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England and Wales High Court (Family Division) Decisions |
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You are here: BAILII >> Databases >> England and Wales High Court (Family Division) Decisions >> AAZ v BBZ & Ors [2016] EWHC 3349 (Fam) (20 December 2016) URL: http://www.bailii.org/ew/cases/EWHC/Fam/2016/3349.html Cite as: [2017] 4 WLR 84, [2016] EWHC 3349 (Fam), [2017] 2 FCR 450, [2017] WLR(D) 346 |
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FAMILY DIVISION
Strand, London, WC2A 2LL |
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B e f o r e :
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AAZ |
Applicant |
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- and - |
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BBZ |
Respondent |
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C LTD |
2nd Respondent |
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P LTD |
3rd Respondent |
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Mr Justin Warshaw QC (instructed by Solicitors) for S
The Respondents were not present or represented
Hearing dates: 29 and 30 November 2016, 2, 5 and 15 December 2016
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Crown Copyright ©
Mr Justice Haddon-Cave:
THE LAW
"The doctrine of legal professional privilege is rooted in the public interest, which requires that hopeless and exaggerated claims and unsound and spurious defences be so far as is possible discouraged, and civil disputes so far as possible settled without resort to judicial decision. To this end, it is necessary that actual and potential litigants… should be free to unburden themselves without reserve to their legal advisers, and their legal advisers be free to give honest and candid advice on a sound factual basis, without fear that these communications may be relied upon by an opposing party if the dispute comes before the court for decision. It is the protection of confidential communication between client and the legal adviser which lies at the heart of legal professional privilege… Without the consent of the client, and in the absence of iniquity or dispute between the client and solicitors, no inquiry may be made into or disclosure made of any instructions which the client gave the solicitor or any advice the solicitor gave the client, whether in writing or orally."
'Relevant legal context'
(1) The test is whether the communication or document was made confidentially for the purpose of "legal advice". "Legal advice" may involve a "continuum of communication". It is not confined to telling the client the law, but includes "advice as to what should prudently and sensibly done in a relevant legal context" (per Taylor CJ in Balabel at p.330).(2) A useful test as to whether a "relevant legal context" exists is to ask whether the client has, expressly or impliedly, asked his lawyer "to put on legal spectacles" when giving the advice sought (per Lord Rodger in Three Rivers at [60]),
(3) If a solicitor becomes a client's "man of business" (and some do) advising the client on investment maters, finance policy and other business matters, the advice may lack a "relevant legal context" (per Lord Scott in Three Rivers at [38]).
(4) In cases of doubt, the judge should ask whether the advice relates to the "rights, liabilities, obligations or remedies of the client either under private law or under public law" and whether the "occasion" on which and "purpose" for which the advice takes place makes it (objectively) reasonable to expect the privilege to apply (per Lord Scott in Three Rivers at [38]).
(5) It makes no difference that the solicitor has neither been asked to proffer, nor has in fact tendered, any specific legal advice on anything so long as there is a "relevant legal context" (per Munby J in C v. C passim).
The fraud or 'iniquity' exception
(1) Where legal advice is sought or given for the purpose of effecting fraud or "iniquity", it is not privileged (per Schiemann LJ in Barclays Bank at p.1249, who noted that the use of the word "iniquity" in this context stemmed from Bingham LJ in Ventouris (supra)).(2) The "fraud" exception is not confined to cases of criminal fraud or cases of civil fraud in the narrow sense, but is used in a relatively wide sense (per Munby J in C v. C at para. [35] citing Schiemann LJ in Barclays Bank at p.1249).
(3) The court must be satisfied in every case that what is prima facie proved really is dishonest, and not merely disreputable or a failure to maintain good ethical standards. Each case depends on its own facts (per Goff LJ in Gamlem Chemicals Co (UK) Ltd v. Rochem Ltd (unreported 7 December 1979 – cited by Schiemann LJ in Barclays Bank at p. 1249).
(4) In any given case, the court must weigh the important considerations of public policy on which legal professional privilege is founded and the gravity of the charge of fraud on the other. The court must be slow to deprive a defendant of the important protection of legal professional privilege on an interlocutory application (per Vinelott J in Derby & Co v. Weldon (No.7) [1990] WLR 1156 at 1173).
(5) Each case depends on its own facts (per Goff LJ in Gamlen (supra)).
ANALYSIS
(1) Was there a "relevant legal context"?
Modern Art Collection
P Ltd's bank accounts
(2) Was there fraud or "iniquity" such as to justify lifting legal professional privilege?
(1) H had withdrawn from the trial process at a late stage: H's solicitors, Sears Tooth, came off the record two weeks before the trial; H then failed to appear at the trial in person in breach of orders by the Court dated on 27th November 2015, 11th April 2015 and 25th October 2016 (Judgment, para. [5]).(2) C Ltd and P Ltd had also failed to appear at the trial or respond in any way to the proceedings (Judgment, para. [5]).
(3) H was in breach of numerous other Court orders, in particular, regarding disclosure, valuation and settlement offers: see the orders of Holman J dated 18th May 2016 and Moor J dated on 25th October 2016) (Judgment, para. [8]).
(4) C Ltd was a transparent 'Dear me' trust designed simply to pay out to H (Judgment, para. [72]).
(5) P Ltd was a bare trust and nominee for H (Judgment, para. [84]) and had paid out to H in excess of US$110m between June 2014 and February 2016, i.e. after the issue of W's divorce petition (Judgment, para. [73]).
(6) The March 2015 disposition to C Ltd was intended to defeat or impede W's claim (Judgment, para. [98]) and this was a paradigm case for the application of s.37 of the Matrimonial Causes Act 1973 (Judgment, para. [99]).
(7) The March 2015 disposition was at an undervalue and entered into for the purpose of putting assets beyond the reach of W and/or otherwise prejudicing W's interests (Judgment, para. [103]) and should also be set aside under s.423 of the Insolvency Act 1986 (Judgment, para. [105]).
(8) The March 2015 disposition appeared to be part of a wider pattern of conduct by H designed to put his assets out of the reach of W (Judgment, para. [98]).
"…[T]he client was seeking to enter into a transaction at an undervalue the purpose of which was to prejudice the bank. I regard this purpose as being sufficiently iniquitous for public policy to require the communications between him and his solicitor in relation to the setting up of these transactions be discoverable."
"By parity of reasoning with both Williams v. Quebrada Railway Land and Copper Co [1894] 2 Ch 751 and Barclays Bank Plc v. Eustice [1995] 1 WLR 1238, and consistently with the line of cases stretching from R v. Cox and Railton (1884) 14 QBD 153 to Derby & Co v. Weldon (No.7) [1990] WLR 1156, a transaction within s 37 of the 1973Act is, in my judgment, one to which legal professional privilege does not attach."
Mr Warshaw QC's arguments
"There is not, in my judgment, sufficiently compelling evidence, either that the Anstalt is the husband's alter ego or creature or that the transaction is one caught by s.37 of the 1973 Act, to justify going behind the Anstalt's privilege on the grounds of 'fraud'."
Conclusion
PTA and stay