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You are here: BAILII >> Databases >> England and Wales Court of Appeal (Civil Division) Decisions >> D&G Cars Ltd v Essex Police Authority [2013] EWCA Civ 514 (16 May 2013) URL: http://www.bailii.org/ew/cases/EWCA/Civ/2013/514.html Cite as: [2013] EWCA Civ 514 |
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ON APPEAL FROM THE HIGH COURT OF JUSTICE
QUEEN'S BENCH DIVISION
Nicholas Braslavsky Q.C. sitting as a Judge of the High Court
HQ8X04669/HQ8X04637
Strand, London, WC2A 2LL |
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B e f o r e :
LORD JUSTICE PATTEN
and
LORD JUSTICE BRIGGS
____________________
D&G CARS LIMITED |
Appellant/ Claimant |
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and - |
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ESSEX POLICE AUTHORITY |
Respondent Defendant |
____________________
WordWave International Limited
A Merrill Communications Company
165 Fleet Street, London EC4A 2DY
Tel No: 020 7404 1400, Fax No: 020 7831 8838
Official Shorthand Writers to the Court)
Patrick Lawrence Q.C. (instructed by Clyde & Co, London) for the Respondent
Hearing date : 18 April 2013
____________________
Crown Copyright ©
Lord Justice Leveson :
"[D&G] will invite the court to infer that disaffected ex-employees set out to injure [D&G] and jeopardise its prospect of successfully tendering for the balance of the contract for the Epping Forest, Castlepoint and M11 areas to the advantage of a competitor of [D&G]."
"In essence, the claimant's case is no longer that the defendant omitted to consider the claimant's tender by way of appropriate process to its natural conclusion. It is now the claimant's case that the defendant positively sought to destroy the claimant's prospects in the process for entirely dishonest, corrupt and unconscionable reasons.
It seems to me that by its proposed amendments the claimant seeks to significantly alter the factual basis supporting the allegations of breach. In doing so, therefore, I have considered whether upon appropriate analysis of the facts to be prosecuted by amendment, a 'new case' arises. I have concluded that it does. At the same time I have given consideration to the overall impression gained from the amendments and have reached the clear conclusion that they do indeed create an unequivocally different impression of the breakdown of the commercial relationship between the parties.
If I was in any doubt of the proper conclusions to reach on the above analysis, the destiny of this appeal is, in my judgment, sealed by the dicta of the Court of Appeal in Paragon Finance and find that the move from the factual basis underpinning the alleged breach of Regulation 4 in the original case to the clear and unashamed allegations of conspiracy and corruption in the amended case gives rise to a new claim against the defendant."
"4(3) A contracting authority shall ... (a) treat economic operators equally and in a non-discriminatory way; and (b) act in a transparent way. ...
47(1) The obligation on a contracting authority to comply with these Regulations ... is a duty owed to an economic operator. ...
47(6) A breach of the duty owed in accordance with paragraph (1) ... is actionable by any economic operator which, in consequence, suffers or risks suffering loss or damage and those proceedings shall be brought in the High Court."
"I do not think one can look only to the duty on a party, but one must look also to the nature and extent of the breach relied upon, as well as the nature and extent of the damage complained of in deciding whether, as a matter of degree, a new cause of action is sought to be relied upon. The mere fact that one is considering what are, as it is said, after all only different defects to the same building does not necessarily mean that in any way they are constituents of one and the same cause of action."
"To allege that an injury is caused intentionally is to add a new allegation of fact which gives the allegations of fact as a whole a substantially different character."
Discussion
"A contracting authority may treat an economic operator as ineligible or decide not to select an economic operator in accordance with these Regulations on one or more of the following grounds namely that the economic operator ...
(e) has committed an act of grave misconduct in the course of his business or profession; ..."
Lord Justice Patten :
"(a) the addition or substitution of a new cause of action; or
(b) the addition or substitution of a new party."
"Proceedings under this regulation must not be brought unless—
(a) …
(b) those proceedings are brought promptly and in any event within 3 months from the date when grounds for the bringing of the proceedings first arose unless the Court considers that there is good reason for extending the period within which proceedings may be brought."
"35. The answer to the first question accordingly is that Article 1(1) of Directive 89/665 requires that the period for bringing proceedings seeking to have an infringement of the public procurement rules established or to obtain damages for the infringement of those rules should start to run from the date on which the claimant knew, or ought to have known, of that infringement.
…..
48. If the national provisions at issue do not lend themselves to such an interpretation, that court is bound, in exercise of the discretion conferred on it, to extend the period for bringing proceedings in such a manner as to ensure that the claimant has a period equivalent to that which it would have had if the period provided for by the applicable national legislation had run from the date on which the claimant knew, or ought to have known, of the infringement of the public procurement rules."
"Where as in this case the claim is based on a breach of duty, whether arising from contract or in tort, the question whether an amendment pleads a new cause of action requires comparison of the unamended pleading with the amendment proposed in order to determine:
(a) whether a different duty is pleaded;
(b) whether the breaches pleaded differ substantially; and where appropriate
(c) the nature and extent of the damage of which complaint is made.
See the judgment of May LJ in Steamship Mutual Underwriting Association v Trollope & Colls (City) Ltd (1986) 33 BLR 77 at pages 97 and 98.
In my view where an amendment pleads a duty which differs from that pleaded in the original statement of claim it will, or certainly will usually, raise a new cause of action. If there is no allegation of a different duty but different facts are alleged to constitute a breach of the duty it is more difficult to decide whether a new cause of action is pleaded. Several of the cases to which we were referred during the course of argument seem to me to come into this category, namely:
Brickfield Properties Ltd v Newton [1971] 1 WLR 862
Steamship Mutual v Trollope & Colls (referred to above)
Hamlin v Edwin Evans [1996] PNLR 398."
"In the present case, if one remembers what a cause of action is (for instance, to refer back to the dictum in Letang), if one looks to the size of this particular building, to its complexities, to other matters of degree, to the statement of claim before the proposed reamendment, to the attitude of the appellants' solicitors in the correspondence at the material time, to which I have referred, and avoids what I think are unnecessary subtleties, I feel bound to agree with the learned judge where he concluded, having referred to the cases on what is a cause of action, the statement of claim in both its original and amended form related only to the air conditioning. I think that its effect was to narrow the causes of action so that they became confined to breaches of contract concerned with air conditioning and negligence resulting in damages to the air conditioning. In the light of the definitions of a cause of action already referred to, I do not think one can look only to the duty on a party, but one must look also to the nature and extent of the breach relied upon, as well as to the nature and extent of the damage complained of in deciding whether, as a matter of degree, a new cause of action is sought to be relied upon. The mere fact that one is considering what are, as it is said, after all only different defects to the same building, does not necessarily mean in any way that they are constituents of one and the same cause of action."
"Article 1
1. The Member States shall take the measures necessary to ensure that, as regards contract award procedures falling within the scope of Directives 71/305/EEC and 77/62/EEC, decisions taken by the contracting authorities may be reviewed effectively and, in particular, as rapidly as possible in accordance with the conditions set out in the following Articles, and, in particular, Article 2 (7) on the grounds that such decisions have infringed Community law in the field of public procurement or national rules implementing that law.
2. Member States shall ensure that there is no discrimination between undertakings claiming injury in the context of a procedure for the award of a contract as a result of the distinction made by this Directive between national rules implementing Community law and other national rules.
3. The Member States shall ensure that the review procedures are available, under detailed rules which the Member States may establish, at least to any person having or having had an interest in obtaining a particular public supply or public works contract and who has been or risks being harmed by an alleged infringement. In particular, the Member States may require that the person seeking the review must have previously notified the contracting authority of the alleged infringement and of his intention to seek review.
Article 2
1. The Member States shall ensure that the measures taken concerning the review procedures specified in Article 1 include provision for the powers to:
(a) take, at the earliest opportunity and by way of interlocutory procedures, interim measures with the aim of correcting the alleged infringement or preventing further damage to the interests concerned, including measures to suspend or to ensure the suspension of the procedure for the award of a public contract or the implementation of any decision taken by the contracting authority;
(b) either set aside or ensure the setting aside of decisions taken unlawfully, including the removal of discriminatory technical, economic or financial specifications in the invitation to tender, the contract documents or in any other document relating to the contract award procedure;
(c) award damages to persons harmed by an infringement."
"88. I turn to the alternative basis, namely that even if Sita had enough knowledge to bring its claim sooner, it should have been allowed to pursue a case based on those breaches which did not emerge until July 2009. Ms Rose submits, relying on the decision of this court in Brent London Borough Council v Risk Management Partners Ltd [2009] EWCA 490 that there is but one duty under these procurement regulations, namely to comply with the required procedure. Once a prospective claimant had sufficient evidence to establish a clear indication of breach, time began to run and no further information could ever be relevant, save with respect to the discretionary extension. (Ms Rose accepted that the position with anticipated breaches was different and constituted a separate cause of action. But that issue does not arise here.) Mr Bowsher submitted that this was a misreading of the Brent decision, and that time should run afresh from each breach. So Sita could still rely on the matters pleaded in paragraphs 73(b) and (c) even if it was too late to take proceedings with respect to the other breaches.
89. I do not think it necessary to resolve the question whether Ms Rose's submission was correct or not. This is because I am satisfied, as was the judge below, that time does not start afresh where what is being relied upon to start time running again is a further breach of the same duty, whether it in fact occurred before or after the breaches already known. The position may be different if a number of distinct duties can be spelt out of the procurement obligations; it may be said that time runs separately with respect to each duty. But Mr Bowsher properly did not contend that these further breaches could be said to relate to a different duty. They all went to the failure to reopen the bidding process. As I have said, in my judgment the matters being relied on as constituting the fresh breaches are simply further particulars of the infringement which could already be pursued. They do not constitute separate causes of action in their own right."
Lord Justice Briggs :
"In my judgment, it is incontrovertible that an amendment to make a new allegation of intentional wrongdoing by pleading fraud, conspiracy to defraud, fraudulent breach of trust or intentional breach of fiduciary duty where previously no intentional wrongdoing has been alleged constitutes the introduction of a new cause of action.
…
Paragraphs 10A and 15A(2) allege intentional breach of fiduciary duty. Breach of fiduciary duty was already pleaded, but in terms which did not involve any conscious impropriety. The plaintiffs submit that the mere addition of an allegation of intent does not amount to a new cause of action. In my judgment this is contrary to the authorities already cited, which show that intentional and unintentional wrongdoing give rise to distinct causes of action. Moreover the existing pleading disclosed no cause of action for the reasons given in Bristol and West Building Society v Mothew (t/a Stapley & Co) [1996] 4 All ER 698, [1998] Ch 1. A sufficiently pleaded allegation of breach of fiduciary duty is made for the first time by the amendment, and this to my mind unquestionably amounts to the introduction of a new cause of action."
"In the Thakerar case Chadwick J observed that it would be 'contrary to common sense' to hold that a claim based on allegations of negligence and incompetence on the part of a solicitor involved substantially the same facts as a claim based on allegations of fraud and dishonesty. I respectfully agree. In all our jurisprudence there is no sharper diving line than that which separates cases of fraud and dishonesty from cases of negligence and incompetence."
"Where it is sought to add allegations of wrongdoing which is intentional, the position is in my judgment different. The change cannot be categorised as a technicality. I accept the submission made on behalf of the plaintiffs that the critical question is the extent to which the facts on which the new cause of action is based depart from those already pleaded (and not the seriousness of the new allegation). However, to allege that an injury is caused intentionally is to add a new allegation of fact which gives the allegations of fact as a whole a substantially different character."
"A reply must not contradict or be inconsistent with the claim; for example it must not bring in a new claim. If the claimant wishes to depart from the case set out in their claim they should seek to amend that claim rather than serve a reply."
It is perhaps unfortunate that this important principle of pleading is set out only in an editorial note, rather than in a Rule or Practice Direction, but counsel was agreed as to the principle. No doubt its main purpose is to limit what may be pleaded by way of Reply, but it encapsulates what is for present purposes the useful principle that nothing which is pleaded solely in Reply can amount to a new claim.