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England and Wales High Court (Commercial Court) Decisions |
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You are here: BAILII >> Databases >> England and Wales High Court (Commercial Court) Decisions >> H v L & Ors [2017] EWHC 137 (Comm) (03 February 2017) URL: http://www.bailii.org/ew/cases/EWHC/Comm/2017/137.html Cite as: [2017] 1 Lloyd's Rep 553, [2017] 1 WLR 2280, [2017] EWHC 137 (Comm), [2017] 2 All ER (Comm) 1097, [2017] WLR(D) 108, [2017] 1 CLC 112, [2017] WLR 2280 |
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QUEEN'S BENCH DIVISION
COMMERCIAL COURT
Fetter Lane, London, EC4A 1NL |
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B e f o r e :
____________________
H | Claimant | |
and | ||
(1) L | ||
(2) M | ||
(3) N | ||
(4) P | Defendants |
____________________
Michael Crane QC, David Scorey QC and David Peters
(instructed by Clyde & Co LLP) for the First Defendant
The Second to Fourth Defendants did not appear and were not represented
Hearing date: 12 January 2017
____________________
Crown Copyright ©
The Hon. Mr Justice Popplewell :
Introduction
"24. Power of court to remove arbitrator
(1) A party to arbitral proceedings may … apply to the court to remove an arbitrator on any of the following grounds –
(a) that circumstances exist that give rise to justifiable doubts as to his impartiality; …."
The Arbitration
(1) arbitration was to take place in London under the provisions of the Arbitration Act 1996;
(2) the tribunal was to consist of three arbitrators, one appointed by each party and the third by the two arbitrators so chosen; in the event of disagreement between the arbitrators as to the choice of the third, the appointment was to be made by the High Court;
(3) the award was to be delivered within 90 days of the conclusion of the hearing;
(4) there was to be no right of appeal from the award.
The grounds for the application
(1) In December 2015 M accepted appointment by L through Clyde and Co, who are also L's solicitors in the current reference, in relation to the R v. L claim. Prior to doing so he reminded the partner at Clyde & Co of his appointment in the current H v L reference and invited him to disclose it to R. However neither he nor Clyde & Co disclosed the proposed appointment to H prior to it being made, or thereafter.
(2) M was not initially a member of the tribunal in the other R reference against the other insurer.
(3) Prior to his involvement in the other insurer reference, on 25 July 2016 an order was made in both R arbitrations for the determination of a preliminary issue. That was very shortly after close of pleadings in those references. That was a consent order. The preliminary issue was potentially dispositive of the claims if decided in favour of the insurers; it involved construction of the policy terms on undisputed facts turning on the exhaustion of underlying layers by reference to the fines and penalties paid by R.
(4) In August 2016 the chairman of the tribunal in the R reference against the other insurer was forced to resign through ill health and was replaced by M by the agreement of the parties. H was not informed of the appointment before M accepted it, or thereafter.
(1) his acceptance of the appointments in the R arbitrations;
(2) his failure to disclose those appointments to H;
(3) his response to the challenge to his impartiality.
The Law
(1) Section 33 of the Act requires the tribunal to act fairly and impartially between the parties.
(2) The question whether circumstances exist which give rise to justifiable doubts as to an arbitrator's impartiality is to be determined by applying the common law test for apparent bias: Locabail (UK) Ltd v Bayfield Properties Ltd [2000] QB 451 at [17], A v B [2011] 2 Lloyd's Rep 591 at [22], Sierra Fishing Co v Farran [2015] EWHC 140 at [51].
(3) The test is whether the fair-minded and informed observer, having considered the facts, would conclude that there was a real possibility that the tribunal was biased: Porter v Magill [2002] AC 357 per Lord Hope at [103].
(4) The fair-minded observer is gender neutral, is not unduly sensitive or suspicious, reserves judgment on every point until he or she has fully understood both sides of the argument, is not complacent and is aware that judges and other tribunals have their weaknesses. The "informed" observer is informed on all matters which are relevant to put the matter into its overall social, political or geographical context. These include the local legal framework, including the law and practice governing the arbitral process and the practices of those involved as parties, lawyers and arbitrators. See Helow v Secretary of State for the Home Department [2008] 1 WLR 2416 at [1]-[3]; A v B at [28] to [29].
(5) The test is an objective one. The fair-minded observer is not to be confused with the person who has brought the complaint, and the test ensures that there is a measure of detachment. The litigant lacks the objectivity which is the hallmark of the fair-minded observer. He is far from dispassionate. Litigation is a stressful and expensive business and most litigants are likely to oppose anything which they perceive might imperil their prospects of success, even if, when viewed objectively, their perception is not well-founded: see Helow per Lord Hope at [2]; Harb v HRH Prince Abdul Azsiz Bin Fahd Bin Abdul Aziz [2016] EWCA Civ 556 per Lord Dyson MR at [69].
(6) One aspect of the objective test is that it is not dependent on the characteristics of the parties, for example their nationality: see A v B per Flaux J at [23-24]. The test is the same whether or not foreign nationals are involved, and the test is not informed by the actual or stereotypical attitudes towards the arbitral process which may be held by a party who is, or is managed by, foreign nationals.
(7) The International Bar Association Guidelines on Conflicts of Interest in International Arbitration 2014 edition ("The IBA Guidelines") may provide some assistance to the Court on what may constitute an unacceptable conflict of interest and what matters may require disclosure. However they are not legal provisions and do not override the applicable legal principles which have been identified, as they expressly recognise in paragraph 6 of the Introduction; if there is no apparent bias in accordance with the legal test, it is irrelevant whether there has been compliance with the IBA Guidelines: see Cofely Limited v Anthony Bingham [2016] EWHC 240 (Comm) at [109]; A v B at [73]; Sierra v Farran at [58].
(8) All factors which are said to give rise to the possibility of apparent bias must be considered not merely individually but cumulatively: see e.g. Cofely v Bingham at [115].
Ground 1: accepting the R reference appointments
"20. In my judgment, the mere fact that the tribunal has previously decided the issue is not of itself sufficient to justify a conclusion of apparent bias. Something more is required. Judges are assumed to be trustworthy and to understand that they should approach every case with an open mind. The same applies to adjudicators, who are almost always professional persons. That is not to say that, if it is asked to redetermine an issue and the evidence and arguments are merely a repeat of what went before, the tribunal will not be likely to reach the same conclusion as before. It would be unrealistic, indeed absurd, to expect the tribunal in such circumstances to ignore its earlier decision and not to be inclined to come to the same conclusion as before, particularly if the previous decision was carefully reasoned. The vice which the law must guard against is that the tribunal may approach the rehearing with a closed mind. If a judge has considered an issue carefully before reaching a decision on the first occasion, it cannot sensibly be said that he has a closed mind if, the evidence and arguments being the same as before, he does not give as careful a consideration on the second occasion as on the first. He will, however, be expected to give such reconsideration of the matter as is reasonably necessary for him to be satisfied that his first decision was correct. As I have said, it will be a most unusual case where the second hearing is for practical purposes an exact rerun of the first.
21. The mere fact that the tribunal has decided the issue before is therefore not enough for apparent bias. There needs to be something of substance to lead the fair-minded and informed observer to conclude that there is a real possibility that the tribunal will not bring an open mind and objective judgment to bear."
"14.32 Commencing a Bermuda Form Arbitration
The decision in Locabail, and the foregoing discussion, is also relevant in the fairly common situation where a loss, whether from boom or batch, gives rise to a number of arbitrations against different insurers who have subscribed to the same programme. A number of arbitrations may be commenced at around the same time, and the same arbitrator may be appointed at the outset in respect of all these arbitrations. Another possibility is that there are successive arbitrations, for example because the policyholder wishes to see the outcome of an arbitration on the first layer before embarking on further proceedings. A policyholder, who has been successful before one tribunal, may then be tempted to appoint one of its members (not necessarily its original appointee, but possibly the chairman or even the insurer's original appointee) as arbitrator in a subsequent arbitration. Similarly, if insurer A has been successful in the first arbitration, insurer B may in practice learn of this success and the identity of the arbitrators who have upheld insurer A's arguments. It follows from Locabail and Amec that an objection to the appointment of a member of a previous panel would not be sustained simply on the basis that the arbitrator had previously decided a particular issue in favour of one or other party. It equally follows that an arbitrator can properly be appointed at the outset in respect of a number of layers of coverage, even though he may then decide the dispute under one layer before hearing the case on another layer."
"If unilateral telephone calls are strongly discouraged (if not verging on prohibited) due to the appearance of potential unfairness, it is very difficult, if not in my judgment impossible, for an adjudicator to be permitted to conduct another adjudication involving one of the same parties at the same time without disclosing that to the other party. Conducting that other adjudication may not only involve telephone conversations, but will undoubtedly involve the receipt of communications including submissions, and may involve a hearing. If all that takes place secretly, in the sense that the other party does not know it is even taking place, then that runs an obvious risk in my judgment of leading the fair minded and informed observer to conclude that there was a real possibility of bias. All of this can be avoided by disclosing the existence of the appointment at the earliest opportunity." (Mr Kitchener's emphasis)
"38. It is entirely correct to read Amec v Whitefriars, which is relied upon by Mr Curtis QC, as stating that adjudicators can be trusted to approach matters with an open mind, and to decide disputes only on the evidence and material placed before them on that particular dispute. That is plain, in particular, from the passages in the leading judgment of Dyson LJ (as he then was) at paragraphs [20] to [22]. Further, in paragraph [21] the following is stated:
"There needs to be something of substance to lead the fair minded and informed observer to conclude that there is a real possibility that the tribunal will not bring an open mind and objective judgment to bear."
That is dicta clearly directed at the second limb of the rules of natural justice, namely the impartiality of the tribunal. The "something of substance" here is the appointment of Dr Chern in BL II at the same time, and the conducting of that adjudication, with all that involved in terms of contact with Beumer, without notifying Vinci of that fact." (my emphasis)
(1) The issue as to the reasonableness of the H settlement is legally and factually distinct from that of the R settlement: R and H played different roles, were alleged to have committed different breaches of duty and reached different settlements.
(2) M has offered to resign in the R references if the preliminary issue is resolved against insurers so as to leave the other issues in play in those references.
Ground 2: Failure to disclose the R appointments
"In other words, I consider that, in so far as Article 5.3 [of the LCIA Rules] is imposing an obligation on the arbitrator to disclose circumstances likely to give rise to any justified doubts as to his impartiality or independence, that is only an obligation to disclose matters which amount to apparent bias i.e. where there is a "real possibility". Whilst arbitrators may indeed make wider disclosure out of caution, they are under no obligation to do so, let alone under an obligation breach of which could entitle the aggrieved party to say there was a serious irregularity, for the purposes of section 68 of the Arbitration Act, notwithstanding that there was not in fact any arguable case of apparent bias."
"These Guidelines are not legal provisions and do not override any applicable national law or arbitral rules chosen by the parties."
"Furthermore, in my judgment that conclusion is not altered in any way by the IBA Guidelines, which do not assist the claimants for a number of reasons. First, as paragraph 6 of the Introduction to the Guidelines makes clear, the Guidelines are not intended to override the national law. It necessarily follows that if, applying the common law test, there is no apparent or unconscious bias, the Guidelines cannot alter that conclusion."
(a) At page iii of the Preface to the IBA Guidelines by the co-chairs of the IBA Arbitration Committee, it states:
'It is also essential to reaffirm that the fact of requiring disclosure – or of an arbitrator making a disclosure – does not imply the existence of doubts as to the impartiality or independence of the arbitrator. Indeed, the standard for disclosure differs from the standard for challenge.'
(b) Explanation to General Standard 3 at (c) (page 8 of the IBA Guidelines) states:
'A disclosure does not imply the existence of a conflict of interest. An arbitrator who has made a disclosure to the parties considers himself or herself to be impartial and independent of the parties, despite the disclosed facts, or else he or she would have declined the nomination, or resigned. … It is hoped that the promulgation of this General Standard will eliminate the misconception that disclosure itself implies doubts sufficient to disqualify the arbitrator, or even creates a presumption in favour of disqualification.'
Ground 3: M's response to H's complaint
"First, the merits hearing in this arbitration is due to take place in January 2017. We have no idea whether the tribunals in those other references will have decided the preliminary issues you refer to by that time; and we anticipate that it would not be proper to rush the awards out in those references in order to beat the deadline of the start of the hearing in this arbitration simply so that you can remain on the tribunal. Accordingly, there must at least be the risk that the hearing in this arbitration will proceed while you remain on the tribunals in the other references."
"It is in accordance with my duty to both parties that my response seeks to take into account what I believe to be the best interests of both.
I do not think that it would be helpful to either party for me to continue the debate as to whether or not, by accepting appointment in the two R arbitrations, I was in breach of any duty to Mr. Birsic's clients by failing to disclose the fact, and presumably, giving them an opportunity to object. I would merely add that, even if the IBA Guidelines did apply (and I think Mr. Payton is probably right in his view that they did not) I remain unpersuaded that I was in breach of them. However, I have accepted in my earlier letter that, with the benefit of hindsight, it would have been prudent for me to have made disclosure to avoid any sense of a lack of transparency on my part.
In relation to the other points raised in Mr. Birsic's letter I can only repeat that neither him nor his clients need have any fear that I will have learned anything in the course of the R arbitrations which could be of any relevance in the H case. The points so far considered relate only to preliminary issues of construction as to the attachment point, and I learned nothing about the facts of the incident and its consequences which is not public knowledge and which would not be well-known to my co-arbitrators.
…
Putting the above to one side, the current potion [sic] is clearly unsatisfactory, to say the least. I repeat that I believe it is of fundamental importance that both parties should have confidence in the impartiality of the members of the Tribunal, and in particular the chairman, and, if my first letter together with what I have added above does not both put Mr. Birsic's and his clients' minds at rest, there is what seems to be a total impasse between the parties, to both of whom I owe an obligation.
Mr. Payton wishes me to remain as chairman and for the hearing to go ahead. But if I were to decline Mr. Birsic's invitation to resign, I have little doubt that an application would be made to the Court to remove me which may well take some time to resolve. If decided in favour of H, then it would be likely to be too late to try to agree upon a replacement chairman before the hearing date. If no decision were reached before the hearing date the Tribunal could decide to go ahead with the hearing with the Tribunal's constitution unchanged, but this would, in my view, be wholly unsatisfactory. Quite apart from the fact that, if I were subsequently to be removed by the Court, any decision reached would be open to review, it would be unsatisfactory for a three-week hearing to go ahead in which the impartiality of the chairman remained in issue. If decided in favour of L it would not prevent what I have already described as an unsatisfactory situation.
Despite Mr. Birsic's suggestion that I might try to "rush" the decision of the tribunal in the R cases in order to be in a position to retain my appointment in this case (which I am bound to say I found offensive), were the decision left to me to be determined in accordance with my own self-interests, I would resign. I have no wish to continue to serve as chairman in a tribunal in a case in which one of the parties, through its legal team, has expressed serious doubts as to my impartiality. Furthermore, as you may know, I plan to retire later this year and would not wish that my long career as an international commercial arbitrator which has spanned over three decades should end with my being the subject of a debate in the Commercial Court as to whether I have behaved improperly.
However, as I have already indicated, I have duties to both parties: by accepting the Court's appointment as chairman, I undertook to continue to serve in that capacity until I had completed the task, unless prevented by circumstances beyond my control and I would, I think, be in breach of those duties were I simply to resign in the face of strong opposition from one party.
In these circumstances, might I venture to propose to the parties that, even now, they put aside their differences to the extent of concentrating their attention on trying to agree upon a mutually acceptable replacement chairman who would be available for the hearing, without spending further time on argument, and applications to the Court.
Were they to do so, I would gladly resign. If that does not occur, I fear that I would have no alternative but to leave my fate in the hands of the Court."
"7. It is always tempting for a judge against whom criticisms are made to say that he would prefer not to hear further proceedings in which the critic is involved. It is tempting to take that course because the judge will know that the critic is likely to go away with a sense of grievance if the decision goes against him. Rightly or wrongly, a litigant who does not have confidence in the judge who hears his case will feel that, if he loses, he has in some way been discriminated against. But it is important for a judge to resist the temptation to recuse himself simply because it would be more comfortable to do so. The reason is this. If judges were to recuse themselves whenever a litigant -- whether it be a represented litigant or a litigant in person -- criticised them (which sometimes happens not infrequently) we would soon reach the position in which litigants were able to select judges to hear their cases simply by criticising all the judges that they did not want to hear their cases. It would be easy for a litigant to produce a situation in which a judge felt obliged to recuse himself simply because he had been criticised – whether that criticism was justified or not. That would apply, not only to the individual judge, but to all judges in this court; if the criticism is indeed that there is no judge of this court who can give Mr Dobbs a fair hearing because he is criticising the system generally. Mr Dobbs' appeal could never be heard."
"Arbitration is a consensual process and therefore it is perhaps particularly unfortunate that one party should feel any apprehension about the impartiality of an arbitrator. Nevertheless, arbitration would become impossible if one party could require an arbitrator to retire by making unjustified allegations about impartiality or bias".
Conclusion
CPR Rule 3.1(7)
"A power of the court under these Rules to make an order includes a power to vary or revoke the order."