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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 >> Freshasia Foods Ltd v Jing Lu [2018] EWHC 3644 (Ch) (04 January 2019) URL: http://www.bailii.org/ew/cases/EWHC/Ch/2019/3644.html Cite as: [2018] EWHC 3644 (Ch) |
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BUSINESS AND PROPERTY COURTS OF ENGLAND AND WALES
INTELLECTUAL PROPERTY LIST (ChD)
Fetter Lane, London EC4 |
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B e f o r e :
Sitting as a Deputy Judge of the Chancery Division
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FRESHASIA FOODS LIMITED |
Claimant |
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-and- |
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JING LU |
Defendant |
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Ms Stephanie Thompson (instructed by Virtuoso Legal Limited) for the Defendant
Hearing date: 18 December 2018
Judgment with reasons to follow in writing: 19 December 2018
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Crown Copyright ©
MR DANIEL ALEXANDER QC
INTRODUCTION AND SUMMARY
"Until judgment following trial herein or further order in the meantime the Defendant must not (whether acting by himself, his servants or agents or by others acting on his behalf) do (or authorise, cause, assist, or enable others to do) the following acts of any of them without the consent of the Claimant:…
In respect of food products sold to Chinese retail shops and restaurants in the United Kingdom or elsewhere in the European Union, solicit the custom of, or sell or deliver to any private individual, firm, company or other person who at 28 September 2018 was (a) a customer of the Claimant to whom the Defendant had personally sold and/or delivered the Claimant's products on behalf of the Claimant, or (b) whom the Defendant had introduced to the Claimant or approached on behalf of the Claimant".
Procedural history
FACTS
Parties
Freshasia
Mr Lu
Kung Fu
Post termination restrictions
LAW
(a) Approach to interim injunction
Parties' arguments
Discussion
"was not dealing with a case in which the grant or refusal of an injunction at that stage would, in effect, dispose of the action finally in favour of whichever party was successful on the application, because there would be nothing left on which it was in the unsuccessful party's interest to proceed to trial. Cases of this kind are exceptional but when they do appear they bring into the balance of convenience an important additional element."
"If it will not be possible to hold a trial before the period for which the plaintiff claims to be entitled to an injunction has expired, or substantially expired, it seems to me that justice requires some consideration as to whether the plaintiff would be likely to succeed at a trial. In those circumstances it is not enough to decide merely that there is a serious issue to be tried."
"In the forefront of his argument counsel for Thorn-EMI submitted that the court should not grant an interlocutory mandatory injunction, amounting to specific performance of one of Thorn-EMI's alleged contractual obligations, unless there appeared a high probability that Films Rover would succeed in establishing its legal right at the trial. In this case the Court of Appeal has gone no further than to say that Films Rover has an arguable case and, as I have already said, I propose to treat that as meaning that Films Rover is at least as likely to fail as to succeed. Counsel said that fell well short of the standard of persuasion necessary for the grant of an interlocutory mandatory injunction.…The principal dilemma about the grant of interlocutory injunctions, whether prohibitory or mandatory, is that there is by definition a risk that the court may make the "wrong" decision, in the sense of granting an injunction to a party who fails to establish his right at the trial (or would fail if there was a trial) or alternatively, in failing to grant an injunction to a party who succeeds (or would succeed) at trial. A fundamental principle is therefore that the court should take whichever course appears to carry the lower risk of injustice if it should turn out to have been "wrong" in the sense I have described. The guidelines for the grant of both kinds of interlocutory injunctions are derived from this principle."
(b) Construction
"12. I do not accept that the principle of preference of enforceability to unenforceability can be invoked in favour of any alternative legitimate construction since the ingenuity of business and their lawyers may assert that many a plausible construction is a "legitimate" construction. This principle used to be expressed in the maxim "verba ita sunt intelligenda ut res magis valeat quam pereat" and is now called "Saving the document" (see Chitty 32nd edition para 13-084). But the principle can only go so far since one has to start with the language used by the parties; there must, in my view, be a genuine ambiguity before the principle can be invoked and I respectfully doubt whether Waller LJ meant, in the paragraph of Turner to which we were referred, to imply that ambiguity was not required. As Lord Hoffmann observed in BCCI v Ali [2002] 1 AC 251 para 39, when referring to the principle that parties are unlikely to have intended to agree to something unlawful or legally ineffective:-
"But the primary source for understanding what the parties meant is their language interpreted in accordance with conventional usage.""
(c) Enforceability
"The law relating to restrictive covenants in the employment context was not in dispute, although at trial and again on appeal the parties were able to point to different aspects of the jurisprudence in support of their respective cases. I take the following general principles from the discussion of the subject to be found in Chitty on Contracts, 31st ed, at paras 16-105ff and in the jurisprudence there cited.(i) Post-termination restraints are enforceable, if reasonable, but covenants in employment contracts are viewed more jealously than in other more commercial contracts, such as those between a seller and a buyer.(ii) It is for the employer to show that a restraint is reasonable in the interests of the parties and in particular that it is designed for the protection of some proprietary interest of the employer for which the restraint is reasonably necessary.
(iii) Customer lists and other such information about customers fall within such proprietary interests.
(iv) Non-solicitation clauses are therefore more favourably looked upon than non-competition clauses, for an employer is not entitled to protect himself against mere competition on the part of a former employee.
(v) The question of reasonableness has to be asked as of the outset of the contract, looking forwards, as a matter of the covenant's meaning, and not in the light of matters that have subsequently taken place (save to the extent that those throw any general light on what might have been fairly contemplated on a reasonable view of the clause's meaning).
(vi) In that context, the validity of a clause is not to be tested by hypothetical matters which could fall within the clause's meaning as a matter of language, if such matters would be improbable or fall outside the parties' contemplation.
(vii) Because of the difficulties of testing in the case of each customer, past or current, whether such a customer is likely to do business with the employer in the future, a clause which is reasonable in terms of space or time will be likely to be enforced. Moreover, it has been said that it is the customer whose future custom is uncertain that is "the very class of case against which the covenant is designed to give protection…the plaintiff does not need protection against customers who are faithful to him" (John Michael Design Plc v. Cooke [1987] 2 All ER 332, 334).
(viii) On the whole, cases in this area turn so much on their own facts that the citation of precedent is not of assistance."
a. construe the covenants;
b. consider whether Freshasia has shown it has legitimate business interests requiring protection, as to which it is well established that there is a legitimate interest in maintaining a connection with both past and existing customers although that is not so in relation to merely potential customers (see Business Seating v. Broad [1989] ICR 79) as well as, of course, protection of confidential information;
c. consider whether the covenant is wider than is reasonably necessary for the protection of these interests.
(d) Severance
Parties' arguments on the law
Discussion
(i) Beckett
40. In a number of more recent first instance decisions, a threefold test has been applied. In the employment context, its origin is to be found in Sadler v Imperial Life Assurance Company of Canada Ltd [1988] IRLR 388. Mr P J Crawford QC, sitting as a Deputy Judge of the High Court said (at paragraph 19):
"… a contract which contains an unenforceable provision nevertheless remains effective after the removal or severance of that provision if the following conditions are satisfied:
(1) the unenforceable provision is capable of being removed without the necessity of adding to or modifying the wording of what remains;
(2) the remaining terms continue to be supported by adequate consideration;
(3) the removal of the unenforceable provision does not so change the character of the contract that it becomes 'not the sort of contract that the parties entered into at all'."
41. The final words were derived from the judgment of Buckley LJ in Chemidus Wavin Ltd v Societe pour la Transformation et l'Exploitation des Resines Industrielles SA (1978) 3 CMLR 514, 520. That concerned a restrictive trading agreement in a commercial context. The Sadler threefold test has been applied in a number of subsequent employment cases including Marshall v N M Financial Management Ltd [1996] IRLR 20 and T F S Derivatives v Morgan [2005] IRLR 246. Mr Oldham seeks to question these decisions on the basis that they are either an aberrant extension of Attwood v Lamont or that they apply only within a subset, the distinguishing characteristic of which is that they involved the future payment of money under the terminated contract.
42. In my judgment these more recent cases are neither aberrant nor merely applicable within a subset. In T Lucas & Co v Mitchell, above, at page 135, Russell LJ referred to the necessary approach, based on Attwood v Lamont, as being:
"a matter of construction, including the question whether one obligation can be removed or severed without altering the nature of the contract and without having to add or modify the wording otherwise than by excision."
43. I see no difference in principle between those words of Russell LJ and the third stage of the threefold test propounded in Sadler. It seems to me that the threefold test as there formulated is a useful way of approaching these cases and should be adopted."
"…in cases where the part so enforceable is clearly severable, and even so only in cases where the excess is of trivial importance or merely technical, and not a part of the main purport and substance of the clause."
(ii) Egon Zehnder
"Severance
26. Mr Laddie [Counsel for the ex-employer] submitted that the words "or interested" could be deleted or severed from clause 13.2.3. The judge dealt with this point shortly by saying that he did not find it appealing. Since he held that on its true construction the clause was not impermissibly wide, he did not need to say anything more.
…
29. The second reason for not allowing severance is that it is well settled that parts of a single covenant cannot be severed; it is a requirement of severance that it can only take place where there are distinct covenants (as, for example, in 13.2 which enumerates separate covenants) and, perhaps, not even then. Clause 13.2.3 is, however, a single covenant preventing Ms Tillman from engaging or being concerned in a competing business in any one of several capacities, has to be read as a whole and cannot be severed, see Chitty para 16-215.
30. That is the effect of Attwood v Lamont [1920] 3 KB 571 where severance was refused in relation to specified trades, with respect to which the employer had no legitimate reason for preventing his ex-employee from carrying on or being concerned in. Younger LJ said at page 593:-
"The learned judges of the Divisional Court, I think, took the view that such severance always was permissible when it could be effectively accomplished by the action of a blue pencil. I do not agree. The doctrine of severance has not, I think, gone further than to make it permissible in a case where the covenant is not really a single covenant but is in effect a combination of several distinct covenants. In that case and where the severance can be carried out without the addition or alteration of a word, it is permissible. But in that case only."
This court also relied on Lord Moulton's speech in Mason v Provident [1913] AC 724, 745 in which he said that it was no business of the courts to come to the assistance of an employer who had exacted an unreasonably wide covenant and, by applying their ingenuity and knowledge of the law, to carve out of the void covenant the maximum of what the employer might validly have required. Severance was also refused in the British Reinforced Concrete case for the reasons given in Attwood v Lamont.
31. This requirement that severance can only be applied to separate covenants and not to parts of a single covenant remains the law, since Attwood v Lamont was expressly stated in Beckett Investment Management Group Ltd v Hall [2007] ICR 1539 at paras 38-39 to have been adopted in later decisions.
32. Beckett also approved a threefold test propounded by Mr Peter Crawford QC sitting as a Deputy Judge of the High Court in Sadler v Imperial Life Assurance Company of Canada [1988] IRLR 388 at paras 391-2:-
"a contract which contains an unenforceable provision nevertheless remains effective after the removal or severance of that provision if the following conditions are satisfied: 1. The unenforceable provision is capable of being removed without the necessity of adding to or modifying the wording of what remains. 2. The remaining terms continued to be supported by adequate consideration. 3. The removal of the unenforceable provision does not so change the character of the contract that it becomes "not the sort of contract that the parties entered into at all"."
33. Mr Laddie submitted that this test had replaced the requirement that severance only applied to separate and not single covenants. But Beckett shows that that is not correct. The requirement is reflected in the third of the three tests adopted by Mr Crawford because it must always be doubtful whether parts of a single covenant can be deleted without the contract becoming "not the sort of contract that the parties entered into at all". It is, as Lord Moulton said, no business of the courts to create a valid covenant in order to replace an impermissibly wide covenant which an employer has sought to impose on the employee.
34. For those reasons, I do not think the words "or interested" can be deleted in order to save the covenant."
General considerations
"…the real sanction at the back of these covenants is the terror and expense of litigation, in which the servant is usually at a great disadvantage, in view of the longer purse of his master."
THE POST-TERMINATION RESTRICTIONS IN ISSUE
Non-solicitation clause
"For this reason [confidentiality] you hereby agree that you will not during your employment with the Company or any associated or subsidiary companies, for a period of six months (for non-senior employees) or twelve months (for senior employees) (hereinafter referred to as the "leaving period") in respect of any aspect of the business which the Company undertakes, solicit, or attempt to solicit the custom of, or sell, or deliver to or accept work for private gain and/or for any third party, from any private individual, firm or company or otherwise deal with any person who at the date of termination of this contract is a customer or potential customer of the Company to whom you have personally sold and/or delivered the Company's products on behalf of the Company or whom you had introduced to the Company, or approached on behalf of the Company, or with whom you had any business dealings or knowledge in the leaving period immediately prior to the date of termination of your employment."
Scope of clause – construction
Protectable interest
Enforceability
Severability
Conclusion on non-solicitation clause
Non-compete clause
You agree not to directly or indirectly compete with the business of the Company and its associated companies during the period of employment and for the leaving period and notwithstanding the cause or reason for termination. […]
The term "not compete" as used herein shall mean that you shall not own, manage, operate, consult or be employed in a business substantially similar to or competitive with, the present business of the Company.
Construction and clarity
Legitimate interest
Enforeceability and severability
Conclusion on non-compete clause
BALANCE OF CONVENIENCE
Balance of convenience with respect to the relief granted – non-solicitation clause
Balance of convenience with respect to the relief refused – non-compete clause
Other considerations
Costs
Mediation/ADR