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England and Wales High Court (Chancery Division) Decisions |
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You are here: BAILII >> Databases >> England and Wales High Court (Chancery Division) Decisions >> Long v Value Properties Ltd & Anor [2014] EWHC 2981 (Ch) (30 September 2014) URL: http://www.bailii.org/ew/cases/EWHC/Ch/2014/2981.html Cite as: [2014] EWHC 2981 (Ch) |
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CHANCERY DIVISION
ON APPEAL FROM THE SENIOR COURT COSTS OFFICE
COSTS JUDGE MASTER ROWLEY
IN THE MATTER OF
1,3 & 5 ARGALL AVENUE
Appeal Ref: CH/2014/0061 Royal Courts of Justice Strand, London, WC2A 2LL |
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B e f o r e :
____________________
NORAH CHRISTINA LONG |
Claimant/ Appellant |
|
- and - (1) VALUE PROPERTIES LIMITED (2) OCEAN TRADE LIMITED |
____________________
Mr Guy Holland of counsel (instructed by Groom Halliday Solicitors and Temple Cost
Lawyers) for the First Defendant
Mr Donal Moran Cost Lawyer (instructed by London Solicitors LLP) for the Second Defendant
Hearing dates: 16th and 17th June 2014
____________________
Crown Copyright ©
Mr Justice Barling:
Introduction
Background
The Judgment of Master Rowley
The relevant provisions of the CPR
The overriding objective
1.1— (1) These Rules are a new procedural code with the overriding objective of enabling the court to deal with cases justly and at proportionate cost.
(2) Dealing with a case justly and at proportionate cost 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; and(iv) to the financial position of each party;(d) ensuring that it is dealt with expeditiously and fairly;(e) allotting to it an appropriate share of the court's resources, while taking into account the need to allot resources to other cases ; and(f) enforcing compliance with rules, practice directions and orders.
Application by the court of the overriding objective
1.2 The court must seek to give effect to the overriding objective when it—
(a) exercises any power given to it by the Rules; or(b)interprets any rule…
Relief from sanctions
3.9—(1) On an application for relief from any sanction imposed for a failure to comply with any rule, practice direction or court order, the court will consider all the circumstances of the case, so as to enable it to deal justly with the application, including the need—
(a) for litigation to be conducted efficiently and at proportionate cost; and(b) to enforce compliance with rules, practice directions and orders.
Commencement of detailed assessment proceedings
47.6— (1) Detailed assessment proceedings are commenced by the receiving party serving on the paying party—
(a) notice of commencement in the relevant practice form; and(b) a copy of the bill of costs.
[NB. Rule 47.7 provides for a period of 3 months from the date of judgment for commencing detailed assessment proceedings.]
Points of dispute and consequence of not serving
47.9—(1) The paying party and any other party to the detailed assessment proceedings may dispute any item in the bill of costs by serving points of dispute on—
(a) the receiving party; and(b) ….
(2) The period for serving points of dispute is 21 days after the date of service of the notice of commencement.
Detailed assessment hearing
47.14— (1) Where points of dispute are served in accordance with this Part, the receiving party must file a request for a detailed assessment hearing within 3 months of the expiry of the period for commencing detailed assessment proceedings as specified—
(a) in rule 47.7; or(b) by any direction of the court.
…..
THE COSTS PRACTICE DIRECTION
Section 32 Commencement of detailed assessment proceedings: Rule 47.6
32.2 A detailed assessment may be in respect of:
(1) …
(2) ….
(3) both base costs and additional liability.
……
32.3 If the detailed assessment is in respect of costs without any additional liability, the receiving party must serve on the paying party and all the other relevant persons the following documents:
(a) a notice of commencement;(b) a copy of the bill of costs;(c) copies of the fee notes of counsel and of any expert in respect of fees claimed in the bill;(d) written evidence as to any other disbursement which is claimed and which exceeds £500;(e) a statement giving the name and address for service of any person upon whom the receiving party intends to serve the notice of commencement.
…..
32.5 The relevant details of an additional liability are as follows:
(1) In the case of a conditional fee agreement with a success fee:
(a) ….(b) ….(c) where the conditional fee agreement was entered into on or after 1st November 2005…., either a statement of the reasons for the percentage increase or a copy of the risk assessment prepared at the time that the conditional fee agreement was entered into;(d) if the conditional fee agreement is not disclosed ……[NB In the present case the CFA was disclosed]
……
32.7 If a detailed assessment is in respect of both base costs and an additional liability, the receiving party must serve on the paying party…. the documents listed in paragraph 32.3 and the documents giving relevant details of an additional liability listed in paragraph 32.5.
Part 44 G eneral rules about costs [Before April 1, 2013]
Limits on recovery under funding arrangements
44.3B— (1) Unless the court orders otherwise, a party may not recover as an additional liability—
(a) …….(b) …….(c) any additional liability for any period during which that party failed to provide information about a funding arrangement in accordance with a rule, practice direction or court order;(d) any percentage increase where that party has failed to comply with—(i) a requirement in the Costs Practice Direction; or(ii) a court order,to disclose in any assessment proceedings the reasons for setting the percentage increase at the level stated in the conditional fee agreement;(e) any insurance premium where that party has failed to provide information about the insurance policy in question by the time required by a rule, practice direction or court order.
…….
(Rule 3.9 sets out the circumstances the court will consider on an application for relief from a sanction for failure to comply with any rule, practice direction or court order.)
Providing information about funding arrangements
44.15—(1) A party who seeks to recover an additional liability must provide information about the funding arrangement to the court and to other parties as required by a rule, practice direction or court order.
…..
(The Costs Practice Direction sets out—
- the information to be provided when a party issues or responds to a claim form, files an allocation questionnaire, a pre-trial check list, and a claim for costs;
- …)
(Rule 44.3B sets out situations where a party will not recover a sum representing any additional liability.)
The appeal
(a) there was no breach of the CPR by the claimant in failing to provide the Further Information at the commencement of the detailed assessment proceedings;
(b) if, contrary to (a), the claimant was in breach, the applicable sanction was not to be found in r.44.3(B)(1)(d), which applies only where there has been a complete failure to serve the information in question, but rather in r.44.3(B)(1)(c);
(c) if there was a breach, and if the more severe sanction was applicable, the Judge ought to have found that the breach was trivial and/or ought in all the circumstances to have granted relief.
"Normally a party cannot raise in subsequent proceedings claims or issues which could and should have been raised in the first proceedings. Equally, a party cannot, in my judgment, normally seek to appeal a trial judge's decision on the basis that a claim, which could have been brought before the trial judge, but was not, would have succeeded if it had been so brought….It is not merely a matter of efficiency, expediency and cost, but of substantial justice. Parties to litigation are entitled to know where they stand."
The learned judge then stated that this general principle applied in all but exceptional cases. I was also referred to the Court of Appeal's judgment in Slack & Partners Ltd v Slack [2010] EWCA Civ 204.
Ground (a): Was there a breach?
"Although there was no breach of CPD 32.5(2)(c) in providing the redacted rather than the un-redacted insurance certificate there was a clear breach of the requirement of CPR 47.6 with CPD 32.4 and 32.5(2) to serve the insurance certificate with the Bill of Costs. The Notice of Commencement and Bill of Costs were served on 13 April 2011. The redacted insurance certificate…was not served until six months later, 18 November 2011." (Paragraph 69 of the judgment)
Ground (b): What is the applicable sanction?
Ground (c): Should relief from sanctions be granted?
"A judge should address an application for relief from sanctions in three stages. The first stage is to identify and assess the seriousness and significance of the "failure to comply with any rule, practice direction or court order" which engages rule 3.9(1). If the breach is neither serious nor significant, the court is unlikely to need to spend much time on the second and third stages. The second stage is to consider why the default occurred. The third stage is to evaluate "all the circumstances of the case, so as to enable [the court] to deal justly with the application including [factors (a) and (b)]". We shall consider each of these stages in turn identifying how they should be applied in practice. We recognise that hard-pressed first instance judges need a clear exposition of how the provisions of rule 3.9(1) should be given effect. We hope that what follows will avoid the need in future to resort to the earlier authorities." (Paragraph 24)
"it would be preferable if in future the focus of the enquiry at the first stage should not be on whether the breach has been trivial. Rather, it should be on whether the breach has been serious or significant. It was submitted on behalf of the Law Society and Bar Council that the test of triviality should be replaced by the test of immateriality and that an immaterial breach should be defined as one which "neither imperils future hearing dates nor otherwise disrupts the conduct of the litigation". Provided that this is understood as including the effect on litigation generally (and not only on the litigation in which the application is made), there are many circumstances in which materiality in this sense will be the most useful measure of whether a breach has been serious or significant. But it leaves out of account those breaches which are incapable of affecting the efficient progress of the litigation, although they are serious. The most obvious example of such a breach is a failure to pay court fees. We therefore prefer simply to say that, in evaluating a breach, judges should assess its seriousness and significance. We recognise that the concepts of seriousness and significance are not hard-edged and that there are degrees of seriousness and significance, but we hope that, assisted by the guidance given in this decision and its application in individual cases over time, courts will deal with these applications in a consistent manner." (Paragraph 25)
"31. The important misunderstanding that has occurred is that, if (i) there is a non-trivial (now serious or significant) breach and (ii) there is no good reason for the breach, the application for relief from sanctions will automatically fail. That is not so and is not what the court said in Mitchell: see para 37. Rule 3.9(1) requires that, in every case, the court will consider "all the circumstances of the case, so as to enable it to deal justly with the application". We regard this as the third stage.
32. We can see that the use of the phrase "paramount importance" in para 36 of Mitchell has encouraged the idea that the factors other than factors (a) and (b) are of little weight. On the other hand, at para 37 the court merely said that the other circumstances should be given "less weight" than the two considerations specifically mentioned. This may have given rise to some confusion which we now seek to remove. Although the two factors may not be of paramount importance, we reassert that they are of particular importance and should be given particular weight at the third stage when all the circumstances of the case are considered. That is why they were singled out for mention in the rule. It is striking that factor (a) is in substance included in the definition of the overriding objective in rule 1.1(2) of enabling the court to deal with cases justly; and factor (b) is included in the definition of the overriding objective in identical language at rule 1.1(2)(f). If it had been intended that factors (a) and (b) were to be given no particular weight, they would not have been mentioned in rule 3.9(1). In our view, the draftsman of rule 3.9(1) clearly intended to emphasise the particular importance of these two factors."
"40. …Nor should it be overlooked that CPR rule 1.3 provides that "the parties are required to help the court to further the overriding objective". Parties who opportunistically and unreasonably oppose applications for relief from sanctions take up court time and act in breach of this obligation.
41. We think we should make it plain that it is wholly inappropriate for litigants or their lawyers to take advantage of mistakes made by opposing parties in the hope that relief from sanctions will be denied and that they will obtain a windfall strike out or other litigation advantage. In a case where (a) the failure can be seen to be neither serious nor significant, (b) where a good reason is demonstrated, or (c) where it is otherwise obvious that relief from sanctions is appropriate, parties should agree that relief from sanctions be granted without the need for further costs to be expended in satellite litigation. The parties should in any event be ready to agree limited but reasonable extensions of time up to 28 days as envisaged by the new rule 3.8(4).
42. It should be very much the exceptional case where a contested application for relief from sanctions is necessary. This is for two reasons: first because compliance should become the norm, rather than the exception as it was in the past, and secondly, because the parties should work together to make sure that, in all but the most serious cases, satellite litigation is avoided even where a breach has occurred."
Submissions and discussion: relief from sanction
Conclusion