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England and Wales High Court (Technology and Construction Court) Decisions |
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You are here: BAILII >> Databases >> England and Wales High Court (Technology and Construction Court) Decisions >> Tjd Trade Limited v Bam Construction Limited [2022] EWHC 1285 (TCC) (26 May 2022) URL: http://www.bailii.org/ew/cases/EWHC/TCC/2022/1285.html Cite as: [2022] EWHC 1285 (TCC), 202 Con LR 76 |
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BUSINESS AND PROPERTY COURTS OF ENGLAND AND WALES
TECHNOLOGY AND CONSTRUCTION COURT (QBD)
Rolls Building, London, EC4A 1NL |
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B e f o r e :
(sitting as a Deputy High Court Judge)
____________________
TJD TRADE LIMITED |
Claimant |
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- and - |
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BAM CONSTRUCTION LIMITED |
Defendant |
____________________
Thomas Lazur (instructed by Browne Jacobson) for the Defendant
Hearing date: 29 April 2022
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Crown Copyright ©
Jason Coppel QC:
Background
i) In February 2014, the Claimant bought Technology House, Ampthill Road, Bedford MK42 9QG ("the Property").
ii) The Claimant intended to convert the Property from offices to residential accommodation and to construct a two-storey roof extension across the top of the Property.
iii) At the date of purchase the Property benefitted from changes to the planning regime whereby there were permitted development rights for conversion to residential use, but any conversion had to be completed by 30 May 2016. Conversion or alteration to the external appearance of the building would, however, still require planning permission for the necessary physical alterations to the Property.
iv) The Claimant contracted with the Defendant on 29 October 2014 for the Defendant to carry out a feasibility study for the roof extension, produce the documents that would need to be submitted to the local planning authority (Bedford Borough Council) to obtain the necessary planning permission for the redevelopment and have those planning documents ready for submission by the end of December 2014.
v) The Claimant relies on express contractual terms, an implied contractual term to the effect that the Defendant would carry out any necessary amendments to the planning documents once prepared and also the duty to perform its obligations with reasonable skill and care which was implied into the contract by s. 13 of the Supply of Goods and Services Act 1982 (see §§24-26 and 27 of the Particulars of Claim).
vi) The Defendant breached the contract by (a) providing negligent advice as to the feasibility of the proposed roof extension, (b) failing to produce the necessary planning documents by the end of December 2014, (c) negligently producing planning documents that were defective such that Bedford Borough Council refused to validate them and (d) by subsequently refusing to correct the errors which had been made in the planning documents.
i) The Claimant would pay Ms Marks interest at 1% per month on any sums it actually drew down.
ii) The Claimant would pay Ms Marks interest at 0.5% per month on any sums made available for drawing down but not in fact drawn down.
iii) Interest would compound daily on both sums.
iv) The Claimant would pay Ms Marks a management fee of £15,000 per month.
i) A new §17 would insert details of the alleged loan between the Claimant and Ms Marks.
ii) Additional text at the end of §20 would insert allegations that Ms Marks, speaking on behalf of the Claimant, informed a representative of the Defendant at a meeting on 3 October 2014 that the Claimant wanted to complete the development as soon as possible as it wished to minimise interest payable on loans and then refinance or sell flats in the Property to quickly repay the loans it had taken out. The significance of this amendment is that it will support the Claimant's contention that the Defendant had sufficient knowledge of the losses which would arise out of its agreement with Ms Marks to render those losses sufficiently proximate as to be recoverable under the second limb of Hadley v Baxendale (1854) 9 Exch 341 (damages "as may reasonably be supposed to have been in the contemplation of both parties, at the time they made the contract, as the probable result of the breach of it").
iii) Amendments to §47(d) and (e), §48(c) to (e), and §49 would insert additional details of the Claimant's losses arising out of the alleged loan agreement.
Is the Claimant seeking to add a new claim?
"(1) This rule applies where –
(a) a party applies to amend his statement of case in one of the ways mentioned in this rule; and
(b) a period of limitation has expired under –
(i) the Limitation Act 1980; …
(2) The court may allow an amendment whose effect will be to add or substitute a new claim, but only if the new claim arises out of the same facts or substantially the same facts as a claim in respect of which the party applying for permission has already claimed a remedy in the proceedings."
Rule 17.4 qualifies the discretion of the Court to permit an amendment to a statement of case pursuant to CPR 17.3.
" In the quest for what constitutes a "new" cause of action, i.e. a cause of action different from that already asserted, it is the essential factual allegations upon which the original and the proposed new or different claims are reliant which must be compared. Thus "the pleading of unnecessary allegations or the addition of further instances or better particulars do not amount to a distinct cause of action" - see Paragon Finance v Thakerar [1999] 1 All ER 400 at 405 per Millett LJ. "So in identifying a new cause of action the bare minimum of essential facts abstracted from the original pleading is to be compared with the minimum as it would be constituted under the amended pleading " - see per Robert Walker LJ in Smith v Henniker-Major [2003] Ch 182 at 210."
"64. Thus the addition or substitution of a new loss is by no means necessarily the addition or substitution of a new cause of action. For a cause of action to arise in tort there must be a breach of duty which causes loss but it is permissible to add or substitute further losses if they all stem from an original breach of duty which has caused some loss. This happens every day in personal injury claims in which a loss of earnings claim may be added to (or substituted for) a claim for loss and suffering, even after the original time bar has expired; there is no question of a new cause of action being added or substituted because the loss all stems from the negligent act of the car driver or other tortfeasor: see, for example, Stock v London Underground Ltd The Times, 13 August 1999; [1999] CA Transcript No 1412, per Peter Gibson LJ, at pp 7—8; Savings and Investment Bank Ltd v Fincken [2001] EWCA Civ 1639 at [38], also per Peter Gibson LJ and Aldi Stores Ltd v Holmes Buildings plc [2005] PNLR 136, para 28, per Dyson LJ."
"I do not think that Aldi's case goes quite as far as Mr Nugee submits. I would, however, agree with him to this extent: I consider that his proposition is correct provided that the substance of the new claim can be pleaded simply as a consequence of the facts originally pleaded. For example, in a case of negligent advice, it is permissible to expand the relief to claim further loss arising as a consequence of actions taken in reliance upon the advice where those actions and reliance were pleaded in the original claim. But the limits of the proposition must be kept carefully in mind; the court must be satisfied that the amendment to the pleaded case is simply to add a new head of loss and not to introduce, for example, a new act of negligence which is relied on other than as part of the chain of causation leading from the original breach."
"60. Where a claim is founded in contract, then a single action or failure which gives rise to a breach of contract can, it seems to me, give rise to only one cause of action in contract. The question will be whether a loss which is claimed was caused by the breach. .. But where the case is analysed as a single action or failure, there is only one breach of contract and, so it seems to me, only one cause of action in contract.
61. It does not necessarily follow, in a particular case, from the fact that there is only one cause of action in contract in relation to separate heads of loss claimed that there is a single cause of action in tort as well in relation to those separate heads of loss. Take, for instance, a case of solicitors negligence. The solicitor gives one piece of advice at time T1 which is negligently wrong. The client acts on that advice shortly afterwards, at time T2. Then without taking further advice, perhaps even after the retainer has come to an end, the client acts on that advice again at time T3. As a result of each act of reliance on the advice, the client suffers loss.
62. It seems to me that there is a single breach of contract at time T1 and the question of recovery of loss is simply one of causation. There is a single cause of action. ..
63. It is also clear that there is, in that example, only a single breach of duty which could give rise to a claim in negligence. However, it will be a mixed question of law and fact (the details of which would need to be investigated) whether the two losses claimed are part and parcel of the same cause of action. It might be said that the new reliance on the original advice, giving rise to an entirely different loss, is enough to constitute a separate cause of action. In other words, reliance in a contractual context can be seen as part of the issue of causation of loss and not as a component of the cause of action for limitation purposes; but that same reliance may, in the context of the tort of negligence, be seen as giving rise to a separate cause of action."
"4. In summary, our view is that (i) the scope of duty question should be located within a general conceptual framework in the law of the tort of negligence; (ii) the scope of the duty of care assumed by a professional adviser is governed by the purpose of the duty, judged on an objective basis by reference to the purpose for which the advice is being given (in the context of this judgment, we use the expression "purpose of the duty" in this sense); …
6. .. When a claimant seeks damages from a defendant in the tort of negligence, a series of questions arise: (1) Is the harm (loss, injury and damage) which is the subject matter of the claim actionable in negligence? (the actionability question) (2) What are the risks of harm to the claimant against which the law imposes on the defendant a duty to take care? (the scope of duty question) (3) Did the defendant breach his or her duty by his or her act or omission? (the breach question) (4) Is the loss for which the claimant seeks damages the consequence of the defendant's act or omission? (the factual causation question) (5) Is there a sufficient nexus between a particular element of the harm for which the claimant seeks damages and the subject matter of the defendant's duty of care as analysed at stage 2 above? (the duty nexus question) (6) Is a particular element of the harm for which the claimant seeks damages irrecoverable because it is too remote, or because there is a different effective cause (including novus actus interveniens) in relation to it or because the claimant has mitigated his or her loss or has failed to avoid loss which he or she could reasonably have been expected to avoid? (the legal responsibility question)."
17. Therefore, in our view, in the case of negligent advice given by a professional adviser one looks to see what risk the duty was supposed to guard against and then looks to see whether the loss suffered represented the fruition of that risk."
Would a new claim arise out of the same or substantially the same facts as an existing claim?
"Whether one factual basis is 'substantially the same' as another factual basis obviously involves a value judgment, but the relevant criteria must clearly have regard to the main purpose for which the qualification to the power to give permission to amend is introduced. That purpose is to avoid placing a defendant in the position where if the amendment is allowed he will be obliged after expiration of the limitation period to investigate facts and obtain evidence of matters which are completely outside the ambit of, and unrelated to those facts which he could reasonably be assumed to have investigated for the purpose of defending the unamended claim."
"The policy of the section was that, if factual issues were in any event going to be litigated between the parties, the parties should be able to rely upon any cause of action which substantially arises from those facts."
The substance of the purpose of the exception in subsection (5) is thus based on the assumption that the party against whom the proposed amendment is directed will not be prejudiced because that party will, for the purposes of the pre-existing matters [in] issue, already have had to investigate the same or substantially the same facts."
Application of CPR 17.3
"On an application by a party to amend its pleading, where there is no issue of lateness or adverse impact on the trial date, the principles can be summarised as follows (see the White Book notes at paragraphs 17.3.5 and 17.3.6):
i) When deciding whether to grant permission to amend, the court must exercise its discretion having regard to the overriding objective.
ii) Applications always involve the court striking a balance between injustice to the applicant if the amendment is refused, and injustice to the opposing party and other litigants in general, if the amendment is permitted.
iii) Although the court will have regard to the desirability of determining the real dispute between the parties, it must also deal with the case justly and at proportionate cost, which includes (amongst other things) saving expense, ensuring that the case is dealt with expeditiously and fairly, and allocating to it no more than a fair share of the court's limited resources.
iv) An application to amend will be refused if it is clear that the proposed amendment has no real prospect of success: SPR North Ltd v Swiss Post International (UK) Ltd [2019] EWHC 2004 (Ch). The court must consider whether the claimant has a "realistic" as opposed to a "fanciful" prospect of success: Swain v Hillman [2001] 1 All ER 91. A "realistic" claim is one that carries some degree of conviction. This means a claim that is more than merely arguable: ED & F Man Liquid Products v Patel [2003] EWCA Civ 472. In reaching its conclusion the court must not conduct a "mini-trial": Swain v Hillman."
i) The Claimant has not put forward a satisfactory explanation as to why the amendment is being brought forward at this stage. I could not follow the purported explanation, that Ms Marks had believed, until the Manchester Building Society case, that the new head of loss – which had been mooted in pre-action correspondence - could not be claimed. There was, in any event, a further significant delay after that judgment was handed down in June 2021.
ii) That said, the proposed amendment will not disrupt the progress of the proceedings towards trial and will not cause significant prejudice to the Defendant for that, or any other, reason. The additional work which the new head of claim will entail can be compensated for in costs if the claim is unsuccessful.
iii) Whilst it would have been preferable for the new head of loss to have been pleaded from the outset, the greater injustice would be caused to the Claimant if it were not permitted to amend its claim.
iv) This is, therefore, a case where the Court should come down on the side of ensuring that the full ambit of the dispute between the parties is determined.
Conclusion