Companies.
[2021]JRC039
Royal Court
(Samedi)
11 February 2021
Ref:
2019/173
Ref:
2020/004
Before :
|
R. J. MacRae, Esq., Deputy Bailiff, sitting alone.
|
Between
|
(1) Vladimir
Anatolevich Chernukhin
|
Representors
|
|
(2) Navigator
Equities Limited
|
|
And
|
(1) Oleg
Vladimirovich Deripaska
|
Respondents
|
|
(2) B-Finance
Limited
|
|
Advocate N. M. C. Santos-Costa for the
Representors.
Advocate D. M. Cadin
for the First Respondent.
judgment
the deputy bailiff:
1.
The Court
sat on 8th and 9th October 2020 for the purpose of a
pre-trial review and to consider three summonses, two issued by the First
Respondent on 12th August 2020 and 18th August 2020 respectively and
one issued by the Representors on 30th September 2020. As there is an overlap between the 18th
August 2020 summons and the second prayer for relief in the 30th
September 2020 summons, I shall deal with those at the end of this judgment,
having dealt first with the 12th August 2020 summons and secondly
with the Request for Further Information which is the third prayer for relief
under the 30th September 2020 summons.
2.
The
background to this case is set out at paragraphs 6 to 40 of the judgment of the
Court dated 24th June 2020, reported at Chernukhin
and Anor v Deripaska and Anor [2020] JRC 121.
The summons dated 12th August 2020 ("the
First Summons")
3.
Pursuant
to the First Summons, the First Respondent seeks leave to amend the Particulars
of Claim dated 17th December 2019. The trial of this case is shortly to be
listed with a time estimate of one week.
4.
Witness
statements have been exchanged.
Accordingly, although this is not an early amendment to a pleading it is
not a late application to amend either.
5.
Since the
First Summons was issued, most of the amendments have been agreed between the
parties. Three remain in
dispute.
6.
I start by
reminding myself of the relevant principles. Pursuant to Rule 6/12 of the Royal Court
Rules:
"(1) The Court may at any stage of
the proceedings allow a plaintiff to amend his or her claim, or any party to
amend his or her pleading, on such terms as to costs or otherwise as may be
just.
(2) Any party may at any stage of
the proceedings amend his or her pleadings with the consent of the other
parties."
7.
In Cunningham
-v- Cunningham [2009] JLR 227 Birt, Deputy Bailiff summarised the
relevant principles at paragraphs 17 to 19 as follows:
"17. Although this application was
made some four months before trial, it is nevertheless made comparatively late
and the parties were agreed that allowing the amendment would almost certainly
lead to the vacating of the trial date in August and its substitution by a date
later in the year. In the context
of late applications to amend, the Court of Appeal said the following in Brown
v Barclays Bank Plc 2001/241 - a case where the application was made as
late as the morning of the trial:-
"18. The view in the earlier
part of the twentieth century in England and Wales was that, in general, pleading
amendments should be allowed, however late, provided that (1) allowing the
amendment would not cause undue prejudice to the other party, and (2) such
prejudice as would be caused could reasonably be remedied by payment of the
other party's costs and by appropriate adjournment.
19. This approach had begun to
disappear in the latter part of the twentieth century (see eg
Ketterman v Hansel Properties [1987] AC 189 per Lord
Griffiths at p.220), and was largely changed in the reforms to English civil
procedure embodied in the new Civil Procedure Rules (CPR). Today in England and Wales the Courts
will take account of the following (amongst other) factors - the strains
which litigation imposes on personal litigants, and on particular individuals
in litigating companies and other bodies; the expectation that all the issues
have already been fully defined; the efficient disposal of the particular case
in ways proportionate to the sums involved, its importance, its complexity, and
the parties' respective financial positions; the effects on the efficient
disposal of other cases; the use of an appropriate share of the Court's
resources; and similar matters covered by Part 1 of the CPR, in which an
"overriding objective" is encapsulated.
20. Jersey civil procedure has not been
taken down the same route as the CPR.
But the statement of principle in Esteem Settlement quoted in paragraph
4 above and the other observations in that and subsequent Jersey cases show
that by judicial decisions rather than wholesale rewriting of rules, Jersey
civil procedure is moving in a similar direction, though with material
differences. For example, in a
smaller jurisdiction such as Jersey with a relatively small number of fought
civil actions, and a reasonable number of permanent Judges and part-time
Commissioners, it is less likely that any impact on the progress of other
actions will prove to be strongly relevant in a case such as the present.
21. Where there is a late application for an
amendment to the Order of Justice (or to the answer or reply) the Jersey courts
have to strike a balance which is primarily between the parties to the instant
case. The burden on the applicant
is a heavy one to show, for example, (1) why the matters now sought to be
pleaded were not pleaded before, (2) why is the strength of the new case, (3)
why an adjournment should be granted, if one is necessary, (4) how any adverse
effects on the other party including the effects of any adjournment, any
additional discovery, witness statements or experts reports, or other
preparation for trial can be remedied, and (5) why the balance of justice
should come down in favour of the party seeking to change its case at a late
stage of the proceedings."
18. Another convenient summary of
the relevant considerations can be found in Charlesworth v Relay Roads
Limited (in liquidation) [1999] 4 All ER 397 at 401 where Neuberger J said
this:-
"As is so often the case
where a party applies to amend a pleading or to call evidence for which
permission is needed, the justice of the case can be said to involve two
competing factors. The first factor
is that it is desirable that every point which a party reasonably wants to put
forward in the proceedings is aired; a party prevented from advancing evidence
and/or argument on a point (other than a hopeless one) will understandably feel
that an injustice has been perpetrated on him, at least if he loses and has
reason to believe that he may have won if he had been allowed to plead, call
evidence on, and/or argue the point.
Particularly where the other party can be compensated in costs for any
damage suffered as a result of a late application being granted, there is
obviously a powerful case to be made out that justice indicates that the
amendment should be permitted.........
On the other hand, even where, in
purely financial terms, the other party can be said to be compensated for a
late amendment or late evidence by an appropriate award of costs, it can often
be unfair in terms of the strain of litigation, legitimate expectation, the
efficient conduct of the case in question, and the interest of other litigants
whose cases are waiting to be heard, if such an application succeeds."
The application in that case was
made after the hearing and after judgment had been handed down although before
the order had been drawn up.
19. It is furthermore well
established that the Court will not permit amendments which infringe the rules
of pleading or which introduce a claim which is so hopeless that it would be
liable to be struck out under RCR 6/13." (My emphasis)
8.
Most
recently in Financial Technology Ventures II -v- ETFS Capital Limited
[2020] JRC 152 Commissioner Clyde-Smith held on 3rd August 2020:
"11. The law as regards amendment
to pleadings is also not in dispute. The decision of Sir Michael Birt,
then Deputy Bailiff, in Cunningham v Cunningham, Sovereign Trust
International Ltd and C.I. Law Trustees Ltd [2009] JLR 227 at paragraphs
17-19 can be summarised as follows:
(i) The general position is that all matters in dispute
between parties should be resolved so far as possible before the Court at
trial. Leave to amend should, therefore, be given if there is no
prejudice to the other side which cannot be compensated for by costs (at
paragraph 15).
(ii)
Amendments will not be permitted which infringe the rules of pleading or
introduce a claim which is so hopeless that it would be liable to be struck out
(at paragraph 19).
(iii)
More stringent considerations apply where an application to amend is late (at
paragraph 17) and if (and only if) the Court considers that an amendment is
'late' it may then consider (at paragraph 21):
(a) why the amendment material could not have been pleaded earlier;
(b) the strength of the new case;
(c) whether and why an
adjournment ought to be granted;
(d) how to remedy any adverse effects attendant upon the amendment
being granted; and
(e) why the balance of justice favours the party seeking to amend at
a late stage.
12. In terms of strike out, the
applicable legal principles were considered in the decision of the Court of Appeal
in Home Farm Developments and Others v Le Sueur
and Others [2015] JCA 242 at paragraphs 23-29, where reference was made to
the judgment of Beloff JA in Trant
and Others v AG and Others [2007] JLR 231, in which he said at paragraph
22:
"22
The test on an application to strike out is well established. It is only
where it is plain and obvious that the claim cannot succeed that recourse
should be had to the court's summary jurisdiction to strike out.
Particular caution is required in a developing field of law. Provided
that a pleading discloses some cause of action or raises some question fit to
be decided by a judge, jurats or jury, the mere fact that a case is weak is not
a ground for striking it out. These propositions are vouched for by a wealth
of Jersey authority embracing principles deployed by the courts of the United
Kingdom, see e.g. In re Esteem Settlement ... (2000 JLR at 127) (we note en passant that a new regime, arguably more favourable to
an application to strike out, has been introduced in England and Wales by the
Civil Procedure Rules).""
9.
The
Representors invited me to follow the current provisions and commentary in the
Civil Procedure Rules which govern proceedings in England and Wales,
particularly Rule 17.3.6. The test
in England and Wales is slightly different. The note to Rule 17.3.6 says "The
question is whether the proposed new claim has a real prospect of
success." This would
appear to be a stricter test than that contended for by the First Respondent
and borne out by the Jersey authorities.
I do not propose to adopt the English test. As Birt, Deputy Bailiff observed in Cunningham
-v- Cunningham at paragraph 20:
"Jersey civil procedure has not
been taken down the same route as the CPR.
... by judicial decisions rather than wholesale rewriting of rules,
Jersey civil procedure is moving in a similar direction, though with material
differences."
10. Accordingly, where there is clear Jersey
authority, whether in our rules of court or in case law, it is not necessary to
have regard to English procedural rules, still less follow them.
11. The first application to amend paragraphs 6 and
22.4 of the draft amended Particulars of Claim raises this point. In summary, the current pleading claims
that when the Representors applied, in effect ex parte,
for interlocutory injunctions against the First Respondent, the Representors
owed a duty to the Court to provide an undertaking in damages and ought to have
explained to the Court why such an undertaking was inappropriate.
12. The draft amended pleading goes further and
says that this duty was not merely owed by the Representors to the Court but
was also owed to the First Respondent and that the Representors'
advocates and/or the Representors' English lawyers owed a duty to the
First Respondent to provide an undertaking in damages and/or explain why such
an undertaking was inappropriate.
It is said that such a duty arose in the light of:
(i)
the nature of the
relief sought;
(ii) the heightened duties of full and frank disclosure owed arising from
the purported (but unjustified) urgency of the application;
(iii) the failure to include an undertaking as to damages in the order placed
before the Court; and
(iv) the failure to draw such omission to the Court's attention as
pleaded above.
13. These matters were amplified by counsel for the
First Respondent in submission who argued that the Representors' failure
to mention the undertaking in damages could only lead to the First Respondent
suffering loss. Much stress was
made on the fact that this was an ex parte
application and it was argued that special obligations may arise from such a
hearing. The failure to provide an
undertaking in damages, it was said, could not be corrected later. The person in the position of a
defendant (in this case the First Respondent) was a "neighbour" and it was "reasonably foreseeable" that the defendant
would suffer harm in these circumstances.
It was submitted that it was "not
outrageous" to suggest that an advocate owes a duty to the opposing
party directly in these circumstances.
Furthermore, it was now clear from the disclosed evidence that Advocate
Hurry had instructions from his clients, the Representors, to give an undertaking
in damages, an undertaking that could only benefit the First Respondent. The undertaking was not given, nor was
the fact that it ought to be raised before the Court. It was said in circumstances where
Advocate Hurry had authority from his clients to give an undertaking which he
knew could only protect a particular identified third party then he arguably
owed a duty of care to the third party, the First Respondent, who was in his
direct contemplation as the beneficiary of such an undertaking. It was not suggested that at any stage
did the Representors' advocates, Advocate Hurry in particular, "step out of [their] role" as
lawyers to their clients (a relevant factor on some of the authorities) but it
was argued that when making such an ex parte
application the lawyer may owe a duty of care to the other party as it is only
that party which is likely to suffer loss.
14. Reliance was placed on the case of Al-Kandari -v- Brown [1988] 1
QB 665, which was a case on very different facts, where a solicitor for one
party voluntarily agreed to hold a passport to the order of the court which
they failed to do, resulting in the other party recovering the passport,
leading to the plaintiff being kidnapped and her children abducted. A duty of care to the plaintiff was held
to exist which was breached by the defendant solicitors.
15. Lord Donaldson of Lymington MR, giving the
leading judgment of the Court of Appeal said:
"The judge asked himself four
questions:
(i) Did
the defendant solicitors owe the plaintiff a duty of care in contract or in
tort?
He replied No to the contract and Yes to tort. Basing himself on
Ross v Caunters (a firm) [1979] 3 All ER 580, [1980] Ch 297,
a case in which a solicitor was held liable in tort to the intended beneficiary
of a will for failing to advise his client, the testator, sufficiently on the
formalities necessary to execute an effective testamentary disposition, he held
([1987] 2 All ER 302 at 308, [1987] QB 514 at 523):
"A solicitor who has authority from
his client to give an undertaking, one of whose objects is to protect an
identified third party, owes a duty of care towards that third party, in that
the third party is a person within his direct contemplation
...."
(2) Were
the defendants in breach of that duty? He replied that they were-
'in
that they failed to foresee or to guard against the obvious possibility that
the Kuwaiti Embassy might retain the passport, failed to ensure that the
embassy was supplied with a copy of the court order, and failed to inform the
plaintiff's solicitors that the embassy had indeed retained the passport or
that arrangements had been made for Al-Kandari to attend the
embassy on the Friday in the absence of any representative from the defendants
or their London agents.'
(3) Was
the damage in fact suffered by the plaintiff a natural and probable consequence
of this breach of duty?
He replied that, whilst the damage suffered by the plaintiff was
indeed the natural and probable consequence of her husband obtaining his
passport with the names of the children included, it was not foreseeable that
the Kuwaiti Embassy would allow him to obtain possession of it. Accordingly the
damage did not flow from the breach.
(4) What
would be the appropriate award of damages if liability could be
established?
He replied £20,000 general damages and agreed special damages
of £7,668·14.
I
ask myself the same questions."
16. On the question of duty, Lord Donaldson said
(at page 672E):
"For my part I regard the plaintiff
as falling squarely (if she will forgive the term) within Lord Atkin's concept
of the defendant solicitors' 'neighbours' (see Donoghue v Stevenson [1932] AC 562 at 580, [1932] All ER Rep 1 at 11),
and accordingly, in the absence of contra-indications, of which there are none,
the law required the solicitors to take reasonable care to avoid acts or
omissions which they could reasonably foresee would be likely to injure the
plaintiff. Thus I am in complete agreement with the judge that the defendants
owed the plaintiff a duty in tort. Quite what was the relevant scope of that
duty is, I think, more conveniently considered under the head of
breach."
17. He went on to find the solicitors liable, thus
allowing the appeal.
18. A similar question arose for consideration in Gran
Gelato Limited -v- Richcliff (Group) Limited
[1992] Ch 560 where Sir Donald Nicholls V-C said at page 569B:
"Gran Gelato's claim against
Gershon Young depends upon the solicitors themselves owing directly to Gran
Gelato a duty to take reasonable care when answering the preliminary inquiries
on behalf of their client Richcliff. That Richcliff itself owed such a duty of care is common ground.
Indeed, in the light of authorities such as Esso Petroleum Co Ltd v Mardon [1976] 2 All ER 5, [1976] QB 801 the contrary
could not be seriously argued. I was told that the existence of a claim
directly against the solicitors may have practical importance in this case
because it is questionable whether Richcliff is in a position
to satisfy any substantial judgment debt.
The approach now to be adopted by
the court when considering issues relating to the existence of a duty of care
in the context of negligent misrepresentation is set out in the decision of the
House of Lords in Caparo Industries plc v Dickman [1990] 1 All ER 568, [1990] 2 AC 605. For there to be a duty of care there must be a
foreseeability of damage and a close and direct relationship which has come to
bear the label of 'proximity'. In addition, to adopt the phraseology of Lord
Bridge of Harwich, the situation must be one in which the court considers it
'fair, just and reasonable' that the law should impose a duty of a given scope
upon the one party for the benefit of the other."
19. The case concerned damages claimed by the
plaintiff against the defendant and the defendant's solicitor arising
from pre-contractual replies given in a conveyancing transaction. It was held that in normal conveyancing
transactions a solicitor acting as agent of the vendor did not owe a separate
duty of care to the purchaser and accordingly the plaintiff's claim
against the defendant's solicitor failed. In concluding that no duty existed, the
Vice Chancellor said at page 571E and F:
"But, in general, in a case
where the principal himself owes a duty of care to the third party, the
existence of a further duty of care, owed by the agent to the third party, is
not necessary for the reasonable protection of the latter. Good reason,
therefore, should exist before the law imposes a duty when the agent already
owes to his principal a duty which covers the same ground and the principal is
responsible to the third party for his agent's shortcomings. I do not think
there is good reason for such a duty in normal conveyancing transactions.
I add this. I appreciate that one consequence of
this conclusion is that the buyer may be left without an effective remedy if
the seller becomes insolvent. I do
not think that is sufficient reason for adding on to the solicitor-client
relationship a duty owed directly by the solicitor to the non-client in normal
conveyancing transactions. That
those with whom one deals may become insolvent is an ordinary risk of everyday
life."
20. He went on to add caveats as follows:
"Caveats
I must emphasise two points. First, there will be special cases where
the general rule does not apply and a duty of care will be owed by solicitors
to a buyer. A good illustration is
the New Zealand decision of Allied Finance and Investments Ltd. -v-
Haddow & Co. [1983] NZLR 22.
There solicitors acting for a borrower certified to an intending
mortgagee that specified documents had been duly executed and were fully
binding on their client and that there were no other charges on the boat which
was the intended security. The
solicitors were held to owe a duty of care to the lender in connection with the
giving of that certificate. On any
reasonable appraisal of that arrangement, the solicitors must be taken to have
assumed personal responsibility to the mortgagee for the accuracy of their
certificate. That is a case in
which, to adapt the language used by Lord Donaldson MR in Al-Kandari -v- J.R. Brown & Co. [1988] QB 665,
672, in the context of a solicitor acting in adversarial litigation, the
solicitors had stepped outside their role as solicitors for their client and
had accepted a direct responsibility to the lender.
Secondly, I must emphasise that
nothing I have said detracts in any way from the duties owed by a solicitor to
his own client when answering inquiries before contract. Nor does it relieve
him from full financial responsibility for any carelessness on his part. If by
his carelessness he exposes his principal to a claim by a buyer for negligent
misrepresentation, he will be liable to indemnify his client on
well-established principles."
21. It was argued on behalf of the First Respondent
this was indeed a "special case".
22. The Representors emphasised that Advocate Hurry
did not stray from his role as a solicitor. This is accepted but would not, on the
authorities, necessarily prevent a duty of care arising. Both parties drew the Court's
attention to the decision of the Supreme Court in Steel
-v- NRAM Limited [2018] 1 WLR 1190 in which Lord Wilson gave the
judgment of the Court. This was a case where a solicitor did not, on the facts,
assume a duty of care to a third party plaintiff lender (the solicitor was
acting for the borrower). The
Supreme Court held that a representor would not be held to have assumed a duty
towards the representee unless:
(i)
It was
reasonable for the representee to have relied on what the representor said; and
(ii) The representor should reasonably have foreseen
that he would do so.
At page 1198E, Lord Wilson said:
"24. ... Lord Steyn remarked at
p 837 that there was no better rationalisation for liability in tort for
negligent misrepresentation than the concept of an assumption of
responsibility. It has therefore become clear that, although it may require
cautious incremental development in order to fit cases to which it does not
readily apply, this concept remains the foundation of the liability.
25. The legal consequences of Ms
Steel's careless misrepresentation are clearly governed by whether, in making
it, she assumed responsibility for it towards Northern Rock. The concept fits
the present case perfectly and there is no need to consider whether there
should be any incremental development of it. Nevertheless the case has an
unusual dimension: for the claim is brought by one party to an arm's length
transaction against the solicitor who was acting for the other party. A
solicitor owes a duty of care to the party for whom he is acting but generally
owes no duty to the opposite party: Ross v Caunters
[1980] Ch 297, 322. The absence of that duty runs parallel with the absence of
any general duty of care on the part of one litigant towards his opponent: Jain
v Trent Strategic Health Authority [2009] UKHL 4, [2009] AC 853. Six authorities,
briefly noticed in chronological order in what follows, may illumine
inquiry into the existence of an assumption of responsibility by a solicitor
towards the opposite party.
26. First, the decision of the
Court of Appeal of New Zealand in Allied Finance and Investments Ltd v
Haddow and Co [1983] NZLR 22. The claimant had agreed to make a loan to X
and to take security for it on a yacht. The defendants, who were X's
solicitors, certified to the claimant that the instrument of security executed
by X in relation to the yacht was binding on him. In fact, as the defendants
knew, it was not binding on him because he was not, and was not intended to
become, the owner of the yacht. The court held that the defendants had owed,
and breached, a duty of care to the claimant. Richardson J said at p 30, in
terms which the other members of the court echoed:
"This is not the ordinary case of
two solicitors simply acting for different parties in a commercial transaction.
The special feature attracting the prima facie duty of care is the giving of a
certificate in circumstances where the [defendants] must have known it was
likely to be relied on by the [claimant]."
27. Second, the decision of the
Lord Ordinary, Lord Jauncey, in the Outer House in Midland Bank Plc v
Cameron, Thom, Peterkin and Duncans 1988 SLT 611.
The pursuer had made a loan to X in assumed reliance on a statement by the
defenders, who were X's solicitors, about the extent of his assets. The statement
was materially inaccurate. But the pursuer's claim against the defenders
failed. Having referred to the Hedley Byrne case as the proper starting point
and to the Allied Finance case, the Lord Ordinary observed as follows at p 616:
"In my opinion four factors are
relevant to a determination of the question whether in a particular case a
solicitor, while acting for a client, also owes a duty of care to a third
party: (1) the solicitor must assume responsibility for the advice or
information furnished to the third party; (2) the solicitor must let it be
known to the third party expressly or impliedly that he claims, by reason of
his calling, to have the requisite skill or knowledge to give the advice or
furnish the information; (3) the third party must have relied upon that advice
or information as matter for which the solicitor has assumed personal
responsibility; and (4) the solicitor must have been aware that the third party
was likely so to rely."
The Lord Ordinary concluded that
the pursuer was able to establish none of the first three of the four factors.
28. Third, the decision of the
Court of Appeal in Al-Kandari v J R Brown and Co [1988] QB 665.
The claimant, a mother of two children, feared that the father would abduct
them to Kuwait. The court had made an order which, with their consent, obliged
the defendants, who were the father's solicitors, to retain possession of his
passport on which the children were registered. With the mother's consent, the
solicitors allowed their agents to take the passport to the Kuwaiti embassy for
alteration on condition that it would never be out of their sight. In fact the
embassy insisted on retaining it overnight. The solicitors did not inform the
mother that the embassy had retained the passport nor that (as they knew) the
father was due to attend there on the following day. The embassy released the
passport to the father, who abducted the children to Kuwait. The court held
that, in failing so to inform the mother, the solicitors had breached a duty of
care to her. Both Lord Donaldson of Lymington MR at p 672 and Bingham LJ at p
675 explained that, in agreeing to become obliged to retain possession of the
father's passport, the solicitors had stepped outside their role as his
solicitors and assumed responsibility towards the mother.
29. Fourth, the decision of Sir
Donald Nicholls V-C in the High Court in Gran Gelato Ltd v Richcliff (Group) Ltd [1992] Ch 560. The claimant
wished to purchase an underlease from the first defendant. The claimant's
solicitors inquired of the second defendants, a firm of solicitors acting for
the first defendant, whether any provisions in the headlease might affect the
length of the underlease. The negative answer of the second defendants was a
misrepresentation, which, following its purchase of the underlease, caused loss
to the claimant. The Vice-Chancellor held that it had a valid claim against the
first defendant but that the second defendants had themselves owed no duty of
care to it. He observed at pp 571-572 that only in special cases, such as the
Allied Finance case, would a solicitor owe a duty of care to the opposite party
and that there was nothing special about the case before him.
30. Fifth, the decision of the
Court of Appeal of New Zealand in Connell v Odlum [1993] 2 NZLR 257.
Prior to his marriage to W, the claimant wished to enter with her into an
agreement of which the statutory effect would be to contract them out of the
law's general provisions for the making of financial adjustments between them
in the event of separation. Pursuant to one of the statutory requirements, the
defendant, who was W's solicitor, certified that, prior to her signing the
agreement, he had explained its effect to her. Following separation a judge
found that he had not explained its effect to her and held that the agreement
was void. The Court of Appeal held that it was highly arguable that, in giving
the certificate, the defendant owed a duty of care to the claimant and that the
claim should not be struck out. Thomas J explained at p 269 that the claimant
had relied, and had been expected by the defendant to rely, on the certificate
as a feature of the validity of the agreement and that there had been the
necessary assumption of responsibility towards him on the part of the
defendant.
31. And sixth, the decision of the
Court of Appeal in Dean v Allin and Watts [2001] EWCA Civ 758,
[2001] 2 Lloyd's Rep 249. The claimant proposed to lend money to W and X on the
security of property owned by Y and Z. W and X instructed the defendants, their
solicitors, to effect the security in favour of the claimant, with which Y and
Z were willing to co-operate. The loan was made on the footing that the
security was in place. But the defendants had carelessly misunderstood what was
legally required in order to effect the security. In due course Y and Z
established that the purported charge on their property was ineffective. The
court held that the defendants had owed, and breached, a duty of care to the
claimant. Robert Walker LJ explained in summary, at para 69, that the provision
of effective security was of fundamental importance to the claimant and that,
as the defendants knew or should have known, he was relying on them in that
regard.
32. Perhaps it helps only slightly
for us to have been reminded in the authorities cited above that Ms Steel and
the firm are liable to Northern Rock only if it was a special case. Probably of
greater assistance is the analysis in the Al-Kandari
case that the solicitors owed a duty of care to the opposite party because they
had stepped outside their normal role. But the six authorities cited above
demonstrate in particular that the solicitor will not assume responsibility
towards the opposite party unless it was reasonable for the latter to have
relied on what the solicitor said and unless the solicitor should reasonably
have foreseen that he would do so."
23. Counsel for the Representors said that it was
right and proper that the Jersey advocates owed duties to the Court because
they were officers of the Court.
But the mere circumstance of an application being made ex parte should not give rise to a duty owing to the other
side. Such duty only arises when a
solicitor does something to give rise to such a duty. A lawyer must actively create a
situation where a duty arises.
24. In my view, the authorities establish that
although it is not necessary for a lawyer to step outside his role as a lawyer
for a duty to arise to the opposing party, they must carry out some positive
act which gives rise to the assumption of responsibility to the third party,
the third party must rely upon that advice or information as a matter for which
the lawyer had assumed personal responsibility towards him and the lawyer must
have been aware that the third party was likely so to rely.
25. On any view these requirements were not
satisfied in this case and accordingly the proposed amendment is hopeless and I
disallow it.
26. The second disputed amendment related to
paragraphs 5, 6 and 22.2 of the draft amended Particulars of Claim. The current pleading claims that, in
relation to the application for the ex parte
interlocutory injunction, the Representors and/or the Representors'
advocates owed duties to the Court.
The proposed amendment goes further and alleges that the
Representors' English lawyers owed duties to the Court, including a duty
to make full and frank disclosure of material facts. It is not suggested that the
Representors' English lawyers owed a duty to the First Respondent and in
view of my observations above, such amendment would not be allowed.
27. The First Respondent focuses on the position of
Ms Berard who swore the principal affidavit in
support of the ex parte application on 28th
June 2019. Reference is made to the
decision in Ras Al Khaimah Investment Authority -v- Azima [2020] EWHC 1686 (Ch), where Andrew Lenon QC sitting as Deputy High Court Judge held at
paragraph 19:
"A solicitor in giving evidence to
the Court is under a duty to be not only completely honest but also
scrupulously accurate; see generally Wingate v Solicitors Regulation Authority [2018] EWCA Civ 366 at [97] to [101] and Brett v Solicitors
Regulation Authority [2014] EWHC 2974
at [111] to [113]. Otherwise there is a particular risk of the Court being
misled because of the trust which the Court places in
solicitors as officers of the court to give their evidence reliably. I note
that misleading the court, even inadvertently, is potentially a breach of
paragraph 1.4 of the Solicitors Code of Conduct (2019) quoted at paragraph 10.9
above."
28. Ms Berard is the
focus of substantial complaint on the part of the First Respondent, including
in sections of the amended Particulars of Claim which have been amended by
consent, for example paragraph 3.3.4.8, because it is said that Ms Berard's evidence has been rejected by the English
Court by Mr Justice Andrew Baker in a decision handed down on 17th
July 2020. It is said that Ms Berard also misled this Court in the affidavit that she
swore for the hearing in June 2019.
I say no more about this as it may be a feature of argument when this
matter comes to trial.
29. It was said that Ms Berard
was not merely the only real source of evidence before the Royal Court when it
sat to consider granting the injunction but that she was also the partner with
the London law firm that approved the skeleton argument filed on behalf of the
Representors. It was said that she
in effect "controlled" the proceedings. It was conceded by counsel for the First
Respondent that there was no authority that he could point to relevant to this
amendment.
30. The Representors argued that Jersey lawyers
owed a duty to the Court because they were officers of the Court. The Court should not confuse a specific
duty to the Court with an obligation to tell the truth, which is common to
every deponent. It was said the
responsibility for the case always rests with the Jersey advocate in accordance
with his or her duty to the Court.
It is for the advocate to satisfy themselves that what they are putting
forward is factually correct. The
Court observed that this might be difficult in cases which were urgent, which
were being managed from another jurisdiction and from which all the evidence in
support of the application was emanating.
It was conceded that experts also owed duties to the Court, but it was
argued that this only arose because they were officers of the Court, were
giving independent opinion evidence and they had voluntarily accepted that they
owed duties to the Court. It was
argued that absent accepting that they owed such duties experts would not owe
them, and it was said that witnesses who swear affidavits do not declare that
they owe a duty to the Court.
31. Though I can see the attraction of the arguments
on behalf of the Representors, I am unable to find that the proposed pleading
is unarguable and/or hopeless. It
seems to me that it is arguable that those who swear affidavits to the Court in
support of ex parte applications owe duties to
make full and frank disclosure of material facts. This is not a consequence of, in this
case, the deponent in question being an English solicitor. The profession of the deponent may make
no difference to the existence of the duty. The duty arises, if it arises, because
they are giving evidence on oath on an ex parte
application. Accordingly, this
application to amend is allowed.
32. The third proposed amendment is an amendment
seeking a wasted costs order from the Representors' advocates and/or
English lawyers. The Representors
oppose this application on three bases.
They argue that:
(i)
An
application for a wasted costs order should be made by way of a separate
application by summons and not as a part of a substantive claim;
(ii) None of the persons against whom wasted costs
orders are sought have been joined to the proceedings; and
(iii) Any consideration of wasted costs should be
deferred until after conclusion of the trial and then only considered if the
First Respondent is successful on the merits.
33. As to the first objection, there is no
suggestion in the relevant Jersey authorities that were cited to me that it is
essential to make a separate application for a wasted costs order and not to
plead a claim for such an order. As
the First Respondent pointed out, the Representors themselves in their prayer
for relief in their Answer dated 13th February 2020 seek the
following relief:
"(i) That
the First Respondent's claims be struck out and/or dismissed.
(ii) That the First Respondent or
alternatively his advocates, Messrs Bedell Cristin, pay the Respondent's
costs on such basis as the Court sees fit."
34. Accordingly in their own Answer the
Representors have sought a wasted costs order against Bedell Cristin which
appears to cut the ground from under them in relation to their first and also
second objection, i.e. that persons against whom wasted costs orders are sought
ought to be joined to the proceedings.
In any event there is no requirement in law for such joinder.
35. The third objection, namely that any
consideration of wasted costs should be deferred until after the conclusion of
the trial is a sound point and in most cases this occurs, but it is not
relevant on this application to amend.
It is likely that there will need to be a separate hearing in relation
to any wasted costs application which, so far as any claim by the First
Respondent for wasted costs is concerned, will only arise if the First
Respondent is successful at trial and such a costs hearing would need to take
place, without fettering the Court's discretion, on a date to be fixed at
which both the Representors' advocates and his English solicitors would
have the opportunity to be heard. I
note the relevant Civil Procedure Rule which provides that, on an application
for a wasted costs order "the Court
will give the legal representative a reasonable opportunity to make written
submissions or, if the legal representative prefers, to attend a hearing before
it makes such an order."
36. I have not heard any argument in relation to
the format of a wasted costs hearing in this case, if it were to arise, but the
need to give the relevant legal representative an opportunity to be heard is
obvious.
37. Accordingly, I allow this application to
amend.
Paragraph 3 of the Representors' summons dated 30th
September 2020 ("the Third Summons")
38. Paragraph 3 of this summons requires the First
Respondent to respond and comply with a Request for Further Information. There are two requests for information
as follows:
"Of Paragraph 5.2 of the Reply
"the failure to identify to the
Court the possible effect on the Viscount personally, the members of the Court
and any other individuals, of transferring the shares in EN+ to the Viscount;
an effect which is vividly illustrated by the fact that the return of the
shares (said by the Representors to be a lesser issue than the original
transfer in OFAC terms) proved so problematic for the Court and for the
Viscount that the Representors' Advocates suggested that an express
application to OFAC might be required to establish that "there would be
no secondary sanctions risk associated with the transfer of the Russian Shares
by the Viscount" (email from Advocate Williams dated 4 November 2019 at
21:03);"
Of Paragraph 5.3 of the Reply
"the failure to identify that the
transfer of the shares was potentially an irrevocable step by reason of the US
Sanctions rather than a preservative one;"
Of Paragraph 14 of the Reply, first
sentence
"It is denied that Mr Deripaska has not suffered any loss by the imposition of
the Order dated 28 June 2019 and/or that he has no cause of action."
1. Please confirm
whether the Viscount of Jersey was ever registered as a shareholder of EN+ in
the Russian Federation.
a. If so, please provide
full particulars of when the registration was done and how and when the fact of
registration was confirmed. Please
also provide all supporting documentation.
b. If not, please provide
full particulars of the enquiries made to seek to confirm the Viscount's
status or not as a shareholder and of all explanations given as to why no
registration was completed.
2. Please
confirm whether B-Finance Limited, Mr Deripaska
and/or any nominee or entity under Mr Deripaska's
direct or indirect ownership or control is presently registered as the owner of
all or a portion of the 45.5million shares in EN+ that were the subject of the
Royal Court's Acts dated 28 June and 12 July 2019. If so, please state when B-Finance, Mr Deripaska and/or any nominee or entity under Mr Deripaska's direct or indirect ownership or control
was entered in the Russian registry of EN+ Group IPJSC as an owner of all or a
portion of those shares and provide all supporting documentation."
39. It is first necessary to consider the
principles upon which requests for further information are considered as no
authority was cited to me in argument as to the approach the Court should take
to these requests. Royal Court
Rules 6/15, under the title "Obtaining
further information", provides that the Court may:
"At any time of its own
motion or on application order a party to
(i) Clarify any
matter which is in dispute in the proceedings; or
(ii) Give additional information in
relation to any such matter,
whether or not the matter is
contained or referred to in a pleading."
40. So, the request must relate to a relevant
matter which is in dispute in the proceedings, whether or not it is contained
or referred to in a pleading.
Accordingly, at the outset I reject the second request as the current
ownership or control of shares in EN+ is not relevant to any matter in dispute
in the proceedings. That leaves the
first request. I note the practice
direction in relation to Requests for Information dated 1st June
2017 which provides, inter alia:
"4. Before making an application to
the Court for an order under Rule 6/15 a written request for the information
sought, ("the Request") should be served on the other party stating
a date by which the response to the Request should be provided. The Request must allow the other party a
reasonable time to respond.
5. The Request should be concise
and should only relate to matters that are reasonably necessary and
proportionate for a requesting party to prepare its own case, or to understand
the case it has to meet."
41. A submission made on behalf of the First
Respondent was that the Representors have not in terms set out their first
request in writing in previous correspondence. However, it was reasonably clear from
the submissions made that any such request by the Representors to the First
Respondent would probably be met with a response which would not amount to a
substantive response to the request.
Accordingly, in exercising my discretion in relation to this request, I
have not held against the Representors the fact that they have not made a prior
request in the terms of the first request that they now make.
42. I now turn to consider the terms of the first
request.
43. Though it is perhaps unnecessary for it to do
so, the request purports to be seeking further information in relation to
specific paragraphs of the First Respondent's Reply. The request does not in fact directly
relate to or arise from the second or third cited passages of the Reply. However, in relation to the first cited
paragraph of the Reply (paragraph 5.2), the First Respondent's pleading
in this paragraph is predicated on the footing that the shares in EN+ were
indeed transferred to the Viscount.
There is an implied assertion to that effect by the First Respondent in
paragraph 5.2 of his Reply. It is
said by the First Respondent that determination of this matter is irrelevant to
the key issue, namely whether or not the Royal Court was misled on 28th
June 2019 and why. It is also said
that both sides knew that there were difficulties making contact with the
Russian registrar of companies.
Reference was made to the affidavit of Mr McGregor, sworn on 21st
January 2020, which exhibited correspondence between the parties on this
issue. It was also said that
whether or not the shares were in fact transferred to the Viscount or not was
no longer relevant in view of the payment of the sum due pursuant to the
arbitration proceedings in October 2019.
44. However on balance, having regard to the way in
which the First Respondent has pleaded its case I do regard this matter as a
relevant one to which a response must be provided. Accordingly I allow the first request
and order the First Respondent to reply within 28 days.
The summons dated 18th August 2020 ("the
Second Summons") and paragraph 2 of the Third Summons
45. I finally turn to the Second Summons and the
connected first part of the Third Summons.
They are connected as they deal with the First Respondent's
assertion that the Representors have waived privilege in relation to certain
documents and certain categories of documents and the Representors'
response, which in part seeks the Court's leave to amend various
affidavits so as to delete reference to privileged documents and
communications.
46. It is helpful first to set out the passages
within certain of the affidavits which, it is said, give rise to a waiver of
privilege. I will not set out all
the passages, particularly as some are duplicative of each other. I will then set out the principles as
contended for by each party and as found by the Court, and thereafter apply
them to the relevant parts of the affidavits.
47. Thereafter I will deal with the
Representors' argument that it is nonetheless possible, if and to the
extent that there has been a waiver of privilege, for the clock to be turned
back by the party which has waived privilege by declaring that it no longer
wishes to rely on such material.
Whether it is necessary or possible to do so depends in part on the
stage of the proceedings at which the waiver takes place.
48. First, the affidavit evidence. On 24th June 2020 the Court
ordered, inter alia, that "signed
dated and sworn witness statements of fact standing as evidence in chief should
be simultaneously exchanged by close of business 35 days after the date of the
judgment, witnesses to attend to be cross-examined, subject to the order of the
Court at the pre-trial review."
49. That order, subject to agreed extensions which
were made the subject of subsequent Court orders, was complied with and the
evidence was served on 7th August 2020. The affidavit evidence served by the
Representors included an affidavit of Advocate Hurry, an affidavit of Advocate
Williams and an affidavit of Mr Chernukhin. All were sworn on 7th August
2020 and the evidence was filed with the Court.
50. 11 days later, on 18th August 2020,
the advocates for the First Respondent, having considered the evidence
disclosed by the Representors, issued their summons in which they sought orders
that, inter alia, the Representors had waived privilege in relation to certain
matters relating to the obtaining of the interlocutory orders in June 2019 by
filing the three affidavits referred to and that accordingly the Representors
should give discovery of all documents within their possession or control
relating to or otherwise in connection with (a) the advice sought by the
Representors and/or given by Clifford Chance in relation to the fact and
consequences of the proposal to re-domicile EN+ Group Plc from Jersey to Russia
within the date range 16th August 2018 to 28th June 2019
inclusive and (b) the issues of (i) the instructions
given by the Respondents and/or Clifford Chance to Collas
Crill prior to the hearing on 28th June
2019, (ii) the procedural and substantive form the proceedings should take, and
(iii) whether or not a cross-undertaking in damages should be offered, within
the date range 18th June 2019 to 20th November 2019.
51. Prior to the First Respondent issuing his
summons, the Representors filed their skeleton argument for the hearing on 18th
August 2020. The skeleton argument
was dated 14th August 2020, and referred to the evidence of the
three witnesses.
52. Accordingly, the First Respondent argues that
this is evidence that was filed as evidence in chief pursuant to a Court order,
relied on in correspondence (as it was) and referred to in a skeleton argument
filed with the Court. It is easiest
to identify the relevant parts of the affidavits to the extent that they may
amount to a waiver of privileges and the nature of the amendments now sought by
the Representors to those affidavits by referring to them in a form in which
they have now been filed for the purpose of the application to amend them.
The affidavit of Advocate Williams
53. Paragraph 15 of the affidavit of Advocate
Williams (this is not a passage which involves any waiver of privilege but is
relevant in context) reveals for the first time, and this was not a matter that
was volunteered to the Court on 28th June 2019 or revealed prior to
this affidavit being sworn, that when the Bailiff saw the draft representation
he, through his Judicial Secretary, gave "feedback" and
"the comments specifically included a recommendation that the matter
be brought by way of Order of Justice suing the arbitral defendants for
registration of the arbitral awards coupled with interim injunctions
restraining a transfer of the shares, and that a cross-undertaking in damages
should be provided".
Paragraph 15 is followed by, now deleted in red:
"Nonetheless, I recall that
Advocate Hurry sought instructions as to whether a cross-undertaking in damages
and indemnities in favour of parties cited could be given if required. That instruction was given shortly
before the hearing."
The affidavit of Advocate Hurry
54. Advocate Hurry's affidavit contains the
following passages. At paragraph 20
he says:
"It is accepted that the decision
to not offer a cross-undertaking was intentional."
55. Paragraph 22 showing the original waiver and
the proposed amendment are as follows:
"21
Without waiver of privilege, w When drafting the Representation and the
Representors' Skeleton Argument (in utmost haste) regard was had to the
approach taken in Tepe v Botas where proceedings were
commenced ex parte via representation and included an
arrêt entre mains over shares of a Jersey
company. No cross-undertaking was provided in that case. However, should the Court have required a cross undertaking
in this case (depending upon how the hearing unfolded), I ensured that I was in
a position to give one. However, and
again without waiver of privilege, should the Court have required a
cross-undertaking, instructions had been received to give one."
The affidavit of Mr Chernukhin
56. Mr Chernukhin's
affidavit contains the following passages, again with the proposed amendments
shown:
"5. 4 My lawyers
have explained to me the allegations made I understand that an
issue has been raised in these proceedings around
as to the
timing of the relief sought by me in late June 2019 and in
particular the issue of alleged delay. In response,. In that regard, I wish to make the following
points clear.
6.
5 In May
2018, I instructed my English legal team (Clifford
Chance LLP and a team of barristers) to apply applied for a
world-wide freezing order (the "WFO") against Oleg Deripaska. This was in
circumstances where I was concerned
that in light of his recent designation as a sanctioned individual by the US
authorities, Mr Deripaska would take steps to
dissipate his assets and/or move them to the Russian Federation, thereby
undermining any future attempts to enforce LCIA arbitration awards (the
"Arbitral Awards") that Navigator and I had won against Mr Deripaska and his company Filatona
Trading Limited ("Filatona"). I had serious
concerns about the ability to enforce the Arbitral Awards or any related
English court orders in the Russian Federation. Even more so, given Mr Deripaska's political connections and status in that
country. It was therefore important to me that collateral be available for
enforcement purposes outside of the Russian Federation.
...
8.
7 Mr
Deripaska sought a discharge of the WFO by offering
that undertakings be given in relation to a number of shares in the
Jersey-registered company EN+ Group Plc ("EN+ Jersey"). The
collateral offered was not shares listed on the LSE or another public exchange,
but rather a private block of shares in a listed company. I was initially
reluctant to accept the proposed undertakings, because I would have preferred
that Mr Deripaska put up security for the amounts due
under the Arbitral Awards. In addition, I was concerned that Mr Deripaska's status as a sanctioned individual and also
EN+'s status as a sanctioned entity would negatively impact on the value of the
shares in EN+ Jersey. However, I understand that during the course of a hearing
in the English High Court held on 19 June 2018 (which I did not attend), Mr
Justice Knowles strongly encouraged the parties to seek to come to an agreement
on the terms of the suggested undertakings. I also understand that Mr Deripaska's Lead Counsel (Justin Fenwick QC) gave assurances
that the undertakings were a "real form of security". [VC1/37] Without waiving any privilege over the advice given, I
received a call from Clifford Chance and the barrister team during the hearing,
at the end of which I instructed them to try to come to an agreement with Mr Deripaska's lawyers about the proposed undertakings.
...
11.
10 On 16
August 2018, I saw the Reuters article "EN+ considers move to Russia's new
offshore zone" [VC1/102-103], which I sent to
Clifford Chance to get their views. Around that time, Clifford Chance brought to my attention a similar article was
published by Bloomberg [VC1/104-105].
Without waiving any privilege as to the specific
advice given, I understood from their advice that there was no immediate concerns about the Redomiciliation
or the impact that it might have on the value of the underlying collateral,
i.e. of the company EN+. There was certainly no appreciation on my part,
or that of my lawyers of It was not clear from these articles what
implications the Redomiciliation might have for the
Undertakings.
12.
11 On
30 November 2018, during the trial in the High Court proceedings, a time when I
(and my legal team) was very busy with the trial, I saw
and emailed to my legal team another article in Vedomosti about
the potential Redomiciliation to be decided in Paris
in the end of December [VC1/106-112]. As before, I
asked for feedback from my legal team. Without waiving any privilege as to the
specific advice given, I understood from their advice my understanding was that there was no
immediate concerns about the Redomiciliation or the
impact that it might have on the value of the underlying collateral. Not being a lawyer myself, I relied on the advice of my legal
team and followed that advice at all times.
...
16.
15 In
the event, in light of RPC's 29 May 2019 letter and its letter of 26 June 2019, and following further legal advice taken after receipt of
the letters (over which no privilege is waived), I instructed Clifford Chance
and, through them, Jersey lawyers, Collas Crill, to do everything they could to try I sought to ensure that the collateral was
preserved and did not end up in the Russian Federation. The further steps taken in the course of these proceedings
were pursuant to that objective.
...
18.
17 I
also deny the allegation that I went to court in Jersey without myself being
willing to give a cross-undertaking in damages. Had
an undertaking been required, I confirm that one would have been given, and
that my legal team was in a position to do so at the hearing held on 28 June
2019. The need or not to give such an
undertaking was a legal nuance beyond my understanding and I could only be
advised on it by my legal team when they considered it appropriate. Without
waiving privilege, directly before the hearing held on 28 June 2019, I was told
by my legal team that a cross-undertaking may become necessary and I confirmed
to them my willingness to provide one if required. I understand that in the event neither the Court nor
Mr Deripaska's lawyers demanded a cross-undertaking
in damages at either of the hearings held in Jersey on 28 June and 12 July
2019, and that no such cross-undertaking was therefore given."
Has there been a waiver of privilege?
57. This is an area of Jersey law where it is
appropriate to consider English authority (Café de Lecq -v- R A Rossborough
(Insurance) Brokers Limited [2011] JLR 182. In summary, the Representors say that
there is insufficient reference to legal advice for there to have been a waiver
of privilege in this case and to the extent that there was a reference to the
advice, it was to the effect of the advice and not to the contents of the same
and that there was no reliance placed on the substance of the advice to the
extent that it was disclosed.
Applying the principle set out in the authorities which I refer to
below, it is argued that in those circumstances there has been no waiver of
privilege.
58. The First Respondent contests this - Mr Chernukhin and his advocates, it is argued, have relied on
the contents of privileged legal advice and, in the circumstances cannot in
fairness be entitled to simultaneously refuse to disclose to the First
Respondent or the Court that advice and related advice over which privilege has
now been waived. Absent disclosure,
the Court will have an incomplete picture of events.
59. It is appropriate to consider the relevant
authorities before returning to the extracts from the affidavits referred to
above.
60. I was referred to a number of helpful
authorities during the course of argument.
First the case Brennan and Others -v- Sunderland City Council
[2009] ICR 479, a decision of the Employment Appeal Tribunal. The facts of Brennan are of no
assistance in this case but the principles are. The EAT held at paragraph 16 that:
"As a matter of public policy, all
communications between a legal adviser and/or
his or her client are privileged from date of production so long as they are
confidential, written by or to the legal adviser in his or her professional
capacity, and for the purpose of
giving or getting legal advice."
61. The EAT went on to say that a party may however
waive that privilege "Classically, and uncontroversially,
this would be so in instances where the party refers in detail to, and seeks to
rely upon, part of a document setting out legal advice, but resists the other
party's efforts to obtain disclosure of the whole of that advice." At page 483F the Tribunal said:
"Whether or not privilege has been
waived is determined by the application of the principle of fairness. In Burnell
v British Transport Commission [1956] 1 QB 187, 190 for example,
Denning LJ stated:
"It would be most unfair that
cross-examining counsel should use part of the document which was to his
advantage and not allow anyone, not even the judge or the opposing counsel, a
sight of the rest of the document, much of which might have been against
him.""
62. The Tribunal observed at page 484 that:
"The fact that waiver is accidental
makes no difference; once waived, the whole document must be produced (or at
least all parts of the document relating to that subject matter)."
63. In the Tribunal's conclusions at
paragraph 62 to 70, it considered the principles in respect of waiver of
privilege. The following extract is
particularly helpful:
"63. In our view the fundamental
question is whether, in the light of what has been disclosed and the context in
which disclosure has occurred, it would be unfair to allow the party making
disclosure not to reveal the whole of the relevant information because it would
risk the court and the other party only having a partial and potentially misleading
understanding of the material. The court must not allow cherry picking, but the
question is: when has a cherry been relevantly placed before the court?
64. Typically, as we have seen, the
cases attempt to determine the question whether waiver has occurred by focusing
on two related matters. The first is the nature of what has been revealed; is
it the substance, the gist, content or merely the effect of the advice? The
second is the circumstances in which it is revealed; has it been simply been
referred to, used, deployed or relied upon in order to advance the party's
case? As Waller LJ observed in Dunlop Slazenger [2003] EWCA Civ
901, the principles are not altogether easy to discern, partly perhaps because
of the vagueness of the language adopted - for example, sometimes
reliance and deployment are used as separate terms and sometimes they appear to
mean much the same thing - and partly because the cases are necessarily
fact sensitive.
65. In our judgment, it is an error
to treat the earlier authorities as if the words falling from judicial lips had
the sanctity of statute. We would not, therefore, adopt in quite such stark
terms the contents/effects distinction which Mr White submits represents the
law. Plainly the fuller the information provided about the legal advice, the
greater the risk that waiver will have occurred. But we do not think that the
application of the waiver principle can be made to depend on a labelling
exercise, particularly where the categories are so imprecise. The concepts shade
into each other, and do not have the precision required to justify their
employment as rigid tests for defining the scope of waiver.
66. Having said that, we do accept
that the authorities hold fast to the principle that legal advice privilege is
an extremely important protection and that waiver is not easily established. In
that context something more than the effect of the advice must be disclosed
before any question of waiver can arise.
67. However, in our view, the
answer to the question whether waiver has occurred or not depends upon
considering together both what has been disclosed, and the circumstances in
which disclosure has occurred. As to the latter, the authorities in England
strongly support the view that a degree of reliance is required before waiver
arises, but there may be issues as to the extent of the reliance. Ultimately,
there is the single composite question of whether, having regard to these
considerations, fairness requires that the full advice be made available. A
court might, for example, find it difficult to say what side of the
contents/effect line a particular disclosure falls, but the answer to whether
there has been waiver may be easier to discern if the focus is on the question
whether fairness requires full disclosure.
...
69. In our view the authorities
demonstrate that reliance is necessary and there is currently no indication
that the Council has any intention of relying on the advice. The disputed
material was put before the court as an exhibit to a lengthy witness statement.
The legal advice has not been specifically referred to in the pleadings nor in
the witness statements themselves and in our view the mere reference to the
advice - even to the content of it - was not in the circumstances
sufficient to constitute a waiver of privilege. The council is not seeking to
rely upon the advice to justify the reason why it decided to implement pay
protection for a period of four years."
64. Accordingly, on the authority of Brennan,
it is important to have regard to whether or not the content as opposed to
merely the effect of the advice has been disclosed and then to consider if the
advice has been relied upon and ultimately whether fairness requires full
disclosure.
65. Brennan was
cited by approval by the Chancery Division of the High Court in Digicel
Limited -v- Cable & Wireless Plc [2009] EWHC 1437 when Morgan J was required to consider whether there had been a waiver
of privilege by reference to certain passages in witness statements where
witnesses referred to legal advice which they had been given. As to the appropriate approach to the
material in front of him, the judge made the following observations at
paragraphs 18 to 22 of the judgment:
"18. Mr Rubin invited me to apply
the approach encapsulated in those passages from Brennan.
19. Mr Patton, on behalf of the
defendants, does not I think fundamentally disagree with this approach. He does not in terms quarrel with the
way in which the matter is discussed in Brennan. To assist analysis of the
problems which arise, he identified three questions which he submitted should
be asked in turn. His questions are as follows:
(1)
Is there a reference to the legal advice? He submits if there is not, there is
no waiver of any such privilege.
(2) If
there is a reference to the legal advice, is there reliance on that legal
advice? He submits if there is not, there is no waiver of privilege.
(3) If
there is reliance on the legal advice, is the reliance on the contents of the
advice or only on the effect of the advice? He submits that if the reliance is
only on the effect of the advice, there is no waiver of privilege.
20. I do not think that at the end
of the day there is any substantial difference between the parties as to Mr
Patton's questions, save that Mr Rubin submits that the Brennan case has put
its own gloss on the distinction between the contents of and the effect of a
document.
21. I am happy to
say that it is not necessary for the purposes of this judgment to attempt a
definition of the line which divides the contents of legal advice from the
effect of legal advice. Indeed, in view of the remarks in Brennan, it may be
altogether unhelpful in this area to attempt too rigid a definition of that
kind.
22. In addition to
the above submissions as to the relevant law, I record the fact that the
parties agreed that a statement which merely records the fact that legal advice
has been given will not amount to a waiver of privilege in that advice."
66. In PCP Capital Partners LLP and PCP
International Finance Limited -v- Barclays Bank Plc [2020] EWHC 1393 the
Commercial Court considered an application for disclosure of privileged
material made by the claimants, Waksman J at paragraph 47 onwards gave a useful
exposition of the law which I found of assistance. He said:
"47. I begin with a number of
overarching points.
(1) Legal professional
privilege is regarded as a fundamental right of the client whose privilege it
is. The loss of that right through
waiver is therefore to be carefully controlled;
(2) Generally, privileged documents cannot be ordered to be provided
in litigation by the party whose privilege it is unless this is as a result of
a waiver;
(3) Absent waiver, the fact that such documents might be highly
relevant does not entail their production;
(4) Applications for documents based on a waiver of privilege entail
at least the two following fundamental questions:
(a)
Has there been a waiver of privilege?
(b) If so, is it appropriate to order production of privileged
documents other than those to which reference has been made which was the
foundation for the waiver?
(5) The concept of fairness underpins the rationale for having a
concept of waiver which can then entail the production of further privileged
documents. This is because if the party waiving is, by the waiver thereby
creating a partial picture only of the relevant legal advice, it is unfair to
the other party to allow him to "cherry pick" in this way.
(6) That said, it is also clear that the question of whether or not
there has been a waiver is not to be decided simply by an appeal to broad
considerations of fairness.
48. As to the question of waiver
itself, it is not easy to find a succinct and clear definition of when it
arises, going beyond general statements to the effect, for example, that the
party alleged to have waived them has deployed them in some way as part of its
case. But on any view in my
judgment, first, the reference to the legal advice must be sufficient (a point
I return to below) and second, the party waiving must be relying on that
reference in some way to support or advance his case on an issue that the court
has to decide.
49. I give two examples of what is
clearly not waiver. First, a purely
narrative reference to the giving of legal advice does not constitute
waiver. This is because, on any view,
there is no reliance upon it in relation to an issue in the case. Nor does a mere reference to the fact of
legal advice along these lines, "My solicitor gave me detailed advice. The following day I entered into the
contract". That is not waiver,
however tempting it may be to say that what is really being said is "I
entered into the contract as a result of that legal advice". The corresponding point is that if that
latter expression is used, then there will be waiver.
50. I next turn to the vexed question
which still confounds the law of privilege, namely the idea that, quite apart
from reliance, waiver cannot arise if the reference is to the
"effect" of the legal advice as opposed to its "contents". The judicial disquiet to which this
distinction has given rise is well- summarised in Passmore on Privilege 4th
Edition, at paragraphs 7-224 to 7-242.
...
55. It is not completely clear to
me what meaning was ascribed to the word "effect" in that case
[Marubeni -v- Alafouzos] but I proceed on the basis
that it meant the conclusion or outcome of the advice because, given the
brevity of the reference to it, it is hard to see what else it could be. But it is then very difficult to
understand how that distinction works if applied mechanistically and without
any reference to context and purpose.
56. Mr Lissack
QC (correctly and inevitably, in my view) recognised the force of this in the
course of argument because he accepted that if the reference was, "My
solicitor told me that what I was about to do was lawful", that would be
a matter of substance, not of effect, ie there would
have been a waiver. Put another way, he said that the statement "I went
and discussed it with my solicitor and he told me that it would be okay to go
and do this transaction as a matter of law on Tuesday. On Tuesday I went and
did it." would be effect and substance. And finally "I went to
speak to the lawyer about whether I could sell somebody else's car and he said
it would be lawful" would probably be substance. See in general pages 90
to 94 of the transcript. But on a strict application of the content/effect
distinction, those examples could not constitute a waiver because only the
conclusion is stated and not the contents of what might have been a lengthy
written opinion. Such a mechanistic application of the distinction therefore
has no logic nor any underlying principle and in this exchange at least, Mr Lissack QC did not advocate such a mechanistic test
although he still relied upon the distinction on the points in issue when we
turned to them.
57. I think it is possible to
discern why the distinction might have been thought to have some superficial
attractiveness and it is this. If
one refers to large sections of a legal advice, it is difficult to see why that
should be done unless the advice is being relied upon in some way. Otherwise, it is mere verbiage. On the other hand a reference simply to
the effect, for example concentrating on the outcome of the advice, may, and I
stress may, indicate something different.
58. This is what happened in
Marubeni. The solicitor had to
depose to the advice received because it was a procedural requirement under the
rules for service out, but once deposed to, the fact that the lawyers had
advised there was no defence in Japanese law was irrelevant to the issue of
service out after it had been dealt with initially. If the parties served out sought to set
aside service on the basis, for example, that there was an extremely strong
defence in Japanese law, then the court might have to decide that question. But if it did, what the applicant's
solicitors originally advised is neither here nor there. A claim before the
court is not a good claim because the claimant's solicitors have said so. It is a good claim if the court thinks
so. In other words, there is no
reliance by the claimant on the solicitor's advice once the affidavit has been
lodged.
59. Exactly the same point arises
in applications for summary judgment.
To depose, for example, that "I have been advised by my solicitor
and believe that there is no defence to this claim" is required by the
rules. Such requirements are there
to avoid bad faith applications for summary judgment where the applicant knows
it is hopeless and that there is a defence. But, again, once the application for
summary judgment has been made and is being decided by the court, what the
applicant's solicitor thought about the defence is irrelevant.
60. Once the distinction is viewed
in that context, one can see that the result in Marubeni was plainly
correct. The judgments in that case
were somewhat compressed in their reasoning but I am quite sure that they were
in effect applying the kind of analysis that I have just set out. I will refer to some other cases below,
but at this point, and to deal with matters of principle, in my judgment the
correct approach to applying the content/effect distinction is this: the
application of the content/effect distinction, as a means of determining
whether there has been a waiver or not, cannot be applied mechanistically. Its
application has to be viewed and made through the prism of (a) whether there is
any reliance on the privileged material adverted to; (b) what the purpose of
that reliance is; and (c) the particular context of the case in question. This
is an acutely fact-sensitive exercise.
To be clear, this means that in a particular case, the fact that only
the conclusion of the legal advice referred to is stated as opposed to the
detail of the contents may not prevent there being a waiver."
67. The judge then went on to consider the decision
in Brennan and the decision in Digicel. Waksman J continued:
"79. Finally, I rely upon a
decision of Mr Justice Males as he then was in the case of Mid-East Sales v
United Engineering [2014] EWHC 892. I start at paragraph 15 of the judgment. He refers to waiver and Hollander on
Documentary Evidence, where the authors noted a distinction between a reference
to the fact of legal advice and reliance on the content of that advice. Males J
went on to say:
"That distinction reflects a policy
not to hold that there has been a waiver without good reason and to confine
cases of waiver to cases where the party said to have waived is relying on the
content of the legal advice for some purpose. Sometimes the distinction is drawn
between reference to legal advice and deployment of it. The overriding principle is one of
fairness, that if the content of legal advice is deployed or relied upon in
order to advance a party's case, then fairness may require that disclosure of
that advice be made available so that the court can properly assess that
assertion."
80. And then:
"16. In the present case
the legal advice which is said to have been given has been referred to in the
context of the question of delay by the second defendant in responding to the
service of the claim form. It
appears to be relevant to the question as to whether...the court should
exercise its discretion to set aside the default judgment....Mr Zahid
Mumtaz...says at para. 29:
"Acting on the advice of IA
Solicitors, the claim form and enclosures were returned to the British High
Commission ... on the basis of Article 13 of the Hague Convention."
He then sets out the letter
pursuant to which that was done
17. In his second witness statement..He says at para. 7:
"the thrust of Dudley 8 is
that the second defendants' conduct was premised on incorrect legal advice from
IA Solicitors. Again I will address
this point and demonstrate that it was as a result of IA Solicitors' advice
that the second defendant took the steps it did in responding to the claim
form.""
81. Then the judge concludes:
"18. It
seems to me these two statements, taken together, do cross the line from
reference to deployment. They make
a case that the second defendant was acting on legal advice in responding to
the claim form in the way that it did.
That can only be relevant because the second defendant seeks to rely on
that as a factor going to the exercise of the court's discretion. I can see no other reason why the
reference to acting on legal advice should have been included ... Now that the second defendant has
invited the court to exercise its discretion on the basis that it was acting on
legal advice, it may be highly relevant to know what that advice was."
82. He concludes by saying there
had been a waiver.
83. I take two important things
from this decision. First, it
clearly does not proceed on the basis of any mechanistic application of the
contents/effect distinction or indeed even on the contents/fact distinction. Secondly, the question of reliance and
purpose is central to the determination of waiver. All of that is consistent with and
indeed supports my approach here.
84. Therefore there is nothing in
any of those three cases which is contrary to the approach that I have outlined
and indeed there is much there to support it.
85. If waiver is established, then,
and only then, the question of whether further privileged documents should be
provided arises. Here the position
was much less controversial between the parties as to the law. In essence, the court has to decide the
issue or "transaction" which the waiver was concerned with. Once that has been identified, then all
the privileged materials falling within that issue or transaction must be
produced. There may be no more if
on a proper analysis the transaction itself was limited to the privileged
material already referred to. The
identification of the transaction should be approached realistically so as to
avoid either artificially narrow or wide outcomes.
86. The transaction analysis itself
is driven by the concept of fairness.
It is why one has to ascertain the transaction, because then that
establishes the playing field, as it were.
If the playing field is in truth wider than the documents which have
been referred to so far, then it is not level as far as the non-waiving party
is concerned because disclosure has in truth been only partial."
68. It is worthy of note that having found that
there had been a waiver of privilege, in his conclusions the judge said
this:
"129. I make one further point
here. It is accepted by PCP that if Barclays wishes to avoid the consequences
of the waiver which I have now found and spelled out, it could withdraw its
reliance (in the way I have also spelled out) on the privileged material in
question and in connection with the issues surrounding the lawfulness of the
ASAs. There may still be a need to
refer to lawyers being involved for the purpose of establishing a coherent
narrative, but that is quite different and would not itself be
objectionable."
69. I also note that at paragraph 92 of the
judgment the judge noted in that case that he was dealing with "very
substantial civil litigation" and that "references to legal
advice are not made casually or by accident here. They can only be designed to improve
Barclays' case on the issues surrounding the ASAs".
70. I was also referred to passages from
Documentary Evidence by Charles Hollander (June 2018) and Thanki,
the Law of Privilege (3rd Edition - 2018).
71. Having referred to the principles it is now
necessary to return to the affidavits.
It is necessary to bear in mind that the First Respondent's claims
as set out in the Particulars of Claim focus principally on the alleged failure
on the part of the Representors to provide an undertaking in damages. The three affidavits refer expressly to
advice received on this central issue.
The reference (at paragraph 15 of Advocate Williams' affidavit,
paragraph 22 of Advocate Hurry's affidavit and various paragraphs of Mr Chernukhin's affidavit) is to the contents and not
merely the effect of advice that was being given and received. Mr Chernukhin
in particular provides evidence as to the detail of the legal advice he was
given at paragraphs 11 and 18 of his affidavit. These were not references to legal advice
that were given casually or accidentally.
They were deliberately included in the affidavits, in my view, in order
to fortify Mr Chernukhin's case in respect of
these issues. Further, there can be
no doubt that, in my view, this evidence was deployed and/or relied upon. These are statements prepared and
disclosed for the purpose of trial.
The fact that the witnesses have not yet given evidence does not, in my
judgment, affect the fact that they have been relied upon in these proceedings.
72. Accordingly, there has been a waiver of privilege
and, prima facie, all collateral material relevant to the matters
referred to. This would, on the
face of it, extend to much if not all of the material sought by the First
Respondent in his summons. I may
have reached a different conclusion on waiver had only the affidavits of
Advocate Williams and Advocate Hurry been before me.
Can the clock be turned back? Can the Representors declare
that they no longer rely upon the privileged material?
73. The Representors' application to amend
the affidavits by striking out the reference to the passages in which, I have
found, they have waived privilege is founded on the submission that if the
Representors are no longer relying on the material then no question of
unfairness to the First Respondent can arise. If the Representors are no longer relying
on the privileged material, it is argued that they are no longer deploying it
in any fashion. The Representors
argue that we are not at trial, it is not too late to withdraw the offending
parts of the affidavits and what can be undone should, if no unfairness arises,
be undone.
74. In reply, the First Respondent argues that as
soon as the material was served it was deployed. The cat is out of the bag and the
application to amend the affidavits is misconceived. This material now stands as evidence in
chief and it will be quite wrong for it to be amended, let alone in the way
proposed.
75. Furthermore, reliance was placed upon the
decision in Café de Lecq -v- R A Rossborough (Insurance Brokers) Limited [2011] JLR 182
which makes clear, the First Respondent says, that in the context of production
of privileged documents on discovery no question of turning the clock back can
arise.
76. Finally, the First Respondent contends that
there can be no objection to the Representors being cross-examined on what they
have said in their affidavits - the First Respondent cannot unknow what
he now knows about the privileged material.
77. With these competing arguments in mind I refer
to the principles.
78. Hollander refers to the decision of General
Accident Fire and Life Assurance Corp Ltd -v- Tanter
[1984] 1 WR 100 and at paragraph 23-16 states:
"In General Accident Fire and Life
Corp -v- Tanter Hobbhouse J
held that an application based on collateral waiver was premature unless it
took place after the evidence had been "deployed in court" in the
strict sense, namely after the material was relied on in the evidence. The significance of "deploying in
court" is that once the material has been used in court in support of an
application or at trial, it will be difficult to turn the clock back and thus
retrieve the position. If the
document has been read out in opening, or relied on in the course of evidence,
and thus deployed in court, it will be too late to turn the clock back. If, however, the document, affidavit or
witness statement has been disclosed to the other side but not yet deployed in
court, it is not too late to retrieve the situation. Thus if a party, having appreciated the consequences,
is concerned not to disclose further documents, so long as it is possible
without prejudice to the other party to retrieve the privileged material and
for him not to rely on it, he should be entitled so to do. Whether a party who has waived privilege
in certain material before the trial should be required to produce the
associated documents at that stage depends on the circumstances."
79. I note that the decision in General Accident
preceded the more recent authorities that I have referred to and it is clear,
having regard to those authorities, that there has been a waiver of privilege
in this case. However, the
observations of Hollander in respect of the circumstances in which the clock
might be turned back are of assistance.
80. On the same issue, Thanki
says at paragraph 5.47:
"Ultimately, the key issue is
whether the clock can be turned back.
Once the document has been relied on in opening, deployed in evidence,
or (in most cases) relied on at an interlocutory hearing, it will be too late
to resist the effects of collateral waiver. From a practical point of view there is
much to be said for the parties knowing in advance of trial whether privileged
documents will be relied upon so that any contentious issues of waiver of
privilege can be resolved."
81. It is also worth noting, as I have above, the
contents of paragraph 129 (my paragraph 68) of the decision of the trial judge
in PCP. The judge was
proceeding on the footing that notwithstanding his findings in respect of
waiver it was open to Barclays in that case to withdraw its reliance on the
privileged material in question.
82. The First Respondent also relied upon the
decision of the Royal Court in Café de Lecq
in which Birt, Bailiff presiding considered an application by the defendant for
an injunction requiring the return of a document which it said was privileged
and disclosed by mistake during the discovery process.
83. At paragraph 49 of the judgment, the court
summarised the applicable principles in the circumstances where privileged
material is disclosed in error on discovery, drawing from the English decision
of Guinness Peat Properties Ltd -v- Fitzroy Robinson Partnership [1987]
1 WLR 1027 and the later decision in Al-Fayed -v- Metropolitan Police
Commissioner [2002] EWCA Civ 780.
84. Having set out an extract from the judgment of
Clark LJ in Al-Fayed, Birt B held at paragraph 50:
"The principles to be derived from
the above three cases are equally applicable in Jersey. Thus, in the context of a privileged
document which is inadvertently disclosed as part of the discovery process, the
Court may intervene by injunction to prevent the use of such a document where
inspection has been procured by fraud or where the document has been made
available for inspection as a result of an obvious mistake."
85. On the facts the Court concluded that there had
not been an obvious mistake and accordingly it was not appropriate to grant an
injunction.
86. The First Respondent argues that as there was
no mention of "turning the clock back" in Café de Lecq, then it would be inappropriate to permit the
Representors to do so in this case.
87. Thanki considers the English authorities referred to in Café de Lecq dealing with privileged documents disclosed and
inspected on discovery. The
following comment is made at paragraph 5.143:
"The rationale for the harsher
treatment meted out to the applicant who has caused inspection of the documents
as a step in the litigation (as opposed to one whose documents have fallen into
the other side's hands by some other means) is justified on the basis
that it places the onus on the party seeking discovery to get his house in
order prior to inspection."
88. Accordingly, there is no inconsistency between
the Court's power to permit a party to turn the clock back in certain
circumstances and the approach to be taken to privileged documents disclosed on
discovery.
89. Having regard to the fact that this material in
this case has not been relied upon at trial, whether in a skeleton argument
prepared for trial or in an opening speech or in evidence at trial, I have, on
balance, decided that it is fair for the Representors to be permitted to amend
their affidavits so that they stand as amended as evidence in chief in this
case. This material has not yet
been referred to in open court or in a written opening speech, nor a skeleton
argument prepared for the purposes of trial. In my view it is not too late for the
clock to be turned back and accordingly notwithstanding my findings in relation
to waiver and the collateral effect of such waiver, I do permit the
Representors to amend their affidavits in the terms proposed.
90. As to the consequences, I agree with the
decision of Master Thompson in Crociani -v-
Crociani [2015] JRC 145, although the decision
was on different facts and with a different outcome as the affidavit in that
case had not in the Master's opinion been deployed but had been filed
with the Court and served on the other parties. In those circumstances the Master
observed at paragraph 50:
"Although the affidavit had not
been deployed, it had been filed with the court and served on the other
parties. It was part of the Court record. The plaintiffs, as they
had done in making the present application, were entitled to refer to the third
affidavit and to rely on any parts of it in any subsequent court application,
whether interlocutory or at trial."
91. By the same token, the First Respondent is
quite entitled to cross-examine the witnesses for the Representors on what they
have said in their affidavits as originally sworn if it is to his advantage to
do so. It would be wholly
artificial to expect the First Respondent to put from his mind what he has
learnt about advice given and received as disclosed by the affidavits filed by
the Representors by the three deponents in question on 7th August
2020. Accordingly, the First
Respondent is entitled to make such use of the affidavits originally filed by
the Representors as he thinks fit at trial. However, the Representors will no longer
be relying, or "cherry picking" as the First Respondent
would have it, on all or any of the legal advice which they have received and
thus no question of waiver of privilege would arise.
Other matters
92. I also made directions for the purpose of
bringing the Amended Particulars of Claim on for trial in the near future. Those are encapsulated in the Act of
Court.
Authorities
Chernukhin and Anor v Deripaska
and Anor [2020] JRC 121.
Royal Court Rules.
Cunningham
-v- Cunningham [2009] JLR 227.
Financial
Technology Ventures II -v- ETFS Capital Limited [2020] JRC 152.
Civil Procedure Rules.
Al-Kandari
-v- Brown [1988] 1 QB 665.
Gran Gelato Limited -v- Richcliff (Group) Limited [1992] Ch 560.
Steel -v- NRAM
Limited [2018] 1 WLR 1190.
Ras Al Khaimah
Investment Authority -v- Azima [2020] EWHC 1686 (Ch).
Café
de Lecq -v- R A Rossborough
(Insurance) Brokers Limited [2011] JLR 182.
Brennan and
Others -v- Sunderland City Council [2009] ICR 479.
Digicel Limited
-v- Cable & Wireless Plc [2009] EWHC 1437.
Guinness Peat Properties Ltd -v-
Fitzroy Robinson Partnership [1987] 1 WLR 1027
Al-Fayed -v- Metropolitan Police
Commissioner [2002] EWCA Civ
PCP Capital
Partners LLP and PCP International Finance Limited -v- Barclays Bank Plc [2020] EWHC 1393.
Documentary Evidence by Charles
Hollander (June 2018)
Thanki, the Law of Privilege (3rd Edition - 2018)
Café
de Lecq -v- R A Rossborough
(Insurance Brokers) Limited [2011] JLR 182.
General Accident Fire and Life
Assurance Corp Ltd -v- Tanter [1984] 1 WR 100.
Crociani -v- Crociani [2015] JRC 145.