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You are here: BAILII >> Databases >> England and Wales High Court (Queen's Bench Division) Decisions >> The Asbestos Victims Support Groups Forum (UK) v Cape Distribution Ltd & Ors [2017] EWHC 2103 (QB) (10 August 2017) URL: http://www.bailii.org/ew/cases/EWHC/QB/2017/2103.html Cite as: [2017] EWHC 2103 (QB) |
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[2017] EWHC 2103 (QB)
Claim numbers HQ12X01829, HQ13X02470 and others
IN THE HIGH COURT OF JUSTICE
QUEEN’S BENCH DIVISION
BEFORE MASTER MCCLOUD
IN THE MATTER OF AN APPLICATION BY Mr GRAHAM DRING for and on behalf of THE ASBESTOS VICTIMS SUPPORT GROUPS FORUM (UK)
IN RELATION TO CERTAIN DOCUMENTS PRESENTLY IN COURT IN CLAIM NUMBERS HQ12X01829, HQ13X02470 AND OTHERS BETWEEN Cape Distribution Limited, Cape Intermediate Holdings Limited, Concept 70 Limited (and others) and Aviva Plc
BETWEEN
Mr GRAHAM DRING for and on behalf of THE ASBESTOS VICTIMS SUPPORT GROUPS FORUM (UK)
Applicant
and
Cape Distribution Limited,
Cape Intermediate Holdings Limited
Concept 70 Limited (and others)
Aviva Plc
Interested parties
MR. ROBERT WEIR QC (instructed by Harminder Bains of Leigh Day) appeared on behalf of the Applicant.
MR. GERAINT WEBB QC (instructed by Jonathan Isted of Freshfields Bruckhaus Deringer LLP) appeared on behalf of the Cape.
MR. CHRISTOPHER FOSTER (of Holman Fenwick Willan) appeared on behalf of Concept 70 (and others) and Aviva Plc.
JUDGMENT
Background
· A statement of case but not any documents filed with it or attached to it or intended by the party filing it to be served with it. (r.5.4C(1)).
A different rule applies to statements of case filed before 2nd October 2006 which need not be considered here.
Statements of case may only be obtained without permission if the Defendants have all acknowledged service or filed defences, or the claim has been listed for a hearing, or judgment has been entered in the claim (r.5.4C(3)).
· A judgment or order given or made in public (whether made with or without a hearing).
· The ‘general rule’ is subject to exceptions in the case of mediation settlement enforcement orders, documents and applications, which do not apply here (r.5.4C(1B)).
4. Under 5.4C(2) “A non-party may, if the court gives permission, obtain from the records of the court a copy of any other document filed by a party, or communication between the court and a party or another person.”[1]
The underlying litigation
The Trial Bundles
“39.5 (1) Unless the court orders otherwise, the claimant must file a trial bundle containing documents required by –
(a) a relevant practice direction; and
(b) any court order.
The claimant must file the trial bundle not more than 7 days and not less than 3 days before the start of the trial.”
Practice Direction 39A 3.1-3.10 sets out a list of categories of documents which must be included in trial bundles, and the proper format for trial bundles.
The events leading up to the Application
· Cape was ‘still selling Asbestolux in 1980’
· ‘Significant omissions in previous cases’
· ‘Handling AIB produced dust levels much higher than anticipated’
· ‘May become the single most important weapon against TDN13’
It is also alleged there that the ‘topics’ of disclosure included:
“I write to advise that I was telephoned on 25 July 2017 by an asbestos campaigner (who wishes to remain anonymous) who told me that she had been approached by an individual (who also wishes to remain anonymous) about some Cape documents. The individual told her that he had been handed some documents relating to the Cape case by Michael Rawlinson QC, who had told him that these documents were in the public domain. The individual told the campaigner to upload them on her website.
Before uploading the documents, the campaigner decided to telephone me, for my opinion as to whether she should upload the documents. I advised her to send the documents to me, and not to upload them until I had spoken to Robert Weir QC.
Thereafter I emailed them on to Robert Weir QC and asked him to telephone me to advise.
Robert Weir QC advised that he had not opened the documents, but that as we were representing the non-party on this application for disclosure we should advise you how the campaigner had obtained the documents ,which had then been forwarded onto me.
I do not know whether the parties to the underlying litigation have given permission for these documents to be put into the public domain, but given the Forum’s application is contested, I rather assume not and believe it is best to bring the issue to the attention of all concerned.”
23. It may therefore be that in due course the documents said to have been handed over to the public already (which I gather as far as currently known consist of a few pages of historic technical testing data about fibre counts from asbestos products handled in certain ways) are the subject of argument separately from the bulk of the Trial Bundle documents but that is a matter for the parties as to whether or not they take the view it impacts at all. I do however mainly refer to the above, here, as an indication that once the litigation was over, the supposed contents of the documents at court was a topic of interest and watched by those interested in the asbestos safety and diseases field.
The Application of 6th April 2017
24. The Application notice issued on behalf of the Forum and adopted by Mr Dring as applicant sought two remedies one of which (the order for preservation of documents) was an urgent interim remedy to preserve the subject matter of the second limb (the application for copy documents from the court record):
(1) Preservation of the Claimant’s and Defendant’s documents under 25.1(1)(c ) without notice, pursuant to CPR 25.3(1).
(2) Supply of documents to a non-party under CPR 5.4C(2).
25. The application came before me (I was the assigned master to this case) as an urgent ex parte application on 6th April. The evidence in support consisted of Ms Bains’ first w/s (6/4/17) and exhibits. It outlines that the Asbestos Victims Support Groups Forum (UK) is a non-profit unincorporated association representing 12 asbestos victims support groups in the UK, groups which are described as providing support and welfare to those suffering from asbestos related disease.
26. The evidence relates a conversation said to have taken place on 3 April 2017 between Ms Bains and Mr Pugh, a partner at Keoghs solicitors representing Concept 70 in the PL litigation, to the effect that part of a confidential settlement between the parties included provision for the destruction of certain documents and that destruction of them was imminent. It appears that Ms Bains’ belief was that the documents in question were those which had been filed at court including bundles for trial. Mr Pugh, it is said, was asked not to destroy the documents because the Asbestos Victims Support Groups Forum (UK) wished to obtain the documents, but was not in a position to agree to that request. There is a significant dispute over the details of the conversation, and it is no part of this judgment either to find whether or not any party agreed to destroy any documents or whether such would in any event have been in any way wrong in law assuming the documents belonged to the party in question.
27. There were then further emails and phone calls which I need not summarise but the upshot was that according to Ms Bain’s statement the Defendants’ representatives did not return her messages seeking preservation of the documents and a Mr Foster of Holman Fenwick Willan LLP representing the insurers in the CDL litigation, emailed Ms Bains on 4th April saying inter alia that:
“I am informed that Cape will be retaining copies of all the documents, and will be taking discussions on access forward with you. In the meantime, I am unable to provide you with any comfort on insurers’ documents which will be destroyed in early course.”
28. There then followed an email from Ms Bains of Leigh Day informing Mr Foster that no response had been received from Cape that day. The email requested that no documents be destroyed by insurers pending receipt of Cape's confirmation that it would provide the requested documents, and if advice was given to destroy insurers' documents in the interim, Leigh Day would refer the matter to interested parties and to the Court. Mr Foster acknowledged that email within the hour. It is Concept 70’s position that the communications from them gave no cause for Ms Bains to think that they for their part intended or had agreed to destroy any documents other than those which were their own (ie insurers’) property.
29. Defendants’ representatives on 5 April informed Ms Bains that they did not know where the documents which she sought were. It was stated that an application for an injunction to prevent destruction would be made unless confirmation was given that they would not be destroyed.
30. That afternoon Leigh Day obtained the ‘as of right’ documents from the court file under CPR 5.4C(1) and then on 6 April issued the application now before me relating to the remainder.
31. At the urgent ex parte hearing I heard Mr Weir QC of counsel for the Applicants and considered the evidence filed. I made an order[2] which was sealed and served immediately that:
1. The documents, files, trial bundles, any transcripts disclosed to the judge during the course of the hearing of the trial by way of live transcription, any other non-privileged material which was lodged or brought into court for the purpose of use by witnesses or the trial judge MUST:
(a) Insofar as it remains within the Royal Courts of Justice be transferred by court staff upon notice of this order to Master McCloud’s court room E117, for safekeeping; and
(b) Insofar as it has been removed must be returned forthwith by the Respondents, their servants or agents, upon notice of this order to Master McCloud’s court room E117 for similar preservation.
(c) “Documents” in this context to which this order relates include for the avoidance of doubt any electronic material, USB sticks or memory cards or other media.
2. This case and application is reserved to Master McCloud to whom it is hereby re-assigned insofar as necessary to do so (she having dealt with the underlying litigation on previous occasions).
3. The application shall return to court on a return date mutually convenient to the applicant and parties, for further consideration with a suitable time limit on a Private Room Appointment form. The parties should liaise over whether the return date should be for the purpose of directions to bring this application to final hearing or whether it is suitable for final hearing without further management.
4. This order being made without notice in the absence of the Respondents, there is permission to apply to vary or set it aside within 7 days of service.
5. Costs reserved.
32. I believe that in due course my decision to make the direction especially as to para. 1(b) might be the subject of an application for permission to appeal on the basis of a lack of power to so order and that is not a matter for me save to note the court’s powers to preserve evidence (CPR 25.3), to impound documents if necessary to do so in the interests of justice (CPR 39.7) and to the reliance of the Applicants in the alternative upon the inherent jurisdiction of the High Court.
33. The order as to paragraph 1(b) was in the event largely not required (the exceptions are dealt with below). The trial bundles which were as regards all but one (digital) file from the trial bundle still physically within the walls of the Royal Courts of Justice, and the court staff in the light of my order declined to release any documents in court to any party but transferred them to the custody of Central Office where they are impounded in my courtroom.
34. There were sets of files comprising the trial bundle before the trial judge. These are identified by letters ranging from A to H and are in two groups, one for the CDL claims and one for the PL claims. Each lettered set consists of a number (typically five or six) A5 lever arch files of paper trial bundles, indexed and paginated, which had been provided to the Judge and with which he had retired to consider judgment.
35. Bundles A are statements of case, Bundles B are witness statements and the like, Bundles C (marked “Core” in the CDL litigation) are selected disclosure documents, Bundles E are Expert reports for the litigation, Bundles F are correspondence between the parties in the litigation, Bundles G are copies of previous skeleton arguments and transcripts of the hearings in the litigation before trial and Bundles H are various insurance policies in the CDL claims. There are also copies in spiral bound form of transcripts of each day of the trial, which the judge retired with, and copies of such things as submissions and skeletons for the trial on paper.
The electronic bundle removed from court
36. Bundle D did not exist in paper copy. It was an electronic set of documents which comprised the combined disclosure in both the PL and CDL cases. The means by which that bundle (along with digital copies of the paper bundles) was made available was via document management software called Magnum Opus 2 and the judge had access to be able to look at documents on screen (as I take it did the parties and witnesses at trial if required).
37. Because the software used to supply the data on screen for bundle D to the court was licenced software for which fees had been payable by the parties in the litigation, I directed that the content of bundle D should be re-lodged at court on a hard disk drive in a format readable by this court without the use of proprietary software. That was done.
38. Separately from bundle D, Freshfields acting for the Defendants informed me that there was a USB stick of some documents which had been filed at court during the course of the trial but had been returned to the previous solicitors acting for the Defendants because the application for amendment of the defence (to which the documents on the USB stick relate) was in the event agreed. It is effectively the amendment application bundle. The Defendants provided it with a letter reserving their position as to whether the application bundle is a court record and as to whether this court has jurisdiction to require (or should have required) a party to re-lodge a copy of that bundle.
The return date
39. On 26th June the case came before me for directions under para. 3 of my ex parte order. This judgment is my judgment arising from that hearing.
(1) The incidence of the interested parties’ legal costs
40. The Applicant Mr Dring through leading counsel Mr Weir QC on behalf of the Forum (as I shall refer to the Asbestos Victims Support Groups Forum (UK) from now on) seeks a direction from me that the other parties – whom I shall call ‘Interested Parties’ – should not, in the event that they desire to be heard on Mr Dring’s application for copies of court documents under r.5.2C(2), be entitled to an order for costs against him in relation to the application. I am also asked by him to revoke costs orders (for ‘costs in the application’ which I made in my emails of 11am and 19.30hrs on 12/4/17, as part of that cost protection.
41. The Applicant argues that the substantive application is made under r.3.4C(2) and that it is not an application against any party, including Cape. It is an application to the court for the court to decide what to allow in terms of provision of copies of filed documents from the court’s own record.
42. That is not a matter for resolution between Cape and the Applicant, but Cape is choosing to seek to make representations as an interested party and is being permitted to do so having been given notice. It is therefore an application in a very different category from claims and applications where one party applies for orders against another party and to which the usual rule is ‘costs shifting, ie that the loser, typically, pays the winner’s costs.
43. Prayed in aid by Mr Weir is CPR 5.4D(2) which states that:
“An application for an order under rule 5.4C(4) or for permission to obtain a copy of a document under rule 5.4B or rule 5.4C … may be made without notice, but the court may direct notice to be given to any person who would be affected by its decision.”
44. The Applicant accepts that Cape falls within the scope of the above, ie is a person who would be affected by the decision and says that Cape, as required by the order of the 6th April, has been given notice and is now entitled to make representations if it wishes. However it is not a respondent to the application, which remains an application to the court for the court to decide what access to allow the Applicant to the court’s own records.
45. As to the part of my ex parte order of 6th April which required (insofar as documents might have been removed by the parties from the court’s custody) return of those documents, it was accepted that that part of the order did require Cape to take positive steps but that that order had by now run its course (ie so that all that now remains for practical purposes is the question of obtaining copies of filed documents from the court record, on application to the court). On the application under r.5.4C(2) it was for the Applicant to satisfy the court irrespective of whether any party made representations to the contrary and in such applications the Applicant was expected to bear the Applicant’s cost of that and would do so.
46. I was told by reference to the evidence filed for the application that the documents were expected to be of importance to a range of asbestos victims as well as those sections of the public interested in the impact of asbestos in the UK and elsewhere over decades. I was told that the Applicant had no private interest in the application: it was made in the public interest. The Forum was an unincorporated association consisting of not-for-profit charities and it had pro bono lawyers acting for it on this application. Cape by contrast was described as a well funded PLC with assets easily sufficient to instruct City firms of solicitors.
47. In evidence for the Applicant I had the first statement of Ms Bains (6/4/17), her second statement (8/6/17) and the first statement of Mr Dring (5/6/17).
As to the nature of the Forum and Mr Dring himself here are some extracts:
(Para 3, Dring): “[referring to the Asbestos Support Groups] … they offer free independent advice on the availability of social security benefits and provide free assistance to complete the application forms. They also offer free independent advice on possible claims for compensation. In addition, some groups fundraise for medical research and treatment for asbestos related diseases. The Groups have no statutory funding and therefore must raise funds to provide their services to asbestos victims. They do this in a variety of ways such as organising fundraising events, but they also receive donations from many people who support the work they do.”
(Para 4, Dring): “The main role of the Forum is to speak with one voice on behalf of all the Groups on important issues affecting asbestos victims. To that end, the Forum attends meetings of the All Party Parliamentary Occupational Safety and Health Group and is invited to inform Ministers on policy developments and to respond to Government consultations. The Forum is recognised as an authentic and legitimate representative of asbestos victims and their families. The Forum intervened in the Supreme Court case of Coventry v Lawrence and successfully pursued two Judicial Reviews against the Lord Chancellor – one relating to LASPO and the second relating to Court issue fees.”
(Para 5, Dring): “The Forum also campaigns on various issues, including: better funding for medical research and treatment; fairer benefits and compensation; the removal of asbestos from places of work and residence; an international ban on asbestos. Each of the groups pay a small amount, ranging from £1,000 to a few hundred pounds, depending on what funds they have available, to the Forum, per year, to fund these campaigning issues.”
(Para 6, Dring): “… My interest, and that of all my colleagues, is the welfare of asbestos victims. We are not motivated by any personal gain, and we have no personal or private interest in any of the advocacy work we carry out on behalf of asbestos victims. In this case, as a representative of the Forum, I have no personal or private interest in its outcome.”
As to the question of the nature of the documents sought:
(Para 7, Dring): “… we consider that the documents which were preserved by Order dated 6 April 2017, and are now in the Royal Courts of Justice for safekeeping, will greatly benefit victims of asbestos related diseases to prove their claims in negligence against Defendants”
(Para 11, Dring): “… any assistance which these documents will provide in helping to establish negligence and thereby relieve the sufferers from spending time on their claims will be of an enormous benefit to them. From my understanding, the documents may greatly assist in proving negligence and therefore assisting sufferers and their families by obtaining compensation in claims where it is currently impossible to do so.”
(Para 12, Dring: “There are estimated to be approximately 2,600 new mesothelioma sufferers per annum in the UK with a similar number of asbestos related lung cancer cases…. In view of this and because the right to health and safety at work and just compensation for breach of that right is of fundamental importance to society the Forum believes it is in the public interest that this matter is considered. The public have an interest in the prevention of harm occasioned by negligence and civil compensation plays an important role in deterring work-related negligence. …. there is a clear public interest in developing the fullest knowledge and understanding as to how the epidemic in asbestos-related disease arose so that institutional or individual wrongdoers can be held to account and the necessary lessons learned. There is also profound public sympathy for sufferers of mesothelioma and genuine concern that they should be treated justly and fairly.”
(Para 17, Bains 2nd – referring to matters well known to this court): “A number of Courts have accepted that exposure which happened to be lower than the numerical standards contained in TDN13 would have been a ‘safe’ or ‘acceptable’ level of exposure. The documents sought will assist liability experts and the Courts to consider whether this is correct; how the numerical values contained in TDN13 came to be set and on what evidence they were based. Whether those values were set as a safety standard or merely a level acceptable to the asbestos industry is of critical importance in lower exposure cases both now and in the future.”
(Para
18, Bains 2nd): “In relation to the sampling results obtained by the Asbestos
Industry in relation to Asbestos Insulation Boards (“AIB”) which was disclosed
in the original action … the concentrations reported are much higher than have
been published by the Factory Inspectorate and/or the asbestos industry and
accepted by the Courts in other cases. I had never seen this document until very
recently, and to the best of my knowledge it is not in the public domain, and
neither has it ever been reported upon by negligence experts.”
(Para 19, Bains 2nd): “…. It means that anyone working with AIB for relatively
short periods (several minutes) would have been exposed to quantities of
asbestos dust at levels above those published in TDN13 (TDN 13 levels are
stated as 12 f/ml averaged over 10 minutes or 2 f/ml averaged over 4 hours).”
(Para 20, Bains 2nd): sets out examples from the data forming part of the documents sought, for example that a person handling Asbestos Insulating Board for 1 minute and 35 seconds over a 10 minute period would, on the data held by Cape, be expected to exceed the TDN13 threshold.
(Para 24, Bains 2nd): “The issues around the TDN13 levels highlighted above are highly contentious arguments in numerous legal cases being brought in UK Courts at the moment. The documents sought will assist enormously in establishing the truth. It is imperative that the documents are released as a matter of some urgency as they will assist in current cases.”
(Para 25, Bains 2nd): “I refer to page 10 of the judgment dated 6 April 2017 [Ms Bains I think intends ‘transcript’ rather than ‘judgment’] when Robert Weir QC aptly stated, inter alia “All of which is bound to be of interest to the Court, not least to ensure consistency in future judgments. It would be intolerable if judges in future cases were not to make their assessments based upon evidence which has been disclosed to a previous High Court Judge, if that evidence was established as being relevant and probative.”
(Para 23, Bains 1st) (I quote in part only from a lengthy passage):
“…. would assist the court to understand the knowledge within the industry about the number of asbestos related disease cases within the UK and overseas (for example in the vicinity of the mines operated by asbestos manufacturing companies…
helps for background to detail the research that the asbestos industry were carrying out and the relationship between the large asbestos manufacturing companies, both in the UK and overseas. It also helps to understand the relationship they had with other stakeholders, such as the Factory Inspectorate, the British Occupational Hygiene Society, Asbestosis Research Council, Asbestos Information Committee and any organisations undertaking research on behalf of the asbestos industry in relation to asbestos …
helps to know the dates that various asbestos materials were manufactured, their relative costs and when alternative materials were developed, their costs and any reasons why those asbestos-free materials were not developed and/or marketed earlier ….
helps to know the quantities of asbestos materials which were manufactured and, where asbestos-free alternatives were made, where and how they were made (Supalux for example was contaminated with asbestos in early supplies …)
… helps to understand what steps the manufacturers were taking to carry out research, who did that research, and the arrangements for the publication of the research – ie was it checked by the manufacturers and amended before it was published (and what organisation did the research)… helps to understand what discussions were taking place behind the scenes with other stakeholders, including the Factory Inspectorate and HSE – what research did the Asbestos Research Council (“ARC”) make available to them to determine the numerical standards and other guidance which published dust concentrations TDN13 and TDN42 for example…. How did information in relation to crocidolite being the main cause of mesothelioma become published? What did they know about amosite for example. How did the ARC justify publishing information that the risk of mesothelioma was limited to crocidolite? …
What did Cape know about ‘safe’ levels of asbestos in the 1960s?
… did the industry put profit before safety and did the [Factory Inspectorate] let them? … may help to resolve the issue of limits and standards and availability of sampling in the 1960s. This is an area of significant disagreement between the experts.”
(Para 22, Bains 1st): “The non-party hereby requests the following documents:
(i) All witness statements [she then lists witnesses]
(ii) Experts’ reports.
(iii) Transcripts of evidence…
(iv) All documents disclosed by Cape and other parties, [she then gives a list of 10 specific categories].”
As to the impact of a possible adverse costs order against the Forum in the absence of costs protection:
(Para 14-15, Dring): “The Forum is a loosely constituted group which is informally structured, financed by donations from the Groups and with limited means. As a result it does not have complex financial structures. Should the Court make an order that the Forum do pay any costs, it would have a deterrent effect on the Forum and the Groups being able to continue to offer our services to asbestos related disease sufferers throughout the UK. Accordingly, if the Forum had to pay costs of the original parties we would have to seriously consider whether we would continue with this application, given the inevitable loss of services such costs would entail. In either event, asbestos victims would pay a price: potential reduction in the valuable service we and the Groups provide, or potential loss of valuable information which may be crucial in just settlements of their claims. The Forum would not wish to be placed in the invidious position of making such a hard choice.”
48. Mr Weir submitted that the court was not being asked to make a ‘Protective costs order’ in the sense in which that term is typically used in the context of public law claims[3]. Rather what was being sought was an order to ensure that where the interested parties were, as here, being heard on the application in a situation where the application was not ‘against’ them but was a matter between the Applicant and the court, there was not a risk of the burden of the interested parties costs falling on the applicant given the evidence filed by the applicant as to its means and the impact which an adverse costs order would have on it. The order sought would preserve the default position on an application by the public to copy documents from the court file namely that the Applicant should bear his own costs in what was a matter between the court and the public and should not be at risk of paying the costs of other persons interested in his application, such as Cape.
49. Mr Weir cited Unison v Kelly [2012] EWCA Civ 1148. That was an application in the context of an appeal, and was made under r. 52.9 which permits the appeal court to impose conditions upon which an appeal may be made, if there are compelling reasons to do so. The Applicants (Respondents to the appeal in that case) sought an order under r.52.9 imposing a condition that the Appellants should only be allowed to pursue the appeal on condition that they did not seek costs from the Respondents.
Per Elias LJ, para. 6 “The problem facing the respondents is that they are individuals who cannot afford to defend this litigation. ... they are concerned that if the appeal succeeds and they are liable in costs then they be made bankrupt … they have made it clear that unless they have some protection from a potential order for costs against them they will not be able to play any part in the proceedings.”
Per Elias LJ, para. 10 “… this is not a case of an applicant or appellant who is seeking protection from the risk of costs in order to be able to pursue a claim against a defendant, nor indeed is it a private party seeking to pursue litigation on a point of allegedly wider public interest, such as in [Eweida]. In this case the respondents are simply before the court because they are defending their position and seeking to resist the appeal.”
Per Elias LJ, para. 13 “… it would be stating the principle too high to say that a PCO cannot be awarded in circumstances where private interests are engaged; the jurisdiction is a flexible one and there is no absolute bar but it is right to say that where private interests are engaged that is a significant factor which will bear on the question whether a PCO should be granted or not.”
Per Elias LJ, para. 18 “…. very importantly, … they are willing to undertake that they will not seek costs against the appellant. There is an obvious equity in imposing a condition that the appellants, if successful, will not seek costs against them.”
Per Elias LJ para. 19 “… This is not strictly a protected costs order application. As I have indicated, it is a case where what is sought is a condition on the granting of permission to appeal.”
Per Richards LJ para. 21 “It may be that notwithstanding Eweida the wide discretion of the court in matters relating to costs would admit of the possibility of a freestanding order analogous to a PCO, even in private litigation. But it is not necessary for us to go that far. In this case it is open to us to vary the grant of permission to appeal in the way indicated by Elias LJ so as to impose a condition that the appellant, if successful, will not seek costs against the respondents.
50. As to whether, outside the scope of r. 52.9 relied on in Unison v Kelly which only applies to permission to appeal, the court has a power to attach similar conditions as to costs in other situations, Mr Weir QC referred to Baker v Quantum Clothing Group Limited [2008] EWCA Civ 823. That case was a private law appeal and a part of the matters for argument related to Ms Bakers’ own private interests which were valued at around £5,000. However the appeal raised wider issues of concern to the textile industry in general which related to the historic health and safety noise limits in use in textile factories in the 1980s and before. Mrs Baker’s position was that she could not proceed with the appeal unless she was protected against facing an adverse costs order by the other parties to the appeal, whose interests were wider than her own. She sought an order that her appeal be allowed to proceed but only on condition that the Respondents to the appeal should bear their own costs regardless of outcome.
51. Mr Weir referred to Baker in part as authority that the court has a power under s.51 of the Senior Courts Act 1981 and CPR r. 3.1(2)(m) to make a conditional order as to costs and in part because it was said to be close on its facts to the instant case in some respects not least because it related to health and safety regulation and was of wide interest to the industry and employees to which it related. Furthermore the respondent to the appeal was a party which had chosen to join itself to the appeal because it was affected (para. 31 of judgment), much as Cape, here, was involved as an interested party and not a conventional respondent to the application for court documents.
52. In Baker, the Court of Appeal granted the order:
Per Rix LJ, para. 19 “… if this application is rejected then this appeal cannot go ahead and will be stifled, and this would be a blow, of course, to Mrs Baker, so far as her potential claim for £5,000 is concerned. But much more important than that, it would be a blow to all the interests involved in this litigation.”
Per Rix LJ, para. 26 “ …. There is no question about our jurisdiction to make the order applied for. There has not been any discussion about where that jurisdiction or power [is] to be found, but in my judgment it is to be found in what is now the Supreme Court Act 1981, section 51 and in CPR 3.1(2)(m).” (There was then a reference to King v Telegraph Group Ltd [2005] Q WLR 2282 in which when setting out the costs capping jurisdiction of the court, the court applied r. 3.2(2)(m) and the Overriding Objective).
Per Rix LJ, para. 32 “Is there to be an appeal or not? That ultimately is the question. … the answer must, in justice, be in favour of the appeal. I accept that involves some injustice to Meridian and Pretty Polly. It is the least injustice in the case, in my judgment; the least of evils. They at least are large parties acting in their own interests and they are well able to look after themselves.”
Cape’s position on the question of costs
53. Mr Webb QC of counsel argued that waiving the general rule as to costs would plainly be unjust, and also that the manner in which the Application had proceeded so far amounted to an abuse because of lack of specificity. Whilst it was accepted that there was no application for a Protective Costs Order, what was sought by the applicant was in effect a PCO and those, per Eweida, were confined to public law proceedings, which this was not. Furthermore even if there was scope for a PCO in private law claims, a proper application of Corner House principles would not support the grant of one here.
54. The principles in R (Corner House Research) v SS Trade and Industry [2005] 1 WLR 2600 were described by Mr Webb in the following way, namely that the following criteria should be met:
(a) The issues raised are of general public importance;
(b) The public interest requires that those issues should be resolved;
(c) The applicant has no private interest in the outcome of the case;
(d) Having regard to the financial resources of the applicant and the respondents and to the amount of costs that are likely to be involved it is fair and just to make the order; and
(e) If the order is not made the applicant will probably discontinue the proceedings and will be acting reasonably in so doing.
55. The above summary from Mr Webb appears to come from para. 74 of the Corner House judgment per Lord Phillips MR giving the judgment of the court. It is a fair summary but for completeness I insert here that the judgment refers to the above under number (1) and then goes on to state:
“(2) If those acting for the applicant are doing so pro bono this will be likely to enhance the merits of the application for a PCO.
(3) It is for the court, in its discretion, to decide whether it is fair and just to make the order in the light of the considerations set out above.”
56. Mr Webb argued that as to points (a) and (b) in Corner House, the public interest here was effectively served by this court’s expedited procedures in mesothelioma cases. (CPR Part 3D).
57. As to point (c) whilst the applicant might not have a private interest the intention appeared to be to provide any documents obtained to undisclosed litigants or potential litigants who would have private interests. These were documents which ordinarily would be sought in disclosure in the course of a case under CPR Part 31 and there was no reason put forward as to why those provisions would not enable litigants in their own claims to advance their own interests in the usual way. This was a circumvention of Part 31.
58. As to (d) the applicant had not given sufficient information, it was submitted, to enable the court to assess the parties’ respective resources.
59. Accordingly it was said that the public interest was not served by the making of the type of order sought by the applicant. There was not a lack of private interest insofar as the litigants to whom the documents would ultimately be disclosed had private interests in their own claims. This was an application to circumvent Part 31 of the CPR, Cape was not merely an ‘interested party’ but was a respondent who had been required to take positive steps to comply with the orders of 6 April and 12 April.
60. Furthermore Mr Webb argued that the applicant had not in any event provided sufficient identification of the documents sought from the court record and that was a requirement of r. 5.4C. It was in the circumstances fairer to keep all costs options open until the main application had been determined.
Cape’s evidence
61. As to the nature of the documents sought I note the following from the evidence of Mr Isted for Cape:
(Para 14, Isted): “The standard disclosure exercise undertaken by Cape encompassed a number of different categories, including documents relating to inter-company indemnities and insurance arrangements, marketing materials, product information and codes of practice.”
(Para 14, Isted): “Searches undertaken for the purposes of standard disclosure were principally focussed on documents dating from 1948 through to and including 1982. By reason of the time period in issue, the searches were confined to hard copy documents.”
(Para 17, Isted): “The intention behind Bundle C was to ensure that the documents being relied upon and put in evidence by the parties at trial were readily available to the parties and trial judge in one place. Bundle C was therefore intended to contain any disclosed documents referred to in Court, including those documents referred to in the parties’ written and oral openings, during trial (whether by Counsel in their submissions or by experts or witnesses during examination-in-chief, cross-examination or re-examination) and in the parties’ written and oral closings. To facilitate this, Bundle C was updated on a rolling basis throughout the trial.”
(Para 18, Isted): “All sub-bundles apart from Bundle D were available in Court in hard copy. Bundle D was not made available in Court in hard copy during the trial because of the volume of documentation involved and the fact that, as noted above, any documents from Bundle D which were referred to in Court were to be added to Bundle C in electronic and hard copy format.”
As to the intended use of the documents by the Forum, the general thrust of Mr Isted’s evidence for Cape was to the effect that it is Cape’s view that the Forum has not be clear enough about the uses to which the documents would be put or as to the categories of documents sought from the filed documents on the court record. He refers at para. 22 to Leigh Day indicating that “all the documents which were disclosed and are in the Public Domain, including experts’ reports/transcripts of evidence”, at para. 24 to Leigh Day indicating that the scope was “1. Pleadings, 2. Expert reports, 3. Transcripts of evidence, 4. Cape’s documents disclosed as a result of numerous disclosure applications.” At para. 39 he criticises the Applicant for not being precise enough as to what categories of documents the Forum seeks from the court file, citing the ‘catch all’ reference by Ms Bains to “all documents disclosed by Cape and other parties”.
As to intended use:
he says (Para 31, Isted) referring to Ms Bains’ evidence: “These statements provide no indication of what future litigation is envisaged, whether the Forum would be a party, and against whom it might be pursued.”
(Para 34, Isted): he quotes from emails/letters from Leigh Day stating inter alia “the documents will be useful in current and future litigation. It is impossible to provide identities of the parties of all relevant claims and, in fact, it is irrelevant to do so”, and “the Forum proposes to make the documents available to those who ask for them. These include academics, asbestos related disease sufferers and their families, lawyers and members of the general public.” At para. 36 he criticises the Applicant’s indications as to the use of the documents as ‘generic’ and for failing to identify specific named cases to which they would be of use.
Decision as to the costs issue
62. I accept the basic proposition that an application under rule 5.4C(2) is an application made between a member of the public and the court. It is permitted to be made ex parte and it concerns the court’s own powers over what it does with the contents of its own files and record. That is the starting point but it is of note that the court can direct that an affected person should be given notice. That is in effect what happened here of necessity.
63. The circumstance in which the order of 6th April was made was the prima facie evidence put forward to suggest that there was a likelihood that the contents of what is argued by the Applicants (but disputed by the Defendants) to be part of the court record or file were imminently about to be destroyed and perhaps that the documents had already been removed. I am not finding facts as to the underlying allegation as to an agreement to destroy, or what (if there was such an agreement) it related to, but only that the allegations in evidence ex parte sufficed to lead to my order. In the event as has been seen above, only one significant bundle had been removed (and there is as noted a dispute over whether that or the other files are part of the court record or file). Bundle D had been removed, by the cessation of the data feed to the court, and that was returned in hard drive form, pursuant to my order. The other documents had never in fact left the trial judge’s (or his clerk’s) possession and were simply moved by staff to my courtroom where they remain.
64. The parts of my order of 6th April which preserved documents and retained them at Central Office in my courtroom have therefore served their course ancillary to the main part of the application, and what remains is the application under rule 5.4C(2) for copy documents said to be part of the court record.
65. I am accordingly satisfied that the proper description of Cape (and Concept 70) is that of ‘interested parties’. Whilst in the immediate interim period they did indeed have to take steps to return bundle D to court the necessity for that order was purely ancillary to the application under r.5.4C(2) and made in the light of the removal of (what turned out to be) bundle D from court.
66. An application under r.5.4C is in a class which is different from that of an application by a party to litigation. It is an application by a non party, a member of the public, to the court for permission to obtain copies of certain types of filed documents from the court’s records. It is ordinarily a matter, therefore, between the public and the court and it is typically one sided and on the basis that the applicant is naturally paying his or her own costs.
67. It is of note here that at no point has there been in place any order (and I was not told that any was ever sought) for the benefit of the parties to the underlying litigation which in any way restricted the right of the public to access documents on the court file. Such an order could have been sought under r.5.4C(4) but was not. Absent such an order the application proceeds, under r. 5.4C(2), on the footing that the court may direct that notice be given to affected parties, as has happened here. It does not proceed under the inevitably more adversarial procedure inherent in r.5.4C(6) aimed at obtaining a departure from any extra restrictions imposed under r.5.4C(4).
68. In those circumstances I consider that Cape (which is now effectively the active party other than the Applicant) is properly an ‘interested party’. It was given notice. It wishes to make submissions against what the Applicant asks the court to do by way of access to the court file. There is no dispute that it should be allowed to address the court if it wishes and that it is affected by the application since the documents relate to it.
69. The question for me in my judgment is (as Mr Weir QC correctly argued) not whether to make a ‘Protective Costs Order’. It is clear from Unison v Kelly that where a PCO may not be granted nonetheless a court may in an appropriate case make use of such powers as it may have, if it has any, to impose conditions on the involvement of a party, so as to prevent injustice and especially the risk of due process being stifled by the risk of a costs order. In Unison v Kelly the basis for that power to impose conditions was found in CPR 52.9 which does not apply here, but I am persuaded by the case of Baker v Quantum Clothing and others, also a Court of Appeal decision, that the powers under r.3.1(2)(m) coupled with the general and very broad discretion of the court under s.51 SCA 1981, and the overriding objective itself, provide the power for the court to impose conditions on the involvement of interested parties or others.
70. CPR 3.1(1) and (2)(m) state:
“(1) The list of powers in this rule is in addition to any powers given to the court by any other rule or practice direction or by any other enactment or any powers it may otherwise have. …
(2)(m) take any other step or make any other order for the purpose of managing the case and furthering the overriding objective…”
(i) the starting point is that the application is a matter between Mr Dring and the Court, and nobody else; and
(ii) No order was sought or obtained previously to impose restrictions on the court record, and it is only at this stage after the end of the litigation that Cape raises its concerns when it did not do so before.
Protective Costs Orders
(2) Case Management
The asbestos list
82. The asbestos list and its manner of operation by the Queen’s Bench Masters was described in my judgment in Yates v HMRC [2014] EWHC 2311 (QB). There I said from 11 onwards:
“11 … the unusual procedural approach adopted has achieved a significant change in the way in which these types of claims proceed, and greater efficiency. We hear and dispose of large numbers of such claims.
12. The underlying approach to asbestos claims places the doing of justice, at speed and with improved efficiency, at the forefront; formalities of procedure take second place if they interfere with that. …
13. In very many cases (and in all cases of mesothelioma), where a person has contracted an asbestos related disease, death is the consequence often following a short period, of some months, of decline and often unpleasant medical treatment which lengthens survival only by quite short periods. Regularly we see that claims either begin during life but then become deceased claims after issue, or begin as deceased claims on behalf of estates because the victim has passed away before matters could be got in hand. It is the latter type of case with which this judgment is mostly concerned.
14. Many claims which we hear are urgent and sometimes very much so. Most urgent are those which are ‘living mesothelioma’ matters where the essence of justice (for both sides) is avoidance of delay in the gathering of evidence during the life of the claimant, and if possible the resolution of the claim before the Claimant passes away.
15. Early resolution during life is widely accepted as being in the interests of justice in its widest sense as well as narrowly benefiting claimants and insured defendants alike. Many claims even in deceased matters are quite urgent because the age profile of the affected victims tends to be such that those left behind after the death of the asbestos-exposed person are themselves elderly.
Mechanisms of case management in asbestos claims
16. Each delay in a living asbestos claim has a penalty associated with it which is measurable as a proportion of the claimants in the system who will die without a claim being dealt with during that delay. Weeks lost imply lives ended without resolution of the claim, and that can also mean lost evidence which could have assisted either party. Yet where there is a properly arguable defence with a real prospect of success, the Defendant is entitled to a trial and it would be a serious injustice to a Defendant to deny it that right merely so as to ensure speedy hearing of claims, despite the often inevitable consequence that the Claimant will pass away before trial.
17. It is therefore unsurprising that the practice has arisen of making assertive use of our case management powers to streamline the process as far as reasonably and fairly possible. One of the first considerations one gives in timetabling a claim is ‘how long does the claimant have to live?’ which is a salutary yardstick for any judge and gives a human context to the notion of ‘proportionate case management’. It will be no surprise that budgeting is often dispensed with in these unique claims due to the delay which it would cause in our packed lists.
18. As distinct from more conventional courts, we waive most aspects of procedural formality in favour of using technology and extensive[2] direct access to the two specialist masters, by equally specialist solicitors, using email, an open-door policy, and a ‘no nonsense’ approach. Hearings are generally as informal as the circumstances permit (without of course departing from the law). Frequent use is made of evidence taken on commission at the home of the Claimant on an urgent basis. Almost all hearings are by telephone.
21. We set directions timetables on the understanding by all involved that the timings are very challenging. Missed time limits are not unusual albeit that of course there is no question of deliberately setting the parties up to fail. Very few ‘Mitchell ‘ applications arise because claimants and defendants alike are drawn from firms which cooperate with each other and any slippage is, bluntly, often because the timescales in such cases are exceptionally abbreviated. We usually permit parties to agree changes to timescales between themselves within reason, as long as the law permits, and this practice has also helped to avoid unnecessary cluttering of our list with relief applications.”
84. Although Cape contends for a category B judge in this case, which could include a practitioner sitting as a deputy High Court judge, the applicant seeks disposal by myself. The Masters who have expertise in dealing with asbestos cases regularly deal with all the complexities of specialist asbestos claims, and may try them. See for example the recent decision in Stacey v Triplex [2017] EWHC 1945 (QB) as a case in point where no puisne judge or s.9 judge was listed and a Master was brought in to try the matter at short notice. The issues in relation to the underlying significance of the documents and the relevance of TDN13 for example are matters which are very well known to any of the specialist masters who deal with hundreds of asbestos cases.
88. The timetable for hearing shall be:
Day 1: 10.30am to 3.30pm Applicant submissions.
Day 1: 3.30pm to 4.30pm Cape submissions if so advised.
Day 2: 10.30am to 2.30pm remainder of Cape submissions if so advised.
Day 2: 2.30pm to 3.30pm if required, reply by the Applicant.
89. To prepare for hearing the parties must follow the following directions:
(1) Applicant to file and serve a skeleton argument and list of authorities by 4pm 29th September 2017.
(2) Cape to file and serve either a skeleton argument and list of authorities (if it intends to address oral argument to the court) by 4pm 2nd October 2017 OR (if it intends only to rely on written submissions) any written submissions by the same date.
(3) In the event that Cape elects to serve written submissions then the timetable for hearing shall be reduced to Applicant’s submissions only and the second and third days may be vacated with no attendance by Cape.
(4) Standard bundle directions. There shall be a bundle prepared for the hearing not to exceed 2 full size lever arch files of documents, and in addition an authorities bundle.
(5) List in open court before Master McCloud t/e up to 3 days on 9, 10 and 12 October 2017.
(3) Immediate disclosure?
MASTER VICTORIA MCCLOUD
10/8/17
[1] Note that in some cases (typically where a case is sensitive for some good reason) the parties to litigation typically apply at the outset for an order under CPR r5.4C(4) restricting the class of persons who may obtain copies of statements of case, or ordering that a person or class of persons may only obtain a copy of a statement of case if it is edited in accordance with the directions of the court, or such other order as the court thinks fit. If an order is made under r5.4C(4) then a non-party wishing to obtain a copy of the statement of case, or an unedited copy of it, may apply (on notice to the party or person who requested the order) for permission.
[2] On 12 April following queries from the parties (in part because the order made ex parte only referred to one claim number and also was felt by the respondents to it to have a lacuna in it) I made orders by email as follows: 12/4/17 at 11am and 19.30hrs on the same day. They were as follows: Order of 11am: Order of the court's own motion as follows (I have included part of the first email for context):
Order of 11am:
There may be a lacuna in the scope of my order insofar as Bundle D may not have been ‘removed’ as such yet also not be at the RCJ any longer.
“Of my own motion in order to give effect to the purpose of my decision to ensure that trial documents which were in court should be delivered to me for preservation until final decision is made under the application, I therefore make the following order:
(1) No copy of Trial Bundle D (which was provided at trial in electronic form only) being currently available at court, a complete copy of Trial Bundle D must be lodged by the Respondents at court in electronic form by 4pm on Thursday 12th April 2017 at court room E117.
(2) For the avoidance of doubt nothing in this order amounts either (a) to a decision as to the scope of ‘court records’ (etc) for the purposes of this application or (b) requires “Opus” or any party to make available its commercial document management service to the court, and it shall be sufficient compliance by the Respondents if Bundle D is re-lodged in a form which is accessible by the court on a standard unencrypted medium such as an external hard disk, solid state drive, memory card or USB stick.
(3) Costs in the application.”
Order of 19.30hrs:
“(1) Orders of Master McCloud
dated 6 April 2017 and 12 April 2017 and varied so that each claim number for
each claim or application heard by Picken J together with Concept 70 v Cape
Intermediate Holdings is set out seriatim. This order is also made in each such
claim.
(2) Each claim or application aforesaid is assigned to Master McCloud. The
Application and the orders aforesaid shall be served by the Applicants on each
party in each claim or application.
(3) The party or parties which provided Bundle D to the court in any or all of
the above claims shall by 4 pm on 13 April 2017 re-lodge at court E117 a
complete digital copy of Bundle D in unencrypted format on an accessible
digital medium namely usb stick, SD card, external USB Hard Drive or CD/DVD,in
Word or Adobe format.
(3) Costs in the application.”
[3]Per Lloyds LJ in Eweida v British Airways PLC [2009] EWCA Civ 1025 para 38, a protective costs order cannot be made in private proceedings between parties, at least where the interest of the party seeking to be protected is too significant to bring the case within the well known principles set out in R v (Corner House Research) SS Trade and Industry [2005] EWCA Civ 192.