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England and Wales High Court (Technology and Construction Court) Decisions |
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You are here: BAILII >> Databases >> England and Wales High Court (Technology and Construction Court) Decisions >> Doosan Babcock Ltd v Comercializadora De Equipos Y Materiales Mabe Limitada [2013] EWHC 3010 (TCC) (11 October 2013) URL: http://www.bailii.org/ew/cases/EWHC/TCC/2013/3010.html Cite as: [2014] 1 Lloyd's Rep 464, [2013] EWHC 3010 (TCC) |
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QUEEN'S BENCH DIVISION
TECHNOLOGY AND CONSTRUCTION COURT
Rolls Building, 7 Rolls Buildings London EC4A 1NL |
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B e f o r e :
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Doosan Babcock Limited (formerly Doosan Babcock Energy Limited) |
Claimant |
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- and - |
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Comercializadora de Equipos y Materiales Mabe Limitada (previously known as Mabe Chile Limitada) |
Defendant |
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Rupert Choat Esq (CMS Cameron McKenna LLP) for the Defendant
Hearing dates: 4th October 2013
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Crown Copyright ©
Mr. Justice Edwards-Stuart:
Introduction
Events leading up to the application
"We note that you state that you act for 'MABE' but would you please provide the full name of the entity which you represent, together with an address for service of any future notices and/or proceedings."
The letter went on to assert that the units had been taken over by MABE and that MABE was still in possession of the two performance guarantees. It suggested that the notification of MABE's claim was simply a cloak to enable MABE to make a call on the guarantees. Pinsent Masons asked MABE to undertake not to make any demands on the performance guarantees without giving at least 7 days notice.
"We have already asked for all correspondence on this matter to be sent to us."
The letter continued by saying that neither of the guarantees had expired since no Taking-Over Certificates had been issued. The solicitors said that their client declined to give any undertaking in relation to giving notice of any intention to make a demand on the guarantees.
The relevant provisions of the contract
"The Engineer may, at the sole discretion of the Employer, issue a Taking-Over Certificate for any part of the Permanent Works.
The Employer shall not use any part of the Works (other than as a temporary measure which is either specified in the Contract or agreed by both Parties) unless and until the Engineer has issued a Taking-Over Certificate for this part. However, if the Employer does use any part of the Works before the Taking-Over Certificate is issued:
(a) the part which is used shall be deemed to have been taken over as from the date on which it is used,
(b) the Contractor shall cease to be liable for the care of such part as from this date, when responsibility shall pass to the Employer, and
(c) if requested by the Contractor, the Engineer shall issue the Taking-Over Certificate for this part."
"… on receipt of your first demand on us in writing stating that [the Claimant] has not performed its obligations in conformity with the terms of the Contract."
The submissions of the parties
"If the case is one of urgency, the court may, on the application of a party or proposed party to the arbitral proceedings, make such orders as it thinks necessary for the purpose of preserving evidence or assets."
"It seems to me that, once it is accepted that 'assets' includes 'choses in action' there is no reason to limit them to particular types of choses in action. There may be some other reason for limiting the operation of section 44(3) but I do not see any reason why a contractual right should not be an 'asset' within the meaning of the subsection. Further, given the fact that the purpose of section 44(3) is to permit orders for the preservation of assets, and given the limitations on the operation of the subsection, namely that it can only be invoked (a) when 'the case is one of urgency' and (b) when the judge thinks that it is 'necessary' to make the order, it seems to me that in this context there is no good reason for construing the meaning of 'assets' narrowly."
"… in relation to arbitration applications concerning arbitrations which have their seat within the jurisdiction it is the almost invariable practice of the court to permit service upon a party's solicitor who has acted for the party in the arbitration, provided that that solicitor does not appear to have been disinstructed or absent other special circumstances."
"Where it appears to the court that there is a good reason to authorise service by a method or at a place not otherwise permitted by this Part, the court may make an order permitting serviced by an alternative method or at an alternative place."
This is the rule that permits the course to which Tomlinson J was referring in the passage quoted above.
The threshold test for the grant of interim relief in relation to bonds/guarantees
"(a) Unless material fraud is established at a final trial or there is clear evidence of fraud at the without notice or interim injunction stage, the Court will not act to prevent a bank from paying out on an on demand bond provided that the conditions of the bond itself have been complied with (such as formal notice in writing). However, fraud is not the only ground upon which a call on the bond can be restrained by injunction.
(b) The same applies in relation to a beneficiary seeking payment under the bond.
(c) There is no legal authority which permits the beneficiary to make a call on the bond when it is expressly disentitled from doing so.
(d) In principle, if the underlying contract, in relation to which the bond has been provided by way of security, clearly and expressly prevents the beneficiary party to the contract from making a demand under the bond, it can be restrained by the court from making a demand under the bond.
(e) The court when considering the case at a final trial will be able to determine finally what the underlying contract provides by way of restriction on the beneficiary party in calling on the bond. The position is necessarily different at the without notice or interim injunction stage because the Court can only very rarely form a final view as to what the contract means. However, given the importance of bonds and letters of credit in the commercial world, it would be necessary at this early stage for the Court to be satisfied on the arguments and evidence put before it that the party seeking an injunction against the beneficiary had a strong case. It can not be expected that the court at that stage will make in effect what is a final ruling."
"Finally, as to the issue in relation to the applicability of Cyanamid, I follow the view adopted by Lord Justice Staughton in Group Josi v Walbrook Insurance Co Ltd [1996] 1 WLR 1152 (at page 1161F-H) following that expressed by Lloyd LJ in Dong Jin Metal Co Ltd v Raymet Ltd (CA) (13 July 1993-unreported):
'I do not think it makes much difference whether one says that letter of credit cases are special cases within the American Cyanamid guidelines, because of the special factors which apply in such cases (see American Cyanamid Co v Ethicon Ltd [1975] AC 396, 409C-D, per Lord Diplock) or whether one says that such cases fall outside the guidelines altogether. I prefer the former view.'
I also prefer and follow this view simply as a matter of pragmatic practicality that it is not sensible to have more than one set of rules in relation to interim injunctions. In bond and letter of credit cases, the 'serious issue to be tried' threshold is in practice a more difficult one to overcome."
The balance of convenience
Conclusion