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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 >> BF v LE [2023] EWHC 2009 (Fam) (31 July 2023) URL: http://www.bailii.org/ew/cases/EWHC/Fam/2023/2009.html Cite as: [2023] EWHC 2009 (Fam) |
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WU18D05382 |
FAMILY DIVISION
Strand, London, WC2A 2LL |
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B e f o r e :
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BF |
Appellant |
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- and - |
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LE |
Respondent |
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Mr Jonathan Nosworthy (instructed by Jordans Solicitors) for the Respondent
Hearing dates: 21 June 2023
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Crown Copyright ©
Mrs Justice Lieven DBE :
"This report has been provided on the instructions of [BF]. [BF] has provided the author with a bundle of documents related to divorce proceedings. The instructions were to prepare a medico/legal report addressing the issue of your Mental Capacity at the time [BF] signed the Consent Order on 24 October 2019."
"On the night before her Court appearance [BF] reported that her ex-husband's barrister and solicitor had not acknowledged any of the points she had made at Trial and refused to include it in the court bundle. She reported that she had also received number of "very aggressive" correspondences from her ex-husband's lawyers and was "still traumatised" the Trial. She said she stayed up at night due to acute anxiety. She reported that a work colleague had contacted her and was very concerned about her. She eventually got to sleep at 3am on the day of the hearing. She slept for two hours till 5am. She took a diazepam (5 mg diazepam) 5am and then took another dose at 9am. Between 5am and 9am she checked the bundle of documents. She was highly anxious. [BF] recalled that she went elsewhere to pick up her morning coffee on way to the court for the agreeing of the Consent Order as she "was worried that he (ex-husband) had arranged for a waitress to put something in my coffee as he had in the past and may have done before the earlier Trial hearing and, I have been drugged before by him". She described her mental state as "completely confused". She met her solicitor and had a coffee. She reported that she was given legal advice that an appeal would be very difficult and she was discouraged from going down this route. She told her solicitor "my mental well-being would not stand an appeal". At the hearing, she felt that she was, "on a conveyor belt, a machine". She remarked "it was almost as if I was watching someone else and not part of it". She reported a feeling of 'de-realisation' and feeling "numb" for the day. She said she signed the order at the end of the day at 3:30pm. She reported that she didn't read the document thoroughly, and "…felt compelled to" sign the document and commented, "I assumed I had no say in anything."
"9.1 [BF] has requested that the author consider retrospectively her Mental Capacity at the time she signed the Consent Order on 24 October 2019. In order to do this I have considered her psychological background, her mental state on the day and her account of her decision making process in relation to the Consent Order she signed on 24 October 2019.
9.2 In terms of the psychological background [BF] possessed psychological vulnerabilities due to Attachment related abnormalities in childhood, the trauma of sexual abuse her mother's suicide. Due to the abuse she suffered in her marriage and her marriage breakdown, by August 2018 she had sought formal psychological therapy. In October 2019 she was very stressed due to working day and night. On the night before the Consent Order signing she had only slept two hours. Her recollection of the day includes the presence of acute anxiety but also contains elements of paranoid ideation and dissociative phenomena. Her account appears to be one of acting without autonomy and agency. She didn't read the document thoroughly and said she 'felt compelled' to sign the document.
9.3 In terms of formal aspects of Mental Capacity I am of the view that [BF] was suffering from an abnormality of mind at the material time consisting of clinically significant anxiety together with the para-psychotic features of dissociative phenomena (derealisation, depersonalisation) and paranoid ideation. My view is that represents an impairment of mind at the material time. Her account of her decision making at the material time indicates that she was most probably not able to understand, retain and weigh up the information before her on the day and lacked the necessary personal autonomy and agency in relation to the decision before her. In this sense her signature on the document in my view most probably does not represent the end product of a decision underpinned by Mental Capacity."
"JUDGE SOLOMON: … I appreciate I have not spoken to [BF] and obviously I am not medically qualified, but I see nothing before me to suggest that there was a lack of capacity at any of these times, and I do not accept, on the face of it, subject to, of course, your submissions and any that Mrs Jordan might have to – might wish to make. But that psychological report, produced by psychologist, not a psychiatrist, not in any of – anywhere in the report does it refer to the test of capacity. It simply makes some general observations towards the end of that report. Furthermore, you will be aware, I am sure, that in a number of these documents, the grounds of appeal, the skeleton argument, the notes for trial, [BF], on numerous occasions, included when represented, had made references to her health conditions, which I am not minimising, going back for many years. And at no point prior to Monday of this week was there any issue in relation to capacity ever suggested. So, I think your client has a very steep hurdle to overcome to seek to satisfy that an order made over a year ago, or literally a year ago today, on the basis that it is now being suggested that she does not have capacity."
Submissions
"13.5. An application to set aside a financial remedy order should only be made where no error of the court is alleged. If an error of the court is alleged, an application for permission to appeal under Part 30 should be considered. The grounds on which a financial remedy order may be set aside are and will remain a matter for decisions by judges. The grounds include (i) fraud; (ii) material non-disclosure; (iii) certain limited types of mistake; (iv) a subsequent event, unforeseen and unforeseeable at the time the order was made, which invalidates the basis on which the order was made."
"Whilst the categories of cases in which r. 9.9A can be exercised are not closed and limited to those identified in paragraph 13.5 of PD9A, the jurisdiction to set aside is to be exercised with great caution, not least to avoid infringing upon the finality of judgements, subverting the role of the Court of Appeal, and undermining the overriding objective by permitting re-litigation of issues."
"The Crime and Courts Act 2013 created the single, unified Family Court. This came into existence on 22 April 2014. Prior to that date financial remedy proceedings had since 1968 been heard in the county courts or, in a few exceptional cases, in the High Court. For those cases heard in a county court the County Court Rules 1981 ("CCR 1981") applied as modified by the Family Proceedings Rules 1991 ("FPR 1991" – see rule 1.3). Before 1991 the Matrimonial Causes Rules 1968 and 1977 had applied the County Court Rules 1936 ("CCR 1936") to financial remedy cases."
"55. My historical excursus above demonstrates that the set aside power in section 31F(6) was not a brand new break with the past. It did not usher in a brave new world. It was no more than a banal replication of a power vested in the divorce county courts from the moment of their creation in 1968. That power had been confined by the law to the traditional grounds for decades. Interpreting section 31F(6) purposively and with regard to its historical antecedents leads me to conclude clearly that in the field of financial remedies its lawful scope, or reach, starts and ends with the traditional grounds. Mr Feehan QC is not able to point to any kind of emanation from law reformers, or from Parliamentarians at the time that the Crime and Courts Bill was being debated, urging that the time had come to push back the frontiers and to allow far more financial remedy orders to be capable of challenge. Were anyone to have done so I am quite sure that there would have been a chorus of objections that such a reform would open the floodgates to speculative litigation years after the implementation of a clean break and would completely subvert that key principle.
…
57. In my judgment the language of FPR PD9A para 13.5 is misleading. It should not be read literally. There is no lawful scope for imaginative judges to unearth yet further set aside grounds. The available grounds are the traditional grounds, no more, no less."
"3A.5 Court's Duty to consider how a party or a witness can give evidence
(1) The court must consider whether the quality of evidence given by a party or witness is likely to be diminished by reason of vulnerability and, if so, whether it is necessary to make one or more participation directions.
(2) Before making such participation directions, the court must consider any views expressed by the party or witness about giving evidence."
"41. We have focused on the issue of vulnerability in cases like the present involving parties or witnesses with limited understanding. There are other equally important provisions in Part 3A applying to victims or alleged victims of abuse and intimidation. All such provisions are a key component of the case management process which ensures compliance with the overriding objective of enabling the court to deal with cases justly. As King LJ observed in N (A Child) [2019] EWCA Civ 1997 at [53] :
"Part 3A and its accompanying Practice Direction provide a specific structure designed to give effective access to the court, and to ensure a fair trial for those people who fall into the category of vulnerable witness. A wholesale failure to apply the Part 3 procedure to a vulnerable witness must, in my mind, make it highly likely that the resulting trial will be judged to have been unfair."
42. It does not follow, however, that a failure to comply with these provisions, whether through oversight or inadvertence, will invariably lead to a successful appeal. The question on appeal in each case will be, first, whether there has been a serious procedural or other irregularity and, secondly, if so, whether as a result the decision was unjust. We are alive to the fact that many witnesses will give their evidence in a way which falls short of the standard that they would have wished for, or their advocates had hoped. Sometimes, this may be because of the very nature of human frailty, at other times it may be because a witness was deliberately deflecting or obfuscating or, worse still, lying."
"The provisions of rule 3A and PD3AA are mandatory. The word used is 'must' and the obligation is upon the court, even though the parties are required to cooperate."
"63. This was a very sensitive case where there were allegations of the utmost seriousness. They were of two rapes whilst the mother was under the influence of sedation and either drink or drugs respectively, and a third of anal rape when she was eight months pregnant. She also made overarching allegations of controlling, manipulative and intimidating behaviour on the part of the father.
…
66. It must be clear from the matters I have set out above that this was a case which cried out for participation directions and a ground rules hearing, not just for the sake of the mother, but for the integrity of the court process itself. The purpose of the rules and Practice Direction is to avoid the quality of the evidence being diminished. Here, the need for directions went beyond the need to consider whether the parties should not come into physical contact in the court room or building. Matters, such as whether the mother should be visually shielded from the father as she gave her evidence, and what topics should be covered in cross examination, were highly relevant."
"I should make it clear here that whilst there is a continuing obligation upon the court to apply the rules, this judge came to the case fresh at the fact finding hearing. The matter was not raised by anyone including counsel at earlier hearings before different judges. What happened here is a stark reminder to us all that these matters need to be addressed to avoid the risk that the integrity of the trial will be undermined."
"Although I understand why, as an unrepresented party at these proceedings, the respondent makes those submissions, it is the case that the obligation to consider vulnerability in the sense required by the legislation is one which rests on the court. The obligation is to consider it, so it might have been in this case that had the judge considered the question of special measures at a ground rules hearing, and heard from counsel for each of the parties, the conclusion reached as to what was necessary, or the extent of the duty on the court to investigate further in the face of whatever submissions were made by either side, would have been dependent on that which was explored at that ground rules hearing. The obligation on the court to consider participation directions should not be taken to mean that unless the court accedes exactly to all that is asked for it has failed in its duty.
30. Regrettably, there was no ground rules hearing, either separately and distinct from the hearing on 20 December or as a preliminary aspect of that hearing. Yet more regrettably, when I turn to the judgment, it is entirely silent as to any consideration of special measures at all and, indeed, there is no mention of Part 3A of FPR 2010, PD3AA or PD12J."
"The guidance given in Denton may be summarised as follows: a judge should address an application for relief from sanction 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 r.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 r.3.9(1)(a)(b). The court also gave guidance as to the importance of penalising parties who unreasonably oppose applications for relief from sanctions."
Conclusions
"35. The Court further considers that the domestic courts' interpretation of the statutory provisions applicable in the present case had an effect that was incompatible with the principle of legal certainty as safeguarded by Article 6 of the Convention. The domestic courts' interpretation allowed the State, represented by the public prosecutor's office, to lodge an appeal even though the time allowed for doing so had expired. The courts examined the public prosecutor's appeal and convicted the applicant, thus altering a legal situation that had become final. The reopening of the proceedings, leading to the quashing of a final decision in the applicant's favour, undermined the principle of legal certainty (see Dacia SRL, cited above, § 77).
36. There has therefore been a violation of Article 6 § 1 of the Convention."