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England and Wales Court of Appeal (Civil Division) Decisions |
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You are here: BAILII >> Databases >> England and Wales Court of Appeal (Civil Division) Decisions >> Dadourian Group International Inc & Ors v Simms & Ors [2009] EWCA Civ 169 (13 March 2009) URL: http://www.bailii.org/ew/cases/EWCA/Civ/2009/169.html Cite as: [2009] EWCA Civ 169, [2009] 1 Lloyd's Rep 601 |
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COURT OF APPEAL (CIVIL DIVISION)
ON APPEAL FROM THE HIGH COURT OF JUSTICE
(CHANCERY DIVISION)
Warren J
Strand, London, WC2A 2LL |
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B e f o r e :
LADY JUSTICE HALLETT
and
MR JUSTICE BLACKBURNE
____________________
DADOURIAN GROUP INTERNATIONAL INC. and others |
Respondents |
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- and - |
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(1) PAUL FRANCIS SIMMS (2) JACK DADOURIAN (3) HELGA DADOURIAN |
Appellants |
____________________
WordWave International Limited
A Merrill Communications Company
190 Fleet Street, London EC4A 2AG
Tel No: 020 7404 1400, Fax No: 020 7831 8838
Official Shorthand Writers to the Court)
Mr Stuart Cakebread and Miss Juliette Levy (instructed by Messrs David Wyld & Co.) for the 2nd and 3rd Appellants
Mr Charles Samek & Mr Brian Lacy (instructed by Messrs Withers LLP) for the Respondents
Hearing dates : 9, 10, 12, 15, 16, 17, December 2008
____________________
Crown Copyright ©
Lady Justice Arden :
Issue 1: did the judge err in finding that Jack made the intermediary representation?
Issue 2: did the judge err in finding that Mr Simms was liable for the intermediary misrepresentation?
Issue 3: did the judge err in finding that Helga was liable for the intermediary misrepresentation?
Issue 4: did the judge err in finding that DGI was induced by the intermediary representation to enter into the option agreement?
Issue 5: did the judge err in finding that DGI was entitled to recover as its loss caused by the intermediary representation the costs and expenses incurred in the New York and arbitration proceedings?
Issue 6: did the judge err in ordering that the costs payable by the appellants should be paid on an indemnity basis?
Issue 7: did the judge err in the exercise of his discretion when he refused to discharge the interim freezing orders made against the appellants?
Issue 1: did the judge err in finding that Jack made the intermediary representation?
"First, in order to sustain an action of deceit, there must be proof of fraud and nothing short of that will suffice. Secondly, fraud is proved when it is shown that a false representation has been made (i) knowingly, (ii) without belief in its truth, or (iii) recklessly, careless whether it be true or false."
"The balance of probability standard means that a court is satisfied an event occurred if the court considers that on the evidence, the occurrence of the event was more likely than not. When assessing the probabilities the court will have in mind as a factor, to whatever extent is appropriate in the particular case, that the more serious the allegation the less likely it is that the event occurred and, hence, the stronger should be the evidence before the court concludes that the allegation is established on a balance of probability. Fraud is usually less likely than negligence."
"The principle is well settled that where there has been no misdirection on an issue of fact by the trial judge the presumption is that his conclusion on issues of fact is correct. The Court of Appeal will only reverse the trial judge on an issue of fact when it is convinced that his view is wrong. In such a case, if the Court of Appeal is left in doubt as to the correctness of the conclusion, it will not disturb it."
"15. In appeals against conclusions of primary fact the approach of an appellate court will depend upon the weight to be attached to the findings of the judge and that weight will depend upon the extent to which, as the trial judge, the judge has an advantage over the appellate court; the greater that advantage the more reluctant the appellate court should be to interfere. As I see it, that was the approach of the Court of Appeal on a 'rehearing' under the Rules of the Supreme Court and should be its approach on a 'review' under the Civil Procedure Rules.
"16. Some conclusions of fact are, however, not conclusions of primary fact of the kind to which I have just referred. They involve an assessment of a number of different factors which have to be weighed against each other. This is sometimes called an evaluation of the facts and is often a matter of degree upon which different judges can legitimately differ. Such cases may be closely analogous to the exercise of a discretion and, in my opinion, appellate courts should approach them in a similar way.
"17. In Todd's case [2002] 2 Lloyd's Rep 293, where the question was whether a contract of service existed, Mance LJ drew a distinction between challenges to conclusions of primary fact or inferences from those facts and an evaluation of those facts, as follows, at pp 319-320, para 129:
'With regard to an appeal to this court (which would never have involved a complete rehearing in that sense), the language of "review" may be said to fit most easily into the context of an appeal against the exercise of a discretion, or an appeal where the court of appeal is essentially concerned with the correctness of an exercise of evaluation or judgment - such as a decision by a lower court whether, weighing all relevant factors, a contract of service existed. However, the references in rule 52. 11 (3) (4) to the power of an appellant court to allow an appeal where the decision below was "wrong" and to "draw any inference of fact which it considers justified on the evidence" indicate that there are other contexts in which the court of appeal must, as previously, make up its own mind as to the correctness or otherwise of a decision, even on matters of fact, by a lower court. Where the correctness of a finding of primary fact or of inference is in issue, it cannot be a matter of simple discretion how an appellate court approaches the matter. Once the appellant has shown a real prospect (justifying permission to appeal) that a finding or inference is wrong, the role of an appellate court is to determine whether or not this is so, giving full weight of course to the advantages enjoyed by any judge of first instance who has heard oral evidence. In the present case, therefore, I consider that (a) it is for us if necessary to make up our own mind about the correctness or otherwise of any findings of primary fact or inferences from primary fact that the judge made or drew and the claimants challenge, while (b) reminding ourselves that, so far as the appeal raises issues of judgment on unchallenged primary findings and inferences, this court ought not to interfere unless it is satisfied that the judge's conclusion lay outside the bounds within which reasonable disagreement is possible. In relation to (a) we must, as stated, bear in mind the important and well-recognised reluctance of this court to interfere with a trial judge on any finding of primary fact based on the credibility or reliability of oral evidence. …."
"I believe that we have finally hit the jackpot. A friend of mine (Bangladeshi) has fallen in love with the package and he envisions he and his family will really make much money from the WHOLE deal.
He has a banker friend [in London] with whom I spoke on the phone from Paris yesterday while Selim was here. I have given the package to him but certain things are not there which we had when we submitted to the people in Latvia or Estonia, I forget which. What I need is the total list of hospitals all over the world that we have been involved in. You prepared this list so it is somewhere in your office. You also sent additional information as to what other machinery and other items would be necessary. I need you to gather all this together. Please send the above mentioned items and also if possible the brochures in color.
…….
The proposition is that they are going to raise official bank financing for about $5,000,000 to cover the cost of setting up a new factory [in Bangladesh] and getting into production. They like the idea of buy back and I think I have sold them on the fact that I could persuade DGI to take on the marketing on a world wide basis as you have the experience and know how and they will not need to set up a sales organisation.
Now I can only give you meagre information. In about a week I will be able to give you much more facts and numbers. Right now please try and give me some idea if first you have or know someone who can go to Bangladesh for a week or two to prepare a feasibility study… Maybe you could do it? Or do you think best a professional type who has a reputation and the qualifications?
I told them about the buy back and the way the deal is being structured is that the American company is moving the plant from America to Bangladesh because of the labour cost.
Send the package by courier to London. He is a client of Paul so he said to send it there. …….
……I do not need the brochure nor does he. He needs the color brochure of the beds, Electric and Manual. The FRED beds and any other beds that can be manufactured by this tooling. We may also be able to work out a deal whereby you could arrange for a specialist to manage the operation, for which DGI would be compensated…"
"a. The only Bangladeshi friend of Jack who has featured in this case is Mr Rahman. The impression is given that it is Mr Rahman and his family who hope to make a great deal of money from the whole project ie the setting up of a new factory using the production line acquired from DGI.
b. The reference to such "other machinery and other items" necessary makes it clear, consistently with the proposals put to Herman Bal which I have mentioned, that Jack knew that DGI did not have in its possession the General Equipment, or at least not all of it, necessary to put together a production line using the Tooling (including the dies). That is consistent with the last reference to tooling.
c. It is clear, however, that the proposal was that the investors would be setting up a new factory in Bangladesh with the aid of official bank financing.
d. It is clear that buy back arrangements were mentioned at this early stage. What Jack did not say in this email is, as was in fact the case, that it was the investors in Bangladesh who needed to see a buy back arrangement in order to have certain guaranteed purchases of the output of the new factory, without which financing would not be available.
e. There is no indication at all about who the potential investors might be or, indeed, would not be (although it would, I think, have been very surprising if, following that email, it had transpired that Jack himself was personally proposing to purchase the Tooling)."
"InterRoyal – As I understand it the equipment has been "mothballed" but is available for purchase at US$1.5 – US$2m and Selim explained the scheme to me whereby a Bangladeshi corporation with international funding would acquire the equipment and set up the venture in Bangladesh. In view of the indecision of Alex Dadourian in the past I think that it would be necessary to have a legally binding agreement that if the funding could be put together within a certain timescale the equipment would be sold for an agreed figure so that there cannot be a great deal of work carried out only to find that Alex has changed his mind.
An essential feature of the scheme, as I understand it, was a buy back of finished products. Bearing in mind that Alex and his management was not exactly successful, you would need to establish a new distribution network in the USA……"
"Provide some sort of valuation from some kind of official or recognised source. The object is to show the replacement value of about $10 or $15 million today. And a valuation of $7.5 million for usd [sic] reconditioned tooling. Of course you are correct that the $7.5 million will include technical knowledge and engineering and anything else you can think of."
"Who will be the seller of the tooling? Will it be DGI or another entity? Remember the discussion we had. I can arrange for them to open two L/Cs, one to the seller and one to you personally in an offshore company. I think this is the best way after all you are the motivating factor and doing all the work mentally and creatively. You can also tell them later that from the sum received (officially in NY) you need to pay JD something for his efforts. Alex I am looking at it impartially and that is the way I see it. Of course it is up to you to decide and determine what you want to do."
"You will need to give an option on the Tooling package for a minimum of 12 months. The reasons are obvious. They will need two real feasability [sic] studies and reports. They will also need time to get official approvals from Bangladeshi officials for the land and construction of this new plant."
"The Bangladeshis are also forming a consortium of about 4 very rich and powerful people to be the JV partner of Charlton Corporation Plc of the UK. On Monday the finance director of Charlton will bring with him a VP of a very prominent international banking institution who is to be the lead lender for this project if all the pieces fit together. It is too complicated for me and all I want to see is that you get $1.5 million."
"The other important matter is the buy back deal. This is really one of the most important features of the deal… The important thing is to give the Bangladeshis an assurance or something stronger about how many electrical and how many manual beds you could sell in your market in a year…"
"This is the best opportunity we have had to make a real sale of this tooling and then participate in the program after they start producing these beds."
"…..The Bangladeshis are serious and they are committed to have the factory and production going as soon as possible".
"Secondly, they need the valuation [today's values] of the entire package, the tooling, the cost of engineering to designing the tooling, the engineering drawing and so on and so forth, like the "know how". You need to reach a value of about $9,000,000. We need to try and get an outside recognized or qualified source to corroborate and or concur with our estimation".
"Alex is already trying to by pass me completely which is OK and very good. I will keep you copied with all E-mails between him and me."
"…please give them the info as required. I am trying to have them have direct contact with DGI in order to eliminate any delay of time and also eliminate any chance of misunderstandings. Meanwhile I feel my neck is in the noose as they feel I have a personal responsibility to them as I brought the deal to them. Paul has explained that although I am related to you and know all about InterRoyal, I really am only acting as consultant for DGI."
"Let me know if I am doing the correct thing by playing this game. I do not want to overdo it because he is a very suspicious character so will appreciate your comments."
Issue 2: did the judge err in finding that Mr Simms was liable for the intermediary representation?
Issue 3: did the judge err in finding that Helga was liable for the intermediary representation?
"Suppose that A contracts to purchase goods from B and that B enters into the contract pursuant to a fraudulent misrepresentation by C. Suppose that A knows of the misrepresentation prior to making the contract (even if it was actually made without his prior knowledge). It must surely be the case that A should correct the misrepresentation, or take steps to ensure that B cannot be taken to be relying on it, if he is to escape liability as if he himself had made the misrepresentation. In my judgment, Helga's position is really no different. As an indirect owner of Charlton through Ancon, her interest in the Option Agreement was such as to put her into such proximity with that Agreement as to render her liable for Jack's misrepresentations. I would reach the same conclusion even if Charlton had fallen under the Brinton structure, particular in the light of the fact [that] the total absence of consultation with the directors of Brinton in relation to the affairs of the trust and its subsidiaries."
"However, the evidence about their relationship both in the years before the conclusion of the Option Agreement and since then, leads me to conclude that it is most unlikely that Helga was not fully in the picture about what Jack was saying and doing in relation to the acquisition of the Tooling and General Equipment. In particular I conclude (a) that she was well aware that Jack had not told Alex and Haig that her family trust (let alone she herself, whether with or without Jack) had an interest in Charlton (b) that she knew that Jack was in regular communication with Alex and Haig and that he was presenting the proposal as one in which he was operating simply as a broker"
"Further, she herself was as much involved in the strategic decisions about investment in Ancon and then Charlton as was Jack. She, either alone or together with Jack, was able to procure the investment of what she described as the seed capital into Charlton and it is clear that she was able to bring the project to a halt at any time. Even if this is not a case where the corporate structure of Charlton is to be ignored – so that the corporate veil is not lifted – it is a case where Helga's interests are to be closely identified with those of Charlton. Helga, it seems to me, knew that Jack had misrepresented the position: she knew, or must be taken simply to have closed her eyes to the reality, that he was pretending to have no concern in the acquisition other than as an intermediary"
Issue 4 : did the judge err in finding that DGI was induced by the intermediary representation to enter into the option agreement?
Issue 5: did the judge err in finding that DGI was entitled to recover as its loss caused by the intermediary representation the costs and expenses incurred in the New York and arbitration proceedings?
"The logic of the decision in Doyle v Olby (Ironmongers) Ltd justifies the following propositions. (1) The plaintiff in an action for deceit is not entitled to be compensated in accordance with the contractual measure of damage, ie the benefit of the bargain measure. He is not entitled to be protected in respect of his positive interest in the bargain. (2) The plaintiff in an action for deceit is, however, entitled to be compensated in respect of his negative interest. The aim is to put the plaintiff into the position he would have been in if no false representation had been made. (3) The practical difference between the two measures was lucidly explained in a contemporary case note on Doyle v Olby, (Ironmongers) Ltd: G H Treitel, "Damages for Deceit" (1969) 32 MLR 556, 558-559. The author said:
"If the plaintiff's bargain would have been a bad one, even on the assumption that the representation was true, he will do best under the tortious measure. If, on the assumption that the representation was true, his bargain would have been a good one, he will do best under the first contractual measure (under which he may recover something even if the actual value of what he has recovered is greater than the price)."
(4) Concentrating on the tort measure, the remoteness test whether the loss was reasonably foreseeable had been authoritatively laid down in The Wagon Mound in respect of the tort of negligence a few years before Doyle v Olby (Ironmongers) Ltd was decided: Overseas Tankship (UK) Ltd v Morts Dock & Engineering Co Ltd (The Wagon Mound) [1961] AC 388. Doyle v Olby (Ironmongers) Ltd settled that a wider test applies in an action for deceit. (5) The dicta in all three judgments, as well as the actual calculation of damages in Doyle v Olby (Ironmongers) Ltd, make clear that the victim of the fraud is entitled to compensation for all the actual loss directly flowing from the transaction induced by the wrongdoer. That includes heads of consequential loss. (6) Significantly in the present context the rule in the previous paragraph is not tied to any process of valuation at the date of the transaction. It is squarely based on the overriding compensatory principle, widened in view of the fraud to cover all direct consequences. The legal measure is to compare the position of the plaintiff as it was before the fraudulent statement was made to him with his position as it became as a result of his reliance on the fraudulent statement."
"So far I have discussed in general terms the scope of a fraudster's liability in accordance with the rule identified with Doyle v Olby (Ironmongers) Ltd [1969] 2 QB 158. It is now necessary to consider separately the three limiting principles which, even in a case of deceit, serve to keep wrongdoers' liability within practical and sensible limits. The three concepts are causation, remoteness and mitigation. In practice the inquiries under these headings overlap. But they are distinct legal concepts... The development of a single satisfactory theory of causation has taxed great academic minds: see Hart and Honore, Causation in the Law and Honore, "Necessary and Sufficient Conditions in Tort Law," in Owen, Philosophical Foundations of Tort Law, p. 363. But, as yet, it seems to me that no satisfactory theory capable of solving the infinite variety of practical problems has been found. Our case law yields few secure footholds. But it is settled that at any rate in the law of obligations causation is to be categorised as an issue of fact. What has further been established is that the "but for" test, although it often yields the right answer, does not always do so. That has led judges to apply the pragmatic test whether the condition in question was a substantial factor in producing the result. On other occasions judges assert that the guiding criterion is, whether in common sense terms there is a sufficient causal connection: see Yorkshire Dale Steamship Co Ltd v Minister of War Transport [1942] AC 691, 706, per Lord Wright. There is no material difference between these two approaches. While acknowledging that this hardly amounts to an intellectually satisfying theory of causation, that is how I must approach the question of causation.
Remoteness and mitigation
The second limiting principle is remoteness. I have already discussed the special rule of remoteness developed by the courts in the context of deceit. This requirement is in issue in the present case: if there is a sufficient causal link it must still be shown that the entire loss suffered … is a direct consequence of the fraudulently induced transaction. The third limiting principle is the duty to mitigate. The plaintiff is not entitled to damages in respect of loss which he could reasonably have avoided. This limiting principle has no special features in the context of deceit. …"
"The misrepresentations were made in order to hide Jack and Helga's involvement to bring about a contract which would not otherwise have been made. The reason why Alex and Haig did not want DGI to enter into business with Jack was, according to Alex, when you do business with Jack you end up in this sort of dispute. It was precisely the sort of costs which DGI incurred which would have led DGI to refuse to enter into the contract."
"760. The relevant costs have been incurred by DGI as a result of being embroiled in a dispute which would never have arisen if DGI had not acted in reliance on the misrepresentation. Leaving aside for the moment the costs of the application in the New York litigation to prevent an arbitration in London, all of the costs of DGI in the litigation and the arbitration were incurred in fighting claims (either as claimant or defendant) on which it was wholly successful before the arbitrator. DGI was faced with a claim against it: it had no option but to defend it and quite properly made its counterclaim. I say quite properly because it was successful which, retrospectively, shows that DGI's case was a proper one to defend and bring. DGI had no option but to defend the claim against it since to have capitulated would have resulted in a large damages claim against it. The counterclaim was really the other side of the coin of the defence. Further, as DGI claims, the counterclaim was a reasonable attempt to recover from Charlton and would, had Charlton had any assets, have been an effective mitigation of any loss flowing from the misrepresentations. In those circumstances, the costs, in my judgment, are in principle recoverable as damages. The same goes for the costs of the unsuccessful attempt to remove the arbitrator.
761. However, the costs of the unsuccessful application in the litigation concerning the venue for the arbitration fall into a different category. DGI made that application for its own benefit: it was not necessary for it to make the application and, indeed, it was unsuccessful. The application did not, in my view, result from the misrepresentation; it resulted from an independent decision of DGI to take a tactical step in a commercial battle with Charlton which had nothing to do with the misrepresentation. Causation is not established."
"13. In his closing, Mr Simms said very little about the actual quantum of damage once liability was established, really adding nothing to what he had already said in opening. Accordingly, Mr Simms put his case on the basis that, assuming the costs were in principle recoverable as damages (something which he of course disputed and continues to dispute), there were a number of items in DGI's bill which should not have been recoverable (ie as costs of the arbitration), namely investigation costs and legal costs relative thereto, and costs of company searches. He also suggested that there had been no proper scrutiny by the arbitrator of the costs. He did not, however, identify any costs actually incurred which ought not to be recoverable as damages (assuming liability) on the basis that they were unreasonably or disproportionately incurred.
14. Mr Ashe and Mr Cakebread in their outline submissions in opening said that the costs of the legal action (recoverable as damages) could not include any costs incurred by unreasonable action on the part of the Claimants. In their closing submissions, they dealt with loss and damage at far greater length, dealing with causation, remoteness and mitigation, citing at length from Smith New Court Securities (a decision which I have considered in my earlier judgment). They addressed each head of loss claimed in paragraph 32 of the re-re-amended particulars of claim. The same points are made in relation to each head of what I may call the litigation/arbitration costs.
15. In essence, these points were directed at the big picture. They noted that there are limitations of causation, remoteness and mitigation. In particular, they submitted that even if DGI could establish a sufficient causal link "it must still be shown that the entire loss suffered by [DGI] is a direct consequence of the fraudulently induced transaction." They submitted that in fact this head of loss was very indirect and was dependent upon subsequent and quite separate decisions by DGI and Charlton to engage in a contractual dispute.
16. There is no hint in the submissions of Mr Ashe and Mr Cakebread that, if their arguments in relation to the big picture were incorrect, there was any issue over quantum.
17. Accordingly, at the time when I reserved judgment, the position was (i) that Mr Simms had submitted that certain items should have been disallowed by the arbitrator and that there had been no proper scrutiny of the costs in the arbitration at all and (ii) that Mr Ashe and Mr Cakebread had made no submissions on quantum on the basis that I might be against them on liability. It seems to me, therefore, that the parties ought not to have been surprised that I dealt with quantum in my judgment and made an order for payment accordingly."
"23. As to the first of those submissions, I have already decided the point against him in paragraph 760 of my judgment … Even if I considered it were open to me to revisit that part of my decision, I would come to the same conclusion. The foundation of the submission is that it was DGI's actions which led to the arbitration and that if it had not been in breach of contract, Charlton would have been able to complete the contract and the arbitration would never have been necessary. That foundation is, of course, entirely contrary to what the arbitrator determined as between DGI and Charlton. Further, it is not something which, with the greatest of respect to Mr Simms, I have decided in his favour. As I reminded him in the course of argument, Alex's misrepresentation concerning the ownership of the General Equipment was known to Charlton (and to Mr Simms himself) by the time the option was exercised. DGI may have remained in breach of contract in failing to procure the General Equipment expeditiously or at all; but it does not follow that, had it complied with its contract, Charlton would have been able to put in place a letter of credit. I have not decided that issue. So the foundation of the argument is not established.
24. But that is not the complete answer. The real point is that, as between DGI and Charlton, the decision of the arbitrator establishes conclusively that DGI was correct in its defence and counterclaim. Whether or not Mr Simms, Jack and Helga are privy to the arbitration and bound by the arbitrator's findings (a matter I have expressly left open), they are bound to accept that the arbitrator's findings bind Charlton vis a vis DGI. Accordingly, so it seemed to me when I wrote my judgment and seems to me now, it is not open to them to say that the chain of causation was broken by DGI's breach of contract when that contract has been held, as between the contracting parties, not to have been broken by DGI. In saying that, I do not consider that I am deciding the privy argument against them; I consider that there is a material difference between Mr Simms, Jack and Helga themselves being bound by the findings of the arbitrator (in particular in relation to Mr Simms' own alleged fraud) and being bound to accept those findings as between DGI and Charlton. It is the latter which is important, in my judgment, in addressing the chain of causation. Accordingly, I reject the first submission."
"As to the direct result of the intermediary representation, the background is that Charlton was bound, in the absence of any appeal, by the decision of the arbitrator. I accordingly held that, whilst they themselves might not have been bound by the arbitrator's findings, it was not open to Mr Simms, Jack and Helga to go behind those findings so as to assert that it was really DGI which was in breach of contract and that DGI's loss was caused by its own breaches of contract. It will be apparent from my analysis of the contractual position as between Charlton and DGI that I consider that Charlton actually had very strong arguments on the contractual issues. I did not express conclusions on those arguments since it was enough for my purposes, in dealing with Conspiracy II, to decide that Charlton had a bona fide case on the contractual issues. But if I had made a final determination in favour of Charlton, contrary to the arbitrator's decision, to the effect that it was DGI which was in breach of contract and that DGI was not entitled to terminate the contract as it did, then there would be considerable force in the submissions of Mr Simms and Mr Ashe that DGI's loss (ie principally its costs of the arbitration) was not the result of the misrepresentation but was the result of DGI's own breach of contract so that the chain of causation is broken. I consider that Mr Simms, Jack and Helga have a real prospect of success in their argument that causation should be judged against the actual facts rather than the facts as found by the arbitrator…."
"DGI's contractual claim, based on lifting the corporate veil, has been lost, as have the claims of all the Claimants in relation to the alleged Conspiracies I and II and malicious prosecution. A considerable amount of the trial time and of the evidence was devoted to matters which were principally relevant to those claims, in particular in relation to the contractual position under the Option Agreement and the letter of credit. I have taken a rather different view from the arbitrator of the contractual position and the position in relation to the letter of credit. It might therefore be thought that this evidence was essentially unhelpful in relation to the deceit claim based on the intermediary representation. That is not, however, correct. DGI had to prove its loss and damage. It was met with the defence that the costs of the arbitration were not caused by the misrepresentation but were caused by DGI's own breach of contract. I have rejected that argument for the reasons given in paragraph 760 of my judgment as further elaborated in the first section of this judgment on damages, essentially because Mr Simms, Jack and Helga cannot go behind the arbitrator's decision as between DGI and Charlton in order to show that DGI's position in that arbitration was not reasonable. The contractual position could well have been relevant if I had taken a different view on that aspect. …"
"53. …The principles of res judicata and issue estoppel apply between parties to the original proceedings or their privies. It is not, and could not be, suggested here that either principle has any direct application as between Sun/Phoenix and Lincoln. In Hollington v Hewthorn, [1943] KB 587 the Court of Appeal held that not even a criminal conviction for careless driving was admissible evidence to prove negligence in a subsequent civil action. The decision has been criticised, and has been qualified (for present purposes immaterially) by statute but otherwise remains law: cf Secretary of State for Trade and Industry v. Bairstow, [2003] EWCA 321; [2003] 3 WLR 841. It is also relevant to bear in mind that the submission by Mr. Denning KC in Hollington v. Hewthorn was not that the criminal conviction should be regarded as conclusive evidence, but that it should be admissible as prima facie evidence of negligence (cf. p. 589). Section 11 of the Civil Evidence Act 1968 now achieves that result generally in civil proceedings (apart from for defamation proceedings, in which s. 13 makes the conviction conclusive). But there is nothing to give a civil judgment, still less an arbitral award, evidential value in establishing the facts needing to be proved in separate proceedings against a stranger to the original proceedings.
…
55. There are a number of situations in which courts have considered attempts by A to rely as against B upon rights or liabilities established in separate proceedings between A and C. One familiar context is that of principal and surety. In In re Kitchin (above), the Court of Appeal held that, in the absence of explicit words, a judgment or award obtained by a creditor against the principal debtor does not bind, and is not evidence against, a surety, who is entitled to have the liability proved as against him in the same way as against the principal debtor. The court pointed out that the judgment or award might have resulted from the principal debtor's neglect to defend or admission. The principle was applied in the context of an arbitration award in The Vasso (above), where a guarantee had been given of the due performance and payment of all liabilities and obligations of shipowners arising under or out of certain written agreements which included an arbitration clause. Mr Justice Robert Goff applied In re Kitchin, holding that the guarantee did not extend to the obligation to honour an award. He pointed out that an arbitration clause has special characteristics distinguishing it from the main obligations of the contract, as established by Heyman v Darwins, [1942] AC 356 - and confirmed, I would add, by subsequent cases. The distinction thus drawn, when considering the position of third parties, between on the one hand the main obligations of a contract and on the other hand an arbitration clause and any award relating to those obligations contrasts with, and in my view throws doubt upon, Mr Justice Saville's assimilation of the two in Moudreas. The general principle in In re Kitchin and in The Vasso was further applied in Hayter v Nelson Home Insurance, [1990] 2 Lloyd's Rep 265, where a reinsurer, who had been held liable to original insurers under an arbitration award, claimed to recover the amount of such liability from his retrocessionaires. Mr Justice Saville there said, citing In re Kitchin, that just as a surety could not be bound by such an award or judgment, absent agreement, so a retrocessionaire was not.
56. In Stargas SpA v Petredec Ltd (The Sargasso), [1994] 1 Lloyd's Rep 412, it had been determined by arbitration award that charterers were liable to sub-charterers under a voyage charter for contamination of the cargo. Charterers claimed from disponent owners an indemnity by way of damages under the head time charter. Mr Justice Clarke held that it was for charterers to prove both the breach of the head charter and that it put them in breach of the voyage charter, but that, once they had done this, the arbitrators' award (based on their conclusion that there had been a similar breach) could be regarded as caused by the disponent owners' breach and so as quantifying the damages flowing from that breach, unless it could be shown that the charterers had failed to mitigate their loss or that the award was perverse or unreasonable. Mr. Justice Clarke considered Moudreas as well as The Vasso and Hayter v Nelson in the course of his judgment, but his decision appears to me to have turned on a relatively limited point of causation and not to bear on the issue that we have to decide.
57. In Hollington v Hewthorn Lord Justice Goddard, after giving his reasons for considering that a judgment was neither conclusive nor of evidential weight in subsequent proceedings, went on:
A judgment, however, is conclusive as against all persons of the existence of a state of things which it actually affects when that state of things is a fact in issue. Thus, if A sues B, alleging that owing to B's negligence he has been held liable to pay £x to C, the judgment obtained by C is conclusive as to the amount of damages that A has had to pay C, but it is not evidence that B was negligent. ... and B can show, if he can, that the amount recovered was not the true measure of damage.
That reasoning appears to me consistent with that of Mr Justice Clarke in The Sargasso. The fact of the judgment for £x can be relied upon as the causative result of B's breach of duty, although it is open to B to try to show that (as between himself and A) his liability to A should give rise to damages measured on some other basis. Where the breaches of duty are effectively the same, as in The Sargasso, this may involve showing either that A failed to mitigate, by taking some obvious point in answer to C's claim, or that the amount awarded was for some other reason so erroneous as to break the chain of causation, or of course that the contract between A and B itself stipulated for some other measure or contained relevant limitations or exceptions."
Issue 6: did the judge err in ordering that the costs payable by the appellants should be paid on an indemnity basis?
"79. … Mr Freedman submits that the behaviour of Mr Simms, Jack and Helga has been deplorable, especially in relation to disclosure, and should be visited with an indemnity costs order. He relies in particular on the following:
a. Adverse findings about the honesty of Mr Simms, Jack and Helga in connection with their evidence. There was deliberate lying, which had to be uncovered in order, finally, for all of the layers of falsity to be revealed. Whilst I accept what Mr Freedman says in relation to Jack and Helga, I think that it is unfair to Mr Simms where most of my criticisms were directed not at his evidence but at what he told third parties during the course of the Bangladesh project.
b. Adverse findings about the disclosure provided (including the failure to adduce evidence to make good assertions in the evidence of Mr Simms, Jack and Helga). The fact that some of the most important documents emerged during the trial is testimony to how serious this non-disclosure of documents was. My judgment does indeed contain several references to the lamentable disclosure in this action as well as the arbitration. It is true also that important documents emerged during the trial. All of them (Mr Simms, Jack and Helga) must take responsibility for this.
c. The conduct of the Defendants made necessary a vast number of applications in order to unearth how limited were the assets of Brinton. Moreover, the important evidence of Dr. Marxer only came about as a result of so many applications despite every attempt of Jack and Helga to stand in the way of the provision of such information. Again, this criticism of Jack and Helga is justified. It is less justified in the case of Mr Simms.
d. Jack's and Helga's deliberate evasion of service of proceedings and court orders, and subsequent untrue evidence about that, the lies only emerging by way of admissions extracted during the case.
e. The lies and inaccuracies contained in detailed statements and affidavits (from Jack and Helga and from third parties such as Maitre Croisier) about the settling of assets into Brinton from the affidavits of disclosure onwards.
f. The protracted attempts on the part of the Defendants to resist the identity of Brinton being revealed. Mr Simms assisted in this, I consider, although the primary opposition may have been orchestrated by or on behalf of Jack and Helga.
g. The persistent refusal by Jack and Helga to identify where their assets really were, since they were not within Brinton. DGI was able to find out about Cooke Investments Ltd which, as I describe in my judgment, was effectively used by Helga as a bank account."
"In relation to Jack and Helga, I consider that this is an appropriate case for an award of indemnity costs against them in the light of the factors which I have set out in [79] above. I have found the position far more difficult in relation to Mr Simms. I am persuaded that an indemnity order should be made against him too but my reason for that conclusion is ultimately his failure to provide proper disclosure of material which in the end included documents which turned out to be of great importance, in particular the e-mails surrounding the "playing the game" e-mail."
"118. Mr Freedman complains bitterly about the lack of proper disclosure, inviting me to make adverse inferences against the defendants whenever facts are in dispute. He also attaches a huge importance to Jack's email to Mr Simms dated 16 September 1997, focussing on the phrase "playing the game" which, he says, summarises perfectly what Jack and Mr Simms were up to – that is to say deceiving DGI and leading it, and Alex and Haig, along a path which, had they known the truth of Jack's true role, they would never have embarked upon."
"571. Although Jack's emails to Alex on 13 and 16 September 1997 (copied to Mr Simms) and his "playing the game" email of 16 September to Mr Simms all post-dated the conclusion of the Option Agreement, they are a significant confirmation of the way in which Jack was operating and the way in which Mr Simms understood him to be operating. They show, I think, quite clearly that Jack was not only hiding his involvement but had been leading Alex to think that he was only an intermediary. None of this appears to have come as any surprise to Mr Simms; at least, there is no evidence at all to suggest that he was remotely surprised by the contents of the emails or that he disapproved of what Jack was doing."
Issue 7: did the judge err in the exercise of his discretion when he refused to discharge the interim freezing orders made against the appellants?
"27. I consider that the failure to draw the attention of Lindsay J to Jack and Helga's position in relation to the arbitration and their position concerning Eastcastle, was a material non-disclosure. With the benefit of hindsight it is, of course, easy to see that Jack and Helga's participation or non-participation in the arbitration (as funders and persons calling the shots behind the scenes) would be a very important point in deciding whether they were privies to the arbitration. I do not, however, consider that it is only, or even mainly, the benefit of hindsight which shows the importance of Jack and Helga's participation to that issue. Paragraph 7 relied on paragraph 29 which in turn relied on paragraphs 21 to 26, and thus on Conspiracy II. It was always part of DGI's case that Jack and Helga were involved behind the scenes in the arbitration and indeed in his witness statement dated 27 August 2004, Mr Clarke there expressed his scepticism about their non-involvement given the paucity of evidence about Eastcastle."
"60. The claimants have failed to disclose that the third and fourth defendants played no part in bringing either the New York action or the arbitration. As the claimants well knew, and this was accepted both by the claimants and the arbitrator, by June 1998, the third and fourth defendants had no dealings with Charlton and Eastcastle, which has no connection whatsoever with the third and fourth defendants, had agreed to take over the arrangement with the first claimant, to take a controlling interest in Charlton and to cash collateralise the letter of credit of $1.5 million from its own resources. In paragraph 34 of Mr Clarke's affidavit he totally fails to identify that Eastcastle had nothing to do with the third and fourth defendants and was controlled by a Mrs Pauline Alianza, and Mr Ammerman both resident in Phoenix, Arizona. Mrs Alianza gave evidence in the arbitration."
"Two questions arise whenever there is an application by a defendant to enforce the cross undertaking in damages. The first question is whether the undertaking ought to be enforced at all. This depends on the circumstances in which the injunction was obtained, the success or otherwise of the plaintiff the trial, the subsequent conduct of the defendant and all the other circumstances of the case. It is essentially a question of discretion. Discretion is usually exercised by the trial judge since he was bound to know more of the facts of the case than anyone else. If the first question is answered in favour of the defendant, the second question is whether the defendant suffered any damage by reason of the granting of the injunction."
"32. Whereas the usual practice in respect of interlocutory injunctions is not to order an inquiry into damages on the cross-undertaking until the merits of the action have been finally decided at trial, in cases where a Mareva injunction is involved, a defendant or other party bound in respect of whom the injunction is discharged at any stage may seek, and be granted, an inquiry into damages on the basis that, regardless of the ultimate merits of the action, the injunction was 'wrongly granted'. That term is in my view preferable to 'improperly obtained', because impropriety seems to me to carry connotations of improper conduct by the applicant, such as non-disclosure of material facts, whereas the term 'wrongly granted' covers the far wider circumstances in which the injunction may be discharged and an inquiry ordered. In respect of those wider circumstances it is necessary, for the purposes of the argument in this case, to distinguish between the position where the order is attacked on the grounds that the court lacked jurisdiction to make it and the position where the court makes an order within its jurisdiction but which is subsequently demonstrated or conceded to have been too wide in its scope or unjustified or inappropriate on the facts.
33. Upon discharge of a Mareva injunction, the court has a discretion whether or not to enforce the undertaking in damages. It may enforce it by a summary award of damages: see Practice Direction (Mareva and Anton Piller Orders: New Forms) [1994] 4 All ER 52 at 54, paragraph (4) of which requires consideration of such a remedy when the injunction is discharged on its return date. More usually, the court, having exercised its discretion to enforce the undertaking, may order an inquiry as to damages. In appropriate cases it may adjourn the application to the trial or further order, as in Cheltenham & Gloucester Building Society -v- Ricketts [1993] 1 WLR 1545. It may decide that the undertaking is not to be enforced. However, if it is established that the injunction was wrongly granted, albeit without fault on the plaintiff's part, the court will ordinarily order an inquiry as to damages in any case where it appears that loss may have been caused as a result.
34. The question whether the undertaking should be enforced is a separate question from the question whether the injunction The question whether the undertaking should be enforced is a separate question from the question whether the injunction should be discharged. The order for an inquiry as to damages is discretionary, such discretion being exercised in accordance with equitable principles, taking into account all the circumstances of the case, but bearing in mind that, since the injunction should not have been obtained, prima facie the plaintiff ought to bear the loss: see Financiera Avenida -v- Shiblaq [1991] The Times 14th January (CA Civil Division). As observed by James LJ in Graham -v- Campbell (1877) 7 Ch. D. 490 at 494, the undertaking ought to be given effect except under 'special circumstances'. Those special circumstances include the conduct of the injunctee at the time the injunction was obtained or later, see per Lord Diplock in F. Hoffmann -v- La Roche & Co AG -v- Secretary of State [1975] AC 295 at 361. However, whilst the principles referred to above have been enunciated as generally applicable to the exercise of the court's discretion whether or not to order an inquiry as to damages, if the reason for the discharge of the injunction is that the court lacked jurisdiction to make it in the first place, it is difficult to envisage any circumstances in which the court would refuse to order an inquiry as to damages upon some evidence of loss: c.f. Norwest Holst Civil Engineering Limited -v- Polysius Limited (1987) The Times, 23rd July, where the court held that, regardless of the merits of the substantive claim, the obtaining of Mareva relief had been misconceived in that it was clear that there was no substantial risk of dissipation of assets and the court directed an inquiry even though the merits of the claim had not yet been decided."
"I can understand the plaintiff's disappointment, and indeed sense of frustration, in obtaining a judgment in their favour (albeit far less than they originally claimed) and then finding that the amount for which they are allowable on the cross undertaking in damages is more than the amount that they have recovered. But I can see no fault or flaw in the judge's approach or in his conclusion on either causation or on quantum."
Application to strike out the notices of appeal
1. Introduction
"(1) The appeal court may –
(a) (a) strike out the whole or part of an appeal notice;
(b) (b) set aside permission to appeal in whole or in part;
(c) (c) impose or vary conditions upon which an appeal may be brought.
(2) The court will only exercise its powers under paragraph (1) where there is a compelling reason for doing so."
2. Background
3. Relevance of the newly discovered documents
4. Jurisdiction
"54. It would be open to this court to allow the appeal against the judge's refusal to strike out the petition on that ground alone. But, for my part, I would allow that appeal on a second, and additional, ground. I adopt, as a general principle, the observations of Millett J in Logicrose Ltd v Southend United Football Club Ltd (1988) Times, 5 March, that the object of the rules as to discovery is to secure the fair trial of the action in accordance with the due process of the court; and that, accordingly, a party is not to be deprived of his right to a proper trial as a penalty for disobedience of those rules, even if such disobedience amounts to contempt for or defiance of the court, if that object is ultimately secured, by (for example) the late production of a document which has been withheld. But where a litigant's conduct puts the fairness of the trial in jeopardy, where it is such that any judgment in favour of the litigant would have to be regarded as unsafe, or where it amounts to such an abuse of the process of the court as to render further proceedings unsatisfactory and to prevent the court from doing justice, the court is entitled, indeed, I would hold bound, to refuse to allow that litigant to take further part in the proceedings and (where appropriate) to determine the proceedings against him. The reason, as it seems to me, is that it is no part of the court's function to proceed to trial if to do so would give rise to a substantial risk of injustice. The function of the court is to do justice between the parties; not to allow its process to be used as a means of achieving injustice. A litigant who has demonstrated that he is determined to pursue proceedings with the object of preventing a fair trial has forfeited his right to take part in a trial. His object is inimical to the process which he purports to invoke."
"72. When exercising any power under the rules, the court must, by virtue of r 1.2, seek to give effect to the overriding objective. The overriding objective in its rightful place at the forefront of the rules is in these terms:
'1.1(1) These Rules are a new procedural code with the overriding objective of enabling the courts to deal with cases justly.
(2) Dealing with a case justly includes, so far as is practicable—(a) ensuring that the parties are on an equal footing; (b) saving expense; (c) dealing with the case in ways which are proportionate—(i) to the amount of money involved; (ii) to the importance of the case; (iii) to the complexity of the issues; (iv) to the financial position of each party; (d) ensuring that it is dealt with expeditiously and fairly; and (e) allotting to it an appropriate share of the court's resources, while taking into account the need to allot resources to other cases.'
It is not at all clear to me to what extent, if at all, the judge had the overriding objective in mind as setting out the parameters for the exercise of his discretion. He correctly saw at the beginning of his judgment that the source of his power to strike out lay in r 3.4 but he did not trace back through the case management rules to r 1.1. Even though this was a reserved judgment it may still be unfair to the judge to engage in too close a textual analysis of his judgment and infer from the omission of express reference to the overriding objective that he did not direct himself to it. Consequently I prefer to assume he had it in mind. Nevertheless, there is still every indication that he regarded the risk of a fair trial not being possible as the factor of crucial, even overriding, weight. It undoubtedly is a factor of very considerable weight. It may often be determinative. If the court is satisfied that the failure to disclose a document or the effect of a tampered document can no longer corrupt the course of the trial, then it would be a factor of much less and perhaps even little weight in considering a strike out. Where, in my judgment, Evans-Lombe J erred, was to treat the question of a fair trial as the only material factor. It was not: other matters have now to be put in the scales and weighed.
73. …The judge did not, however, treat cost and time as elements of the overriding objective. He did not appear to allot to the case an appropriate share of the court's resources while taking into account the need to allot resources to other cases. In this day and age they are elements of case management which must not only be seen to have been placed in the scales but also given due and proper weight when assessing how justice is to be done to the parties and to other litigants. The balance must be struck so that the case is dealt with in a way which is proportionate to the amount of money involved in the case, its importance and complexity and the financial position of the parties…
74. This was, therefore, a flagrant and continuing affront to the court. Striking out is not a disproportionate remedy for such an abuse, even when the petitioners lose so much of the fruits of their labour."
5. Discussion on the strike out application
"It seems to me to be of the highest importance that the court should very firmly discourage the bringing of satellite litigation under the guise of an application under CPR, r.52.9. The rule is there to cater for the rare case in which the lower court's justice granting permission to appeal has actually been misled. If he has, the court's process has been abused and that is of course a special situation. There may also be cases where, as Longmore LJ indicated in Nathan v Smilovitch [2002] EWCA Civ 759, some decisive authority or statute has been overlooked by the lord justice granting permission. But where such a state of affairs is asserted, the learning in question must in my view be plainly and unarguably decisive of the issue. If there is anything to argue about, an application to set aside grant of permission will be misconceived."
Respondents' Notice and Applications to adduce fresh evidence on the appeals
Disposition