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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 >> WH Holding Ltd & Anor v E20 Stadium LLP [2018] EWHC 2578 (Ch) (05 October 2018) URL: http://www.bailii.org/ew/cases/EWHC/Ch/2018/2578.html Cite as: [2018] EWHC 2578 (Ch) |
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BUSINESS AND PROPERTY COURTS OF ENGLAND & WALES
BUSINESS LIST (CHD)
Royal Courts of Justice
7 Rolls Building
Fetter Lane, London
EC4A 1NL
B e f o r e :
____________________
WH HOLDING LIMITED WEST HAM UNITED FOOTBALL CLUB LIMITED |
Claimants |
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- and - |
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E20 STADIUM LLP |
Defendant |
____________________
Thomas Plewman QC and Laura Newton (instructed by Gowling WLG) for the Defendant
Hearing dates: 16-17 August, 11 and 13 September 2018
____________________
Crown Copyright ©
MR JUSTICE SNOWDEN:
Background
The pleaded case
56A. E20's consideration of WHUFC's requests for increased capacity and its refusal to apply for the necessary Grantor Consents on the grounds of cost and safety were in breach of the express and/or implied terms of the CA and in particular were not in good faith:
a. E20 has failed to conduct any, or any adequately detailed, cost/benefit and/or safety analysis of the consequences of a successful application for Grantor Consents permitting 60,000 seats to be used for Events at the Stadium. In particular, E20 has failed in good faith, and to the Standards of a Reasonable and Prudent Operator, to assess whether or not the costs of an increased capacity of 60,000 would be greater than or lesser than the benefits outlined at paragraph 42a. above or whether there are any adverse safety implications of the said increase.
b. E20's justification for its refusal at a meeting with WHUFC on 31st January 2017 was that it harboured concerns about safety issues. In making this assertion, without conducting the analysis referred to above, E20 wrongly advanced a justification for its breach of the CA without any genuine belief in its truth, or alternatively being reckless as to its truth. This was (and is) contrary to good faith and fell below the Standards of a Reasonable and Prudent Operator.
c. E20 has further justified its refusal by reference to increased operating costs in communications and negotiations over the Interim Seating Agreement … [in 2016] … In making these assertions without conducting the analysis referred to above, E20 wrongly advanced a justification for its breach of the CA without any genuine belief in its truth, or alternatively being reckless as to its truth. This was (and is) contrary to good faith and fell below the Standards of a Reasonable and Prudent Operator.
d. Further and alternatively, in the event that an increase to a capacity of 60,000 seats for Events at the Stadium would be commercially disadvantageous to E20, E20 has failed in good faith, and in accordance with the Standards of the Reasonable and Prudent Operator, to inform WHUFC of the quantum of the costs said to be associated with an increase in capacity to 60,000 or the revenue which E20 would derive from such an increase in capacity.
e. In the premises, E20's statements to the effect that cost and/or safety are the reasons for its refusal to seek an increase in capacity are not truthful and/or are not made in good faith and/or are not reasonable statements in the light of E20's failure to conduct any analysis of these issues. E20's true reason for refusing to seek an increase in the capacity of the Stadium lay in a desire to extract an increased Usage Fee from the Claimants.
"As to paragraph 56A:
(1) It is denied that E20's consideration of West Ham's requests for increased capacity and its refusal to apply for the necessary Grantor Consents on the grounds of cost and safety were in breach of any terms of the CA…
(2) …
(3) E20 believed
(i) that it was not required by the CA to agree to an increase in the capacity of the Stadium or to seek the Grantor Consents necessary for that purpose:
(ii) that it was entitled to negotiate a commercial agreement at arm's length should West Ham wish for the available seating in the stadium to be increased: and
(iii) at the time of West Ham's requests referred to in paragraph 54, that
(a) there were safety issues affecting any increase in capacity, and
(b) the costs to E20 should the capacity be increased without any further Usage Fee would be greater than the benefits.
(4) E20 analysed at a high level the estimated operational costs and revenues of increased capacity prior to and at the time of negotiations in relation to the Interim Seating Agreement in the summer and autumn of 2016, by estimating match day operational costs and revenues per person and extrapolating from them on a rough and ready basis, and making some allowances for the fact that not all costs would be variable. These analyses informed its belief that the costs of increasing capacity would be greater than the benefits, but E20 does not allege that these analyses were a rigorous cost benefit analysis.
(5) In the course of the negotiations of the Interim Seating Agreement, E20 communicated to West Ham proposed estimates of the incremental net operational costs, but not the details of their calculations; and West Ham did not require detailed calculations to be provided at that stage (although it was recognised that for purposes of the ISA more detailed reconciliation might be required in the future).
(6) E20 did not and did not in the documents referred to in sub-paragraph (c) purport to justify its refusal by reference to increased operating costs. Rather, each of these documents reflects E20's understanding that West Ham's entitlement under the CA was for 53,500 seats and that any further capacity in excess of that would need to be subject of a separate commercial agreement with West Ham….
(7) In January 2017 (and before) litigation between West Ham and E20 in regard to seating capacity was in contemplation. E20 undertook work and made and received privileged communications in regard to the costs and benefits of increased seating capacity and the approach to the impending dispute, over which privilege is not waived. It is admitted that E20 did not then communicate any analysis of the costs and benefits to West Ham, and West Ham did not request that such an analysis be provided.
(8) It is admitted that at a meeting with West Ham on 31 January 2017 E20 said that it had concerns about safety issues associated with an increase in capacity. Those statements reflected E20's belief and were advanced in good faith. Its concerns about safety arose from the experience of the operation of the stadium from 2016. Concerns about safety associates with egress were specifically raised at E20's Board meeting on 31 January 2017, and a specialist consultant Mr Allison was instructed to report on them. In a report dated 28 February 2017 Mr Allison agreed that testing of a new egress plan was required in regard to safety.
(9) Objectively, the costs to E20 of applying for Grantor Consents for 60,000 seats and making those seats available to West Ham outweighed the attendant benefits.
(10) It is admitted that, save for the proposed estimates of net operation costs debated in the Interim Seating Agreement negotiations, and in the evidence filed in these proceedings, E20 has not informed West Ham of the quantum of costs and revenues to E20 associated with an increase in capacity; but it is denied that it was or is obliged to do so, whether under the Standards of a Reasonable and Prudent Operator or otherwise.
(11) It is admitted that E20 believes that it is entitled to negotiate a commercial agreement including an increased usage fee in return for an increase in the capacity of the Stadium. Its true reason for refusing to seek an increase in the capacity of the Stadium without concluding such a commercial agreement is that it does not believe it is obliged to do so.
(12) It is denied that the Standards of a Reasonable and Prudent Operator are engaged in this context; further or alternatively it is denied that E20 fell below such standards in this (or any other) respect.
(13) Paragraph 56A is otherwise denied."
The process of disclosure and redaction
" …. a first, second and third stage review of the Review Population was carried out by the reviewers. I can confirm (without waiver of privilege) that I briefed the Review Team ahead of their review of the Review Population to carry out redactions where a part of a document was both irrelevant and commercially sensitive. Accordingly, no documents should have been redacted solely on the grounds of irrelevance, and no relevant document for commercial sensitivity. I instructed the Review Team to take a broad approach to the concept of "commercially sensitive" given the litigious nature of the relationship between the parties, and the fact that almost every issue under the Concession Agreement has been in dispute, is in dispute or has the potential to be in dispute in the future. Such issues have in the past included apparently anodyne issues (wholly irrelevant to these proceedings) including (but without limitation) those relating to business rates, completion dates, 'fanstallation', Hawkeye and signage."
"E20's relevant financial information is its financial information which,
1. goes to E20's reasons for not applying for Grantor Consents permitting an increase in the capacity for football matches to be held at the London Stadium in response to [West Ham's] requests … or any decision by E20 not to revise or change its earlier response(s) to those requests; or
2. goes to E20's pleaded reliance on the anticipated interim seating agreement …; or
3. goes to the reasonableness of E20's refusal to apply for Grantor Consents permitting an increase in the capacity for football matches to be held at the London Stadium in response to [West Ham's] requests … in the sense that it is information relevant to an assessment of the material incremental operational and capital costs and benefits to E20 of increasing the number of seats provided to West Ham under the Concession Agreement and of obtaining the necessary Grantor Consents to permit that increase in capacity."
The rival contentions in outline
The law on redactions for irrelevance
"It has long been the practice that a party is entitled to seal up or cover up parts of a document which he claims to be irrelevant. Bray's Digest of the Law of Discovery, 2nd ed. (1910), pp. 55–56 puts the matter succinctly:
"Generally speaking, any part of a document may be sealed up or otherwise concealed under the same conditions as a whole document may be withheld from production; the party's oath for this purpose is as valid in the one case as in the other. The practice is either to schedule to the affidavit of documents those parts only which are relevant, or to schedule the whole document and to seal up those parts which are sworn to be irrelevant; …""
"In my view, the test for whether on discovery part of a document can be withheld on grounds of irrelevance is simply whether that part is irrelevant. The test for whether part can be withheld on grounds of privilege is simply whether that part is privileged. There is no additional requirement that the part must deal with an entirely different subject matter from the rest.
The Peruvian Guano test must be applied to the information contained in the covered-up part of the document, regardless of its physical or grammatical relationship to the rest. Relevant and irrelevant information may, as in this case, be contained in the same sentence. Provided that the irrelevant part can be covered without destroying the sense of the rest or making it misleading, a party is permitted to do so."
"In substantial litigation, it is common for documents to be blanked out. However the trend is often to do so unthinkingly, without analysing properly the basis or justification for so doing. When the blanking out is challenged, and the redaction revealed, this can at the least make the lawyers look foolish for having sought to blank out without justification, and worse, can make the client look as though he is trying to hide something. Where material in the document is simply irrelevant, it is unlikely that there will be any point in blanking it out unless it is confidential. Blanking out part of a document always seems to excite interest in the document and the hidden contents for the other side.
But lawyers are increasingly going beyond what is permissible. Large numbers of documents are disclosed with black lines through them in a way which makes it impossible to see what the basis of the redaction is or whether it is appropriate. On examination, too often these documents turn out to have been redacted based on an unjustifiably narrow definition of relevance. Passages redacted turn out to be material after all. Or the purported redaction on the ground of privilege is made because an expert or lawyer is referred to in the document even though there is no reference to legal advice. Sloppy and unjustified redactions seem to have become increasingly popular. Steps need to be taken to stop this. It will often be sensible to ask for the lawyers to ask to see the original unredacted document on terms that the contents are not communicated to the client. There can surely be no objection to this in any case where the redaction is not based on privilege. Where the redaction is based on privilege, then it will be inappropriate to have sight of the other side's document referring to privileged legal advice. But there is no reason why the other side should not be asked to identify with precision the basis of the redaction - not merely whether it is on grounds of privilege, but explaining whether it is referring to legal advice or some other basis.
In GE Capital the Court of Appeal said that it was incumbent on the legal adviser to examine the communications in question critically to see whether there are any non-privileged parts which should be disclosed to the other side. At present, however, the right to redact is being regularly abused, and the courts should be vigilant to stop this."
"There is now express provision under the CPR for the court to require production to itself in order to determine whether to order disclosure or inspection, which suggests the procedure will be used more readily. Practically where the matter arises at trial, inspection by the court dispels any suggestion that there are sinister undisclosed documents lurking under some dubious claim for privilege or irrelevance. Skilful advocacy can sometimes give rise to a suspicion that there is more beneath the surface than is actually the case. So there are times when inspection by the court resolves all difficulties.
However, there are inherent difficulties in inspection by the court which the cases do not in general grapple with. First, the disclosure exercise is always carried out under the supervision of the lawyers, and relies upon the lawyers fulfilling their duties to the court. Day-to-day decisions as to whether to disclose specific documents are taken by the lawyers. No one else is in a position to make those decisions, and there is in practice no supervision by the court as to whether, for example, the lawyers have taken a wrong view of privilege or relevance. Applications for specific disclosure only provide the most limited supervision because the other party simply will not be aware in most cases of the facts relied upon to justify a particular claim for privilege or irrelevance, and the basis for such decisions will not usually be transparent. Given that basic premise, it is illogical for the court to be asked to intervene other than in a case where there is reason to believe on evidence that the lawyers have either misunderstood their duty or are not to be trusted with the decision-making. These will be exceptional cases.
….
Secondly, and more importantly, inspection by the court is usually effected in circumstances in which only one party has seen the documents in question. It would be possible for the documents to be disclosed to the other side for the purpose of facilitating inspection by the court, and disclosed to the lawyers only, but this is rarely done for this purpose and will sometimes be impractical, such as where a claim for privilege is under consideration. It is extremely unsatisfactory that the court should be asked to make a decision where the information available to the parties is different.… Unless both parties consent to inspection by the court, problems may therefore arise in the parties not having equal access to the court, which gives rise to Art. 6 problems as well as under r. 1.1(2)(a) of the CPR [ensuring that the parties are on an equal footing] and thus makes the exercise less attractive to the court."
"I accept and adopt the principle that looking at the documents should be a matter of last resort. In my judgment the appropriate course to be adopted in an application under CPR r 31.19(5) where the right being relied on is privilege or irrelevance, is for the court to proceed by way of stages as follows:
(1) The Court has to consider the evidence produced on the application.
(2) If the Court is satisfied that the right to withhold inspection of a document is established by the evidence and there are no sufficient grounds for challenging the correctness of that asserted right, the Court will uphold the right.
(3) If the Court is not satisfied that the right to withhold inspection is established because, for instance, the evidence does not establish a legal right to withhold inspection, then the Court will order inspection of the documents.
(4) If sufficient grounds are shown for challenging the correctness of the asserted right then the Court may order further evidence to be produced on oath or, if there is no other appropriate method of properly deciding whether the right to withhold inspection should be upheld, it may decide to inspect the documents.
(5) If it decides to inspect then having inspected the documents it may invite representations."
My decision to inspect
My approach to inspection
The result of my inspection