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High Court of Ireland Decisions |
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You are here: BAILII >> Databases >> High Court of Ireland Decisions >> Moorview Developments Ltd & Ors -v- First Active PLC & Ors [2008] IEHC 274 (31 July 2008) URL: http://www.bailii.org/ie/cases/IEHC/2008/H274.html Cite as: [2009] 2 ILRM 262, [2009] 2 IR 788, [2008] IEHC 274 |
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Judgment Title: Moorview Developments Ltd & Ors -v- First Active PLC & Ors Composition of Court: Judgment by: Clarke J. Status of Judgment: Approved |
Neutral Citation Number: [2008] IEHC 274 THE HIGH COURT 2003 No. 9018 P
MOORVIEW DEVELOPMENTS LIMITED, SALTHILL PROPERTIES LIMITED, VALEBROOK DEVELOPMENTS LIMITED, SPRINGSIDE PROPERTIES LIMITED, DRAKE S.C. LIMITED, MALLDRO S.C. LIMITED, THE POPPINTREE MALL LIMITED AND BLONDON PROPERTIES LIMITED PLAINTIFFS AND FIRST ACTIVE PLC AND RAY JACKSON AND BY ORDER BERNARD DUFFY DEFENDANTS AND LINKED PROCEEDINGS JUDGMENT of Mr. Justice Clarke delivered on the 31st day of July, 2008 1. Introduction 1.1 These related proceedings have been the subject of a significant number of earlier judgments. In those circumstances I do not propose to restate the issues which arise in the proceedings or the course of the proceedings to this point. Suffice it to say that the trial of the action of a number of the related proceedings has now been at hearing for upwards of three months. However, a number of specific issues have now arisen which are the subject of this judgment. I propose to refer to the parties in the same manner as they were referred to in my last judgment in this matter. See Moorview Developments and Ors v. First Active and Ors (Unreported, High Court, Clarke J., 20th May, 2008). I propose referring to the plaintiffs in the proceedings specifically referred to above and all other connected companies as the “Cunningham Group”. The defendants in the proceedings referred to above will be respectively referred to as “First Active”, “Mr. Jackson” and “Mr. Duffy”. 1.2 The first two issues to which this judgment is directed arise out of applications concerning evidence made on behalf of the Cunningham Group. The first motion concerns an application to file a new and more detailed statement of evidence from a witness, Kieran O’Brien, intended to be led on behalf of the Cunningham Group. The second relates to an application on behalf of the Cunningham Group to have the evidence of a Michael Lynn taken by video link. Both applications were opposed by First Active. In addition counsel for Mr. Jackson adopted the opposition put forward on behalf of First Active. The evidence of Mr. O’Brien and of Mr. Lynn has no relevance to the case as against Mr. Duffy, and on that basis Mr. Duffy was not a party to those contested applications. The remaining issues concern discovery and a proposed amendment. Those issues concerned, so far as the defendants are concerned, First Active and Mr. Duffy but not Mr. Jackson. 1.3 However, I propose addressing the two issues concerning evidence first. It will be necessary, in due course, to address the arguments raised on both sides in relation to both applications. However, it seems to me that some general observations on both case management and modern developments in the conduct of trials (such as the availability of video link) is appropriate. In that context it is also important to recall that these proceedings are, by agreement between the parties, being conducted as if the case had been admitted to the Commercial Court under the provisions of O. 63A of the Rules of the Superior Courts. In fact these proceedings had commenced, and had advanced to a certain degree, prior to the Commercial Court coming into being and were not, in accordance with the Rules applicable to the Commercial Court, therefore, available for admission into that court. However, as the case is being conducted as if it were a case admitted into the Commercial Court, then it follows that the general considerations that would be applicable to the conduct of litigation in that court are equally applicable to these proceedings. I now turn to the general observations on which I have touched. 2. Hard Cases 2.1 It seems to me to be appropriate to start by recalling the old but important adage that “hard cases make bad law”. That old adage is a pithy way of reminding all concerned of the risk that, in attempting to do what might appear to be justice in an individual case by “bending” the existing rules applicable to that type of case, a court runs the risk that the court may, in the long run, do more injustice in a wider range of cases by, for example, making the law less certain or more capable of uneven application. In an extreme case the relevant jurisprudence might be changed in a way which might, superficially, lead to what might appear to be a just solution in the case under consideration but which might be a recipe for significant injustice in other cases. 2.2 That being said, a court should also, in my view, always be mindful to consider whether an apparent injustice created on the facts of an individual case, by the application of the existing jurisprudence, may point to an inadequacy in that jurisprudence which ought properly lead to some refinement of the relevant principles. 2.3 However, for the purposes of the issues now under consideration I refer to the “hard cases make bad law” adage for the purposes of drawing attention to the fact that an excessive concentration on attempting to do justice in an individual case without reference to the consequences which the position of the court in that case might have for the generality of similar litigation has the potential to lead, in the long run, to more rather than less injustice. 2.4 Many examples could be given of areas of law where there are sound policy reasons for the adoption of a position (whether by Statute or by the jurisprudence of the courts) which might, when viewed on the facts of some individual cases, appear to create a potential for injustice but which, nonetheless, is not only justified but necessary to achieve a greater degree of justice across the range of litigation. A couple of examples will suffice. 2.5 It is implicit in any statute of limitations that there is an overriding requirement, for the protection of litigants as a whole, that cases be brought in a timely fashion. Looked at from the narrow perspective of two individual litigants the application of a statute of limitations may appear to create an injustice. One plaintiff may have commenced her litigation two years and 364 days after an event (such as an accident) giving rise to a claim for personal injuries. Another litigant, in almost identical circumstances, might have sought to commence virtually identical proceedings three years and one day after the same event. It could hardly be said that any defendant in those circumstances was, to any material extent, save in very unusual and exceptional circumstances, prejudiced by the delay of two days as and between the two cases. Nonetheless, in the absence of any of the very limited circumstances under which the court has a jurisdiction to ignore a failure to commence proceedings within the limitation period, the first case will proceed to trial and the plaintiff will obtain whatever judgment the merits of the case justify, while the second plaintiff will be entirely excluded from their claim and, indeed, from any redress to which they might be entitled unless, perhaps, the delay could be blamed on advisors and a claim of negligence pursued as against them. 2.6 From the narrow perspective of the two individuals concerned the situation might appear to be unjust. One can obtain full redress, the other nothing. There was only two days between them which, in the overall context of a three year limitation period might be said to be neither here nor there. However, the overriding policy consideration which requires that there be some clear and unambiguous limit to the time within which certain types of litigation can be commenced is seen, over the range of potential litigation, to be more important in the promotion of justice as a whole than any apparent injustice that might stem from a consideration of the facts of the individual case. 2.7 Likewise any area of law (such as driving under the influence of alcohol) which is subject to a threshold will inevitably have the potential to appear slightly unjust if one compares two almost identical cases. The person who drives with a blood alcohol level of 79 is entirely innocent of any offence. The person who drives with a level of 81 is guilty of an offence which results in an automatic suspension of his or her driving license. However it is impossible to operate any system of thresholds without there being, inevitably, some persons who are just the right and some persons who are just the wrong side of any threshold imposed. Indeed, even the ameliorating measures sometimes adopted in such circumstances of giving a little leeway does not really change the situation. A policy, for example, of not prosecuting persons who are within two units of the limit would simply mean that the person who measured 83 would be prosecuted while the person who measured 82 would not. 2.8 I would wish to emphasise that there is, of course, a very significant difference between those areas of law, such as those which I have given as examples, where an absolute and rigid limit or threshold is imposed on the one hand and those, such as the ones with which I am concerned in this judgment, where the court is given a wider discretion to take into account all relevant factors. It would be wholly wrong to attempt to cut down on the legitimate widespread discretion given to the courts in certain areas by creating rules which had rigid force akin to, for example, the statute of limitations or the drink driving limits. Nonetheless it seems to me that both of those areas (and many other examples which could be quoted) have the merit of demonstrating an overall principle. In an attempt to do justice in an individual case a court should not lose sight of the fact that its approach in that individual case and its determination of the principles by reference to which any discretion should be exercised, need to be seen not only in the context of seeking to do justice in that case, but also against the background of the consequences for the whole range of litigation to which the relevant discretion may be applicable. 2.9 In the context of the application relating to Mr. O’Brien it will be necessary to refer further to Beachley Property Limited v. Edgar (Unreported, Court of Appeal, England, 21st June, 1996) and the comment made by Lord Wolfe to the effect that:-
2.10 Modern case management and modern trial techniques (such as the availability of video evidence) have been introduced precisely because it is felt that such measures have the potential to increase the justice of litigation as a whole. The absence of case management has been perceived, at least in complex litigation, to have increased the cumbersome nature of the pre-trial process leading to additional costs and, frequently, significant delay in cases coming to trial. In addition the absence of such techniques, again at least in complex litigation, can lead to the trial itself being more prolonged and costly. The impact of such factors on access to justice should not be ignored. If cases take much longer to come to court and are much longer at trial than is reasonably necessary then that of itself creates an injustice for all concerned. A losing party who may justly have to pay the costs of litigation should not be burdened with having to pay significantly more costs than was reasonably necessary simply because the pre-trial and trial process was more cumbersome than it needed to be. To impose such a burden is itself an injustice and one which has the potential to arise in many cases. 2.11 I have made those preliminary observations because it seems to me that in assessing the weight to be attached to the various factors which need to be taken into account in deciding the issues which arise in at least some aspects of the applications which are the subject of this judgment, it is important that appropriate weight be attached to the consequences for litigation generally of an unduly lax approach to compliance in a timely fashion with procedural requirements. In the context of the jurisprudence concerning the dismissal of proceedings arising out of undue delay in their prosecution, Hardiman J., in Gilroy v. Flynn [2005] 1 ILRM 290, spoke of the need to bring an end to what he described as an era of almost endless indulgence. Where parties come to expect almost endless indulgence then such parties are likely to act on the not unreasonable assumption that they will be indulged again to the considerable detriment of the proper functioning of the timely administration of justice and with consequent significant potential injustice across a whole range of cases. That consequence is a matter which needs to be given all due weight in any consideration. 2.12 Having made those preliminary observations I now turn to the two evidential issues which arise. I propose dealing firstly with the application in respect of Mr. O’Brien’s witness statement. 3. The O’Brien Witness Statement 3.1 It is important to recall the background to the filing of witness statements on the part of the Cunningham Group in these proceedings. The Cunningham Group was in significant delay in meeting the time limits which had been agreed by the parties and directed by the court. That delay applied both to witness statements of potential witnesses of fact and to statements of the intended evidence of expert witnesses. A number of extensions of time were afforded to the Cunningham Group leading ultimately to the making of an “unless” order on the 7th March, 2008. It is important to note, therefore, that the filing of witness statements in the ordinary way in this case on behalf of the Cunningham Group was not done in a compliant or orderly manner. 3.2 I have already noted the importance of attaching due weight to the need to ensure reasonable compliance with procedural requirements, if case management is to work at all. Beachley Property Limited (to which I have already referred) was a case where the trial judge had refused to permit evidence to be led from witnesses whose statements of evidence were served approximately two weeks before the trial date. The explanation given was to the effect that there had been a change in personnel in the plaintiff’s solicitor’s office. On appeal the case was made that no prejudice had been established by the other side as arising from the late service of the relevant witness statements, and that in those circumstances, the court should allow the calling of the evidence. In response to that submission Wolfe L.J. said the following:-
The history of this case illustrates the inconvenience and the disruption to the administration of justice generally that this approach to the rules creates. The learned judge had to deal with this appeal at short notice because of the delay on the part of the plaintiff. This Court has had to arrange an extra hearing to suit the convenience of the plaintiff to reconsider the appeal. I am not in the least concerned with the convenience of the court, but I am concerned that the proper and regular administration of business in general before the courts should not be disrupted as a result of breaches of the Rules of the Court which occur without any justification whatsoever.” 3.3 I respectfully adopt the logic of that decision as representing the position in this jurisdiction as well. While prejudice to the party receiving late statements of evidence (or, as in this case, an amended statement of evidence) is undoubtedly a factor to be taken into account, it does not necessarily follow that the absence of specific prejudice means that the statement should be admitted. 3.4 Counsel for the Cunningham group suggests that Beachley Property was overruled (if not in express terms) by the decision of the Court of Appeal in the United Kingdom in Mortgage Corporation v. Sandoes [1996] T.L.R. 751, in which, amongst other things, it was noted by Millet L.J. that:-
3.5 On reviewing the authorities in the United Kingdom it does not seem to me that Beachley Property has, in truth, been overruled. Rather an over application of the point made in Beachley Property so as to lead to a rather rigid policy of excluding evidence where parties had missed time limits for the filing of the relevant witness statements, was disapproved. 3.6 Whatever may be the position in the United Kingdom, I am satisfied that it is appropriate for a court in this jurisdiction to at least place some weight on the need to discourage significant non-compliance in the case management process. Otherwise there is no point in case management in the first place. It is, of course, the case that significant non-compliance (which is the matter to be discouraged) will only be encouraged where the court indulges individual cases of non-compliance which are very significant indeed. It is unnecessary to rigidly enforce time limits to encourage broad compliance with case management directives. However it is equally the case that excessive indulgence can only create a climate where there will be a significant level of non-compliance, thus defeating the very object of case management in the first place. 3.7 In general terms it seems to me that the court should approach non-compliance in the following way. 3.8 Where there has been material but not very significant non-compliance, and in the absence of any significant prejudice, the court should attempt to deal with the matter in a way which would not interfere with the entitlement of the party concerned to call whatever evidence it feels may advance its case. Orders for costs or other procedural measures may be the appropriate remedy. 3.9 Where prejudice is caused then the court should see whether it is possible to remove or significantly ameliorate that prejudice by any further procedural measures and if it be so possible then the court should refrain from depriving the party concerned of the entitlement to lead whatever evidence it might wish. 3.10 However, where there is significant failure to comply with case management directives, the court needs to put in the balance along with whatever excuse may given for that non-compliance and the extent to which there may either be general or specific prejudice, the need to insure that there is a least broad compliance with case management procedures if the undoubted advantages for the administration of justice (and indeed justice in individual cases), that comes with case management is to be retained. 3.11 At all times the court should, of course, consider whether any measures short of excluding the relevant evidence might meet the requirements of the case. However, a point will, necessarily, be reached where to afford any further indulgence to a party would create a likely expectation among parties generally of a level of indulgence which could only undermine case management. 3.12 Applying that general approach, it seems to me that the following considerations will be likely to apply in a case such as this. 3.13 The first issue does seem to be the question of prejudice to the opposing party. Clearly the fact that a witness statement is served late in the day has the potential to prejudice the other side. This may occur in a variety of ways. In cases where modern case management is applied, either under the Rules of the Commercial Court or otherwise, it follows that parties are reasonably entitled to direct their preparation for trial on the basis of an assumption that the evidence which they will have to meet is, at least in general terms, as set out in the witness statements. Lines of inquiry may be discontinued where it does not appear that the other side intends to lead any evidence on a particular point. The later the presentation of additional or new evidence the more difficult it may be for the party receiving such materials to deal with the new evidence. It may, in some circumstances, be possible to deal with any prejudice arising by procedural measures or by a short adjournment but that will not always be the case and where the consequences of prejudice might result in a significant adjournment that, in itself, can give rise to significant prejudice depending, at least in part, on the nature of the proceedings. 3.14 In addition, and of particular relevance to this case, where additional evidence is proposed after the commencement of the case, then same has the potential to affect the run of the case from the perspective of the opposing party. Counsel are required to make many judgment calls in the course of complex litigation. These include whether to pursue particular lines of cross-examination or, indeed, the manner in which such cross-examination is pursued. A significant shift in the evidence to be presented notified only after the case has started, can, in many ways, prejudice the opposing party who will have made those judgment calls on the basis of the witness statements as they then appeared. It would, of course, be wholly inappropriate for the court to invite counsel to indicate whether any such prejudice had, in fact, occurred. The court should, however, take into account the fact that, generally speaking, a belated change in witness statements whether by the addition of new witness statements or the alteration of existing witness statements has the potential to cause prejudice which will largely be incapable of being remedied and to which potential prejudice all due weight should be given. 3.15 The second important factor seems to me to be to analyse whether there is any justification for the late service of an amended or new witness statement. There can, of course, be many reasons why a party might legitimately be late in presenting evidence. Evidence may only come to light at a late stage. Notwithstanding the exchange of witness statements in advance of a hearing it has been the experience that trials do take their own turns, some of which could not reasonably have been predicted. These and many other circumstances may readily establish that it is appropriate to allow additional evidence to be furnished to deal with the case as it has developed, most particularly where it is reasonable to assume that the case developed, to a material extent, in an unexpected direction. 3.16 The reason why I have emphasised the importance of encouraging broad compliance across the range of cases in the preliminary observations which I made earlier in the course of this judgment, is that such considerations seem to me to indicate a third factor. In addition to prejudice to the receiving party and any reasons which might justify the lateness of the statement from the serving parties point of view, it is also necessary to place all due weight on ensuring broad compliance with procedural requirements. I should emphasise that this does not mean that there should be a rigid or disproportionate enforcement of time limits. Parties who broadly comply with their obligations should not be penalised (save as to any costs arising) by failures which do not materially affect the run of the case. As I indicated earlier it is, in my view, appropriate to have regard to the effect on litigation generally of ensuring compliance with time limits. However that effect is only truly material to the extent that the giving of excessive indulgence to parties might create a climate in which significant non-compliance was encouraged. In that context it is appropriate to have regard to the overall level of compliance by the party concerned. A broadly compliant party should not be unduly penalised for a single failure in the absence of prejudice. 3.17 Applying those general principles to the facts of this case it is necessary to note a number of factors. The Cunningham Group were in significant default in relation to the filing of witness statements to the extent that an “unless” order was ultimately made. If “unless” orders are to mean anything then a party should not lightly be able to depart from the consequences of such an order. Therefore the filing of an additional statement from a new witness outside the terms of an “unless” order would require a significant justification from the perspective of the moving party. It seems to me to follow that a significant variation in the evidence proposed to be tendered by a witness whose statement was filed on foot of an “unless” order should also require such a justification. 3.18 In fairness to First Active (and to the extent to which it was relevant to him, Mr. Jackson) it was not suggested that any specific prejudice would arise from the proposed additional evidence of Mr. O’Brien. This is particularly so because the evidence seems to be more in the form of an elaboration of the original witness statement rather than an attempt to touch on wholly new areas. In that context it is appropriate to note what the Commercial Court Rules say about witness statements. Order 63A, rule 22(1) requires the service on the other party of “a witness statement outlining the essential elements of” the evidence (whether factual or expert) intended to be led. It does not seem to me to be the case that a witness statement, therefore, requires to be equivalent, in all respects, to the evidence in chief of the witness concerned. However, it is equally clear that the intent of the rule is that the receiving party should not, to any significant extent, be capable of being taken by surprise by the contents of any evidence in chief to be led. The fact that a party may elaborate on evidence actually included in the witness statement is unobjectionable provided that the additional evidence can properly be regarded as an elaboration rather than a departure or movement into a new area. 3.19 It seems to me that much of the additional material contained within the proposed new statement of Mr. O’Brien can properly be described as an elaboration on his previous statement. To that extent it does not seem to me to be necessary to permit an additional witness statement to be filed as such elaboration is permissible in any event. To the extent that the proposed additional evidence of Mr. O’Brien goes beyond an elaboration, then a difficulty seems to me to arise. 3.20 It is also important to emphasise that there are many circumstances in which it may be appropriate to allow a witness to give evidence in chief which goes beyond what is set out in the witness statement filed from the person concerned. In passing I should note that it is not an unusual practice, even where very detailed witness statements have been filed, to permit counsel for the side calling the witness concerned to ask a number of introductory questions not least because it is considered unfair that a witness goes immediately into cross examination. This latter consideration is of particular importance in cases where it is likely that the witness’s evidence will be significantly challenged. 3.21 Secondly, and of more relevance to the issues which I have to decide, it is important to note that, at the time when a witness files his witness statement, the witness concerned may not have had sight of witness statements coming from the other side relating to the same events. It is entirely appropriate that such a witness be given an opportunity, during evidence in chief, to comment on the evidence of other witnesses, most particularly those likely to be called by the opposing party. 3.22 In addition, it is inevitable that, as a case progresses, the precise issues of fact which are central to the case and are in controversy become clarified. Such a process occurs, not least, by virtue of the cross examination of the plaintiffs early witnesses. Such a situation is all the more likely to arise in a case, such as this, where the parties have agreed that documents emanating from each respective party can be admitted in evidence as prima facie proof of the contents of the documents concerned. In those circumstances earlier plaintiffs witnesses may well have documents put to them from which it may be possible to determine the major areas of factual controversy in the case as a whole. It would be unreal, and in my view a recipe for injustice, if subsequent witnesses could not have evidence led from them in chief so as to give their account of issues whose controversy has come into particular focus in the course of the cross examination of earlier witnesses. 3.23 There may, of course, be a whole range of other circumstances where the case has taken one turn or another which would justify allowing some latitude in relation to the evidence to be tendered. The filing of witness statements is intended to achieve both an additional degree of efficiency in the conduct of litigation (which, in itself, has the capacity to add to the justice of the case by diminishing costs) but also, as a contribution to assisting the court to come to a just result in the case by ensuring that factual issues are, to the greatest possible extent, known in advance so that all relevant evidence in relation to them can be led. 3.24 However, witness statements should not be taken as an end in themselves resulting in an excessive or disproportionate restriction on the evidence to be given by the witness concerned. Where, therefore, whether for the sort of reasons outlined above or for other reasons that may arise on the facts of a particular case, it is reasonable to take the view that the case has evolved since the time that the witness statement concerned was filed, it would be wrong to place any barrier in the way of a witness giving evidence in chief relating to issues whose existence or importance could not reasonably have been ascertained at the time when the witness statement concerned was filed. Permission to give evidence of that type should be readily given, even though the evidence may not be adequately specified in the witness statement. Where, however, on the other hand, it ought to have been clear that evidence sought to be led was material as of the date of the filing of the witness statement concerned somewhat different considerations apply. It is in that context that the reason advanced for seeking to add to the witnesses evidence (whether by filing a more detailed witness statement or otherwise) needs to be considered. 3.25 The only reason put forward at this stage for tendering a more elaborate statement from Mr. O’Brien is the assertion of the belief on the part of the Cunningham Group’s solicitor that it was unnecessary to go into a great level of detail in the witness statement concerned. That may well provide an explanation as to why the original statement is somewhat sparse but, for the reasons which I have already indicated, it does not seem to me that the absence of detail is a barrier to the leading of the relevant evidence provided that the evidence can properly be regarded as an elaboration on the “essential elements” set out in the witness statement. To the extent that any new areas are included, no real explanation as to why such areas could not have been included in the original witness statement is given. 3.26 While there does not appear to be significant prejudice to the defendants beyond the general fact that any significant change, most particularly after the case has commenced, in the evidence has the potential to affect the run of the case, it is equally so that no significant basis for materially adding to the evidence of Mr. O’Brien other than by way of elaboration has been put forward. Having regard, therefore, to the fact that Mr. O’Brien’s witness statement was furnished under an “unless” order, it seems to me that weighing all of the material factors ought lean against permitting the additional witness statement to be filed. As I have pointed out that does not mean that any of the materials contained within the proposed additional witness statement cannot be led provided that those elements can properly be regarded as an elaboration of the existing witness statement. To the extent that the witness statement may go beyond that, then it seems to me that there is no legitimate explanation for seeking to tender such material now and having regard to the history of default on the part of the Cunningham Group it would be to trespass upon the “endless indulgence” noted by Hardiman J. to permit any further indulgence in this case. 3.27 The application in respect of Mr. O’Brien is, therefore, refused. 4. The Lynn Application 4.1 The facts relevant to this application may be briefly stated. Mr. Michael Lynn (“Mr. Lynn”) was solicitor to the Cunningham Group for most of the period material to these proceedings. A witness statement from Mr. Lynn has been filed. 4.2 It is a matter of some public notoriety that Mr. Lynn’ financial affairs as a solicitor and as a businessman have been subject of significant controversy in recent times. In particular Mr. Lynn was the subject of an order of the President of the High Court, in his capacity as the judge dealing with disciplinary matters in respect of solicitors, requiring Mr. Lynn to attend for examination before the court, to give explanation as to certain matters of controversy which had arisen. Mr. Lynn failed to attend and an order for his attachment for contempt was made and is outstanding. In addition there appears to be some basis for believing that there are garda investigations into Mr. Lynn’s affairs although it is, for obvious reasons, impossible to tell the stage that those investigations have reached. 4.3 Against that background it is hardly surprising that Mr. Lynn does not wish to come to this jurisdiction as he would, undoubtedly, be called to account for his contempt of court and might, in addition, be the subject of attention from an Garda Síochána. It is as against that background that the Cunningham Group seek to have his evidence taken by video-link. 4.4 Order 64A, rule 23(1) provides that a judge “may allow a witness to give evidence, whether from within or outside the State, through a live video-link or by other means”. The rule, therefore, confers a broad discretion on the court. While I am informed that there may have been cases in which orders under the rule were made, I understand that there is no judgment as yet dealing with the broad basis upon which the discretion which undoubtedly exists should be exercised. It is appropriate, therefore, to start by a consideration of those broad principles. 4.5 Clearly in a great many cases the only real issue will be as to the relative convenience of taking evidence by video-link or by, on the other hand, requiring the witness concerned to attend in court. There is undoubtedly some disadvantage to the taking of evidence by video-link particularly in cases where the evidence of the witness concerned is likely to be significantly controversial and where the witness’s credibility is likely to be attacked. Under the Rules of the Commercial Court it is, of course, possible to predict these matters to a much greater extent having regard to the fact that witness statements from all relevant witnesses will have been filed in advance and areas of real controversy on the facts will have been identified. There may also be some limited practical difficulties concerned with witnesses who are required to deal with a large volume of documents. Obviously arrangements can be made in advance to have books of documents made available to the witness concerned and, in addition, arrangements can be made to have any documents whose relevance only becomes apparent during the course of the examination of the witness concerned, electronically transmitted so as to be available to the witness. No such logistical difficulties appear to me to be insurmountable although that is not to say that such difficulties might not give rise to some degree of inconvenience in even a straightforward case which would need to be weighed in the balance against the potential inconvenience of requiring a witness to come to court. All in all, in a straightforward case, it seems to me to be likely that the court would be required to balance the undoubted saving of costs that would ensue from permitting foreign witnesses to give evidence by video-link with any inconvenience for the run of the case, with that latter fact, in turn, being likely to be significantly dependent on the importance and complexity of the evidence of the witness concerned. That balance also needs to be exercised against the background of the fact that the giving of evidence in person in court remains the default position in the absence of there being some sufficient reason for departing from that course of action. 4.6 A further layer of difficulty, however, may arise where the witness concerned is unwilling (for whatever reason) to come to Ireland and is not, therefore, in practice compellable. In the past the only means by which the evidence of a witness who did not wish to travel to Ireland could be secured was either by means of the appointment of a Commissioner under O.39, r.4 to take the evidence of the relevant witness abroad (which required, in practice, the witness’s agreement) or by the use of the letters rogatory procedure where, in certain circumstances, a witness might be compelled by the law of a local jurisdiction to attend to give evidence in a court of that jurisdiction for the purposes of that evidence, in turn, being transmitted to Ireland. A statutory form of the letters rogatory procedure has, of course, now been introduced by European Regulation. Evidence by video-link is now an additional possibility. 4.7 If it is the case that it would be convenient, in any event, for the witness concerned to give evidence by video-link, then it may well not be overly important, at least in most cases, to distinguish between a situation where the witness would be prepared to come to Ireland or one where the witness would not be so prepared. However, in cases where the balance would lie against permitting evidence by video-link, the question of the weight to be attached to the reason for the party not being prepared to travel to Ireland is an important factor. There will, of course, be many cases where there are perfectly valid reasons, whether of health or otherwise, which would make it impossible or difficult for a witness to travel to Ireland. Video-link would seem to me to be an entirely appropriate way for dealing with such evidence. 4.8 However, this case throws up a very real difficulty of principle in considering the weight to be attached by the court to the fact that the reason why the witness concerned (Mr. Lynn) is not willing to come to Ireland is by virtue of him being in contempt of court. 4.9 It seems to me that I should, therefore, first consider the question of whether, in the ordinary way, there would be a basis for Mr. Lynn giving evidence in this case by video-link. He is someone who was, until recent times, based in Ireland. There appears to be no logistical reason as to why he could not come to Ireland or that it would be difficult for him to do so. The evidence in this case is undoubtedly complex and document driven. To the extent that the evidence of Mr. Lynn might be important (an issue to which I will return) then it is reasonable to infer that it may be controversial. If this were an ordinary “convenience” case, then it seems to me that the balance would favour requiring Mr. Lynn to come to Ireland. That finding leads squarely to a consideration of the appropriate approach of the court in circumstances where the reason put forward for non-attendance in this jurisdiction is fear of being attached for contempt of this Court. 4.10 In that context the Cunningham Group places significant reliance on the decision of the House of Lords in Polanski v. Condê Nast Publications Limited [2005] 1 WLR 637. Polanski concerned the celebrated film director who had pleaded guilty, in 1977, in a Californian court to unlawful sexual intercourse with a thirteen year old girl, but had fled from the United States of America to France from where, being a French citizen, he could not be extradited to the United States. The action concerned defamation proceedings brought by Mr. Polanski in the United Kingdom. Mr. Polanski feared that were he to travel to the United Kingdom for the purposes of giving evidence in those proceedings he would be arrested and extradited to the United States. In those circumstances the question of whether he should be permitted to give evidence by video-link arose. The High Court permitted such evidence to be given. The Court of Appeal reversed the decision on appeal [2004] 1 WLR 387, which decision was in turn appealed to the House of Lords. The decision of the House of Lords, by a majority of 3:2, allowed the appeal and thus permitted Mr. Polanski to give evidence by video-link. 4.11 In substance the decision of the House of Lords was to the effect that, at least generally, a person should be permitted to give evidence by video-link in circumstances where the person concerned feared arrest on travelling to the United Kingdom. Counsel for First Active makes four points concerning that decision:-
2. In the event that the decision in Polanski also covers cases of persons in contempt of court then it is suggested that the reasoning of the majority in Polanski is not persuasive and should not form part of the law of this jurisdiction. Rather it is suggested that the reasoning of the unanimous decision of the Court of Appeal and the minority in the House of Lords should be preferred. 3. Thirdly it is suggested that the court retains a broad discretion which should have regard to factors such as the importance of the evidence sought to be led, the circumstances surrounding the bringing and timing of the application, the extent to which permitting the witness concerned to give evidence by video-link might amount to an affront to the public conscience and other factors that might arise on the facts of individual cases. 4. Fourthly it is suggested that some assistance can be gained by a consideration of the authorities which had built up over the years concerning the ordering of evidence on commission. 4.12 It also important to note that the issue raised in Polanski came to be considered by the European Court of Human Rights (“ECHR”). Subsequent to the decision of the House of Lords to permit Mr. Polanski to give evidence by video-link, the proceedings were ultimately heard and Mr. Polanski succeeded. The defendants brought proceedings (Condé Nast Publications and Another v. United Kindgdom) before the ECHR which issued its decision on the 8th January, 2008, (application 29746/05) 4.13 It is important to recall the role of the ECHR as stated at p. 6 of the judgment in the following terms:-
4.14 The specific relevant finding of the court is to be found on p. 7 where the court noted that it:-
4.15 The court also went on to note that it did not think that allowing Mr. Polanski to give evidence by video link operated as a breach of the defendants entitlement to equality at arms. 4.16 It should be noted that Polanski does not appear to have been followed as yet in any other common law jurisdiction and the question to its applicability in this jurisdiction has not yet been considered. The decision of the ECHR is, of course, relevant, in that this Court is required, in the exercise of any discretion which it might have, to attempt to insure that Ireland is not in breach of its obligations under the Convention. 4.17 However, it seems to me that the ECHR was principally concerned with considering whether, from the prospective of the defendant, it could be said that the proceedings as a whole were fair. To the extent to which the ECHR commented on the equality of arms issue, it is possible to infer that an exclusion of an entitlement which would be available, in the circumstances, to every other litigant, solely on the basis that the litigant concerned was a fugitive might amount to a breach of that principle. I do not read the decision of the ECHR as implying that a person is necessarily entitled, in all circumstances, to a facility which would enable them to give evidence where they are unwilling to travel to the country concerned for fear of arrest. 4.18 I have come to the view that it is not necessary to reach any concluded view as to whether the decision of the House of Lords in Polanski represents the law in this jurisdiction. It is of some interest to note that, in the speech of Lord Nicholls, attention was drawn to possible assistance being obtained from the established jurisprudence relating to permitting persons in contempt of court being heard in court. Lord Nicholls quoted with approval from the test set out by Lord Bingham in Arab Monetary Fund v. Hassin (Unreported, Court of Appeal, 21st March, 1997), to the following effect:-
4.19 It is worth noting that the question of giving audience to persons in contempt involves the exercise by the court of a discretion in which ensuring obedience to court orders is afforded a very significant weight. 4.20 In addition significant reliance was placed in Polanski on the fact that a refusal to make an order in favour of Mr. Polanski would not mean that he would, in any event, come to the United Kingdom and be amenable to extradition to the United States. It would, it was said, simply mean that he would not be able, in practical terms, to advance his case effectively. Thus, it was further said, the refusal of the order would not aid in the bringing of Mr. Polanski to justice. While that point is true as far as it goes, it is arguable that it does not place sufficient emphasis on the fact that, at a general level, the removal of one downside attaching to persons who are in contempt of court (i.e. the fact that they may not be able, in practice, to give evidence in court) has the potential to generally diminish the extent to which parties may be encouraged to obey court orders. It must surely be the case that to remove at least one element of the perceived disadvantages of being in contempt of court and leaving the jurisdiction to avoid enforcement could, across the range of the cases, encourage at least some parties to be less fearful of being in contempt of court and thus more inclined to breach court orders. 4.21 Reliance is placed by counsel for First Active on the jurisprudence which had developed over the years in respect of the appointment of a Commissioner to take evidence abroad. Counsel for the Cunningham Group suggested that that jurisprudence was of little or no assistance. I would adopt an intermediate position. 4.22 The appointment of a Commissioner to take evidence abroad was, of course, the main way in which evidence from foreign witnesses who were either unwilling or unable to travel to Ireland could be secured. There seems little doubt in reviewing the authorities (some of them going back more than a century) that there was a significant evolution in the way in which evidence on commission was, in practice, put into effect over that period of time. It would appear that in the latter part of the nineteenth century the practice was that questions would be written out at the suggestion of counsel and would be brought to the location where the witness concerned was available and put to the witness by the Commissioner. The obvious disadvantages of such a procedure from the point of view of a party wishing to challenge the witnesses’ evidence by cross examination hardly need to be stated. However, doubtless, the expense and difficulty at that time of bringing all of the relevant legal teams to the location where the witness was willing to give evidence was considered disproportionate. 4.23 Thereafter, a practice seems to have evolved whereby the Commissioner would conduct a hearing at the foreign location at which representatives of each relevant legal team would be present and where the witness was questioned in much the same way (whether in chief, cross or re-examination) as the witness would have been questioned had they come to court to give evidence. This was obviously an improvement on the original situation, although there remained difficulties, not least the fact that the judge of fact (whether it be a judge or jury) would not see the witness and would not, therefore, be able to assess the credibility of the person concerned by observing the witnesses demeanour. In addition the fact that the witness was not, in practice, compellable in the foreign jurisdiction could lead, at least in certain cases, to difficulty in securing appropriate answers from the witness concerned. Such factors, coupled with the undoubted expense of moving at least parts of the relevant legal teams to the foreign jurisdiction, obviously led to a situation where courts were reluctant to order evidence on commission, save in cases where the relevant evidence was important and could not otherwise be secured. (See for example McSweeney v. Kavanagh (Unreported, High Court, Hamilton J., 5th March 1984)). 4.24 In a final refinement there were a number of cases in this jurisdiction (and doubtless in others) where the judge having carriage of the case appointed him or herself as Commissioner in cases where the credibility of the witness concerned was likely to be of some significant relevance. 4.25 Against that background it is fair to say that the disadvantages of taking evidence by video-link are significantly less than the disadvantages of taking evidence on commission. Few (or in some cases no) persons need to travel to where the witness is located. The witness appears (albeit on a screen) before the decider of fact, be it judge or jury. While there are, as I have identified, undoubtedly potential difficulties in relation to cases where the witness concerned is likely to give highly controversial evidence or evidence which is very complex, those difficulties should not be overstated. The fact that it may not be possible to control a witness giving evidence by video-link in the same way as a witness who is physically present in court is, of course, an additional factor to be taken into account. 4.26 In my view those authorities which were concerned with the taking of evidence on commission must, therefore, be viewed against the background that the downside of permitting evidence by video-link is likely to be significantly less than that which would have applied to the taking of evidence on commission. 4.27 Nevertheless, it remains worthy of note that the Court of Appeal in Northern Ireland in Duffy v. Minister for Defence [1979] N.I. 120, decided that it would be inappropriate to allow a plaintiff who feared arrest in Northern Ireland to give evidence on commission where the only basis put forward for seeking to give evidence on commission was that fear of arrest. 4.28 It seems to me that the general consideration of the reason why the witness concerned is unwilling to give evidence in court in the ordinary way remains an important factor to be taken into account. The weigh to be attached to such factor is likely to be significantly greater where the person concerned is a plaintiff who has chosen to bring proceedings in this jurisdiction. Less weight may attach in the case of a defendant who has not, after all, chosen the venue for the proceedings. Less weight still must be applied in the case of a mere witness. I would prefer to approach this matter at the level of principle, not on the basis of suggesting that there is any necessary barrier to a fugitive from justice, even as a plaintiff, from obtaining an entitlement, in an appropriate case, to give evidence by video-link. Rather it seems to me to be the case that where, as here, the witness ought ordinarily be expected to give evidence in person in court, the court is entitled to assess the merits of the reason given for the refusal or stated inability of the witness to attend. Where there is no good reason (and it seems to me that in reality a situation where there is no good reason is much the same a situation where a bad reason is put forward), then the court is entitled to take that factor into significant account, most especially where the person unwilling to come to the jurisdiction and give evidence in person is a party (and particularly the moving party). Viewed in that way, there is no breach of the equality of arms identified by the ECHR. The person refused video-link in those circumstances is not being treated any differently to any other potential witness who has not shown a good reason for being unwilling or unable to attend. 4.29 However, it seems to me that the situation which arises in this case is significantly different from that which arose in Polanski. Here the person who fears arrest is not a party wishing to bring proceedings before the court but rather is a witness whom a third party wishes to give evidence on their behalf. To take an extreme, but illustrative, example one could envisage an entirely innocent victim of catastrophic injuries whose case on liability (and thus whose prospect of receiving monies to give them a comfortable life) was dependent wholly or substantially on the evidence of someone who was a fugitive from the criminal law of this jurisdiction but who had managed to escape to a country which did not have extradition arrangements with Ireland. Could it be said that the innocent plaintiff should be deprived of his damages because evidence could not be obtained either on commission or by video-link from the witness concerned because that witness was a fugitive from the law of this jurisdiction. I think not. 4.30 Returning to the facts of this case it seems to me that a significant weight needs to be attached to the fact that Mr. Lynn is not either directly or indirectly a party to these proceedings. While he was solicitor to the Cunningham Group, it is clear that, for at least most of the period of time with which these proceedings are concerned, Mr. Lynn was, far from being a close associate of Mr. Cunningham personally, at odds with Mr. Cunningham’s view of things. Mr. Lynn is not, therefore, in any real sense a connected person to Mr. Cunningham or the Cunningham Group as currently constituted. While some attempt was made to draw inferences from the fact that the firm of London Solicitors currently acting for the Cunningham Group have also acted for Mr. Lynn, it does not seem to me that the facts of this case disclose anything that ought materially affect the judgment on this issue arising from that connection. 4.31 While, therefore, there are serious questions as to whether Mr. Lynn would be entitled to give evidence by video-link in proceedings in which he was a party or was closely connected to a party, (especially a moving party) I believe different considerations apply in a case where he is purely a witness. 4.32 Counsel for First Active urges that I should take the view that Mr. Lynn is not, in fact, a very important witness and that this case is not, therefore, remotely like the example cited above where an innocent plaintiff’s claim might be entirely dependent on the evidence of a fugitive. There is no doubt but that this is so to some extent. However it does not seem to me that I could take the view at this stage that Mr. Lynn’s evidence might not be material to a reasonable extent to some of the issues which I will ultimately have to determine. It, therefore, remains possible that the failure to have his evidence available could lead to an injustice to the Cunningham Group which would not stem from any action on their part but rather from Mr. Lynn’s status. It would seem to me that such a consequence would be disproportionate. 4.33 In the circumstances I am satisfied that it would be appropriate to allow Mr. Lynn’s evidence to be given on video-link and will hear counsel further as to the precise process that needs to be put in place to allow this to occur. 5. Discovery - Background 5.1 As indicated earlier the two remaining issues concern discovery and a proposed amendment. In relation to both of these matters the Cunningham Group is the moving party and seeks certain orders in relation to discovery, both as against First Active and Mr. Duffy together with a further amendment to the proceedings which has an effect on, and is resisted by, both First Active and Mr. Duffy. Mr. Jackson was not, therefore, a party to these aspects of the applications. 5.2 As will become clear there is, in fact, a relatively close connection between the underlying basis for much of the discovery application and for the amendment. I propose addressing the discovery application first but the factual background to the circumstances in which further discovery is now sought is also relevant to the amendment application. 5.3 The application in relation to discovery as against First Active seeks:-
(b) Further and better discovery arising out of certain categories included in that order; (c) Discovery of various categories of documents relating to negotiations on and agreements entered into between Mr. Duffy and First Active over approximately the last eighteen months. I will refer to the context of the relevant negotiations and agreements in due course; (d) An order which would require First Active to review its claim to privilege in its affidavit of discovery of the 15th February, 2008; and (e) Orders concerning the alleged privileged status of one particular memorandum (to which I will refer in due course) arising in the context of the negotiations between Mr. Duffy and First Active to which I have already referred. 5.4 As against Mr. Duffy there is a similar application to that made in respect of First Active which seeks to have to Mr. Duffy’s defence struck out in its entirety (the case as against Mr. Duffy only relates to Bailey Point). In addition further and better discovery is sought in relation to arrangements between Mr. Duffy and First Active or connected companies and other documentation arising out of any revised arrangements entered into between Mr. Duffy and First Active and its connected companies concerning either the financing of Bailey Point or the sale of Bailey Point by First Active to Mr. Duffy. 5.5 It is clear that the central background facts which underly much, if not all, of the current discovery application (and indeed, as will become clear, the amendment application) centre on negotiations which led to a concluded agreement between Mr. Duffy and First Active in or about April of this year. It would appear that the background to those negotiations stemmed from difficulties in progressing the Bailey Point project encountered by virtue of the existence of these proceedings and, in particular, the fraud claim introduced by amendment in September of last year. Up to that time there did not appear to be any claim in the proceedings which could have had the effect of interfering with the title of Mr. Duffy to what has become known as the residential portion of the Bailey Point site. 5.6 It is important to recall that the Bailey Point development was one of two significant construction operations which were conducted by the Cunningham Group prior to the receivership which is at the heart of these proceedings. Bailey Point was partly constructed as of the time of the receivership. It would also appear that subsequent to the receivership, negotiations ensued between Mr. Jackson, as receiver, and Mr. Duffy, designed to lead to Mr. Duffy buying the partially constructed Bailey Point site. Subsequently Mr. Duffy entered into a contract with First Active whereby he would purchase the relevant property from First Active as mortgagee in possession rather than from Mr. Jackson as receiver. While it is true to say that the Cunningham Group made complaint about aspects of that sale, it is important to emphasise that, as originally constituted, none of these connected proceedings made a claim which could have affected the title of Mr. Duffy to the residential portion of Bailey Point. There were claims maintained by Porteridge Trading Limited (“Porteridge”) (a company controlled by Mr. Brian Cunningham) which could, if substantiated, have had an effect on title to the commercial portion of the Bailey Point development. 5.7 However, as a result of the amendments permitted in September of last year, claims were put forward on behalf of the Cunningham Group which, if substantiated, could have the effect of depriving Mr. Duffy of title to the residential portion. It should be noted in that context that some but not all of the apartment units within that residential portion had, at the relevant time, been sold. However, what I understand to be eighteen such units remained for sale. As a result of the proceedings as then constituted (after the relevant amendment was allowed) a number of lites pendentes were filed in respect of the property concerned and the existence of such lites pendentes and of the proceedings generally had the practical effect of freezing any further sales by Mr. Duffy of the apartments. Furthermore, the existence of the proceedings operated as a practical barrier to progressing the sale of the commercial units which completion had, of course, already been interrupted by virtue of the existence, in those connected proceedings brought by Porteridge as originally constituted, of claims which could have affected the title of First Active to sell. 5.8 Finally, by way of background, it should be noted that when the sale of the residential portion of Bailey Point was completed, same was financed by a loan to Mr. Duffy from First Active. Indeed it is the interaction between the terms of that loan and the terms of the relevant sale, that gave rise to the allegation of the making of a secret profit which was, in part, permitted to be introduced into the case by virtue of an amendment which I allowed (see Moorview Developments and Ors v. First Active and Ors (Unreported, High Court, Clarke J., 20th May, 2008)). There was, however, further building work to be done in preparing the apartments for sale on to third parties and it would appear that some of the funding for those works came not from First Active but from Bank of Scotland Ireland (“BOSI”). It should also be noted that the sale of the commercial units from First Active to Mr. Duffy remains uncompleted at this stage and is, for practical reasons, highly unlikely to complete, if at all, until after these proceedings have been completed. 5.9 Against that background it seems clear on the affidavit evidence that Mr. Duffy raised questions as to the status of the existing contractual arrangements between the parties and, it is clear to me, sought to pursue in correspondence headed “Without Prejudice”, an alleged entitlement to either an indemnity or compensation arising out of the significant delays to the completion and sale of Bailey Point which resulted from the existence of these proceedings. While I have not had sight of the relevant correspondence it is clear, on the affidavit evidence that Mr. Duffy sought to assert that he was entitled either to an indemnity or compensation by reason of the inability of First Active to provide him with clear title in a timely fashion. 5.10 In any event it would seem that negotiations took place resulting in an agreement on 22nd April, 2008, whereby a number of adjustments to the existing arrangements between First Active and Mr. Duffy were put in place. The principal adjustments seem to be the following:-
2. It will be recalled that Mr. Duffy was also indebted to BOSI on foot of funding for the development of the apartments. First Active agreed, in effect, to pay Mr. Duffy’s interest payments for a period of two years in relation to his liabilities to BOSI which, in substance, is likely to cost First Active a sum of the order of €750,000.00. 3. On foot of the revised lending arrangements between Mr. Duffy and First Active, it was also agreed by Mr. Duffy that in the event of the apartments realising in excess of certain specified thresholds additional sums would be payable to First Active. 4. An amendment was agreed to the outstanding portion of the contract for sale (being that relating to the commercial elements of the property) whereby it was also agreed that First Active would share in any proceeds of sale above certain specified thresholds. 5.11 Against that background the matters currently in controversy were first mentioned in court in circumstances where counsel for First Active indicated that certain refinancing arrangements had been entered into between First Active and Mr. Duffy and further indicated that relevant documentation was in the course of being handed over to the Cunningham Group’s legal advisors. Subsequently, in circumstances which it will be necessary to address in due course, a memorandum of the 15th April, 2008, (“the RBS memo”) came to the attention of the Cunningham Group. The document was an internal Royal Bank of Scotland memo (Royal Bank of Scotland are now the parent of First Active) dealing with the proposed revised terms of the sale of the commercial elements of Bailey Point to Mr. Duffy and also the revised financing arrangements as and between First Active and Mr. Duffy, both of which I have outlined in the previous paragraph. While in form (and to some extent in substance) the document was a paper submitted to obtain approval of the relevant officials for the revised arrangements (including the financing concerned) the document also records the thinking within First Active and its parent as to the arrangements agreed and also notes certain other arrangements that had been entered into relating to the conduct of these proceedings. The document was found in a box of papers belonging to First Active which, it is said by the Cunningham Group, was taken by mistake from the court by a member of the Cunningham Group legal team. While the evidence in that regard is not fully satisfactory, I am prepared, for the purpose of this judgment, to assume that the document concerned was so obtained by inadvertence. 5.12 Having obtained the relevant memorandum the Cunningham Group now assert that an entitlement arises to full discovery relating to the negotiations leading to the arrangements entered into between Mr. Duffy and First Active in April 2008, and further assert that the circumstances surrounding the coming to light of those arrangements, entitle the Cunningham Group to further orders in respect of discovery. It should also be noted that the revised arrangements concerning the sale of the commercial element of Bailey Point to which I have referred and in particular the potential for First Active, in certain circumstances, to receive an uplift on the sale price forms the basis for the proposed amendment to the proceedings in which, if the amendment were permitted, the Cunningham Group would seek to allege that those arrangements disclose an agreement on the part of First Active whereby First Active would make a so called secret profit. 5.13 However, as indicated earlier, I propose to deal firstly with the discovery issues though it is important in that context to note that at present I am dealing with the entitlement, if any, of the Cunningham Group to any order in respect of discovery on the existing pleadings. Clearly if the amendment were to be permitted it would follow that additional discovery directed towards the issues which would then be before the court, would be required. However it is important to emphasise that the discovery issues which I am now about to address are concerned with the case as currently pleaded rather than any possible alteration in that case. I, therefore, turn to the specific issues which arise. 6. The Discovery Application – Analysis and Conclusion 6.1 It seems to me that the starting point for any consideration of the discovery applications currently before the court has to be to determine the status of the RBS memo. Firstly, it should be noted that that memo came into existence after First Active had complied with its discovery obligations. As is clear from the decision of the Supreme Court in Bula Limited v. Tara Mines Limited (No.5) [1994] 1 I.R. 487, the law in this jurisdiction is clear and is to the effect that there is no continuing obligation on a party to make discovery of documents coming into existence after the party concerned has sworn their affidavit of discovery. It should be emphasised that there remains a clear obligation on a party to remedy any failure to make proper discovery in the first place so that a document that was within the power or procurement of the party concerned at the time of swearing the relevant affidavit as to discovery but which was, for whatever reason, not included in the schedules to that affidavit, must nonetheless be subsequently discovered. However it is clear that the RBS memo did not exist at the time of making discovery and there was, therefore, no obligation on First Active (and there remains to this date no obligation on First Active) to make discovery of the document concerned. It has to be noted that the Cunningham Group and its advisors appear to have been under an unfortunate misapprehension as to the law of this jurisdiction in relation to a continuing obligation to make discovery such that in much of the correspondence leading to these applications it was asserted, quite wrongly, that First Active had an existing obligation to make discovery of the documents concerned. 6.2 It should be noted that Bula(No.5) is also authority for the proposition that the court retains a jurisdiction in an appropriate case to direct further discovery of documents coming into existence after the principal affidavit of discovery has been sworn. I will turn to the principles by reference to which that jurisdiction should be exercised in due course. However, what is absolutely clear is that unless and until a court makes an order requiring a party to make any such further discovery, the party concerned is under no obligation to disclose any documents coming into existence after the date of discovery. It is important, therefore, to make clear that there is no evidence to the effect that First Active have been in any way in breach of their obligations in respect of discovery. There was no discovery obligation to disclose the documents surrounding the arrangements entered into with Mr. Duffy. That remains the case up to now and will continue to remain the case unless I am to determine in these applications that is appropriate to make an additional order requiring discovery on foot of the jurisdiction identified in Bula (No.5). To the extent, therefore, that suggestions were made both in correspondence and at the hearing to the effect that documents may have been suppressed, it seems to me that any such suggestion is without foundation. 6.3 The second issue which arises is as to the privileged status of the RBS memo. First Active assert that the memo would, in any event, be privileged. The Cunningham Group contest this. It is common case that if the RBS memo (and indeed any other documentation concerning the negotiations entered into between Mr. Duffy and First Active) are privileged, then there could be no basis for directing their discovery in any event as same would be a futile exercise. 6.4 First Active assert that the document is covered by either or both of common interest privilege or without prejudice privilege. 6.5 I propose addressing without prejudice privilege first. In an affidavit sworn on behalf of First Active by Richard Willis, it is deposed that on the 3rd August, 2007, Mr. Duffy wrote to the bank complaining about the delays in bringing Bailey Point to a conclusion which had resulted from this litigation. The letter was headed “without prejudice” and indicated that in the absence of reaching an arrangement with First Active, it was Mr. Duffy’s intention to seek an indemnity or compensation from the bank. 6.6 I am satisfied that, as of the receipt of that letter, First Active was dealing with Mr. Duffy in contemplation of potential litigation whether that litigation might have arisen by Mr. Duffy raising indemnity issues within the existing proceedings or by Mr. Duffy maintaining separate proceedings seeking compensation. It seems to me, therefore, that the negotiations which followed and the agreement ultimately reached between Mr. Duffy and First Active were in contemplation of potential litigation between those parties and are, prima facie, covered by “without prejudice” privilege. 6.7 In those circumstances the question arises as to whether, as is urged on behalf of the Cunningham Group, the position is altered by what are said to be the principles identified in Muller v. Linsley [1996] 1 P.N.L.R. 74. In that case Hoffman L.J. sought to identify a single principle to underlie the various established exceptions to the general rule that without prejudice negotiations designed to settle existing or potential litigation are privileged. That such exceptions exist is well settled. The most common example arises where it is asserted that a concluded agreement was reached as a result of the negotiations concerned. In those circumstances evidence relating to any aspect of the negotiations necessary to determine whether a concluded agreement was reached is excluded from the scope of without prejudice privilege. There are, of course, other examples which it is not necessary to deal with here. Hoffman L.J. sought to define a single principle behind all of the exceptions by reference to the underlying justification for the privilege in the first place. It is clear that without prejudice privilege stems from the need to permit parties to negotiate in a frank manner with a view to encouraging the resolution of potential litigation. Hoffman L.J. sought to identify each of the established exceptions as being governed by a principle which confined privilege to only those aspects of the negotiations where the party concerned may have made admissions against their interest. 6.8 In McGrath on Evidence (2005 Ed.) the author describes the viewpoint articulated by Hoffman L.J. in Muller as being a narrower view of the ambit of without prejudice privilege. The author notes the alternative or broader view as endorsed by the United Kingdom Court of Appeal in Unilever v. Proctor and Gamble [2000] FSR 344. In that case Walker L.J. noted that the underlying reason for the rule was as stated by Lord Griffiths in Rush & Tomkins Ltd v. Greater London Council [1989] A.C. at 1300, so as to enable the parties “to speak freely about all issues in the litigation both factual and legal when seeking compromise and, for the purposes of establishing a basis of compromise, admitting certain facts”. Walker L.J. expressed the view that “parties cannot speak freely at a without prejudice meeting if they must constantly monitor every sentence, with lawyers or patent agents sitting at their shoulders as minders”. The relevant passage follows on from a statement to the effect that, while the protection of admissions against interest is the most important practical effect of the privilege, there would be huge practical difficulties which would be contrary to the underlying protection if it were necessary, save in special cases, to dissect out identifiable admissions. 6.9 McGrath, at para. 10-128, summed up the authorities in the following way:-
6.10 I agree that that passage from McGrath represents the law in this jurisdiction. The overriding principle is that a very heavy weight indeed needs to be attached to without prejudice privilege. The only circumstances where, therefore, evidence of without prejudiceness negotiations can be admitted is where, in the words of McGrath, “It can be clearly shown that greater damage to the interests of justice would be affected by non-admission than by disclosure”. The exceptions to the general rule can be seen as deriving from that principle. For example the whole purpose behind the privilege is to encourage negotiation and settlement of litigation. That purpose would hardly be achieved if parties were precluded from leading evidence as to, at least, aspects of the negotiations, in circumstances where it was contended that the negotiations had achieved the desired end of settling the litigation. 6.11 I am, therefore, satisfied that it is unnecessary, in the context of negotiations which seek to resolve existing or potential litigation, for a party asserting privilege to identify that admissions against interest had been made in the course of those negotiations. The criticism of the affidavits filed on behalf of First Active to the effect that same do not so identify admissions against interest is, therefore, in my view, misplaced and is based on a mistaken view as to the law of this jurisdiction in that regard. 6.12 It follows, therefore, that all of the negotiations which took place between Mr. Duffy and his representatives on the one hand and First Active and their representatives on the other hand (including the parent company) leading to the arrangements for an adjustment in both the lending and sale contracts between those parties, are privileged. Obviously the result of those negotiations, once same gave rise to a concluded agreement between the parties, is not, of itself, privileged. Therefore, the revised lending arrangements themselves and the revised contractual arrangements concerning the sale of the commercial elements of Bailey Point and documents evidencing those matters are not privileged. 6.13 It is obvious that that finding in itself is sufficient to dispose of much of the discovery issue with which I have to deal. However, lest I be wrong in those conclusions I should also consider the question of whether the negotiations and documents evidencing them may have been covered by common interest to privilege. It is clear to me that common interest privilege arises in relation to documentation or materials which would be the subject of either legal professional privilege or litigation privilege in the hands of one person or body but where the relevant materials are given to a third party who may be said to have a common interest in either the legal advice or the litigation concerned. See for example Svenska Handelsbanken v. Sun Alliance & London Insurance plc [1995] 2 L.R. 284. Two questions therefore arise. The first is as to whether the documents would, in the hands of a single party, have the benefit of privilege in the first place. If not, then no question of common interest privilege could arise. If, however, the materials pass that first test but have been released by one party to a second party then it follows that it is also necessary to ask whether the release was on foot of a common interest in either the relevant litigation or advice. If so then the documents will remain privileged, notwithstanding their release, by virtue of the doctrine of common interest. If not, then the release may be taken to be a waiver of any privilege which would otherwise have attached to the documents concerned. I should note that documents passing to other companies within a group or connected companies where those companies have an interest in the advice or litigation concerned are also covered, as would documents informing such connected entities of such advice or the progress of such litigation. 6.14 It seems to me to be the case that there is likely to be an overlap, in practice, between the circumstances in which co-defendants may be able to rely on, on the one hand, without prejudice privilege and, on the other hand, common interest privilege in the context of litigation. In many cases it is likely that the defendants will have a potential common interest in minimising or defeating the plaintiffs claim. Likewise the defendants may wish to come to some arrangement between themselves as to how any issues which arise between them as defendants are to be resolved such as, for example, agreeing a basis upon which any liability established by the plaintiff is to be met by the defendants, agreeing on how proceedings are to be conducted, or the like. It is more than possible in practice that a single set of discussions will address both matters. The defendants will be concerned with how best to collectively meet the plaintiffs claim but may also wish to seek to resolve issues as and between themselves. In that context it does not seem to me that the accusation made on behalf of the Cunningham Group to the effect that First Active have purported to wrongly rely on common interest privilege in respect of the negotiations between Mr. Duffy and First Active is well made. It seems entirely likely that the negotiations between those parties touched on their common interest in defending the proceedings against the Cunningham Group. Amongst the issues which were dealt with in the arrangements ultimately entered into between First Active and Mr. Duffy was the situation that was to prevail as and between them in the event that the Cunningham Group succeeded in these proceedings to the extent that title in respect of the some or all of the property at the heart of these proceedings was impaired. Any assessment of such arrangements would necessarily have involved a consideration of the strength of the Cunningham Group’s case and the weight to be attached in the negotiations to the risk that those proceedings might succeed. Likewise the extent to which it may have been considered appropriate on behalf of Mr. Duffy to seek and on behalf of First Active to concede, financial ground in those negotiations must have been influenced, at least in part, by the respective parties views, in which they had a common interest, on the prospects of successfully defending the proceedings. It may well be the case that the RBS memo itself might not attract common interest privilege, not being a document which is concerned with the mutual interests of the parties in defending the plaintiffs claim. However that is not to say that the general reliance on common interest privilege might not have significant relevance to much of the other documentation which may have evidenced the negotiations between Mr. Duffy and First Active which gave rise to the concluded arrangements in April of this year. 6.15 Against those findings it is necessary, therefore, to address the specific issues which arise. Firstly, for the reasons which I have set out, it seems to me that the RBS memo is, in itself, privileged. It follows that all copies of the document must be returned to First Active. 6.16 Secondly, it does not seem to me that any inference can be drawn from the events surrounding these discovery issues to the effect that First Active have misconstrued their discovery obligations. Indeed insofar as any party has misconstrued First Active’s discovery obligations it is the Cunningham Group. The Cunningham Group was wrongly of the view that First Active was under a continuing obligation to make discovery which post-dated the affidavit of discovery itself. It was, as I found, wrongly of the view that “without prejudice” privilege could only attach to aspects of negotiations which involved admissions against interest. In general terms I am satisfied that there is no basis for inferring that there is any infirmity in the discovery already made by First Active attributable to the failure on the part of First Active’s advisors to properly understand First Active’s discovery obligations. The application to strike out part of the defence is, therefore, manifestly unfounded. Likewise there is no proper basis for requiring First Active to revisit privilege already claimed. 6.17 The remaining issues concern whether First Active should be required to make any additional discovery. The first basis upon which such a contention is made seeks to rely on the jurisdiction identified in Bula (No.5) which allows the court to order that specific documents should be discovered notwithstanding that the relevant documents only came into existence after the party concerned had complied with its discovery obligations. That such a jurisdiction exists is not contested. However reliance is placed on behalf of First Active on those passages from the judgment of Finlay C.J. which emphasise that the jurisdiction is one to be rarely exercised and should involve only documents which are likely to be important (rather than tangentially relevant) to the case and which can be readily identified. 6.18 I have no doubt that it would have been appropriate, under that test, to direct discovery of the documents evidencing the amended arrangements actually agreed between First Active and Mr. Duffy both in relation to Mr. Duffy’s financing arrangements and the amended arrangements for the sale of the commercial elements of Bailey Point. Such documents seem to me to represent a very clear example of the sort of situation where the court should exercise the jurisdiction identified in Bula (No.5). Clearly in many cases the question of the precise entitlements of a plaintiff (should he or she succeed) will continue to evolve up to the time of trial. Special or calculateable damages will normally change as time passes. Events may occur which may have the effect of either mitigating or exacerbating loss. Where a significant or material alteration occurs in the factual basis upon which the court might reasonably be expected to approach the question of the remedy should the plaintiff succeed, and where such alteration occurs at a time after discovery has been made, then it seems likely that the court would ordinarily be persuaded to make a discovery order in respect of documentation relating to such alteration because it would, of course, be necessary for the court, in any event, to have the relevant information in order to properly assess damages or decide the appropriate remedy. 6.19 However, the documents evidencing the agreement between Mr. Duffy and First Active have already been disclosed and no purpose would be served by directing further discovery in that regard. There are a number of reasons why additional discovery under the principle identified in Bula (No.5) ought not be allowed. Firstly, for the reasons which I have set out, it seems to me that all such documents are privileged. Secondly the additional discovery sought is in far too general terms to comply with the requirements identified by Finlay C.J. in Bula (No.5). While I appreciate that it may not always be possible to specify the exact identity of documents concerned (a party that does not know exactly what the documents are may not be able so to do) nonetheless it seems to me to be clear that the jurisdiction is intended to be exercised in a narrow and focused way. Even had I not been persuaded that the relevant documentation was privileged I would have been of the view that the discovery sought was far too wide and unfocused so as to meet that test. 6.20 In addition it seems to me that First Active were correct when they argued that much of the relevant matters had already been relied upon, without objection, by First Active in their existing affidavits as to discovery. Privilege was claimed in respect of discussions with Mr. Duffy which post-dated his letter of the 3rd August, 2007, intimating a claim for indemnity or compensation. If it had been intended to contest that reliance then same could readily have been done at any time since the claim to privilege was made. I am satisfied that, with the case now at hearing for almost three months, it is far too late to revisit such issues. 6.21 For all of those reasons it seems to me that no order should be made based on the jurisdiction identified in Bula (No.5). 6.22 The final point made, so far as discovery against First Active is concerned, relates to the fact that it is said that there should, at least, be updated discovery in respect of documents coming into existence prior to the affidavit of discovery sworn on behalf of First Active which was dated the 15th February, 2008. The scheduled documents identified in that affidavit appear to end at some time towards the end of November 2007. It seems to me that a realistic position has to be adopted in respect of the swearing of affidavits of discovery in complex litigation. In such cases it is almost inevitable that the process of considering documents for relevance, privilege and the like and the scheduling of such documents will take some significant period of time and, in many cases, involve a significant number of personnel. It would be wholly impractical to fix such a party with having to constantly update those schedules on a daily basis as the process neared its end particularly when, in virtually all cases, any additional documentation coming into existence in the latter stages of the discovery process and in the immediate lead up to the swearing of the affidavit of discovery concerned, will be almost certainly privileged. 6.23 It seems to me, therefore, that provided there is no evidence of the system being abused, a party should be entitled to some reasonable leeway between the cut off date up to which the relevant schedules are prepared and the actual date of swearing the affidavit of discovery. I am satisfied that the court would have ample jurisdiction to deal with any case of abuse. If it could be shown that important and non-privileged documents came into existence, between a cut off date adopted by the party concerned and the date of swearing of the relevant affidavit, then any leeway which otherwise was properly allowed would be lost. However, on the facts of this case I can see no evidence for any suggestion that there was any abuse of the legitimate leeway between the compiling of the schedules of documents and the actual date of swearing. Nor am I satisfied that there is anything unreasonable about the gap between those dates having regard to the complexity of the discovery involved. 6.24 Finally, so far as the discovery application against Mr. Duffy is concerned, it seems to me that much of what I have said concerning discovery as against First Active applies equally to his case. His side of the relevant negotiations is as protected by either or both of without prejudice privilege or common interest privilege as the First Active side. While it was accepted on behalf of Mr. Duffy that certain documentation passing between him and his advisors and First Active and its advisors was originally omitted from his discovery, that omission needs to be seen in the context of the fact that the counterpart of each of the relevant documents had already been discovered so that no new documents were, in truth, made available. It does not seem to me to be appropriate, therefore, to draw any inference adverse to Mr. Duffy such as would justify making any further order for discovery arising from that undoubted failure. The failure itself has been remedied. No further discovery is, therefore, justified. Likewise the application to strike out Mr. Duffy’s defence is unfounded. 6.25 For all of those reasons it seems to me that I should reject all of the claims in relation to discovery now made, whether they be against First Active or Mr. Duffy. It is now appropriate to turn to the amendment application. 7. The Amendment 7.1 As would be clear to those who had occasion to read some of the previous judgments given by me in this case, there have been a number of attempts on the part of the Cunningham Group to amend their proceedings. However this latest application comes at a time when the case has been at hearing for three months. In substance the Cunningham Group now seeks to add a further claim alleging that both First Active and Mr. Duffy were engaged in action designed to give First Active a secret profit arising out of the sale of the commercial units at Bailey Point to Mr. Duffy. The basis for that allegation is said to be the documents which have recently come to the attention of the Cunningham Group concerning the revised arrangements for the sale of the commercial units concerned which contain a provision for an uplift in favour of First Active in the event that certain thresholds are exceeded. That such an arrangement has been entered into is not in dispute. Likewise it is accepted on behalf of First Active, and indeed on behalf of Mr. Duffy, that any such arrangement would be in breach of duty if the uplift in the sale price were not to go to the credit of the Cunningham Group as mortgagor. The issue is as to whether the uplift was intended to go to First Active in its capacity as vendor as mortgagee in possession or not. If the former, then there can be nothing, in itself, objectionable about a commercial arrangement for sale providing for such an uplift subject always to the overall considerations which may apply as to the obligation to achieve an appropriate price. 7.2 Because I have already, in proceedings between these parties, set out on a number of occasions the general principles relevant to the granting of amendments to pleading, I do not find it necessary to repeat them here. However, there is one additional factor which looms very large at this stage. This is not an application in advance or at the commencement of a hearing but rather one which is made when the case has been at hearing for almost three months. The general approach of the court to an amendment in such circumstances will, necessarily, be different. In addition the cause of action sought to be litigated by virtue of the amendment did not exist as of the time of the service of the original plenary summons. In those circumstances First Active argues that there is no jurisdiction to allow such an amendment. 7.3 However, it seems to me that the appropriate starting point should be to analyse the claim sought to be made and the evidence which, it is suggested, might sustain it. 7.4 One aspect of the most recent previous application for an amendment was, in many ways, similar to this application. I ruled on that matter on the 20th May, 2008 (Moorview Developments and Ors v. First Active and Ors (Unreported, High Court, Clarke J., 20th May, 2008)) and permitted an amendment which allowed the Cunningham Group to plead a limited claim in respect of an allegation of secret profit as against First Active. As is clear from the judgment which I delivered at that time, a significant part of my reasoning in coming to the view that the relevant claim was not bound to fail stemmed from the fact that in certain bank documentation the relevant uplift in the price was described as an arrangement fee. As I pointed out, in the normal course of events an arrangement fee will go to a bank in its capacity as lender rather than to the bank in its capacity as vendor as a mortgagee in possession. For that reason it seemed to me that there was, at least, a possible basis for inferring that the bank intended to keep the relevant uplift for itself in its capacity as lender. Any such inference was, of course, capable of being displaced by the oral evidence with the bank might tender. 7.5 However the position in relation to the current intended allegation of secret profit is entirely different. The uplift is included in a document which amounts to an amendment of a contract of sale. The basic consideration provided for in the contract of sale is obviously to go to First Active in its capacity as vendor as mortgagee in possession and thus be credited to the Cunningham Group. There is nothing in the documents to suggest that the uplift is to be treated in any different way. There is, therefore, an immediate and significant difference between this case and the one dealt with in my previous judgment. Here there is nothing in the documentation itself which could give rise to an inference of secret profit. In the previous case there was. 7.6 The only other basis put forward on behalf of the Cunningham Group for suggesting that there is a stateable claim in respect of secret profit stems from inferences which it is said should be drawn from the circumstances in which the Cunningham Group became aware of the existence of the varied contract concerned. 7.7 It would appear that the relevant sequence of events was that First Active made available documents relating to the revised loan arrangements between itself and Mr. Duffy on a voluntary basis. For the reasons which I have already analysed in some detail, First Active was not under any obligation to disclose those documents. The description of First Active as having “suppressed” the arrangements seems to me, therefore, to be misplaced. Be that as it may the relevant banking documentation made reference to amendments to the contract for sale. By virtue of that reference the Cunningham Group sought and obtained a copy of the amendment to the sale agreement. It does not seem to me that any inference could possibly be drawn from those circumstances to the effect that there was anything underhand about the way in which First Active dealt with the relevant information. If First Active had not wished the Cunningham Group to become aware of the relevant information then it could, quite legitimately, have refrained from making available the voluntary disclosure of the banking documents which in turn would have caused the Cunningham Group not be become aware of the amended sale terms. There would have been nothing improper in such a course of action. 7.8 Secondly reliance is placed on some questions asked in cross examination by counsel on behalf of Mr. Duffy of Mr. Brian Cunningham. Mr. Cunningham was questioned concerning the sale price of the relevant commercial units from First Active to Mr. Duffy. There is no doubt but that it was not suggested in the course of the questioning concerned that there had been a revised arrangement between Mr. Duffy and First Active providing for a potential uplift of the sale price should the relevant threshold be exceeded. However, as always, cross examination has to be seen against the background of the evidence given by the relevant witness in chief and the case as made to the court on behalf of the party concerned. The relevant cross examination has to be seen against the background of a tentative contention on the part of the Cunningham Group to the effect that there had been a further reduction in the purchase price for the commercial units agreed as and between First Active and Mr. Duffy so as to bring it below the level originally fixed. For reasons which it is unnecessary to go into here, the question of variations in the purchase price at various times is in itself an issue in the proceedings. The relevant cross examination was directed towards that contention. It is, in addition, said that First Active allowed the cross examination concerned to go ahead without intervening to draw attention to the fact that there had been a revised arrangement providing for an uplift and, furthermore, that any such arrangement, if genuine and intended for the potential benefit of the Cunningham Group, would have been immediately brought to the attention of the court because it would be a point favourable to the defendant’s case. However, all of those matters need to seen against the background of the fact that First Active voluntary disclosed a document which made specific reference to the sale variation leading to the disclosure of that document to the Cunningham Group. On that basis I can see no reason on the evidence currently available for drawing any inference adverse to First Active or Mr. Duffy. 7.9 On the basis of the evidence currently available I could not, therefore, conclude that the Cunningham Group’s case on the issue sought to be raised by the proposed amendment could have any chance of success. 7.10 The only other question which arises concerns the possibility that if discovery were to be directed, additional evidence might emerge. However, it is in that context that it seems to me that the timing of the application is of particular relevance. Whatever might be the situation that would pertain if an application to amend were made at an early stage in the process, it seems to me that all of the authorities (see for example, the judgment of the Supreme Court in Wildgust v. Bank of Ireland [2001] I.L.R.M. 24) indicate that an amendment during hearing is not a desirable practice and should not frequently be permitted. The reason, of course, is that the risk of prejudice is all the greater where the amendment occurs while the case is at hearing. This is not the occasion to attempt to analyse all of the principles relevant to the limited jurisdiction to allow an amendment during the course of the hearing. It may well be that what might loosely be called “technical” amendments can more easily be allowed. Where, for example, a flaw in the case as pleaded emerges in the course of the hearing but where that flaw can be remedied without any significant prejudice, it would hardly be surprising that a court would allow such an amendment rather than see a party lose on a narrow pleading point. 7.11 On the other hand an amendment which would have the effect of allowing an entirely separate cause of action (even one which may bear some resemblance to at least some of the other claims already pleaded) is in a very different category. For the reasons which I have already sought to analyse there does not seen to me to be a stateable case on the evidence currently available for the proposition sought to be advanced by virtue of the amendment. The case could only go to trial if, therefore, full discovery was ordered, additional witness statements from all concerned were directed, and on the assumption that something emerged in the course of such a process which might afford the Cunningham Group a stateable case. To impose on these proceedings, which have already been at hearing for upwards of three months, such an additional claim would, in my view, be an inappropriate exercise of the court’s jurisdiction to allow amendments. If the Cunningham Group wish to run such a case then it seems to me that it is more appropriately run in separate proceedings which can take their own course. Just because it cannot be demonstrated that a claim proposed to be included by amendment is bound to fail is not, in my view, a sufficient reason for permitting the amendment concerned when the case has been at hearing for a prolonged period. To permit such a practice on such a test has the potential to cause chaos for litigation. 7.12 In those circumstances it seems to me to be unnecessary to address the interesting issue raised on behalf of First Active to the effect that no jurisdiction exists to permit an amendment which would allow a new and separate cause of action to be raised where the cause of action concerned arose after the date of the original plenary summons. The question seems to turn on whether the undoubted rule to the effect that amendments of that type should not be allowed is a rule of law (in which case the court would have no jurisdiction to depart from it) or is a rule of practice (in which case the court would have a discretion, in an appropriate case, to allow such an amendment). I would prefer to leave over to a case in which the issue was decisive, a final view as to the law on this topic. My tentative view is to the effect that the rule is a rule of practice rather than a rule of law and that there would, therefore, be a discretion which would permit the court, in an appropriate case, to depart from the rule. I have come to that tentative view primarily because it is well settled that issues concerning remedies (as opposed to the causes of action giving rise to those remedies) can be revised in proceedings, even though the facts relevant to the availability or otherwise of a particular remedy or the extent of same may only have occurred subsequent to the proceedings being commenced. 7.13 However, I will conclude on this issue by stating that it would not seem to me that this case is one in which it would have been appropriate to exercise any such discretion (if it exists). For those reasons the amendment application must also fail. |