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The Law Commission


You are here: BAILII >> Databases >> The Law Commission >> RENTING HOMES 2: CO-OCCUPATION, TRANSFER AND SUCCESSION (A Consultation Paper) [2002] EWLC 168(1) (22 August 2002)
URL: http://www.bailii.org/ew/other/EWLC/2002/168(1).html
Cite as: [2002] EWLC 168(1)

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Part I                  

Introduction

Introduction

                    1.1              In the first consultation paper arising out of our current project – Renting Homes 1: Status and Security, Consultation Paper 162 (henceforth “CP 162”) – we set out our provisional proposals for the simplification of the law relating to the status and security of tenure of those with the right to occupy premises as a home, other than as freeholders or long leaseholders. At the heart of those proposals was the proposition that the granting of rights to occupy premises as a home should be seen primarily as a matter of contract between the parties. The terms of the contract would be shaped by principles of consumer law which would outlaw terms that were unfair.

                    1.2               We argued that this consumer approach would have two principal advantages:

                                            (1)             The contract would contain a full statement of the legal rights and obligations of both landlords and occupiers under the occupation agreement. Particularly, if expressed in Plain English, we argued that this should assist both sides to the contract to understand their legal position more readily than they can at present.

                                            (2)             This approach would be generally more suitable for this sector of the housing market. It would replace the complex and frequently incomprehensible combination of contract law, landlord and tenant (real property) law and statute law which had characterised the legal regulation of the rented sector of the housing market in the past.

Scope of our proposals

                    1.3             The scope of our proposals was deliberately set wide. We argued that it should cover the vast majority of arrangements whereby the right to occupy a home has been granted by a landlord to an occupier. In particular, it would cover arrangements which, under the present law, would be classified as licences as well as tenancies.

Exclusions

                    1.4               We acknowledged that there would have to be exclusions from the proposed scheme. The letting of holiday homes or the grant of rights to occupy by a resident landlord were two such examples. Also excluded from our proposals were arrangements that did not relate to the renting of homes and which were, in any event, subject to other regulatory regimes. We did not, therefore, consider business tenancies, licensed premises and agricultural tenancies where alternative statutory schemes exist. It also excluded long leases (where we adopted, as a cut off point, leases in excess of 21 years) which amount, in economic and social terms, to a form of owner occupation rather than a way of renting a home. Otherwise, we argued that there should be as few exceptions as possible.[1]

                    1.5               Our final recommendations on the scope of the scheme we propose will, of course, have to await our analysis of the responses to CP 162 and consideration thereof.

The subordinate nature of this consultation paper

                    1.6               Despite its length, CP 162 was based on the straightforward assumption that there would be a single landlord and a single occupier. It sought to set out proposals to regulate the relationship between the landlord and occupier.

                    1.7               In reality, people do not structure their lives in this simple and straightforward way. The situations in which occupation agreements are made will be much more varied and complex than this. A variety of examples can be envisaged:

                                            (1)             the landlord may wish to contract with a married or unmarried couple who wish to cohabit. They may be of different sexes or the same sex;

                                            (2)             the landlord may wish to contract with a group of friends, for example, a student letting;

                                            (3)             the landlord may wish to contract with a group who have come together for the sole purpose of sharing a flat or house;

                                            (4)             the landlord may wish to contract on a basis that combines one or more of the above, for example, a couple seeking to share with one or more friends;

                                            (5)             once a person has been granted a right to occupy, they may wish to bring in another as a lodger;

                                            (6)             a person with a right to occupy may wish to permit another/others to share or live in the premises on a non-contractual basis.

                    1.8               After the agreement has been made the occupier may want new people to be able to live at the property. This could be achieved by bringing them into the agreement as occupiers having a direct contractual relationship with the landlord, whether as a joint occupier with the original occupier or as a replacement for the original occupier (who may have died or moved). Alternatively, it may involve the new occupier having no direct legal relationship with the landlord. This may happen, for example, where the occupier allows other people to live in the premises on a non-contractual basis or grants a sub-occupation agreement. To reflect this variety of situations, our scheme needs detailed rules which determine how each of these transactions should be carried out, and what the position will be if it is not done correctly.

                    1.9               In legal terms, under our new scheme, persons who share accommodation may be classified as: co-occupiers (either contractual joint occupiers or non-contractual occupiers), lodgers or sub-occupiers. We deal with each of these categories, respectively, in Parts III, IV and V.

                1.10               In addition, occupiers may want to transfer their rights of occupation to others. The circumstances in which this might be possible are considered in Part VI. Problems can also arise when an occupier dies: do others have the right to succeed to his or her occupation rights? These are considered in Part VII.

                1.11               All these situations raise potentially tricky legal questions. Who is bound by the occupation agreement at any given time? What is the extent of the occupiers’ liability under the contract? What rights of control does and should the landlord have over the identity of those who occupy the premises? What happens on the death of an occupier; can rights of occupation be passed on by will?

                1.12               In the past, housing statutes have sought to deal with questions relating to succession, assignment and sub-letting but have given less detailed attention to joint tenancies and the rights of other members of an occupier’s household. They have also made little express reference to the legal effects of dealings with the landlord’s interest.

                1.13               Our scheme must endeavour to accommodate the range of situations that arise in practice. It must be flexible enough to take account of the varieties of ways in which people live and straightforward enough to enable people to know where they stand if things go wrong.

                1.14               In thinking about each of these categories, we must consider the relationship between the original occupier and joint occupiers, non-contractual occupiers, lodgers, sub-occupiers, transferees and successors. We must also consider the extent to which the landlord is bound by arrangements made with these people, who were not parties to the original agreement.

                1.15               One aspect of this paper, to which we think attention should be drawn here, is that we have sought to consider the effect of the creation of occupation agreements on parties other than parties to the agreement. The question we have asked is: what should the basis be for deciding what rights occupiers under agreements covered by our new scheme have “against the world”? On what basis should the law decide whether the landlord’s successor in title is bound by the agreements of their predecessor? This involves the consideration of the interaction of our proposed scheme with established principles of land law, particularly the law of landlord and tenant. These issues are considered in Part VIII.

                1.16               We should make clear at this point that we are not suggesting that our new scheme should be expanded to interfere with the principles of land law over these decisionsissues. In practice, this will mean retaining a role for the lease-licence distinction. This approach is consistent with the suggestion made in CP 162 that that distinction should not have a role as between the immediate landlord and occupier, but that the distinction would remain of importance in determining the scope of third party rights and obligations. Our general approach is to propose that occupiers under agreements which count as leases will have rights both against the new landlord and against the world, whereas those under licences will not. However, we suggest that the consequences of a new landlord being bound should be determined by rules contained in our new scheme, rather than under the Landlord and Tenant (Covenants) Act 1995.

                1.17               In order to avoid wholesale repetition of the argument in CP 162, we have in general taken the contents of that paper as read. Where necessary, we summarise the principal features of the arguments made there; and we frequently cross-refer to CP 162 for discussion of matters dealt with only briefly here. In this sense, this paper must be seen as subordinate to CP 162.

                1.18               Nevertheless, it is essential that this paper both identifies the issues that need to be addressed to make our proposed scheme work, and offers clear and comprehensible solutions to the problems that arise in peoples’ day to day lives. Notwithstanding the varieties of ways in which people may want to occupy their homes, our objective is to create a legal framework that is sufficiently clear to enable any occupier to know what his or her legal rights and obligations are, and also to allow the landlord to know what his or her rights and obligations are.

                1.19               We will be looking for assistance from consultees for confirmation that we have achieved these objectives, and for information and suggestions relating to situations we have not contemplated.

Issues addressed in this paper

                1.20               Bearing these preliminary observations in mind, we summarise the principal issues addressed in this paper in a little more detail here:

                                            (1)             Joint occupiers and non-contracting occupiers. As indicated above (para 1.7), many people will want to occupy premises on a shared basis, as partners, friends or in other groups.Part III considers what should be the basic legal position where the landlord grants the right to occupy to more than one person. It also asks whether there should be circumstances in which existing occupiers should have a right to bring a new occupier into the agreement. It examines the extent of the rights and liabilities of the new occupier, both as against the other occupiers and as against the landlord. It then turns to consider the position of others in the occupier’s household who do not have a contractual relationship with either the occupier or the landlord.

                                            (2)             Lodgers. In many situations, an occupier may want to take another person in to live in his or her home as a lodger.In Part IV we examine the extent to which occupiers should have the right to take in a lodger. It We looks at the position of the lodger as against the occupier and also as against the landlord.

                                            (3)             Sub-occupiers. Where an occupier does not wish to live in his home, or only wishes to live in part of it, he or she may want to “sub-contract” their rights of occupation to another. Part V deals with the question of the extent to which an occupier may sub-contract his or her rights of occupation – either to part only of the premises or extending to the whole of the premises – to others. We consider the extent to which landlords should be able to control this process. We ask what rights, if any, sub-occupiers would have against the landlord, if requirements relating to the obtaining of consent have not been complied with.

                                            (4)             Transfer. In Part VI we consider whether occupiers should be able to transfer (assign) their rights of occupation to another and, if they can, what is the nature of the relationship between the new occupier and the landlord. We also consider the particular matter of the extent to which occupiers may enter arrangements to exchange their rights of occupation with another. Consideration is also given to the situation where a court orders an adjustment of occupation rights.

                                            (5)             Succession. Part VII considers the effect of the death of an occupier on the occupation agreement and the extent to which occupiers should have the right be free to pass the rights under their occupation agreement to others.

                                            (6)             Landlords’ successors in title. As mentioned above, Part VIII asks on what basis the law should decide what rights the occupier has against other classes of people. In particular, it considers what happens to the relationship between the landlord and the occupier when the landlord transfers their interest in the property to another.

                1.21               One of the issues that recurs throughout this paper is the extent to which a landlord should be able to control any transactions which an occupier may wish to enter into in relation to his or her rights of occupation. Thus, as a preliminary matter, in Part II of this paper, we discuss the different rules relating to the current requirements for obtaining the consent of the landlord before the occupier takes a step, such as sub-letting or assigning the agreement. We propose a simpler set of rules and a new terminology.

                1.22               In each case we consider whether occupiers should have the right to insist on changes to the agreement or the occupation of the property. We consider how such changes should be made. Where the parties to the agreement change, we discuss what requirements should be placed on the landlord to amend the written agreement. We also consider the effect there should be on the contractual liabilities, past and future, of the landlord, the occupier and any new occupier, if such a change is successfully carried out.

                1.23               Some of the changes require the landlord’s consent and will not be effective without it.[2] In Part II we consider the effects of purported but unlawful exercises of the rights to transfer and make sub-agreements. In Part III we consider the effects where the consent required to bring in a new joint occupier is refused.

The nature of the occupation agreement

                1.24               In CP 162, we placed considerable emphasis on the occupation agreement as the source of rights and obligationsas between landlords and occupiers. It was made clear in the discussion in CP 162 that the nature of this agreement would not be determined solely by contractual negotiations between the landlord and the occupier. Statute will determine:

                                            (1)              the structure of the contract;

                                            (2)             the persons to whom the contract will apply; and

                                            (3)             the period of time over which the contract will last.

The structure of the contract

                1.25               We suggested[3] that the contract would contain three different types of term:

                                            (1)             Core terms;

                                            (2)             Compulsory terms;

                                            (3)             Default terms.

                1.26               Core terms: These terms would relate to the core elements of the agreement and would include: the names of the parties,; the identity of the premises and the rent payable. These They are terms which would have to be agreed between the landlord and tenant and properly recorded in the written agreement.

                1.27               Compulsory terms: We identified two types of compulsory terms. Firstly, there were those that related to the circumstances in which a landlord could take proceedings for possession; secondly, there were terms – currently implied by statute – which would be set out expressly in the agreement. For example, we anticipated that section 11 of the Landlord and Tenant Act 1985, which currently implies certain repairing obligations on the landlord into tenancy agreements, would be adapted to become an express compulsory terms of our proposed occupation agreements. These terms would in effect be imposed and not be capable of amendment.

                1.28               In this paper, where we provisionally propose the introduction of a compulsory term into the occupation agreement, we shall broadly be reflecting existing (statutory) tenants’ rights.

                1.29               Default terms: Other terms will be available if the occupation agreement does not otherwise deal with the issue. We described these as the default terms. It is must be remembered that default terms may be replaced by terms that have been negotiated by the parties, subject to the overriding principle of fairness in the Unfair Terms in Consumer Contracts Regulations 1999.

                1.30               In short, while the occupation agreement is a form of contract, it is one whose shape and content is, to a significant degree, determined by underlying statutory rules.

The persons to whom the agreement will apply

The persons to whom the agreement will apply

                1.31               As the list of issues to be considered in this Part clearly reveal, occupation agreements cannot be limited in their effect simply to those parties to the initial agreement. If this were to be the outcome, the occupation agreements would not cover the many complex living arrangements that people enter into. We seek to ensure that our occupation agreements can accommodate the fact that there may well be changes to the identity of the occupiers, and indeed landlords, under the agreement. We want to ensure that, as far as possible, changes made to the agreement do not require the agreement to be terminated and a new one created. We address these issues in this paper.

The period of time over which the agreement will last

                1.32               By including proposals for provisions relating to when possession proceedings may be brought and that occupation agreements should not as a general rule be determined without an order from the court, we have already signalled that the terms of the contract – as shaped by statute – will determine the period of time over which occupation agreements will exist.

                1.33               In this paper we examine a number of other situations in which the time during which the agreement will persist is considered. For example, we consider what should happen when one of a number of co-occupiers wishes to quit the premises; we also consider what should happen to the agreement on the death of an occupier.

                1.34               It should be understood, therefore, that the agreements which we propose comprise a particular sort of statutory contractual arrangement. We hope that the majority of the matters to be addressed in this paper will be capable of being determined by the terms of the occupation agreement, as shaped by the underlying statutory rules.   These issues will be discussed, in context, below.

Regulatory impact

                1.35             We noted, in CP 162 at paragraph 1.95, that Government departments are all required to undertake a regulatory impact assessment of legislative proposals. As we explained there, although the Law Commission does not undertake this exercise, nevertheless we would find information about the regulatory impact of our proposals extremely helpful.

 



[1]The final scope of these exclusions will depend at least in part on the outcome of the debate on our suggestion that the six month moratorium on the court being able to order possession be removed: see the summary at CP 162, para 9.162.

[2]The right to take in lodgers and the rights of succession do not require the landlord’s consent; there is, therefore, no question of any effect of a purported but unlawful exercise of the right.

[3]See CP 162, paras 6.89 to6.124ff.


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