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England and Wales High Court (King's Bench Division) Decisions |
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You are here: BAILII >> Databases >> England and Wales High Court (King's Bench Division) Decisions >> Smyth v British Airways Plc & Anor [2024] EWHC 2173 (KB) (02 September 2024) URL: http://www.bailii.org/ew/cases/EWHC/KB/2024/2173.html Cite as: [2024] EWHC 2173 (KB) |
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KING'S BENCH DIVISION
Strand, London, WC2A 2LL |
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B e f o r e :
____________________
CLAIRE SMYTH | Claimant | |
and | ||
(1) BRITISH AIRWAYS PLC | ||
(2) EASYJET AIRLINE COMPANY LIMITED | Defendants | |
and | ||
JOHN ARMOUR | Interested Party (for the purposes of costs only) |
____________________
Brian Kennelly KC, Tom Coates and Aislinn Kelly-Lyth (instructed by Linklaters) for the First Defendant
Charles Bear KC and Giles Robertson (instructed by Norton Rose Fulbright) for the Second Defendant
Hearing dates: 10 & 11 July 2024
____________________
Crown Copyright ©
This judgment was handed down remotely at 10.30am on 2 September 2024 by circulation to the parties or their representatives by e-mail and by release to the National Archives.
Master Davison:
Introduction
The Regulation
i) The rights arise only where the delay or cancellation was not caused by "extraordinary circumstances which could not have been avoided even if all reasonable measures had been taken" (Articles 5(3) and 6(4)). The meaning of "extraordinary circumstances" is not defined in the Regulation and has been the subject of significant jurisprudence at UK and EU levels.
ii) The Regulation applies only to those passengers with a confirmed reservation on the flight concerned who have (except in the case of cancellations) duly presented themselves for check-in (Article 3(2)(a)).
iii) The Regulation does not apply to passengers travelling free of charge or at a reduced fare not available directly or indirectly to the public (Article 3(3)).
iv) The Regulation does not apply in cases where a package tour is cancelled for reasons other than cancellation of the flight (Article 3(6)).
i) In respect of cancellations, Article 5(1)(c)(iii) of the Regulation provides that
passengers are not eligible for compensation where they are offered an alternative flight which allows them to depart no more than one hour before the scheduled time of departure and to reach their final destination less than two hours after the scheduled time of arrival.
ii) In respect of cancellations, Article 7(2) of the Regulation provides that passengers may be entitled to a reduced amount of compensation (i.e. 50%) depending on the length of their journey and the final arrival time of their alternative flight.
The airlines' direct claims procedures ("DCPs")
The class which the claimant wishes to represent
"The First Claimant claims in her capacity as representative under CPR 19.8 (1) of each person who had duly presented themselves for check-in for any of the British Airways flights listed in the schedule referred to in the attached witness statement and identified therein as having been delayed, or who had a confirmed reservation to fly on any of the British Airways flights listed in the said schedule and identified therein as having been cancelled (save for any such flights in respect of which that person's presentation for check in or confirmed reservation was for an Excluded Journey as defined below), and who was not on the date of issue of these proceedings a Master or a Judge of the King's Bench Division of the High Court of England and Wales or a Judge of the Court of Appeal, or a Justice of the Supreme Court.
The Second Claimant claims [wording as above mutatis mutandis for easyJet flights].
Fixed compensation is claimed by the First and Second Claimants respectively on behalf of each such person in the fixed sum specified in the said schedule in respect of each such flight together with interest thereon pursuant to section 35A of the Senior Courts Act 1981 at such rate and for such period as the court thinks fit.
The Excluded Journeys referred to above are those journeys in respect of which:
(a) on behalf of the person who had presented themselves for check in or who had a confirmed reservation for the said journey, on or before the date of issue of these proceedings, proceedings had been issued or an agreement with the applicable Defendant had been reached in full and final settlement of any claim, for a payment to be made to or on behalf of that person under Article 7(1) of the Regulation;
(b) the person who had presented themselves for check in or who had a confirmed reservation for the said journey as aforesaid, was travelling free of charge or at a reduced fare not available to the public;
(c) the booking made by or on behalf of the person who had presented themselves for check in as aforesaid was for two or more connecting flights including a flight identified on the said schedule as having been delayed;
(d) the booking made by or on behalf of the person who had presented themselves for check in or who had a confirmed reservation for the said journey as aforesaid was for two or more connecting flights including a flight listed on the schedule and at least one additional flight operated by an air carrier who was not either a Community carrier or a UK air carrier as defined in Article 1 of the Regulation."
i) At Step 1, each defendant would first be required to review the schedule
appended to the claim form and identify (i) whether the allegedly delayed flights were in fact delayed; and (ii) whether it intends to raise certain defences in relation to each alleged cancellation or delay (with further details to be provided, if so) - in particular the "extraordinary circumstances" defence or the defences based on prior notification of the cancellation or re-routing. The defendant would therefore have to identify what (if any) defence it would raise in respect of each claim by each passenger on approximately 116,000 flights. At Step 1, those passengers falling into the Excluded Journeys category (see above) would be removed.
ii) At Step 2, the defendants' responses would then be used to divide the class into cohorts depending on the kind of defences raised. The claimant envisages that the defendants should serve counter-schedules and witness statements to set out the defences they raise and that, subject to the range and complexity of the defences relied upon, further information may be sought by the claimant and supplied by the defendants. This stage and the following one would operate as a kind of sift. Flights where there was uncontroversially a defence, e.g. where the passengers were given more than 7 days' notice of cancellation, would be removed from the schedule. In respect of others, the aim would be to fashion court directions that enabled the claimant's advisers to identify "issues of law".
iii) At Step 3, Ms Smyth's legal representatives would carry out an assessment, the purpose of which is described in Mr Preston KC's skeleton as follows:
"If statutory defences are raised in respect of represented parties' ("RP's") claims, it will in general not be practicable or proportionate within the context of the overriding objective or a CPR rule 19.8 action for the Court to determine the merits of those defences. The rule 19.8 question will therefore need to be revisited once those defences have been identified, and the class size reduced by amendment to ensure the continuing viability of the action; (an alternative structure would have been to exclude those claims from the class definition from the outset).
However, if issues can be identified (in respect of which the defendants' position is considered to lack merit) that can be determined in a practicable and proportionate manner taking into account the number of RPs affected; this would be desirable (but not essential)."
At paragraph 77 of Ms Smyth's second witness statement, she explains that the determination of these issues "would not involve any disputed issues of fact". They would be "issues of law, namely whether the defence relied upon is valid as a matter of law and would be determined on the basis of facts assumed in the defendants' favour for these purposes". The claimant anticipates that at the end of Step 3 the class size will have been reduced by the processes described above, which consist partly of an evaluation by her legal representatives and partly judicial determinations.
iv) At Step 4, having narrowed the class down to only those represented parties who have a claim in respect of which the defendants have no defence, "an order can then be made for the defendants to pay the applicable compensation" to the claimant, (subject to the 24% deduction already described representing the funder's fee and the legal fees). The net compensation would then be distributed to the class members utilising the services of Epiq Systems Inc, a commercial organisation with expertise in the administration of class actions.
The claimant as representative
The law
"(1) Where more than one person has the same interest in a claim-
(a) the claim may be begun; or
(b) the court may order that the claim be continued, by or against one or more of the persons who have the same interest as representatives of any other persons who have that interest.
(2) The court may direct that a person may not act as a representative.
(3) Any party may apply to the court for an order under paragraph (2).
(4) Unless the court otherwise directs any judgment or order given in a claim in which a party is acting as a representative under this rule-
(a) is binding on all persons represented in the claim; but
(b) may only be enforced by or against a person who is not a party to the claim with the permission of the court.
(5) This rule does not apply to a claim to which rule 19.9 applies."
(a) A representative action is a particular form of multi-party proceeding with very specific features. One such feature concerns the congruity of interest between representative and represented. Another is the need for certainty at the outset about the membership of the represented class.
(b) The starting point (or threshold) for any representative action is that the representing parties must have "the same interest in a claim" as the parties that they represent.
(c) "The same interest" is a statutory requirement which cannot be abrogated or modified (see [74] of Lloyd v Google [2019] EWCA Civ 1599). It was described by Gloster LJ in Re X and others [2015] EWCA Civ 599, [2016] 1 WLR 227 as "a non-bendable rule".
(d) The reason why the represented parties need to have the same interest in a claim as the representative claimant is because the represented parties are bound by the result of the representative action. That is what Mummery LJ in Emerald Supplies Ltd v British Airways Plc [2010] EWCA Civ 1284 called "the binding effect of the proceedings".
(e) The court will adopt a common sense approach to this issue. It must be the same interest "for all practical purposes" (the expression used by Staughton LJ in Irish Shipping Limited v Commercial Union Assurance Co. PLC [1991] 2 QB 206 at 227G); or it must be "in effect the same cause of action or liability" (the expression used by Akenhead J in Millharbour Management Ltd v Weston Homes Ltd [2011] EWHC 661 (TCC). This avoids the sort of rigidity deprecated by Megarry J in John v Rees [1970] 1 Ch 345.
(f) In this way, it is easy to see why all the stallholders in Duke of Bedford v Ellis [1901] AC 1, and all the shareholders in Prudential Assurance Co Ltd v Newman Industries and others [1981] 1 Ch 229 had the same interest in the injunction and the declarations sought. Similarly, in Lloyd v Google, the Chancellor said of the relationship between the representative and the represented parties that "the wrong is the same, the loss claimed is the same. The represented parties do, therefore, in the relevant sense have the same interests."
(g) It may not affect the making of an order for a representative action if the represented parties also have their own separate claims for damages. In the copyright collection cases (such Independiente Limited and Ors v Music Trading On-line (HK) Limited and Ors. [2003] EWHC 470 (Ch)), where the emphasis was on the injunction for breach of copyright, the damages were of secondary importance: they simply paid the costs of the policing operation. Individual claims for damages, which were regarded as "subsidiary" in Duke of Bedford v Ellis, can be the subject of an inquiry or an account, or they can lead to subsequent individual claims (outside the representative action), which was the approach adopted in Prudential Assurance.
(h) Thus, the existence of individual claims for damages is not necessarily a bar to their being dealt with in some way via a representative action. It will always depend on the factual circumstances.
(i) The analysis of "the same interest" is undertaken by the court at the time of the application under r.19.6. The court has to consider what the issues are likely to be by reference to all the information then available (see Akenhead J at [22] of Millharbour). To the extent that Lord Macnaghten in Duke of Bedford v Ellis was suggesting that the exercise should be carried out solely by reference to the claimants' pleadings, that is emphatically no longer the practice, as demonstrated most recently by Emerald Supplies, Millharbour and Lloyd v Google.
(j) These later authorities also show that it is necessary to consider the likely defences as part of the analysis. So in Irish Shipping, although potential defences were identified, at 227F Staughton LJ said that they were "unlikely to arise". The suggestion is that, if they had arisen, the case would have been decided differently. In Emerald Supplies, on the other hand, Mummery LJ said at [64] that "if there is liability to some customers and not to others they have different interests, and not the same interests, in the actions." In Lloyd v Google, the court expressly took into account the fact that it was "impossible to imagine that Google could raise any defence to one represented claimant that did not apply to all others."
(k) Likewise, depending on the circumstances, limitation defences may be a factor to be taken into account when assessing whether or not to make an order under r.19.6: see [22(7)] of the judgment in Millharbour.
(l) As to the equally fundamental requirement that membership of the represented class must be capable of being ascertained at the outset of the proceedings, I can do no better than repeat Mummery LJ's words in Emerald Supplies (see paragraph 46 above): "It cannot be right in principle that the case on liability has to be tried and decided before it can be known who is bound by the judgment."
"71. The phrase "the same interest", as it is used in the representative rule, needs to be interpreted purposively in light of the overriding objective of the civil procedure rules and the rationale for the representative procedure. The premise for a representative action is that claims are capable of being brought by (or against) a number of people which raise a common issue (or issues): hence the potential and motivation for a judgment which binds them all. The purpose of requiring the representative to have "the same interest" in the claim as the persons represented is to ensure that the representative can be relied on to conduct the litigation in a way which will effectively promote and protect the interests of all the members of the represented class. That plainly is not possible where there is a conflict of interest between class members, in that an argument which would advance the cause of some would prejudice the position of others. Markt [1910] 2 KB 1021 and Emerald Supplies [2011] Ch 345 are both examples of cases where it was found that the proposed representative action, as formulated, could not be maintained for this reason.
72. As Professor Adrian Zuckerman has observed in his valuable book on civil procedure, however, a distinction needs to be drawn between cases where there are conflicting interests between class members and cases where there are merely divergent interests, in that an issue arises or may well arise in relation to the claims of (or against) some class members but not others. So long as advancing the case of class members affected by the issue would not prejudice the position of others, there is no reason in principle why all should not be represented by the same person: see Zuckerman on Civil Procedure: Principles of Practice, 4th ed (2021), para 13.49. As Professor Zuckerman also points out, concerns which may once have existed about whether the representative party could be relied on to pursue vigorously lines of argument not directly applicable to their individual case are misplaced in the modern context, where the reality is that proceedings brought to seek collective redress are not normally conducted and controlled by the nominated representative, but rather are typically driven and funded by lawyers or commercial litigation funders with the representative party merely acting as a figurehead. In these circumstances, there is no reason why a representative party cannot properly represent the interests of all members of the class, provided there is no true conflict of interest between them."
As to discretion, at paragraph 75 Lord Leggatt said this:
"75. Where the same interest requirement is satisfied, the court has a discretion whether to allow a claim to proceed as a representative action. As with any power given to it by the Civil Procedure Rules, the court must in exercising its discretion seek to give effect to the overriding objective of dealing with cases justly and at proportionate cost: see CPR r 1.2(a). Many of the considerations specifically included in that objective (see CPR r 1.1(2) ) — such as ensuring that the parties are on an equal footing, saving expense, dealing with the case in ways which are proportionate to the amount of money involved, ensuring that the case is dealt with expeditiously and fairly, and allotting to it an appropriate share of the court's resources while taking into account the need to allot resources to other cases — are likely to militate in favour of allowing a claim, where practicable, to be continued as a representative action rather than leaving members of the class to pursue claims individually."
The submissions of the parties
1) The "same interest in a claim" test was not met. There was no common issue in which the proposed class members had the same interest. Ms Smyth was seeking to aggregate millions of individual passenger claims raising many, discrete issues concerning the entitlement to compensation under the Regulation. She sought to meet that basic defect in her claim by progressively shedding class members until a true or final class was achieved where the claims were not contested or contestable
(and thus, by that stage, raised no common issue at all). This was an impermissible use of the CPR rule 19.8 procedure. The reality of the proposal was that it was intended to operate and would operate as a kind of mandatory compensation scheme, which was what Parliament had decided not to impose.
2) There were conflicts within the class, which rendered a representative action inappropriate (because the "same interest" test was, for this reason too, not met).
3) Ms Smyth's proposals for payment raised insuperable problems.
4) As a matter of discretion, the claim should not be allowed because:
a. Passengers who qualified for payments under the Regulation had available to them a free, easy-to-use direct claims procedure, by which they could achieve full compensation without deductions. Individual claims rather than an automatic compensation scheme was the structure and intention of the Regulation (see above). A representative action was wasteful and unnecessary and would undermine the balance struck by the Regulation.
b. The proposed representative action would impose an enormous burden of administration (and cost) on the airlines. That burden included difficult data protection issues.
c. The real motive force behind the claim was Mr John Armour, who, together with the claimant's legal team, stood to recover almost a quarter of the eventual "pot" of compensation. Mr Armour was the antithesis of a consumer champion and, because Ms Smyth was his employee, there was an obvious danger that his influence would render her an inappropriate class representative.
1) There was widespread lack of awareness of rights and a lack of transparency by the airlines in the provision of information.
2) The action was brought for the benefit of those unaware of their rights or for whom the process of claiming via the airlines' DCPs was too high or too complex.
3) The "same interest" test was met. The proper approach to the test was utilitarian and pragmatic. A representative action was suitable if it could be fairly and effectively run without the participation of the individuals concerned.
4) The members of the proposed class all shared the "same interest". There was no conflict of interest within the class - but merely divergent interests.
5) It was both permissible and appropriate to re-visit the CPR rule 19.8 question and amend and re-amend the class definition as necessary. The burden on the defendants of providing the information necessary to carry out this exercise was not excessive. Following class refinement, those represented parties who were as a result excluded would retain their substantive rights intact and could bring individual claims if they wished to.
6) The claimant was a suitable representative. There was no evidence of any inappropriate control by Mr Armour.
7) The claimant's funding arrangements were not disclosable. If the lawfulness of the funding arrangements fell to be examined, that would require a separate hearing at which the claimant and Mr Armour would be represented by separately instructed costs counsel. Deductions from the compensation reflecting those arrangements had been approved by Master Pester's order. It was open to the defendants to apply to be joined and to have that order set aside if they thought that there were grounds to do so.
Discussion and conclusions
Disposal