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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 >> The Competition And Markets Authority v Concordia International Rx (UK) Ltd [2019] EWHC 47 (Ch) (16 January 2019) URL: http://www.bailii.org/ew/cases/EWHC/Ch/2019/47.html Cite as: [2019] EWHC 47 (Ch), [2019] Bus LR 1000, [2019] WLR(D) 20 |
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BUSINESS AND PROPERTY COURTS OF ENGLAND AND WALES
COMPETITION LIST (ChD)
Rolls Building 7 Rolls Building Fetter Lane London EC4A 1NL |
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B e f o r e :
____________________
THE COMPETITION AND MARKETS AUTHORITY |
Claimant |
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- and |
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CONCORDIA INTERNATIONAL RX (UK) LIMITED |
Defendant |
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Mr Mark Brealey, QC (instructed by Morgan, Lewis and Bockius UK LLP) for the Defendant
Hearing date: 19 December 2018
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Crown Copyright ©
Mr Justice Marcus Smith:
A. INTRODUCTION
(1) Carbimazole 5mg and 20mg tablets ("Carbimazole"); and
(2) Hydrocortisone 10mg tablets ("Hydrocortisone").
B. THE PROCEDURE FOR DISCHARGING OR VARYING A WARRANT
"Application to vary or discharge warrant9.1 The occupier or person in charge of premises in relation to which a warrant has been issued may apply to vary or discharge the warrant.9.2 An application under paragraph 9.1 to stop a warrant from being executed must be made immediately upon the warrant being served.
9.3 A person applying to vary or discharge a warrant must first inform the named officer that he is making the application.
9.4 The application should be made to the judge who issued the warrant, or, if he is not available, to another High Court Judge."
"The approach taken in Rossminster was therefore (i) to treat the onus as being on the applicant for judicial review to establish that the warrant should be quashed and (ii) to treat the applicant as unable to satisfy this onus, in circumstances where the original decision-maker had access to material withheld on public interest grounds from the person affected seeking judicial review; (iii) this result followed from the application of the maxim omnia praesumuntur rite esse acta."
91. If a party served pursuant to such an order is minded to challenge it, this will be done on the inter partes return date of the applicant's original ex parte application for permission to serve out of the jurisdiction. At this point, the court will reconsider, and decide de novo, by way of rehearing, whether permission to serve out should be given. It is for the party seeking to serve out Microsoft Mobile to demonstrate that this is a proper case for service out. The position is clearly explained in Briggs, Civil Jurisdiction and Judgments, 6th ed. (2015) (hereafter "Briggs") at p.460:
"The application is made without the opponent's being notified that it is being made; the court will almost always grant permission unless there is a very obvious flaw in the application. If permission is granted, as in practice it almost always is, and service is effected in accordance with it, the defendant may dispute the jurisdiction by challenging the order which granted permission, and the service which was made pursuant to it, by applying under CPR Part 11. The inter partes procedure which then follows marks the point in the process at which the court will investigate whether permission to serve should have been granted. The fact that permission was granted to the claimant in the first place is largely irrelevant at this point: it leaves no footprint; no onus is placed upon the defendant who applies to have the permission set aside; the application is in effect a rehearing of an application for permission, with the onus lying on the party who needed the permission in the first place. The court is not inhibited from discharging or varying the order, and for which the claimant now in substance (if not in form) reapplies, by reason of the fact that it has already been made."
92. However, the question on the re-hearing is whether it was proper to grant permission on the date upon which the order to serve out was granted, not (in the light of changed circumstances or fresh evidence) whether it would be right to grant it as at the time of the inter partes application. In ISC Technologies Ltd v. Guerin [1992] 2 Lloyd's Rep. 430 at 434, Hoffmann J. stated:
"Mr. Crystal said I should look at the position today. An application under R.S.C. O.12, r.8 is a rehearing of the application to the Master and the exercise of a fresh discretion. It should therefore take into account whatever has since happened. I do not agree. The application is under R.S.C. O.12, r.8(1)(c) to discharge the Master's order giving leave to serve out. The question is therefore whether that order was rightly made at the time it was made. Of course, the court can receive evidence which was not before the Master and subsequent events may throw light upon what should have been relevant considerations at the time. But I do not think that leave which was rightly given should be discharged simply because circumstances have changed. That would mean that different answers could be given depending upon how long it took before the application came on to be heard. The position is quite different when the application is for a stay on grounds of forum non conveniens. In such a case, the appropriate time to consider the matter is the date of the hearing."
93. As Evans L.J. noted in Mohammed v. Bank of Kuwait and the Middle East KSC [1994] 1 WLR 1483 at 1492, "[t]he question for the court is whether the evidence in support of the application justifies the order which is applied for being made. The evidence may be produced then or subsequently, but it must be directed at the situation at the date when the application is made.""
(1) The process involves not a de novo re-hearing of the original application, but an "on the merits" review of the decision made on the occasion of the ex parte application. The review is not a judicial review. Thus, on an application under paragraph 9.1 of the Practice Direction, the question is not whether the ex parte decision should be set aside on judicial review grounds, but whether that decision was correct on the merits.
(2) Because the application to vary or discharge the warrant is made by the subject of the warrant (and not by the CMA) it is incumbent upon the applicant to articulate why the warrant should be varied or discharged. That said, given the intrusive nature of the warrant and the fact that the warrant will likely have been obtained on the basis of at least some PII Material, the judge should be astute to consider whether the statutory tests for the grant of the warrant have been met and the CMA, so far as such PII Material is concerned, will owe a duty of full and frank disclosure to the court in relation to such material. Clearly, where the applicant cannot press a point because it has not seen the relevant material, justice and the "closed material process" require the CMA and the court to take up this burden.
(3) A section 28 warrant may be granted in three types of case:
(a) A "Section 28(1)(a) Case", where there are reasonable grounds for suspecting that documents required to be produced pursuant to sections 26 and/or 27 of the Competition Act 1998 have not been produced.
(b) A "Section 28(1)(b) Case", where there are reasonable grounds for suspecting that:
(i) There are, on business premises, documents that would be responsive to a section 26 production demand;
(ii) But that, if such a demand were made, they would not be produced, but would be concealed, removed, tampered with or destroyed.
(c) A "Section 28(1)(c) Case", where there has been a thwarted attempt to enter premises pursuant to section 27.
(4) In each case, the question is whether the statutory tests for the making of a warrant have been met as at the time of application to the judge. It follows that the question before the court just as in service out cases is whether the order originally made was correctly made at the time. In consequence, the material originally before the judge on the making of the application will be critical when reviewing the judge's decision. That is not to say that the applicant cannot adduce further evidence. But any new evidence must go to the correctness of the decision originally made. New evidence cannot be adduced to suggest that events subsequent to the original decision show that the original decision was wrong.
C. CONCORDIA'S APPLICATION TO VARY OR DISCHARGE THE WARRANT
(1) Concordia's application
(2) Background
(1) CMA investigations into both Carbimazole and Hydrocortisone had been on-going since early 2016. The focus of the investigations was a suspicion of market-sharing in relation to the supply of these drugs.
(2) During the course of these investigations, various section 26 notices, requiring (amongst other things) the production of documents were issued by the CMA to Concordia. Not only do section 26 notices require the production of information, but (as a corollary) the subject of the notice must not (amongst other things) dispose of, falsify or conceal a document falling within the ambit of the notice.
(3) As is often the case with section 26 notices, the CMA negotiated a document retrieval methodology with Concordia's solicitors, then Messrs Clifford Chance. Pursuant to that methodology, specific types of document (notably emails) of 11 specific custodians were searched, and a considerable volume of documentation was produced. The precise details of the retrieval methodology do not matter. What is important to note is that the methodology was limited both as to type of document searched and as to the custodians whose documents were searched.
(3) The relevant materials
(1) The first affidavit of Ms Ann Pope, the Senior Director for Anti-Trust Enforcement in the CMA, sworn on 29 September 2017 ("Pope 1"). Pope 1 attached one exhibit ("Pope 1 Exhibit").
(2) The first affidavit of Mr Andrew Groves, a Director in the Competition, Consumer and Markets Group in the Enforcement Directorate of the CMA, sworn 29 September 2017 ("Groves 1"). Groves 1 attached one exhibit ("Groves 1 Exhibit").
(3) The first affidavit of Ms Susan Oxley, Project Director, Competition, Consumer and Markets Group at the CMA, sworn 29 September 2017 ("Oxley 1"). Oxley 1 attached one exhibit ("Oxley 1 Exhibit").
(4) The first affidavit of Ms Claudia Berg, Senior Legal Director at the CMA, sworn 29 September 2017 ("Berg 1"). Berg 1 attached one exhibit ("Berg 1 Exhibit").
(5) The CMA's skeleton argument in support of its application for the Warrant before Mann J (the "CMA Skeleton").
(6) A transcript of the ex parte hearing before Mann J on 5 October 2017 (the "Transcript").
(7) The judgment of Mann J Neutral Citation [2017] EWHC 2577 (Ch) in which he determined the CMA's application.
(4) The ex tempore judgment of Mann J
"3. Without enumerating all, or indeed any, of the evidence which has been placed before me, I am satisfied that on the evidence which was placed before me, that the CMA is entitled to carry out its investigation and to seek the documents that it seeks. I am satisfied that it is entitled to a warrant to enter the premises both business and domestic in order to secure the documents in question. I am satisfied that there are reasonable grounds for suspecting that if the undertakings concerned were given notice of the requirement to produce documents, there would be a risk of destruction and tampering within the two sections.4. That conclusion as to the suspicion of risk to the documents arises notwithstanding two factors, which I have borne permanently in mind. The first is that, to an extent, at least two of the undertakings would have had notice of the interest of the CMA in their activities, because the CMA has engaged with those undertakings via notices and objections, and the like. However, those notices were focussed on different types of abuse from those which now primarily concern the CMA and which are used to support the application made to me. A canny operator in those firms may well by now have realised that the CMA was interested and there is a real possibility that if they behave as nefariously as the CMA fears they will become a destroyer of evidence. Nonetheless, the flagging of the interest in the other potential abuses is not sufficient to require the conclusion that whilst there once might have been suspicion of risk of destruction, there no longer can be because the undertakings will have long ago destroyed the incriminating material. I am satisfied there is still a proper degree of likelihood that the documents still exist on the business premises and elsewhere, and that there is a risk of destruction were the CMA to give notice of its intentions and views in advance of securing the documentary material in question. By documents, I mean, of course, both hard copy documents and documents held in digital form".
The second factor that Mann J bore in mind considered in paragraph 5 of his judgment is immaterial for present purposes.
(5) Concordia's contentions
(6) Analysis
(1) The CMA's lines of inquiry or areas of focus shifted.[19]
(2) The CMA came to appreciate that the scope of the document retrieval methodology was no longer appropriate both in terms of the type of document reviewed and the range of custodians. I find that the CMA was entitled to conclude that the document retrieval methodology was too narrow in terms of the type of document being reviewed[20] and wrongly focussed in terms of the custodians.[21]
"The CMA's investigation has progressed since Concordia provided its response to the CMA's requests. The CMA now considers that Concordia's response was incomplete, and suspects that as a result, there remain documents relevant to the Investigation on Concordia's premises, which have not yet been provided by the CMA. Specifically, the CMA now understands that the methodology proposed by Concordia is likely to have resulted in the following material omissions of relevant documents "
These potential omissions were then spelt out.
"Overall, if the information obtained by the CMA is correct, it is reasonable to suspect that the relevant personnel at Concordia who were responsible for managing the response to the CMA's section 26 notices ought to have know that Concordia's response to the CMA's section 26 Notice was incomplete. That said, I am aware that Concordia would argue that it has fully cooperated to date and that it facilitated the CMA's investigation by assisting the preservation/imaging of the relevant parts of its IT infrastructure by way of imaging in the liothyronine, fusidic acid and carbimazole excessive and unfair pricing investigation ("Project Forest"). Moreover, some (although not all) of the individuals that the CMA considers were omitted in Concordia's response in relation to hydrocortisone were later included in the documents produced by Concordia in relation to Project Forest."
D. CONCLUSION
Note 1 The Competition and Market Authority v. Concordia International Rx (UK) Limited [2017] EWHC 2911 (Ch) and [2018] EWCA Civ 1881. [Back] Note 2 R (Haralambous) v. Crown Court at St Albans [2018] UKSC 1 (Haralambous). [Back] Note 3 [1980] 1 AC 952. [Back] Note 7 I was dealing with the CMAs contention that the Rossminster process ought to apply. [Back] Note 8 [2017] EWHC 2911 (Ch) at [37] to [45] [Back] Note 9 CMAs supplemental submissions at [4]. The analogy was limited to the point in time at which the decision should be assessed. [Back] Note 10 [2017] EWHC 374 (Ch). [Back] Note 11 Paragraph 9.1 of the Practice Direction. [Back] Note 12 See [33(1)] of my judgment. [Back] Note 13 See [33(2)] of my judgment. [Back] Note 14 See paragraph 17 above. [Back] Note 15 See paragraph 15(3) above. [Back] Note 16 See paragraph 18 above. [Back] Note 17 For convenience, and to show my reasoning, I reference the relevant parts of the PII Material, without quoting from it. The PII protecting the material obviously continues to stand, notwithstanding such references. [Back] Note 18 See paragraph 18 above. [Back] Note 19 PII Material Berg Exibit 1/tab 2/paras 13 and 14. [Back] Note 20 PII Material Berg Exhibit 1/tab 3/paras18, 19, 20 and 23. [Back] Note 21 The custodians are described in paragraph 79 of Groves 1. Compare PII Material Berg Exhibit 1/tab 3/paras 10 and 12. [Back]