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SAMUEL ANTONELLI v. SECRETARY OF STATE FOR TRADE AND INDUSTRY [1997] EWCA Civ 2282 (31st July, 1997)
IN
THE SUPREME COURT OF JUDICATURE
QBCOF
96/0015/D
IN
THE COURT OF APPEAL (CIVIL DIVISION)
ON
APPEAL FROM THE QUEEN'S BENCH DIVISION
(CROWN
OFFICE LIST
)
Royal
Courts of Justice
The
Strand
Thursday,
31st July 1997
B
e f o r e:
LORD
JUSTICE BELDAM
LORD
JUSTICE KENNEDY
LORD
JUSTICE ALDOUS
-
- - - - -
SAMUEL
ANTONELLI
-v-
THE
SECRETARY OF STATE FOR TRADE AND INDUSTRY
-
- - - - -
Handed-down
Transcript of Smith Bernal Reporting Limited,
180
Fleet Street,
London
EC4A 2HD
Tel:
0171 831 3183
Official
Shorthand Writers to the Court)
-
- - - - -
MR
M BELOFF QC and MS J CALDER
(Instructed by Bray Walker, London EC4A 1JR) appeared on behalf of the Applicant.
MR
D OUSELEY QC and MR R SINGH [MR J MOFFETT-TODAY ONLY]
(Instructed by the Treasury Solicitor, London SW1H 9JS) appeared on behalf of
the Respondent.
-
- - - - -
J
U D G M E N T
(As
approved by the Court
)
(Crown
Copyright)
-
- - - - -
Thursday,
31st July 1997
.
LORD
JUSTICE BELDAM: The long title of the Estate Agents Act 1979 described it as:
“An
Act to make provision with respect to the carrying on of and to persons who
carry on, certain activities in connection with the disposal and acquisition of
interests in land; and for purposes connected therewith.”
It
was the culmination of many attempts begun as long ago as 1888 to regulate the
activities of estate agents by legislation. During the 90 years before the Act
was passed, public concern had been expressed that neither Parliament nor the
profession itself had made provision for registration, for minimum standards of
competence and for safeguards to protect clients against defaulting
practitioners. In short, any person could adopt the title of, and act as, an
“estate agent” though he had no specific qualification and the
public had no assurance that he was skilled, competent or even honest. After
many unsuccessful attempts by private members to introduce legislation to
regulate estate agency practices, a Bill introduced by a private member Mr
Bryan Davies in 1978 was adopted by the government to become the Estate Agents
Act 1979. The Act did not introduce any system of registration but provided
means by which an estate agent could be judged unfit to practice. The power to
make orders prohibiting unfit persons from doing estate agency work was
entrusted to the Director General of Fair Trading. It is with these powers that
the present appeal is concerned. They are contained in secs. 3-8 and the
provision of Schedule 1.
By
sec. 3 the Director is given power, subject to preconditions, to issue orders
prohibiting a person from engaging in estate agency work if he considers that
person to be unfit to practice on any of the grounds set out in the section.
Before making an order, the Director must follow the procedure set out in the
provisions of Part 1 of Schedule 2 of the Act. (See sec. 5.) The Director is
required to give notice to the person in respect of whom he proposes to make
the order, informing him of its substance and, if it is to be made under sec.
3, of the grounds on which he intends to rely. The person affected must be
given not less than twenty-one days notice to enable him to submit his
representations in writing why the order should not be made and stating whether
he wishes to make oral representations. The Schedule makes provision for the
hearing of representations and requires the Director to take them into account.
He must give notice of his decision and of the terms of the order, together
with his reasons, including the facts relied on.
Sec.
7 of the Act confers on the person affected by the order a right to appeal from
the decision of the Director to the Secretary of State. The Secretary of State
can make regulations for the conduct of such appeals. By sec. 7(4) an appellant
who is dissatisfied in point of law with the decision of the Secretary of State
can appeal to the High Court and with leave to this court from the decision of
the High Court. See sec. 7(5).
The
power of the Director to make an order is given in sec. 3 which provides:
“(1)
The power of the Director General of Fair Trading (in this Act referred to as
“the Director”) to make an order under this section with respect to
any person shall not be exercisable unless the Director is satisfied that that
person -
(a)
has been convicted of -
(i) an
offence involving fraud or other dishonesty or violence, or
(ii) an
offence under any provision of this Act, other than section 10(6), section
22(3) or section 23(4), or
(iii) any
other offence which, at the time it was committed, was specified for the
purposes of this section by an order made by the Secretary of State ...”
Sec.
3(2) provides:
“Subject
to sub-section (1) above, if the Director is satisfied that any person is unfit
to carry on estate agency work generally or of a particular description he may
make an order prohibiting that person -
(a)
from doing any estate agency work at all; or
(b) from
doing estate agency work of a description specified in the order;
and
in determining whether a person is so unfit the Director may, in addition to
taking account of any matters falling within subsection (1) above, also take
account of whether, in the course of estate agency work or any other business
activity, that person has engaged in any practice which involves breaches of a
duty owed by virtue of any enactment, contract or rule of law and which is
material to his fitness to carry on estate agency work.
(3) For
the purposes of paragraphs (c) and (d) of subsection (1) above, -
(a) anything
done by a person in the course of his employment shall be treated as done by
his employer as well as by him, whether or not it was done with the
employer’s knowledge or approval, unless the employer shows that he took
such steps as were reasonably practicable to prevent the employee from doing
that act, or from doing in the course of his employment acts of that
description; and
(b) anything
done by a person as agent for another person with the authority (whether
express or implied, and whether precedent or subsequent) of that person shall
be treated as done by that other person as well as by him; and
(c) anything
done by a business associate of a person shall be treated as done by that
person as well, unless he can show that the act was done without his connivance
or consent.
(4) In
an order under this section the Director shall specify as the grounds for the
order those matters falling within the paragraphs (a) to (d) of subsection (1)
above as to which he is satisfied and on which, accordingly, he relies to give
him power to make the order.
(5) If
the Director considers it appropriate, he may in an order under this section
limit the scope of the prohibition imposed by the order to a particular part of
or area within the United Kingdom.”
By
sec. 3(8), if a person fails without reasonable excuse to comply with the
Director’s order, he is liable to conviction on indictment or to a fine
not exceeding the statutory maximum on summary conviction. It is also relevant
to set out the provisions of sec. 5(1):
“The
provisions of Part I of Schedule 2 to this Act shall have effect -
(a) with
respect to the procedure to be followed before an order is made by the Director
under section 3 or section 4 above; and
(b) in
connection with the making and coming into operation of any such order.”
and
sub-sec. (4):
In
any case where -
(a) an
order of the Director under section 3 above specifies a conviction as a ground
for the order, and
(b) in
conviction becomes spent for the purposes of the Rehabilitation of Offenders
Act 1974 or any corresponding enactment for the time being in force in Northern
Ireland,
then,
unless the order also specifies other grounds which remain valid, the order
shall cease to have effect on the day on which the conviction becomes so
spent.”
By
para. 1 of Schedule 1:
“A
conviction which is to be treated as spent for the purposes of the
Rehabilitation of Offenders Act 1974 or any corresponding enactment for the
time being in force in Northern Ireland shall be disregarded for the purposes
of sec. 3(1)(a) of this Act.”
Mr
Samuel Antonelli, the appellant, is a property agent who until 1985, at any
rate, accepts that he was conducting estate agent’s business in this
country. Earlier in his life he worked in the realty business in Detroit. There
in the Recorder’s Court he was convicted in 1973 of the crime of
“burning real estate other than a dwelling house between 1st-8th December
1971”, an offence contrary to ch. 750 sec. 73 of the Michigan Criminal
Law Act. On 12th June 1973 he was ordered to serve between 2½-10 years
imprisonment for that offence. He did not serve the sentence but left for
Israel and from there came to the United Kingdom. He has not returned to serve
his sentence.
As
a result of the appellant’s activities in this country, the Director
served him with a notice of proposal under sec. 3(2)(a) of the Act. The notice
stated that the Director proposed to make an order prohibiting the appellant
from doing any estate agency work at all. The reasons for the proposed order
were that the appellant had been convicted of an offence involving violence
within the meaning of sec. 3(1)(a)(i) of the Act in that on 28th February 1973
at the Recorder’s Court of the city of Detroit the appellant was
convicted of arson (by burning real estate other than a dwelling house) and was
sentenced to a term of imprisonment of not less than 2½ years nor more
than 10 years. The appellant did not make written representations or indicate
that he intended to do so orally. The Director reminded him of his right to do
so on 10th September 1991. No representations were received from him and on 2nd
October 1991 the Director served him with a notice of his decision that he was
satisfied that the appellant had been convicted of arson at the
Recorder’s Court of the City of Detroit on 28th February 1973 and had
been sentenced to a term of imprisonment and that the offence was an offence of
fraud or other dishonesty within the meaning of sec. 3(1)(a)(i) of the Act. He
said:
“I
accordingly rely on this as grounds for the order and as empowering me to make
an order under sec. 3(2) of the Act.”
The
notice also stated that the Director was satisfied that the appellant was unfit
to carry on estate agency generally and that accordingly he made an order
prohibiting the appellant from doing any estate agency work at all.
The
appellant gave notice of appeal to the Secretary of State on 18th October 1991.
His grounds of appeal were:
1. That
the conviction relied on as grounds for the order took place overseas in
respect of an alleged offence which occurred more than twenty years ago.
2. That
he had been convicted of an alleged offence with which he had never been
charged and which he had always and continued to deny having committed.
In
accordance with his powers, the Secretary of State appointed three persons to
consider the appellant’s appeal from the determination of the Director.
The hearing began on 29th June 1992 but, as the grounds of appeal focused
principally on the nature and validity of the conviction, it was adjourned for
fuller information to be obtained about the offence or offences of which the
appellant had been convicted in Detroit in 1973. The appointed persons reported
to the Secretary of State on 27th April 1993 finding that the appellant was a
person who was unfit to carry on estate agency work generally. They considered
that the conviction in Detroit fell within sec. 3(1)(a)(i) of the Act and that
in view of this he was not a fit person to carry on estate agency work under
sec. 3(2) of the Act.
On
6th August 1993 the Secretary of State gave notice dismissing the
appellant’s appeal and in giving his reasons he accepted:
(1) That
on 28th February 1973 at the Recorder’s Court of the city of Detroit,
Michigan, U.S.A., the appellant was convicted of three counts of burning
property other than a dwelling house and was sentenced to a term of
imprisonment of not less than 2 years 6 months and not more than 10 years;
(2) That
the above convictions were for offences involving violence within the meaning
of sec. 3(1)(a)(i) of the Act. He accepted the appointed persons’
conclusions that the appellant’s conviction was evidence that he is not a
fit person to engage in estate agency work.
The
Secretary of State considered that because of the appellant’s readiness
to commit violence against property there would be a risk of detriment to the
public if he were to engage in estate agency work.
The
appellant appealed to the High Court. Mr Justice Buxton dismissed his appeal on
11th May 1995. In the course of his judgment which dealt with several grounds
of appeal not pursued before us, he considered questions of law raised by the
appellant and summarised by the learned judge as follows:
“I,
therefore, turn to the issues of law raised by this appeal. They are concerned
with the proper construction of sec. 3. For the purposes simply of
identification I describe three questions as follows: (1) Does the expression
“convicted of an offence” in sec. 3(1)(a)(i) of the Act extend to a
conviction before the commencement of the Act; (2) Does that phrase extend to
conviction of an offence, and if so of what type of offence in a court outside
the United Kingdom?; (3) Were the offences of which Mr Antonelli was convicted
under the law of Michigan properly characterised by the Secretary of State as
offences of violence?”
The
judge held that the expression “convicted of an offence” did extend
to a conviction before the commencement of the Act. It had been argued that he
should construe the Act so that it did not have retrospective effect but the
judge, after considering the authorities to which he had been referred,
rejected the argument that to hold the Act was capable of referring to
conviction before the passing of the Act was to give it retrospective effect.
He said:
“The
whole object of the 1979 Act was to introduce limitations on estate agents that
had not previously existed at all. Most of those limitations could only operate
from the Act’s inception, and in respect of events occurring after its
inception, because many of the grounds refer to breaches of requirements newly
introduced by the Act. But the ability of the Director-General to interfere at
all was new. That, in itself, could well be said to take away, from persons
currently practising estate agency, a vested right or to introduce a new
disability, because before 1979 there was no control at all over estate agents.
It seems to me that Parliament, having decided that estate agents should, in
the future, be controlled, and having chosen as one important test of their
suitability that those who were convicted of crimes of fraud or violence should
prima facie not practise as estate agents ... it is not easy to think that
Parliament would have limited that disqualification to those convicted in the
future, whether or not the absence of such a limitation causes the legislation
to be technically characterised as retrospective.”
On
the question whether the offences referred to were limited to those under
United Kingdom law, the judge also rejected the appellant’s contentions.
He considered one argument that, if a reference in a United Kingdom statute to
an offence is intended to include offences which occur abroad as well as to
those occurring in the United Kingdom, it is the practice to say so expressly.
He had been asked to hold that, by analogy with the Extradition Act, any
foreign offences should at least have a comparable offence in the English
criminal law. The judge rejected both these arguments. He had no doubt that
Parliament was concerned about criminality as shown by criminal conviction and
there was clearly no intention to exclude all foreign convictions even though
they fully justified a finding under sec. 3(2). Rejecting the third submission
that the offence of which the appellant had been convicted in Detroit was not
an offence of violence, the judge relied on the definition of violence cited to
him from the Oxford Dictionary as:
“The
exercise of physical force so as to inflict injury or to cause damage to
persons or property.”
He
said:
“Once
it is agreed that violence can be directed against property, as well as against
the person, I can see no reason for saying that setting fire to property is not
an act of violence towards it.”
After
giving one or two colourful examples of setting fire to property which would
ordinarily be regarded as violent, the judge rejected this ground of appeal.
In
his submissions for the appellant, Mr Beloff Q.C. asked the court to reverse
the judge’s decision on five grounds.
(i) The
judge was wrong to hold that the Estate Agents Act 1979 had retrospective
effect enabling the Director General of Fair Trading to take into account a
conviction occurring before 3rd May 1982;
(ii) The
judge was wrong to hold that the reference to a conviction in sec. 3(1)(a)(i)
of the Act included a conviction before a foreign tribunal.
(iii) Even
if the reference to offences included foreign offences, nevertheless the judge
should have held that such offences must also be offences known under the law
of the United Kingdom.
(iv) The
judge was wrong to hold that the offence of burning property which was not a
dwelling house was an offence of violence.
(v) The
judge ought to have set aside the order of the Director General of Fair Trading
since in that order the Director relied on a ground different from that set out
in the notice of proposal. The notice of proposal relied on conviction of the
appellant for arson as being a conviction for an offence involving violence
whereas the notice of decision relied on the same conviction as conviction for
an offence of fraud or other dishonesty.
Ground
(i).
Mr
Beloff founded his argument on the fact that before the Act came into force any
person had a right to engage in practice as an estate agent. All those in
practice when the relevant provisions of the Act came into force on 3rd May
1982 could be affected by powers then given to the Director General to
disqualify a person from continuing to practice. The Act should therefore be
construed in accordance with the general principle that Parliament does not
intend the provisions of an enactment to have retrospective effect in the
absence of express words or clear implications. He relied on the general
principle elucidated by Lord Brightman in
Yew
Bon Tew v Kenderaan Bas Mara
[1983] 1 AC 553 at page 558.
“...
A statute is retrospective if it takes away or impairs a vested right acquired
under existing laws, or creates a new obligation, or imposes a new duty, or
attaches a new disability, in regard to events already past.”
The
Act by giving powers to the Director General of Fair Trading to impose an order
of disqualification on a person already practising as an estate agent would, if
the power was exercisable in respect of convictions which had taken place in
the past be imposing a new disability in regard to events already passed. The
Act could reasonably be interpreted as applying only to convictions taking
place after the passing of the Act and accordingly it should be so construed.
Mr.
Beloff criticised the judge’s decision because he had relied by analogy
on the decision of the Divisional Court in
In
Re a Solicitor’s Clerk
[1957] 1 WLR 1219. The authority of this decision was questioned by Staughton
L.J. in
Secretary
of State v Tunnicliffe
[1993] 2 AER 712 at 724D. But Buxton J. regarded the case of
In
Re a Solicitor’s Clerk
(supra) as the nearest parallel to the circumstances of the present case. He
pointed out that the passage in the judgment of Staughton L.J. in
In
Re Tunnicliffe
(supra) in which he expressed doubts about the validity of the decision was
immediately followed by a passage cited with approval by Lord Mustill in
L’Office
Cherifien des Phosphates v Yamashita Ltd v Shinnihon Steamship Co. Ltd.
[1994] AC 486 at page 524. Yet Lord Mustill did not refer to or express any
doubts about the decision in
In
Re A Solicitor’s Clerk
(supra). In that case the disciplinary committee of the Law Society made an
order that no solicitor should employ the appellant in connection with his
practice as a solicitor. It was alleged that the appellant, who was a
solicitor’s clerk, was employed by solicitors in Brighton when he had
been convicted in 1953 of four charges of larceny and sentenced to five years
imprisonment. The charges concerned money or property which did not belong to,
nor was it held or controlled by, the solicitor by whom he was employed or any
client. Until the Solicitors (Amendment) Act 1956 amended sec. 16 of the
Solicitors Act 1941 the disciplinary committee had no power to make an order
unless the property concerned was money or property belonging to or held or
controlled by the solicitor by whom the clerk was employed or by a client. It
was therefore argued that the amendment of sec. 16(1) by the Act of 1956 could
not apply to the appellant’s convictions in 1953. Lord Goddard CJ in the
reserved judgment of the Divisional Court referred to the fundamental rule of
English law that no statute should be construed to have retrospective operation
unless such a construction appears very clearly in the terms of the Act or
arises by necessary or distinct implication. He held, however, that the
Solicitors (Amendment) Act of 1956 was not in truth retrospective. He said:
“It
enables an order to be made disqualifying a person from acting as a
solicitor’s clerk in the future and what happened in the past is the
cause or reason for the making of the order, but the order has no retrospective
effect. It would be retrospective if the Act provided that anything done before
the Act came into force or before the order was made should be void or
voidable, or if a penalty were inflicted for having acted in this or any other
capacity before the Act came into force or before the order was made. This Act
simply enables the disqualification to be imposed for the future which in no
way affects anything done by the appellant in the past.”
Accordingly
the appeal was dismissed.
The
purpose of the provision in the Solicitor’s Act considered by the
Divisional Court was obvious and the change wrought by the Solicitors
(Amendment) Act 1956 did not alter the type of effect of the provision but only
extended the property to which it applied so that when Lord Goddard referred to
the Act not being in truth retrospective and went on to describe its effect
against the background of the passage quoted from Maxwell on the Interpretation
of Statutes on which Lord Brightman based his statement of principle in
Yew
Bon Tew
(supra) the Lord Chief Justice was, in my opinion, adopting a similar approach
to the construction of the Act of 1956 to that advocated by Lord Mustill. But
even if it could be said that the reasoning of the Divisional Court in support
of its decision did not strictly weigh all the appropriate factors, in my view
the decision would have been the same had it done so.
Buxton
J. gave full weight to the criticisms of the decision
In
Re A Solicitor’s Clerk
and expressed the view that the court’s approach was a cogent and helpful
analysis of the nature of the order made in that case. I can find no error in
his approach to this decision by the learned judge.
The
approach to the construction of legislative provisions capable of impairing
existing rights by reference to past events was considered by the House of
Lords in
L’Office
Cherifien des Phosphates
(supra) to which Buxton J. referred. In his speech, with which all the other
others members of the Committee agreed, Lord Mustill said at page 524G:
“My
Lords, it would be impossible now to doubt that the court is required to
approach questions of statutory interpretation with a disposition, and in some
cases a very strong disposition, to assume that a statute is not intended to
have retrospective effect. Nor indeed would I wish to cast any doubt on the
validity of this approach for it ensures that the courts are constantly on the
alert for the kind of unfairness which is found in, for example, the
characterisation as criminal of past conduct which was lawful when it took
place, or in alterations to the antecedent national, civil or familial status
of individuals. Nevertheless, I must own up to reservations about the
reliability of generalised presumptions and maxims when engaged in the task of
finding out what Parliament intended by a particular form of words, for they
too readily confine the court to a perspective which treats all statutes, and
all situations to which they apply, as if they were the same. This is
misleading, for the basis of the rule is no more than simple fairness, which
ought to be the basis of every legal rule. True it is that to change the legal
character of a person’s acts or omissions after the event will very often
be unfair; and since it is rightly taken for granted that Parliament will
rarely wish to act in a way which seems unfair it is sensible to look very hard
at a statute which appears to have this effect, to make sure that this is what
Parliament really intended. This is, however, no more than common sense, the
application of which may be impeded rather than helped by recourse to formulae
which do not adapt themselves to individual circumstances, and which tend
themselves to become the subject of minute analysis, whereas what ought to be
analysed is the statute itself.”
He
quoted with approval the statement by Staughton L.J. in
Secretary
of State for Social Security v. Tunnicliffe
[1991] 2 AER 712 at page 724 that:
“It
is not simply a question of classifying an enactment as retrospective or not
retrospective. Rather it may well be a matter of degree - the greater the
unfairness, the more it is to be expected that Parliament will make it clear if
that is intended.”
Lord
Mustill continued at page 525F:
“Precisely
how the single question of fairness will be answered in respect of a particular
statute will depend on the interaction of several factors, each of them capable
of varying from case to case. Thus, the degree to which the statute has
retrospective effect is not a constant. Nor is the value of the rights which
the statute affects, or the extent to which that value is diminished or
extinguished by the retrospective effect of the statute. Again, the unfairness
of adversely affecting the rights, and hence the degree of unlikelihood that
this is what Parliament intended, will vary from case to case. So also will the
clarity of the language used by Parliament, and the light shed on it by
consideration of the circumstances in which the legislation was enacted. All
these factors must be weighed together to provide a direct answer to the
question whether the consequences of reading the statute with the suggested
degree of retrospectivity are so unfair that the words used by Parliament
cannot have been intended to mean what they might appear to say.”
Later,
after considering other statutes and decisions upon them, Lord Mustill said at
page 527D:
“These
cases do not point directly to a conclusion, but they do demonstrate that where
an intermediate type of retrospectivity is in issue the purpose of the
legislation and the hardship of the result contended for are of particular
importance.”
Adopting
this approach I start with the declared purpose of the Estate Agents Act and
the policy behind its enactment that it is intended to make provision
“with respect to the carrying on and the persons who carry on”
estate agent’s activities. The provisions giving the Director General
power to disqualify are intended for the protection of the public and it would
be quixotic to suppose that Parliament intended that the public should be
protected from the activities of a practitioner convicted a week after the Act
came into force but not from those of the practitioner convicted a week before.
Should Parliament be supposed to have regarded the imposition of a
disqualification which precluded a person convicted of a serious mortgage fraud
only a month or two before the passing of the Act from continuing to act as an
estate agent as “unfair”? In my view, Parliament might well have
considered it unfair to allow such a person to continue in practice to the
possible detriment of the public whilst prohibiting a person convicted of a
similar offence a month or two after the Act came into force.
I
turn to the hardship of the result if the power given to the Director is
exercisable in respect of past convictions. I accept that an order of
disqualification from carrying on the practice of estate agency is severe and
could be a catastrophic hardship. But the conviction of an offence involving
fraud or other dishonesty or violence is only a precondition upon which the
Director’s powers are exercisable. If satisfied that the person concerned
has been convicted, the Director General still has to consider whether he is
unfit to carry on estate agency work generally or of a particular description
and has a wide discretion in determining whether that is so or not. Thus the
past conviction is not by itself determinative of the imposition of an order of
disqualification. Thus it seems to me that Parliament clearly intended to give
the Director power to make an order of disqualification in respect of past
convictions whilst trusting in his discretion whether he did so or not. I do
not regard it as inconceivable that Parliament regarded conviction in the past
as so contradictive of the protection of the public in the future that the
Director ought not to have the power to make an order where such conviction is
proved. The words of sec. 3(1)(a)(i) are unqualified save that the offence must
involve fraud or other dishonesty or violence. Moreover I note that in the
supplementary provisions as to orders under sec. 3 contained in sec. 5(4) where
the only ground for the order is a conviction which becomes spent for the
purposes of the Rehabilitation of Offenders Act 1974 the order ceases to have
effect on the day on which the conviction becomes so spent.
In
the most serious of cases to which the Rehabilitation of Offenders Act applies
convictions will not become spent for a period of ten years. Some offences are
regarded as so serious that they do not become spent at all and the imposition
of the sentence by the sentencing court is clearly regarded as a measure of its
gravity. It is therefore a further factor indicative of Parliament’s
intention that the powers of the Director to make an order of disqualification
could not be founded on an offence which had become spent under the
Rehabilitation of Offenders Act (which incidentally applies to conviction for
offences before a court outside the United Kingdom (see sec. 1(4)(a)). Thus
Parliament may well have considered it not unfair to impose a disqualification
albeit with severe hardship on those who were already practising estate agents
in a case in which the practitioner had a previous conviction for an offence
which was not or could not be regarded as rehabilitated.
Taking
account of these factors, I am satisfied the judge was right to hold that the
word “conviction” includes conviction before the passing of the Act.
Ground
(ii).
I
can see no ground for confining the word “conviction” so that a
conviction before a court outside the United Kingdom for fraud, dishonesty or
violence is excluded. By 1979 fraud and dishonesty had already achieved an
international dimension. Parliament is unlikely to have intended that a person
convicted of serious fraud, for example in France, should be able to commute
from Calais to Dover and there to carry on practice as an estate agent. The
fact that the matters listed in sub-sec. (a)(ii) and (a)(iii) are offences
which can arise only under United Kingdom legislation is in my view beside the
point. I do not regard it as anomalous that offences committed outside the
United Kingdom should be the subject matter of sub-sec. (i). Nor do I consider
that the fact that in other statutes Parliament has been careful to define the
territorial extent of the expression “conviction”. In my view the
purpose of the Act is a more persuasive consideration and it would seem to me
anomalous if Parliament had not intended convictions for fraud, dishonesty or
violence outside the United Kingdom as qualifying to enable the Director to
make an order that a person so convicted was unfit to carry on estate agency
work generally. Moreover the reference to the Rehabilitation of Offenders Act
1974 I consider points to the fact that conviction in sec. 3(1)(a)(i) was meant
by Parliament to include conviction for an offence before a court outside the
United Kingdom.
Ground
(iii).
Mr
Beloff argued that, if foreign offences were to be within sec. 3(1)(a)(i) of
the Act, they must by analogy with the definition of extradition crime in the
Extradition Act 1989 also be offences under the law of the United Kingdom. He
said that if foreign offences were to qualify, a similar provision to that
contained in
sec. 2 of the
Extradition Act 1989 would have been included.
Further he argues that the conviction of the appellant in Michigan for
“burning real estate other than a dwelling house” was conviction
for an offence which has no equivalent in the United Kingdom. In particular he
said that under the law of the state of Michigan there was no requirement that
the property burnt should be the property of another. In fact the property in
question was owned by the appellant himself. Thus it is said that the appellant
could not have been found guilty by a United Kingdom court on a charge framed
as the charges were in the Recorder’s Court in Detroit. This is
undoubtedly true, though a person who damages his own property reckless whether
the life of another would be endangered does commit an offence under sec. 1(2)
of the Criminal Damage Act 1971 and persons who set fire to property to defraud
insurers are seldom conscientious for the safety of others.
I
can see no justification for including a double criminality requirement for the
offences referred to in sec. 3(1)(a)(i). The offences are described as:
“Involving
fraud or other dishonesty or violence”.
That
description itself suggests that the offences must be of a particular kind and
not necessarily specific to the law of the United Kingdom. Moreover conviction
for offences of the kind referred to are clearly related to the purpose of the
statute. The question is not whether the convictions are for specific offences
but whether the convictions are for offences which involve particular
attributes. I would reject this ground of appeal.
Ground
(iv).
The
question raised by this ground is whether an offence involving violence within
the meaning of sec. 3(1)(a)(i) of the Act means an offence involving violence
to the person. Does it also include the application of force to property such
as a building. The offence under ch. 750, sec. 73, of the Michigan Criminal Law
Act was committed by any person who “wilfully or maliciously burns any
building or other real property or the contents thereof ... the property of
himself or another”.
The
definition of “violence” from the Oxford Dictionary cited by the
judge was:
“The
exercise of physical force so as to inflict injury on or to cause damage to
persons or property.”
The
question is whether violence was used in this sense in the sub-section.
I
can see no justification for confining the word “violence” to
violence to the person. In the context of an offence related to activities in
connection with estate agency and the management of property, the unlawful
eviction of the occupiers of premises with the threat of violence is one of the
situations in which property managers have been known to commit an offence
“involving violence”. Thus a threat or an attempt to set fire to
property even if no actual danger to life or limb would be expected is to my
mind an offence “involving violence” within the meaning of the
section. Accordingly I have no doubt that Parliament intended that convictions
for an offence involving violence towards property should be within sec.
3(1)(a)(i).
Ground
(v)
Mr
Beloff’s final point attacks the validity of the Director’s
decision. It was not a ground argued before the judge though other similar
grounds were advanced.
In
the notice of proposal given by the Director he stated as the grounds for the
proposed order that the appellant had been convicted of an offence involving
violence within the meaning of sec. 3(1)(a)(i) of the Act and specified the
conviction for arson in the Recorder’s Court of the City of Detroit on
28th February 1973. In giving notice of decision in accordance with the section
and para. 9 of Schedule 2, the Director’s adjudicating officer, after
stating that he was satisfied that the appellant was convicted of that offence,
said:
“6. I
further find that the offence referred to in para. 5(i) above is an offence of
fraud or other dishonesty within the meaning of sec. 3(1)(a)(i) of the Act. I
accordingly rely on this as grounds for the order and as empowering me to make
an order under sec. 3(2) of the Act ...”
Mr
Beloff submits that the order is bad on its face since it relies upon a
different ground for making the order than the ground set out in the notice of
proposal. He argues that the importance of the notice of proposal is to enable
the person affected by the order to make representations which it is the duty
of the Director to take into account that accordingly the appellant could have
been deprived of an opportunity of making representations that the offence did
not involve fraud or dishonesty.
As
earlier indicated, the words “involving fraud or dishonesty or
violence” are descriptive of the offence. The particular offence relied
on both in the notice of proposal and in the notice of decision was the same
offence. It was open to the appellant if he could honestly do so to submit that
the offence referred to in the notice of proposal involved neither fraud,
dishonesty nor violence but in fact he made no representations to the Director.
In fact it would appear that in addition to being an offence involving violence
towards property, the offence did involve fraud or dishonesty in the sense that
it was committed with a view to making a fraudulent claim under a policy of
insurance on the property. Where a person sets fire to his own property it is
not unusual to find that the motive is one of unlawful gain and it is therefore
an offence which in the wider sense may be said to involve fraud or dishonesty.
There are other offences which can involve both fraud or dishonesty and
violence and merely because the Director relied on one rather than the other
descriptions of the offence does not in my view invalidate his decision. He had
power to make the order if satisfied that the person affected had been
convicted of the particular offence specified in the notice of proposal and
that offence could properly be brought within the description of an offence
within sec. 1(3)(a)(i) of the Act. In my view the fact that the specified
offence involved one rather than another of the characteristics would not
deprive the Director of the power to make the order provided it could properly
be regarded as involving one of them. I would thus reject this ground and would
dismiss the appeal.
LORD
JUSTICE KENNEDY:
I
agree.
LORD
JUSTICE ALDOUS:
I
also agree.
ORDER:
(1)
Appeal dismissed;
(2)
Respondents' costs not to be enforced without leave;
(3)
Application for leave to appeal to the House of Lords refused.
© 1997 Crown Copyright
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