Court made a declaration in the following terms:-
"That the trustee of each of the said three trusts holds all of the assets of the said three trusts for the benefit of the beneficiaries named therein respectively and for no other party or parties".
The Attorney General was not convened to the hearing of that application. On 5th July 2001 the representor made this, his second representation, to the Court seeking directions "that will enable the trustee to resume the administration of the said Declarations of Trust in accordance with their terms within such a time and to such an extent as may be reasonable in all the circumstances of the case".
3. This rather elliptical application disguises the true nature of the problem, both for the representor and for the trustee. The problem arises from the terms of the Proceeds of Crime (Jersey) Law 1999 ("the 1999 Law") which is designed, broadly speaking, to curb money laundering. The 1999 Law imposes an obligation on fiduciaries, inter alia, to report to the police any suspicion that they are holding property which might be the proceeds of criminal conduct. In July, 2000, pursuant to that obligation, the trustee filed a suspicious transaction report with the police in relation to the trust funds under their administration. As a result of that disclosure, the police launched an investigation which is still in train. Following the Court's judgment on 17th May 2001 to the effect that the funds were not impressed with any constructive trust, the representor asked the trustee to make a capital distribution. The trustee remained concerned, however, that a distribution might involve the commission by the trustee of an offence under the 1999 Law. Under Article 32(3)(b)(i) of the 1999 Law a person who might otherwise commit an offence under Article 32 of assisting another to retain the benefit of criminal conduct is afforded a defence if he discloses to the police the proposed act and the act is subsequently done with the consent of the police. The trustee applied for that consent to the proposed capital distribution, but the police declined to consent. The application by the representor for directions enabling the trustee "to resume the administration" of the trusts is in reality designed to overcome that refusal on the part of the police.
4. The Attorney General has objected that this is tantamount to directing the trustee to do something which might amount to the commission of a criminal offence. On the other hand, the effect of the police refusal to grant consent is to paralyse the administration of the trusts in circumstances where it has not been established that the trust funds are in fact the proceeds of crime. The representor has argued strongly that they derive from legitimate commissions. Furthermore, the Attorney General has taken no steps under Article 16 of the 1999 Law to seek a saisie judiciaire in relation to the trust funds.
5. I hope I will do no injustice to the submissions of any party if I summarize the rival contentions with extreme brevity for the purposes of this application to cross-examine the representor and Mr. Black. The representor, who is a minister in the State of Qatar, accepts that he received substantial commissions from companies seeking to do business with the State of Qatar. He denies that these commissions were in the nature of bribes to secure government contracts. He contends that his actions were authorized by His Highness the Amir and that he was not acting in conflict with any ministerial duty. He was acting in a private capacity. There was therefore no breach of fiduciary duty owed to the State of Qatar. He contends that there is no constructive trust in favour of the State of Qatar or of any other person. The trust funds are therefore not the proceeds of criminal conduct. All this, it is said, was determined by the Court in its judgment of 17th May 2001, although the representor concedes that the issues must now be determined in the light of the evidence currently available to the Court. It is contended that no purpose would be served by cross-examining the representor. The trustee submits to the wisdom of the Court, but asserts that there is nothing that Mr. Black can say that is relevant to the issues now before the Court. The Attorney General submits that the judgment of 17th May 2001 was procured by the deliberate misleading of the Court by the representor and that in any event the issue before the Court in this representation is different. The Attorney General also submits that the trustee colluded in the misleading of the Court by the representor on 17th May 2001. The Attorney General contends that it would be contrary to public policy to grant the relief sought because it is a clear collateral purpose of the representor to use any declaration granted to hinder the criminal investigation and any subsequent criminal proceedings against him or any other party.
6. Counsel for the State of Qatar addressed me at some length to underline his submission that the State of Qatar felt offended at the course which these proceedings had taken. In particular, it was submitted that the affidavits of Detective Inspector Minty contained inferences which were offensive to His Highness the Amir. It is not necessary for the purposes of this interlocutory judgment to dwell on these submissions at any length. It may be that one or two passages in the affidavits could have been expressed with greater sensitivity. Given the close familial relationships in government that are evident from the papers before the Court, it is not surprising that the investigation being conducted by the police should have given rise to acute concern in Qatar. But in my judgment, counsel went too far in submitting that the peace of nations was being vexed. Both the State of Qatar and the Bailiwick of Jersey are subject to the rule of law. Bribery and corruption and misuse of public office for gain are offences equally under the law of Qatar as under the law of Jersey. The 1999 Law is reflected in the statute law of many European nations. An investigation cannot be stifled because it is the cause of political embarrassment. The law must take its proper course.
7. What then is the test which I should apply in considering this application by the Attorney General? The only relevant provision of the Royal Court Rules 1992 is Rule 6/18(3) which provides -
The Attorney General drew my attention to a judgment of the Court of Appeal in Pacific Investments Limited v. Christensen (1997) JLR 170 where the Court cited with approval a decision of the English Court of Appeal in Comet Products (UK) Limited v. Hawkex Plastics Limited (1971) 2QB 67 where, at page 77, Cross LJ stated -
8. On the question of whether the above test was the appropriate one for me to adopt, Mr. Robertson for the representor appeared to me to be rather ambivalent. He submitted that it was unnecessary to find exceptional circumstances but did not develop the argument. He did contend, however, that in any event there were exceptional circumstances justifying the exercise of my discretion to refuse the Attorney General's application. Those exceptional circumstances were -
(i) that the doctrine of act of state precluded cross-examination in decisive areas;
(ii) that cross-examination of the representor would amount to interrogation for a collateral purpose, i.e. to ascertain whether he had committed a criminal offence, and would be oppressive;
(iii) that cross-examination would not go to any relevant issue in the case; and
(iv) that it would be an abuse of the Article 47 procedure for seeking the directions of the Court.
9. Counsel for the trustee submitted that it was not necessary to find exceptional circumstances and that it was a question of discretion for the judge. He relied upon a passage from the judgment of Lord Denning MR in Comet Products, where the learned Master of the Rolls stated -
10. It is clear that the Court of Appeal in Pacific Investments considered carefully all the judgments delivered in Comet Products. It seems to me that those judgments reveal different shades of opinion as to how the judicial discretion to order cross-examination of the deponent of an affidavit should be exercised. These shades of opinion were distilled by Calcutt JA in Pacific Investments into the statement that -
It is true that in Pacific Investments the application was to strike out an Order of Justice whereas in this case, there is an application for directions under Article 47 of the Trusts Law. Given the hostile nature of this dispute, it seems to me that this is a distinction without a difference. I propose therefore to apply the test approved by the Court of Appeal in Pacific Investments.
11. What then are the objections relied upon by counsel in support of their respective contentions that there are exceptional circumstances in this case militating against cross-examination of the representor and of Mr. Black? I deal first with the application to cross-examine the representor.
12. The Attorney General contends that the papers exhibited to the affidavits of Detective Inspector Minty give rise to serious questions as to the accuracy of the affidavits filed by the representor upon which he should be cross-examined. Counsel for the representor takes no issue as to the authenticity of the documents which have been exhibited and which result from the police investigation. Counsel contends, however, that the adverse inferences drawn by Detective Inspector Minty in his affidavits are misconceived. It seems to me that it would be inappropriate to make any findings at this stage in relation to these rival contentions. I pause only to note that there are, on the face of it, unresolved ambiguities in the evidence of the representor for which there may, of course, be entirely innocent explanations.
13. Counsel for the representor argued that, irrespective of any ambiguities, the Court ought not to inquire into certain crucial issues, and, in consequence, order the cross-examination of the representor in relation to those issues. It was contended that those issues were embraced by the doctrine of "act of state" and that the Court should exercise judicial restraint. The issues were helpfully refined by counsel for the representor in a speaking note which was handed up. The acts of state into which the Court ought not to inquire were said to be -
(i) the act of appointing the representor and the terms of that appointment, i.e. that he was appointed to act in a personal capacity in respect of certain State related contracts;
(ii) the act of consent by the Amir to the payments made to the representor in relation to those contracts;
(iii) the assertion that the State of Qatar makes no claim to the trust assets.
Counsel for the State of Qatar added a fourth act,
(iv) the assertion that no crime has been committed in Qatar by the representor.
14. This is the first occasion, so far as I am aware, that this Court has had to consider the doctrine of act of state, although it is a doctrine of some antiquity. It was encapsulated by Chief Justice Fuller of the United States in Underhill v. Hernandez (1897) 168 US250 as follows -
The principle was again applied by the U.S. Supreme Court in Oetjen v. Central Leather Co. (1918) 246 U.S. 297 in these terms -
15. A classic statement of the principle in English law is to be found in Buttes Gas and Oil Co. v. Hammer [1982] AC 888 where, at page 931, Lord Wilberforce stated -
16. I am satisfied that these principles apply equally in Jersey and that this Court ought to exercise judicial restraint and to decline to adjudicate on issues which may properly be characterized as acts of state. I observe in passing that no question of state immunity, or what Lord Wilberforce calls "sovereign immunity ratione personae" arises here. The State of Qatar has submitted to the jurisdiction and counsel for the representor and for the State of Qatar concede that state immunity has been waived. There remains, however, the question of whether there exist areas of act of state where judicial restraint should prevent the Court from treading.
17. The English and United States authorities show that the nature of the act must be examined so as to ascertain whether it falls within the doctrine. In Kirkpatrick v. Environmental Tectonics Corporation International (1990) 493 US400, the chief executive officer of a New Jersey company agreed to pay a bribe to a Nigerian minister in order to secure a valuable contract with the government of Nigeria. Both the payment and the receipt of bribes in connection with the award of a government contract were prohibited by Nigerian law. An unsuccessful bidder subsequently sought damages from the New Jersey company under various U.S. statutes. The defendant claimed that the action was barred by the act of state doctrine. On appeal, the U.S. Supreme Court held -
18. In A Limited v. B Bank and Another (1997) Fleet Street Reports 165, the question was whether the English Court should hear an action for breach of patent in relation to the banknotes of a foreign country which had been printed on security paper which was subject to the patent and disposed of by an English bank. No claim was made against the foreign state, but its central bank intervened to argue that to interfere with the circulation of its currency in the United Kingdom would be to adjudicate upon the transactions of a foreign state. It was held by the Court of Appeal that when considering the non-justiciability of acts done by foreign states it was necessary to consider the nature of the relevant act which formed the basis of the claim. Such acts had to be acts of a foreign state as a state rather than commercial acts, and had to occur within the territory of that state. Legatt LJ stated, at page 170 -
19. Having adopted those principles as expressive of the law of Jersey, I turn to apply them to the facts of this case. The decision of the Amir to permit the representor to act in commercial transactions involving the State of Qatar without being in breach of any ministerial or fiduciary duty owed to the State of Qatar seems to me plainly to be an act of state. It would be quite wrong for this Court to allow any challenge to the statement of the Amir that he agreed to permit the representor to act in a private capacity in relation to certain contracts. Equally the statements of the Amir that he consented to and approved of the payments made to the representor, as listed in his statement, and that the State of Qatar makes no claim to them, are acts of sovereign authority and are not amenable to inquiry in this Court. Cross-examination should not be permitted to challenge the Amir's statements that he did all those things for to do so would be to purport to sit in judgment on the acts of a foreign sovereign authority done within its own territory. I leave over for decision at a later stage the question whether the assertion of the Minister of Justice that no crime has been committed in State of Qatar is an act of state.
20. Those conclusions do not, however, ipso facto mean that the representor cannot be cross-examined as to his own actions and as to the extent to which they can be reconciled with the permissions and consents afforded to him by the Amir. The actions of the representor seem to me to be clearly distinguishable from the actions of the Amir. In any event, the representor asserts that he was acting in a private capacity when he received these commissions and not in a governmental capacity. It is difficult to see how the circumstances surrounding the receipt of the commissions by the representor, subject to the qualifications set out at paragraph 19 above, can be regarded as acts of sovereign authority.
21. I turn to consider the objection that cross-examination of the representor would amount to interrogation for a collateral purpose, i.e. to ascertain whether he had committed a criminal offence, and would be oppressive. Mr. Boxall submitted that cross-examination would take place in a quasi-criminal context but in civil proceedings where none of the usual safeguards available to an accused person or potential accused person would be present. The Attorney General has volunteered an undertaking that nothing said in cross-examination of the representor would be used in any future prosecution of him, although such an undertaking would not, of course, prevent the use of any material obtained independently of anything said by the representor. Mr. Boxall accepted that undertaking but contended that it was insufficient to meet his general objection that the representor was entitled to protection from the risk of incriminating himself, a risk that was all the more evident because the Attorney General could not say precisely what offence or offences were being investigated.
22. Mr. Boxall drew my attention to Den Norske Bank ASA v. Antonatos & another (1999) QB 271 the headnote of which provides -
That case does not however seem to me to help the representor. What was of concern to the Court of Appeal in that case was that the arrangements made for the placing of material which might otherwise have incriminated the first defendant in the hands of a supervising solicitor was inadequate protection for him. Waller LJ referred to the provisions of section 31(1) of the Theft Act 1968 which provide that, for the purposes of that section, a person shall not be excused from answering questions by reason that to do so might incriminate him but that "no statement or admission made .... shall, in proceedings for an offence under this Act, be admissible in evidence against [him]". The learned Lord Justice continued (at page 284) -
This problem has no application in the circumstances of this case. The Attorney General is the prosecuting authority and he has given an undertaking that seems to me to meet completely the objection on grounds of risk of self-incrimination.
23. The Attorney General's response to counsel's submission that the cross-examination would be for a collateral purpose was that it was not a collateral but a perfectly legitimate purpose. At the heart of the application for directions, he submitted, was the question whether the trust funds represented or might represent the proceeds of crime. Inherent in that question were the issues of whether there had been criminal conduct on the part of the representor or any other person. Counsel for the representor did not, it seemed to me, contend that the question whether there had been any criminal conduct on the part of the representor was immaterial; on the contrary it was asserted that there had been no criminal conduct on his part. I was addressed at some length on what conduct was hypothetically to be transposed to Jersey for the purpose of determining whether or not the trust funds could represent the "proceeds of criminal conduct" as defined in the 1999 law. I do not find it necessary to resolve these interrelated issues at this stage. It is sufficient for me to state that, in my judgment, cross-examination of the representor in relation to the circumstances in which the commissions came to be paid and subsequently settled on trust would not be for a collateral purpose.
24. Would it be nonetheless oppressive to require the representor to submit to cross-examination? It is true that the cross-examination, if the Attorney General's application were granted, might well be wide-ranging. Counsel for the representor suggested that it would extend to the capacity in which the representor was acting when he involved himself in the contracts and received his commissions, how much negotiating the representor personally performed, and indeed anything going to disprove the contents of the affidavits which he has sworn. Counsel referred me to a passage from the judgment of Scott J in Bayer A.G. v. Winter and others (No. 2) [1986] 1 WLR 540 at 544 -
That was however, in my judgment, a rather different kind of case. In Bayer the plaintiff had obtained ex parte an Anton Piller, order in advance of the service of a statement of claim, directing the defendants to disclose certain information relating to the alleged distribution of a counterfeit product. The plaintiffs were dissatisfied with the disclosure they obtained and sought to cross-examine the 1st defendant on his affidavit. Here, by way of contrast, it is the representor who is seeking to obtain relief from the Court. He seeks relief on the basis of a factual matrix set out in his affidavits and other material in support. The Attorney General challenges the accuracy of that factual matrix. It cannot in my judgment properly be characterised as oppressive to seek to cross-examine the representor.
25. I turn now to the objection that cross-examination would not go to any relevant issue in the case. For the reasons that I have already given it does not seem to me that this point has any substance. Counsel for the representor submitted that there was one primary issue, viz. whether the Court ought now to direct that the trusts be administered in accordance with their express terms. This was said to turn on -
(a) whether the assets were subject to a constructive trust and/or
(b) whether there was sufficient evidence before the Court that the funds are the proceeds of crime so that the trusts should not be administered in accordance with their terms.
On the assumption that those are the key issues, it seems to me that cross-examination directed to those areas, subject to the ruling which I have made on the question of acts of state, must be relevant.
26. I turn next to the submission that cross-examination of the representor would be an abuse of the Article 47 procedure for seeking the directions of the Court. While the second representation might be said to be an unusual example of an application for directions under Article 47, it does not seem to me that, in context, the application of the Attorney General to cross-examine the representor could be said to be an abuse of the statutory procedure. This submission is accordingly rejected.
27. Taken in the round, I cannot find that any of the objections to the cross-examination of the representor on his affidavits put forward by counsel amounts to an exceptional circumstance justifying the exercise of my discretion to disallow cross-examination. The representor has filed affidavits on the basis of which he is asking the Court to issue directions to the trustee. The Attorney General has been convened and seeks to cross-examine the representor in order, as he contends, that the Court may have a fuller picture of the background. This does not seem to me to be in any way unfair to the representor. In my judgment the application is proper and is accordingly granted. It will, of course, be open to counsel to object to any particular line of questioning either on the ground of lack of relevance or indeed on any other appropriate ground.
28. I turn now to the application to cross-examine Mr. Black. In the case of the representor, the Attorney General has undertaken that nothing said in cross-examination by Mr. Black would itself be used in any future prosecution of him or the trustee. During argument that undertaking was extended to embrace all present employees and directors of the trustee together with certain other persons.
29. The Attorney General contended that the trustee had colluded in the misleading of the Court by the representor in relation to the hearing in May. He did not allege fraud on the part of the trustee; but he did allege that the trustee had failed to draw to the Court's attention flaws in the representor's case that were within its knowledge. In short, the Attorney General submitted that the trustee had tried too hard to placate a valuable client and had failed in its duty of full disclosure of all relevant material. The Attorney General particularized these allegations but it is unnecessary to record them here.
30. Mr. Thompson for the trustee denied that there had been any deliberate failure to disclose relevant material. He contended that the only issue before the Court in May was whether there was a constructive trust in favour of the State of Qatar or some other party. On that basis all relevant material was before the Court. I am not particularly impressed by this argument. Even if the sole issue presented to the Court in May by the representor was the constructive trust issue, it must have been clear to the trustee that there was or might be another material issue - viz. whether the trust funds might constitute the proceeds of crime and accordingly be affected by the provisions of the 1999 Law. It is true that there was some material before the Court touching upon this issue. Indeed at paragraph 41 of his affidavit of 11th May 2001 Mr. Black expressly refers to the possibility that, even if the prayer of the representor were granted, the trustee's ability to deal with the assets would still be subject to police consent under the 1999 Law. However it is not for the Court to ferret out and to analyse potentially relevant issues when an application is presented upon an entirely different basis. Furthermore, the Court is entitled to rely upon the parties, but particularly the trustee, for guidance as to whether all appropriate persons have been convened. With the benefit of hindsight it is plain that the Attorney General should have been convened to the hearing in May. It was the duty of the trustee, inter alia, to convene him. It is not necessary nor desirable for the Court at this stage to express any concluded view as to whether the conduct of the trustee measured up to the high standard which is required when an application for directions is made under Article 47. It may be, however, a matter to be considered in the context of costs in due course and in the light obviously of any further submissions that may be made.
31. But is it appropriate nonetheless for Mr. Black to be ordered to appear for cross-examination? The Attorney General argued in his opening submissions that it was relevant to ask Mr. Black why certain documents and relevant information were not brought to the attention of the Court in May. He then submitted that the principal question for Mr. Black was whether he suspected that the trust funds were the proceeds of criminal conduct and, if so, why.
32. In my judgment these questions, while interesting and arguably relevant to the issue of the trustee's conduct, are peripheral to the issues raised by the second representation. Mr. Black has no direct knowledge of the relationship between the representor and the foreign companies which contracted with the State of Qatar; nor does he have anything to offer in the context of the procedures for awarding contracts in the State of Qatar and the part, if any, played by the representor. Mr. Black cannot, it seems to me, substantially assist on the question whether the trust funds are or might represent the proceeds of criminal conduct. In my judgment these considerations amount to exceptional circumstances justifying the exercise of my discretion to decline to accede to the application to cross-examine Mr. Black. I accordingly refuse the Attorney General's application in that respect.