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High Court of Ireland Decisions


You are here: BAILII >> Databases >> High Court of Ireland Decisions >> Smart Mobile Ltd v Commission For Communications Regulation [2006] IEHC 82 (13 March 2006)
URL: http://www.bailii.org/ie/cases/IEHC/2006/H82.html
Cite as: [2006] IEHC 82

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Judgment Title: Smart Mobile Limited v Commission For Communications Regulation

Neutral Citation: [2006] IEHC 82


High Court Record Number: 2006 702P

Date of Delivery: 13 March 2006

Court: High Court


Composition of Court: Kelly J.

Judgment by: Kelly J.

Status of Judgment: Approved



Neutral Citation Number [2006] IEHC 82

THE HIGH COURT
DUBLIN

[2006 No. 702 P.]


SMART MOBILE LIMITED PLAINTIFF


and


COMMISSION FOR COMMUNICATIONS REGULATION DEFENDANT



JUDGMENT DELIVERED BY MR. JUSTICE P. KELLY
ON MONDAY, 13 MARCH 2006






MR. JUSTICE P. KELLY DELIVERED HIS JUDGMENT TO THE
COURT:


MR. JUSTICE KELLY: Whilst a reserved Judgment
would probably give rise to
more felicitous English and more accurate syntax and
grammar, it would nonetheless carry with it a
concomitant delay. As I have reached a clear
conclusion as to what the outcome of this application
ought to be, I don't propose to be guilty of any
delay in the proceedings.



The application before the Court is brought by Notice
of Motion which seeks:

"An order pursuant to Order 63(a) Rule
    5 or Rule 6(ii) of the Rules of the
    Superior Courts and/or pursuant to the
    inherent jurisdiction of the Court
    directing that the plaintiff's claim
    that the decisions made by the
    defendant as specified at Paragraph 2
    of the general endorsement of claim
    were unreasonable, constitute an abuse
    of process and should instead be
brought by a way of an application for
certiorari of the decisions by way of
Judicial Review pursuant to Order 84 of
the Rules."


Now in order to understand how this application comes
    to be made, it is necessary to sketch out very
    briefly the factual background to the matter.
    These proceedings began by plenary summons on 14
February 2006, and the first claim in the general
endorsement of claim is in the following terms:
    "A declaration that there exists a
concluded contract between the
plaintiff and the defendant for the
award and subsequent grant to the
plaintiff of a 3G Mobile
Telecommunications B-License pursuant
to Section 5 of the Wireless Telegraphy
Act 1926 and the Wireless Telegraphy
Third Generation Regulations 2002 (as
    amended)."
    The alternative claim, which is at Paragraph 2 of the
endorsement of claim, seeks:
    "(a) A declaration that having
selected the plaintiff as the
successful tenderer for the 3G license,
the defendant was and is obliged to
give the plaintiff a reasonable period
of time to comply with the terms and
conditions additional to those set out
in the defendant's tender document
which the defendant has sought to
impose on the plaintiff as the
successful tenderer for the 3G license.
    (b) A declaration that the
defendant's deadline for 30
January of this year for the plaintiff
to comply and satisfy the said
additional requirements specified by
the defendant for the performance
guarantees to be provided by the
plaintiff the defendant is
unreasonable.
    (c) A declaration that the said
additional requirement
specified by the defendant for the
performance guaranteed requested from
the plaintiff are unreasonable.
(d) A declaration that the
defendant is not entitled to

    treat its negotiations with the
    plaintiff for the award and subsequent
    grant to the plaintiff of the said
    license as being at an end until such
    time as the plaintiff has been afforded
    a reasonable period within which to
    satisfy the defendant’s additional
    requirements in relation to the said
    performance guarantee or to proffer
appropriate alternative proposals."


    There is then sought injunctive relief.

I should say that having instituted those proceedings
by the issue of that plenary summons, on the same day
an application to Ms. Justice Laffoy for injunctive
relief which was granted on an interim basis and by
agreement that injunction is to continue until trial.

The factual background which led to the institution
of proceedings is this: The defendant, the
Commission for Communication Regulation, inherited
the functions which were formerly carried out by the
Office of the Director of Telecommunications
Regulation. The defendant was established pursuant
to the Communications Regulation Act of 2002.

On 15 June of last year, the defendant invited
    expressions of interest in respect of the 3G Mobile Telecommunication Licenses and it issued a tender
document in that regard on 22 July 2005. That
    document invited applicants to make voluntary binding commitments to furnish performance bonds to support
the performance targets made in the applications for
the license.

The plaintiff was one of the applicants. It
submitted an application before the relevant
deadline, being 9 September 2005, and there were two
other applicants: Eircom Limited; and, Meteor
Communications Limited.

It is common case that in its application for the
license, the plaintiff gave a voluntary binding
commitment to furnish a performance bond in the
amount of €100 million in support of the performance
targets to which it committed itself in the
application.

On 16 November 2005, the defendant informed the
plaintiff that, having evaluated the three bonds, the plaintiff had achieved the highest score. It was,
therefore, the successful applicant for the 3G
license and that license would be issued to it on
fulfillment of specific conditions.

The conditions which are relevant insofar as this
litigation is concerned are that the plaintiff was
required, before the license would be issued to it,
to produce a performance bond in the amount of €100
million in a form acceptable to the defendant on or
before 16 December. Secondly, a condition was
attached to the effect that a guarantee in the amount
of €7.6 million equivalent to what is described as
the spectrum access fees payable for the first five
    years of the license would be furnished on or before 1 December 2005.

By a letter of 22 November 2005, the plaintiff
accepted the defendant's offer of the license and the conditions attached to it.

On 30 November of last year, the plaintiff requested
an extension of the deadline for the payment of the
7.6 million guarantee. By a letter of 1 December,
the defendant extended the deadline for that to 15
December.

On 15 December, the plaintiff requested an extension
of the deadline. By a letter of 16 December, the
defendant informed the plaintiff that the deadline
for a submission of the performance bond in the
amount of 100 million and the guarantee of
7.6 million was extended to 5 o'clock on Monday
30 January 2006 and that if guarantees were not
provided by that date, no further extension of the
deadlines would be possible and the plaintiff would
not be awarded the license. That was set out with
specificity in the relevant correspondence which I've
read.

It is contended that on various dates between
16 December and 27 January, the defendant held
meetings, conversations and otherwise corresponded
with the plaintiff emphasising the importance of the deadline. And, indeed, that is borne out by the correspondence which I've read. So there could be no
doubt but that the plaintiff was clearly on notice of
the deadline which was specified.

Despite those requests, the contention is that the
drafts of the actual performance bond which the
plaintiff proposed to provide were first sent to the defendant on the afternoon of Friday 27 January 2006.
On receipt of the draft performance bonds and
thereafter, particularly on Saturday the 28th and
Sunday the 29th, the defendant furnished comments and
indicated its concerns in relation to the draft
performance bonds.

The defendant during that weekend, it is said,
informed the plaintiff that for reasons which were
set out over the course of the weekend, the draft
performance bonds were not acceptable to it.

The defendant contends that neither the performance
bonds nor the guarantee were furnished by the
deadline and on 13 February 2006 it informed the
plaintiff that the license would not be awarded to it
because the plaintiff had failed to meet the
conditions attached to the offer of the license.

Now for the purpose of these proceedings, the
endorsement of claim, which I've already recited,
falls into two parts. The first is for a declaration
that there was a concluded contract between the
plaintiff and the defendant. And the basis for that contention is, it is said, that the plaintiff will
argue that it had in fact met the requirements of the
defendant prior to 5 o'clock on 30 January and that
the documents which were proffered by it on the
preceding Friday and over the weekend constituted a compliance with the defendant's requirements and
that, therefore, the offer which had been made and
accepted ripened into an enforceable contract having
regard to the plaintiff's compliance with the
defendant's requirements. That is not accepted by
the defendant and that is clearly going to be in
contention in the proceedings.

The second part of the plaintiff's claim, which is
that dealt with at Paragraph 2, is of an entirely
different type. It is contended there that far from
there being a private law arrangement as between the defendants, there is a public law element involved.
It is said that the defendant is a statutory
regulator, that it has under public law concepts
certain obligations imposed upon it and that it
breached those obligations in particular an
obligation to act reasonably in the imposition of the
time limit and the way in which it then enforced it.
And it is conceded on the part of the plaintiff that
that is matter which falls to be dealt with
exclusively by public law concepts.

Now what is contended by the defendant here is that
the bringing of these proceedings in this form,
having been instituted by plenary summons,
constitutes an abuse of the process of the Court.
This is so, it is said, because in truth and in
reality the second leg of the plaintiff's claim is
one which seeks, although not by name, certiorari to
quash the decision made by the defendant. That being
so, to bring proceedings seeking such relief by way
of plenary summons is impermissible and constitutes
an abuse of the process of the Court.

The plaintiff does not accept that it is in effect
certiorari which it is seeking but in any event says
that it is not an abuse of the process of the Court
to bring proceedings in this form.

Although there has been a wealth of case law gone
through in the written submissions, it has to be said
that a number of things emerge therefrom. First,
that unlike certain other regulators there is no
obligation imposed by statute or by regulation which
requires a person who seeks to contest the validity
of a decision made by the defendant to do so by
Judicial Review and by no other means. Such a
provision is to be found for example in the planning legislation where decisions of the planning board may
not be contested in any manner other than Judicial
Review. There is no such requirement insofar as this defendant is concerned.

Secondly, there has been no decided case in this
jurisdiction to the effect that a party who is not by
statute required to bring an application to contest
the validity of a decision of a statutory regulator
by Judicial Review and Judicial Review alone is
guilty of an abuse of process by seeking to contest
the decision in any other way.

In that regard, what I have heard today is rather
reminiscent of arguments that I had to deal with in
the case of Landers -V- Garda Síochána Complaints
Board which is reported at [1997] 3 IR. The relevant
passage from my Judgment is as follows:

"If the Director of Public Prosecutions
is to succeed on this leg of his claim,
he has, in my view, in effect to
demonstrate to my satisfaction that the
procedure adopted in this case amounted
to an abuse of the process of the
Court. He would be well on the way to
so doing if he could show that the
procedures as prescribed under Order 84
of the Rules of the Superior Courts are



    mandatory and exclude, in the cases
        coming within their purview, the
        adoption of any other procedure, e.g.
        the issue of a plenary summons seeking
declaratory relief."
    The same applies in this case.
I then went on to consider the earlier decision of
Mr. Justice Costello, and I said:
    "This topic has already been considered
    by this Court in the case of
    O'Donnell -v- Dun Laoghaire Corporation
    [1991] ILRM 301. In the course of his
    judgment, Costello J. (as he then was)
    considered the relevant English
    statutory provisions and the case law
    which had developed in relation to them
    culminating in the decision of the
House of Lords in O'Reilly -v- Mackman
[1983] 2 AC 237.

Costello J. said as follows:
'Firstly, as a matter of construction,
    I cannot construe the new rules as
    meaning that in matters of public law
    Order 84 provides an exclusive remedy
    in cases where an aggrieved person
    wishes to obtain a declaratory order
    and that such a person abuses the
    courts' processes by applying for such
    an order by plenary action.

Secondly, I do not think that the court
    is at liberty to apply policy
    considerations and conclude that the
    public interest requires that the court
    should construe its jurisdiction
    granted by the new rules in the
    restrictive way suggested,

(a) because the jurisdiction it is
exercising is one conferred by
    statute (the 1867 Act) and it is not
    for the court to decide that as a
    matter of public policy litigants who
    ask the court to exercise this
    jurisdiction abuse the courts'
    processes, and
        (b) because it is not necessary to
call in aid the doctrine of
    public policy to avoid the mischief
    which would otherwise result.'"



There is no case which finds that the utilisation of
    the plenary proceeding constitutes an abuse of the
    process where some or all of the claims in that
    plenary proceeding can be accommodated by means of
    Judicial Review.
Whilst I can well understand the wish of a regulator
to ensure that an application which seeks to contest
    the validity of its decision should be by Judicial
    Review and whilst I can well see the merit in
    pursuing applications in that fashion, the plain fact
    is that, unlike other regulators, this regulator is
    not so favoured by the legislature. Consequently it
    does not appear to me that I am entitled to say that
    the institution of proceedings by way of plenary
    summons, desirable and all as Judicial Review might
be, constitutes an abuse of the process of the Court.

But in any event, it seems to me that on the facts of
this case there is very little to be said in favour
    of the proposition that the application should be,
    pursuant to whatever inherent jurisdiction there
    might be, directed to be pursued as a Judicial Review application. I come to that conclusion for a number
    of reasons.
    First, Mr. Sreenan says that the regulator ought to
    be protected by ensuring that the application which
    is a necessary condition precedent for Judicial
    Review be made to a Judge on sworn testimony rather
    than the mere issue of a writ. Now, in fact, in the
    present case there was an application made to my
    colleague Ms. Justice Laffoy which resulted in an
    injunction being granted. And it is at least
arguable, and I think very persuasively, that the
standard of proof that has to be achieved on an
application for an interim injunction is, if
anything, higher than the standard which has to be
achieved for leave to apply for Judicial Review using
the criteria specified in the decision of the Supreme
Court in G -v- DPP.

But secondly, and more to the point, it is conceded
    by the defendant here that if I were to stop these proceedings in their tracks and require the plaintiff
    to commence Judicial Review proceedings, leave would
    be granted. In other words, the necessary threshold
    of proof would be achieved. Consequently I see
    little to recommend this approach in respect of that
    aspect of alleged protection. It is conceded that
    the necessary threshold of proof has already been
achieved.

There are a number of other protections which, it is
said, are available under the Judicial Review
    procedure which are not available here.

First, it is said that the trial by way of Judicial
Review would be on affidavit. I don't see any reason
why the Court in an appropriate case can't direct a
trial on affidavit in respect of public law issues
which fall to be dealt with by a plenary proceedings.

But in the present case it has to borne in mind that
it is not just public law issues which are raised.
There is also the private law issue which is
contained at Paragraph 1 on the general endorsement
of claim for which there is undoubtedly an
entitlement to proceed by way of plenary hearing.

So given the bifurcated nature of the relief which is
claimed here, I don't think that on the facts there
is, in reality, any procedural protection given to
the defendant by Judicial Review proceedings as such.

It is also said that the discovery which will be
available in Judicial Review is by definition much
more confined than on plenary proceedings. Again, I
think that that is a protection which is more
apparent than real having regard to the nature of
these proceedings. They are being case managed and
case managed in the commercial court to a much
greater extent than they ever would be in the
ordinary Judicial Review list.

As a result it will be possible to define with great
precision what precisely are the issues which fall to
    be determined. Insofar as public law issues are
    concerned, the discovery pertinent to them will only
    be that which would be available in Judicial Review proceedings.
Indeed, it has to be said that the plaintiff has at
all times conceded that insofar as there are public
law issues which fall to be determined in these
proceedings, public law principles are applicable to
them.

In that regard, again I call in aid the views of
Mr. Justice Costello in O'Donnell where he said
precisely that. So both insofar as time and
procedures and discovery are concerned, the public
law element of the plaintiff's case will be governed
by those proceedings notwithstanding that the action
began by plenary summons.

The other area of protection which it is said is
available in Judicial Review proceedings but not in
plenary proceedings relates to the rights of third
parties. In this case, there were two disappointed
    suitors who failed to convince the defendant of their entitlement to be awarded the contract. They are
    apparently aware of the proceedings but have not been furnished with them as such.

In Judicial Review proceedings, the Court would have
a discretion to their being joined as notice parties
since it might be said that they have a material
interest in the outcome of the proceedings. Perhaps
    it is difficult to conceive what that might be given
    that neither of them were successful, but I wouldn't
    propose to make any adjudication as to whether or not
    they might be prejudiced. I propose to take a step
    which will ensure that if there is any possible
    prejudice, they will have the opportunity to make
    their case in that regard.
It also seems to me that given the dual nature of the
    claim which is made here, that even if I were to
    accede to the application and to direct that it
    should not go to trial but be dealt with as a
    Judicial Review application, I couldn't possibly
    accommodate the first relief which has been claimed.
That is undoubtedly, in my view, a private law
    question which is sought to be agitated by reference
    to the existence of a concluded and binding contract.

    So for these reasons I take the view that, first of
    all, there is no abuse of process involved in the
    institution of proceedings in this form. I say that
    in circumstances where I can well see the merit of
    having public law questions concerning the behaviour
    of regulators dealt with under the Judicial Review
    mechanism. But until such time as the legislature
    intervenes in the way in which it did in, for
    example, the planning code, there is no warrant for
    the Court to conclude, certainly on the facts of this
    case, that the institution of proceedings of this
    sort constitutes an abuse of the process. That is
    the standard which has to be met if the application
    is to be acceded to.

Secondly, having regard to the facts here, where it
is conceded that there is a stateable case which
would achieve and surpass the necessary threshold of
proof in Judicial Review proceedings, I am of the
    view that nothing would be gained by requiring
    Judicial Review proceedings to be instituted. In
    fact, all that would happen would be that further
    costs and delay would ensue. The other disadvantages
which have been identified are more apparent than
real in the context of the present proceedings.

Finally, given that there is a private law claim
asserted in the plenary summons as well as those
public law claims, it seems to me it would be
inappropriate in the exercise of any discretion that
I might have inherently to direct that this
application in effect start again insofar as its
public law element is concerned and proceed to trial
insofar as the private law claim is concerned. So
for those reasons I refuse the application which is
sought in the notice of motion.


THE JUDGMENT WAS THEN CONCLUDED



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URL: http://www.bailii.org/ie/cases/IEHC/2006/H82.html