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England and Wales Court of Appeal (Civil Division) Decisions |
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You are here: BAILII >> Databases >> England and Wales Court of Appeal (Civil Division) Decisions >> West, R (on the application of) v Lloyd's Of London [2004] EWCA Civ 506 (27 April 2004) URL: http://www.bailii.org/ew/cases/EWCA/Civ/2004/506.html Cite as: [2004] 3 All ER 251, [2004] EWCA Civ 506 |
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COURT OF APPEAL (CIVIL DIVISION)
IN THE MATTTER OF AN APPLICATION FOR JUDICIAL REVIEW
Strand, London, WC2A 2LL |
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B e f o r e :
Vice-President of the Court of Appeal (Civil Division)
LORD JUSTICE MUMMERY
and
LORD JUSTICE DYSON
____________________
THE QUEEN on the application of Dr JULIAN WEST |
Claimant |
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- and - |
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LLOYD'S OF LONDON |
Defendant |
____________________
Paul Walker QC & Marie-Eleni Demetriou (instructed by Lloyd's Legal Services Department) for the Defendant
Hearing dates : 1st & 2nd March 2004
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Crown Copyright ©
Number | Heading | Paragraph Number |
1. | Introductory | 1 |
2. | Lloyd's: (i) its status, powers and governance arrangements | 4 |
3. | Lloyd's: (ii) the external regulatory regimes | 7 |
4. | Lloyd's: (iii) its members, syndicates and managing agents: minority buy-outs | 8 |
5. | The impugned decisions: Dr West's claims | 12 |
6. | The obligations owed by Lloyd's to its members | 15 |
7. | Lloyd's and judicial review: the Administrative Court decisions | 17 |
8. | Lloyd's: the regulatory regime under FSMA | 21 |
9. | Lloyd's and the exercise of power under the MST Byelaw: amenability tojudicial review | 27 |
10. | Lloyd's and the exercise of power under the MST Byelaw: section 6(1) of the HRA | 33 |
11. | Conclusion | 40 |
12. | Transfer, retention in the Administrative Court, or a new start? | 41 |
Lord Justice Brooke :
1. Introductory
2. Lloyd's: (i) its status, powers and governance arrangements
3. Lloyd's: (ii) the external regulatory regimes
4. Lloyd's: (iii) its members, syndicates and managing agents: minority buy-outs
(a) Throughout the period of their membership, to comply with the provisions of the Lloyd's Acts 1871-1982, any subordinate legislation made or to be made thereunder, and any direction given or provision or requirement made or imposed by the Council or any person or body acting on its behalf;
(b) To become a party to, perform and observe all the terms and provisions of any agreements or other instruments as may be prescribed and notified to the Member or his underwriting agent by or under the authority of the Council.
It follows that Lloyd's byelaws are binding on each member in contract.
5. The impugned decisions: Dr West's claims
6. The obligations owed by Lloyd's to its members
7. Lloyd's and judicial review: the Administrative Court decisions
"It does not help to refer to the respondents as regulators or to describe the system administered by the Corporation of Lloyd's as a regulatory regime as is done in the form 86 in these proceedings. The fact is that even if the Corporation of Lloyd's does perform public functions, for example, for the protection of policy holders, the rights relied on in these proceedings relate exclusively to the contract governing the relationship between Names and their members' agents. We do not consider that that involves public law. That is consonant with Mr Justice Saville's conclusion that a Name was not entitled to disregard a cash call made in good faith by the members' agents. We accordingly endorse [counsel's] submission that 'all of the powers which are the subject of complaint in the present application are exercised by Lloyd's over its members solely by virtue of the contractual agreement of the members of the Society to be bound by the decisions and directions of the Council and those acting on its behalf'.
Lloyd's is not a public law body which regulates the insurance market. As [counsel] remarked, the Department of Trade and Industry does that. Lloyd's operates within one section of the market. Its powers are derived from a private Act which does not extend to any persons in the insurance business other than those who wish to operate in the section of the market governed by Lloyd's and who, in order to do so, have to commit themselves by entering into the uniform contract prescribed by Lloyd's. In our judgment, neither the evidence nor the submissions in the case suggest that there is such a public law element about the relationship between Lloyd's and the Names as places it within the public domain and so renders it susceptible to judicial review."
"I am certainly willing to accept that in some contexts judicial review may be available even if the relationships in question are founded in contract, if the body whose actions are sought to be reviewed is performing a function that can properly be described as governmental, although the normal rule is that the express or implied terms of the agreement should govern the matter – see de Smith, Woolf and Jowell … at p 170 – but I am quite unable to see how this epithet 'governmental' can be ascribed to Lloyd's relationships with its members. As [counsel] observed, if the DTI was not satisfied with the Lloyd's system of self-regulation, the upshot would not be a situation in which Lloyd's would become a governmental regulatory authority, or one in which the DTI would regulate the way in which Lloyd's members were obliged to subscribe funds or to embark on reinsurance of old liabilities. The DTI would continue to be the authorising body, and it would be for it to decide what conditions it should impose on former Lloyd's underwriters before granting them authority to carry on insurance business if the blanket exemptions for members of Lloyd's no longer existed."
"Indeed, quite apart from these authorities, I should have held that the function of the Panel is a private law function, and not a public function. The indebtedness of the claimant is a private law indebtedness: it relates to a reinsurance premium which she has been held liable to pay. The fact that the claimant's liability may have involved the exercise of powers conferred by statute does not affect the intrinsic nature of that liability. The function of the Panel is to consider the acceptance by Lloyd's of a lesser sum in settlement of that private law liability. I see no public law function involved in its decisions."
8. Lloyd's: the regulatory regime under FSMA
"(1) The Society is an authorised person.
(2) The Society has permission to carry on a regulated activity of any of the following kinds:
(a) arranging deals in contracts of insurance written at Lloyd's ('the basic market activity');
(b) arranging deals in participation in Lloyd's syndicates ('the secondary market activity');
(c) an activity carried on in connection with, or for the purposes of, the basic or secondary market activity."
"Under the Financial Services and Markets Act 2000 (the Act'"), the FSA is the primary regulator for all financial services business in the UK. Its general duties and regulatory objectives are set out in sections 2 to 6 of the Act. It also has a general duty under section 314 of the Act with respect to the market at Lloyd's. It has concluded these arrangements for the reasons set out in paragraph 1 above. However, nothing in these arrangements can fetter its discretion with respect to carrying out its statutory duties and function."
9. Lloyd's and the exercise of power under the MST Byelaw: amenability to judicial review
10. Lloyd's and the exercise of power under the MST Byelaw: section 6(1) of the HRA
"(1) It is unlawful for a public authority to act in a way which is incompatible with a Convention right.
…
(3) In this section 'public authority' includes –
(b) Any person certain of whose functions are functions of a public nature …
…
(5) In relation to a particular act, a person is not a public authority by virtue only of subsection (3)(b) if the nature of the act is private."
(i) While section 6 of the Human Rights Act 1998 requires a generous interpretation of who is a public authority, it is clearly inspired by the approach developed by the courts in identifying the bodies and activities subject to judicial review;
(ii) The emphasis on public functions reflects the approach adopted in judicial review by the courts and textbooks since the decision of the Court of Appeal (the judgment of Lloyd LJ) in ex p Datafin plc (see para 28 above);
(iii) What can make an act, which would otherwise be private, public is a feature or a combination of features which impose a public character or stamp on the act;
(iv) Statutory authority for what is done can at least help to mark the act as being public: so can the extent of control over the function exercised by another body which is a public authority;
(v) The more closely the acts that could be of a private nature are enmeshed in the activities of a public body, the more likely they are to be public;
(vi) The fact that the acts are supervised by a public regulatory body does not necessarily indicate that they are of a public nature. (This is analogous to the position in judicial review, where a regulatory body may be deemed public, but the activities of the body which is regulated may be categorised private);
(vii) After identifying the most important factors in any given case, it is desirable to step back and look at the situation as a whole.
(viii) As is the position on applications for judicial review, there is no clear demarcation line which can be drawn between public and private bodies and functions. In a borderline case the decision is very much one of fact and degree.
(i) The role that the foundation was performing manifestly did not involve the performance of public functions;
(ii) The fact that it was a large and flourishing organisation did not change the nature of its activities from private to public.
(iii) While the degree of public funding of the activities of an otherwise private body was relevant to the nature of the functions performed, it was not by itself determinative of whether the functions were public or private.
(iv) The foundation was not standing in the shoes of the local authority. (Section 26 of the National Assistance Act 1948 provided statutory authority for the actions of the local authority, but provided the foundation with no powers);
(v) The foundation was not exercising statutory powers in performing functions for the claimants.
(vi) The fact that if the foundation were not performing a public function, the claimants would not be able to rely on ECHR Article 8 as against it could not change the appropriate classification of the foundation's function.
(i) The purpose of section 6(1) of the HRA is that those bodies for whose acts the state is answerable before the European Court of Human Rights ("ECtHR") shall in future be subject to a domestic law obligation not to act incompatibly with Convention rights (para 6):
(ii) Conformably with this purpose, the phrase "a public authority" in section 6(1) is essentially a reference to a body whose nature is governmental in the broad sense of that expression (paras 7, 88 and 117);
(iii) Although the domestic case-law on judicial review may provide some helpful assistance as to what does and what does not constitute a "function of a public authority" within the meaning of section 6(3)(b), this case-law must be examined in the light of the jurisprudence of the Strasbourg court as to those bodies which engage the responsibility of the State for the purposes of the Convention (para 52).
11. Conclusion
12. Transfer, retention in the Administrative Court, or a new start?
Lord Justice Mummery:
Lord Justice Dyson: