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You are here: BAILII >> Databases >> England and Wales Court of Appeal (Civil Division) Decisions >> Thomas v Jeffery & Ors [2012] EWCA Civ 693 (31 May 2012) URL: http://www.bailii.org/ew/cases/EWCA/Civ/2012/693.html Cite as: [2013] WTLR 141, [2012] 4 Costs LR 718, [2012] EWCA Civ 693 |
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ON APPEAL FROM THE HIGH COURT OF JUSTICE
CHANCERY DIVISION
BRISTOL DISTRICT REGISTRY
His Honour Judge McCahill QC
Case No: 0CH00010
Strand, London, WC2A 2LL |
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B e f o r e :
LORD JUSTICE RIMER
and
LORD JUSTICE PATTEN
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RICHARD PAUL THOMAS |
Appellant |
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- and - |
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(1) DAVID JEFFERY (2) JOY SWEET (3) GEMMA SWEET |
Respondents |
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Mr Alex Troup (instructed by Stephens & Scown) for the Respondents
Hearing date: 27 April 2012
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Crown Copyright ©
Lord Justice Rimer :
Introduction
The background facts
'Our client has a claim under [the 1975 Act], and in addition has a claim by virtue of the doctrine of proprietary estoppel. We would put the value of our client's share in his father's estate as 50% of the net value of the estate'.
Richard commenced his claim under the 1975 Act in December 2009.
'I have no savings and can only afford to rent a house with my girlfriend – at £500 per month. My other outgoings are Council Tax £80 pcm; food £160 pcm; gas/electricity £55 pcm; water rates £50 pcm; TV licence £11 pcm. I pay £270 towards a hire purchase agreement on a motor bike, a credit card payment of £12 and £50 on clothes every month. I pay no maintenance to my former wife and nine year old son – although I do see him every other weekend. My income is £1,000 per month, and I have previously stated I am a self-employed motor mechanic and have been from the 20th of August 2009.'
Those figures disclosed an excess of monthly expenditure over income and reflected the existence of hire purchase and credit card debts.
The Recorder's conclusions
The Recorder's costs order
'7. Now it is right to say that that is the basis on which the claim is put and was maintained as a basis which the claimant put it right up to the trial. Mr Guy [counsel for Richard], who I think was not earlier involved, rightly disowned any suggestion as to proprietary estoppel but there was a claim for 50% of the estate nevertheless and it was put on two bases which were alternatives. First, though it might be necessary reasonably to house [Richard], the claimant, as things stood he did not have his own property; secondly, to help him to clear his debts. But no figure was given for those debts until the third day of the trial.
8. His case had been stated, that is to say his case as regards maintenance had been stated, in very general terms in his statement filed in December 2009, and it is right to say that the bulk of the trial was taken up with – Mr Guy described it as character assassination levelled at him by the defendants, then dealt with and responded to by the claimant – but it was certainly a matter of the history of relations within the family. There were difficult relations within the family, being traced in considerable detail, which took up the bulk of the time. It was only on the third day, as I say, after I had specifically directed disclosure, that a case on specific indebtedness was laid out on the table with documentary support.
9. Mr Troup claims that really there was not time to deal with that. It had to be accepted, and "no-one seeks to respond to it or dispute the figures: we accept that it could have been done." No doubt it was a judgment that had to be made for the defendant and their legal advisers at the time. How do we deal with this late disclosure? (inaudible) definition of the claim and they chose not to do that and therefore to accept the figures for what they were. That was a matter for them. I do not think I can be influenced to the detriment of the claimant by the fact that they chose not to take time to consider or enquire about those figures or the documents.
10. Of course I entirely accept and give due deference to the pronouncement of the Court of Appeal, Lords Justices Judge and Pill and Lord Woolf MR no less, in the case of Ford v. GKR Construction [2000] 1 WLR 1397 – and they have been quoted helpfully by Mr Troup in paragraphs 17 and 18 of his skeleton argument; and, again, it is unnecessary for me to rehearse those quoted passages which it seems to me are the ones that apply. My difficulty is in determining whether anything different would have occurred before trial had there been disclosure, which is clearly the subject of those initial pronouncements, in particular whether an offer would have been made (a Part 36 offer); also, whether the case would have been approached in a different way by the defendants.
11. One can speculate, of course, but I have nothing concrete, it seems to me, as a basis on which I can say such and such an offer would have been made – probably would have been made – at an earlier stage had definition of the case and supporting disclosure been made at that point. So I do not think that I am well placed to depart from the normal rule in those circumstances, that costs should follow the event; so that is the basis of my order and we can talk about the detail in a moment.'
Judge McCahill's decision to reverse the Recorder's costs order
'39. In the light of that authority, Mr Troup contended that it could not be right, in a case in which respondent/appellant had only succeeded on the basis of documentation disclosed on the last day of the trial, that the unsuccessful appellants/defendants should have to pay the costs of the claimant, where effectively there has been a change in the approach of the claimant tantamount to a last minute amendment.
40. Mr Troup submitted that, if a litigant were to succeed at trial only as a result of change of tack or a late amendment at trial, then not only should such a litigant normally be disallowed his costs up to that amendment, but he should also be obliged to pay the unsuccessful party's costs.
41. He also argued that the Recorder fell into error and misapplied or misunderstood Ford, by introducing an unnecessary and impermissible qualification absent in Ford, namely the requirement of proof of a causal link between the late disclosure and prejudice thereby suffered by the person adversely affected by the late disclosure.
42. Although the learned Recorder recognised that there had been a last minute change and/or last minute disclosure of documentation, he went on to decide that, even if that disclosure had occurred much earlier, there was no evidence that these appellants/defendants would have made any offer to settle, and the trial would still have been necessary.
43. So, in a nutshell, the Recorder had found that no material, but only "speculative" prejudice was suffered by the appellants/defendants in the court below by the late disclosure. This was because, even if there had been disclosure much earlier, such was the enmity between the parties, no offer would have been made, or there was no evidence of what offer would have been made, by the defendants/appellants, and a court hearing would have been necessary.
44. Mr Troup submitted that this approach reveals a misreading of Ford.
45. He accepted that in exceptional cases, where it was manifestly obvious that no offer would be made, it would be permissible to have regard to this fact. However, he said that this was not such a case, nor could it be demonstrated to be so.
46. Mr Troup submitted that the true principle in Ford was that a delay in the disclosure of highly material documentation, where only the production of that material enabled the claimant to win or recover anything, robbed the defendants of any opportunity to reflect calmly, maturely and without pressure, upon how they were going to deal with the claimant's case.
47. Before such late disclosure, they had evidence which led them to conclude, realistically in the event because the claimant did not win on the main point, that they would succeed. Up until the detailed evidence of debts was produced, they considered that the claimant could not demonstrate an objective need which would find expression in any judgment in his favour.
48. Mr Troup's point was this: if the claimant in the court below had set out his stall at an early stage to say, "Here is what I owe. These are liabilities. The deceased was my father. I am objectively in need of help," then the approach of the defendants to that might have been different. In a case where a small estate was involved and the costs were going to be significant, the view may well have been taken that it was a case which really had to be met in some way, and quickly, or at the very least for a protective offer to be made.
49. In contrast to this, Mr Troup submitted that, in reality, this was a case presented as a claim for £100,000, and made by someone whose evidence could not demonstrate any objective need, until he went into the witness box.
50. So, contended Mr Troup, the learned Recorder was wrong in saying he could have dealt with the disclosed material by asking for an adjournment, as set out in the exchanges between them on the transcript. That would to be looking through the wrong end of the telescope.
51. Ford was not about the opportunity to consider the lately disclosed material and call evidence to resist it. It concerned the opportunity at an early stage to say, "What are the claimant's prospects of getting something on this evidence, bearing in mind that, if he gets something, there may well be an adverse costs order and it would make sense to make an offer promptly and quickly?"
52. It was the latter opportunity which Mr Troup said was denied to the appellants/defendants, as a result of this late disclosure.
53. In the course of my exchanges with Counsel, I expressed my provisional view that there seemed to be an error of law made by the Recorder in his approach to Ford. It also seemed to me to be wrong to introduce speculation over what might have happened to counterbalance what we know in fact happened.
54. Ford made the point, designed to bring home to those who failed to comply with the relevant Rules, that they had denied the other party the opportunity of taking stock at an early stage, not only of the intrinsic merits of the case but also of the pragmatic and commercial aspects of the case. In other words, the opportunity to decide whether to carry on with the case or to make an offer to settle it.
55. I have come to the conclusion that the learned Recorder erred in principle in introducing, in the context of Ford, an additional requirement of causation. That seems to me to represent a flawed approach to the exercise of discretion, which requires me to look again at the whole question and exercise my own discretion afresh.'
Discussion and conclusion
'This is a case where the admission of fresh evidence leaves open the question of costs, and the consequence of late disclosure, late discovery in this case, and the admission of evidence which had not previously been disclosed to the claimant, is that the effect of the payment in is nullified. The claimant quite simply could not assess the merits of it. Once the payment in was made, the claimant did everything she could do in the light of the evidence. … I take the view that the defendants have brought this upon themselves. There is no reason why that evidence could not have been obtained earlier. This case has been going on long enough. They could have obtained video evidence in advance. There is no reason why the evidence of Dr Smith [on the life expectancy issue] could not have been obtained and disclosed in advance. The claimant has had to deal with these as and when they arose.'
'Whatever the starting point, or even what can be described as the "normal rule" when faced with a payment into court which exceeds the award of damages, the judge reaching his decision about costs is required to take into account all relevant aspects of the litigation. This includes late disclosure, late service of evidence or the development of unanticipated contentions and the stage in the litigation when these events have occurred, their nature and their effect on the outcome.
Civil litigation is now developing into a system designed to enable the parties involved to know where they stand in reality at the earliest possible stage, and at the lowest practicable cost, so that they can make informed decisions about their prospects and the sensible conduct of the case. Among other factors the judge exercising his discretion about costs should consider is whether one side or the other has, or has not, conducted litigation with those principles in mind. That is what Judge Gaskell did here and he was right to do so.
The principles apply with particular force in personal injury litigation when it is to be contended that the claimant is a malingerer, or fabricating evidence, or wildly exaggerating symptoms or their effect. Sometimes claimants do lie, embellish or fantasise, but if that is to be the defendants' case fairness demands that the claimant should have a reasonable opportunity to deal with these allegations. Sometimes sensible grounds for maintaining surveillance on a claimant may arise after the trial has begun. If they do, the defendants cannot be criticised for taking advantage of the opportunity given by an adjournment to do so. Every case, and every consequential costs order, depends upon the individual facts of the case.
In the present case, it is sufficient to say that I can find nothing in the evidence to explain why the defendants found it necessary to maintain surveillance on the claimant after the trial had begun when they had not done so before it. It would be flattering to describe this decision as a last-minute idea. It did not occur until after the trial had begun and for no apparent reason, save that the defendants hoped to use the adjournment to improve their prospects in the litigation, by taking steps that they could and should have taken much earlier.'
'The principle to which Judge LJ referred as to the parties conducting their litigation making full and proper disclosure is even more important now that the Civil Procedure Rules 1998 (the "C.P.R.") have come into force. Under the C.P.R. it is possible for the parties to make offers to settle before litigation commences. As to the disclosure required in relation to that procedure, protocols in specific areas of litigation make express provision. Even where there is no express provision contained in a relevant protocol which applies to the particular litigation, the approach reflected in the protocols should be adopted by parties generally in the conduct of their litigation.
If the process of making Part 36 offers before the commencement of litigation is to work in the way which the C.P.R. intend, the parties must be provided with the information which they require in order to assess whether to make an offer or whether to accept that offer. Where offers are not accepted, the C.P.R. make provision as to what are to be the costs consequences: rules 36.20 and 36.21. Both those rules deal with the usual consequences of not accepting an offer which, when judged in the light of the litigation, should have been accepted.'
Lord Justice Patten :
Lord Justice Laws :