BAILII is celebrating 24 years of free online access to the law! Would you consider making a contribution?
No donation is too small. If every visitor before 31 December gives just £1, it will have a significant impact on BAILII's ability to continue providing free access to the law.
Thank you very much for your support!
[Home] [Databases] [World Law] [Multidatabase Search] [Help] [Feedback] | ||
High Court of Ireland Decisions |
||
You are here: BAILII >> Databases >> High Court of Ireland Decisions >> Moloney & Anor -v- Liddy & Ors [2010] IEHC 218 (1 June 2010) URL: http://www.bailii.org/ie/cases/IEHC/2010/H218.html Cite as: [2010] 4 IR 653, [2010] IEHC 218 |
[New search] [Help]
Judgment Title: Moloney & Anor -v- Liddy & Ors Composition of Court: Judgment by: Clarke J. Status of Judgment: Approved |
Neutral Citation Number: [2010] IEHC 218 THE HIGH COURT 2009 3119 P BETWEEN EDMOND MOLONEY AND JACQUELINE MOLONEY PLAINTIFFS AND
BRENDAN LIDDY, NICHOLAS HUGHES, BRIAN ROE PRACTISING UNDER THE STYLE AND TITLE OF HUGHES AND LIDDY, SOLICITORS DEFENDANTS AND
KENNETH MEEHAN AND JW LEVINS, PRACTISING AS MEEHAN LEVINS PARTNERSHIP AND MEEHAN LEVINS PARTNERSHIP LIMITED THIRD PARTIES JUDGMENT of Mr. Justice Clarke delivered on the 1st of June, 2010 1. Introduction 1.2 In these proceedings, the Moloneys claim against the firm of solicitors who represented them in relation to the original proceedings, Hughes and Liddy solicitors (the “Solicitors”), for damages arising out of the delay in serving the plenary summons on the Architects such that the original proceedings are now struck out. In February last, the Architects were joined to these proceeding as third parties. In essence, it is alleged that the Architects are concurrent wrongdoers with the Solicitors responsible to the Moloneys for the same damage. In joining the Architects as third parties, the Solicitors are seeking a contribution from the Architects pursuant to Section 21 of the Civil Liability Act 1961. 1.3 The Architects sought to have the third party proceedings against them dismissed, stayed and/or struck out. The Architects argued that there were two potential bases on which proceedings ought to be dismissed, stayed or struck out, which were:-
B. In the alternative, it is suggested that it amounts to an abuse of process on the part of the Solicitors, in all the circumstances of the case, to seek to litigate issues against the Architects when those issues have been dismissed in proceedings brought by the Moloneys and where, it is said, the Solicitors were the prime instigating party in the application made by the Moloneys which sought to have the summons in the original proceedings renewed. 1.5 Some short number of days after the hearing I indicated to the parties that I was satisfied that the third party proceedings against the Architects should be dismissed as being bound to fail but that I would give reasons for that conclusion at a later date. This judgment, sets out those reasons. In setting out those reasons it is first necessary to turn briefly to the background to these proceedings, which are set out in more detail in the judgment of 21st January, 2010. 2. Factual and Procedural Background 2.2 The main reason given for the failure to serve the plenary summons within the time prescribed by the Rules of the Superior Court was that the Solicitors were said to be waiting to examine an expert report and intended to serve a statement of claim along with the summons. An order renewing the summons was made on 11th May, 2009. An application was brought by the Architects to set aside the renewal of the summons, which application was heard on 18th December, 2009. In my judgment of 21st January, 2010, I decided that the “good reason” for renewal requirement in O. 8 had not been met and that, even if there was such a good reason for the renewal, the balance of justice in all circumstances would not have favoured the renewal. Accordingly, the order renewing the summons was set aside. No appeal has been taken against this decision. 2.3 The present proceedings were instituted by plenary summons dated 2nd April, 2009. The statement of claim contends that the Moloneys retained the Solicitors for professional advice about their rights of action as against the Architects and the Contractors in respect of the construction of the dwelling house. It is said that the Solicitors undertook to act as solicitors for and on behalf of the Moloneys in the commencement and prosecution of any litigation arising from the design/construction of the relevant dwelling house. The Moloneys now allege that the Solicitors failed to take any action against the Architects and/or the Contractors until such time as the Moloneys’ action for damages had become statute-barred by virtue of the Statute of Limitations Act 1957. The Moloneys claim that it was an implied term in the contract of retainer that the Solicitors would exercise all due and proper skill, care and diligence in instituting and prosecuting all or any litigation on their instructions. The Moloneys claim that because of the negligence and/or breach of contract on the part of the Solicitors, they have lost all prospects of recovering damages against the Architects in respect of the claim as set out in the original proceedings and have been delayed in their ability to effect suitable remedial work to enable the dwelling house to be inhabitable and thereby have suffered loss and damage. 2.4 On 9th November, 2009, the Solicitors sought an adjournment of these proceedings pending the determination of validity of the renewal of the summons in the original proceedings, and an order was granted in this respect. As mentioned above, I dismissed the original proceedings on 21st January, 2010. The motion for the adjournment was then struck out on consent. On 22nd February, 2010, the Solicitors applied for and were granted liberty to issue and serve a third party notice on the Architects. A Third Party Notice issued on 24th February, 2010. A third party statement of claim was delivered on 19th March, 2010. 2.5 In passing it should be noted that it appears that the Contractors are no longer trading and that there would be no point in pursuing any claim against the Contractors at this stage. Against that background it is necessary to turn to the Architects’ case. 3. The Architects’ Submissions
(2) In any proceedings for contribution under this Part, the amount of the contribution recoverable from any contributor shall be such as may be found by the court to be just and equitable having regard to the degree of that contributor's fault, and the court shall have power to exempt any person from liability to make contribution or to direct that the contribution to be recovered from any contributor shall amount to a complete indemnity.” 3.3 Essentially, the Architects contended that the phrase “same damage” as appears in s. 21(1) of the 1961 Act, cannot be met in the circumstances of this case. It was said that the damage which the Solicitors may, if the Moloneys’ case is proved, be said to have caused to the Moloneys is the loss of the opportunity to bring proceedings against both the Architects and the Contractors. On the other hand, it is said that the damage caused to the Moloneys by the Architects (if liability be established) relates directly to any defects in the relevant dwelling house which might be attributed to failings on the part of the Architects either in design, supervision, certification or the like. 3.4 While it was accepted that there are similarities between the matters that would go into the calculation of the amount of damages to be awarded in the event of the Moloneys establishing liability in either case, it is said that it is not, as a matter of law, the same damage. As an additional point under this heading it is suggested that the phrase “would if sued at the time of the wrong” refers to the circumstances prevailing when any wrong might have been committed by the Solicitors. On the basis of that construction of the relevant phrase, it is said that, by definition, a wrong was only committed by the Solicitors when the proceedings as against the Architects had become statute barred so that there could not, at that time, have been any potential liability on the Architects. For that reason also it is said that s. 21(1) does not apply. 3.5 The Architects further submitted that they should not be exposed to multiple litigation and accordingly, that the court had an inherent jurisdiction to stay or dismiss proceedings which abuse the due process of the administration of justice where to do otherwise would undermine its effectiveness or integrity. 4. The Solicitors’ Submissions 4.2 So far as the interpretation of the term “wrong” in s. 21 is concerned, attention is drawn to the provisions of s. 31 of the 1961 Act which undoubtedly allows a defendant to bring a claim for a contribution within an extended limitation period, being one which is for two years after the earlier of the conclusion, or alternatively the settlement, of the claim brought by the plaintiff against that defendant. Against that background it is submitted that it is clear that the proper construction of s. 21 does not exclude a defendant seeking a contribution from a party in circumstances where the direct claim by the plaintiff against that party might ordinarily be statute barred. 4.3 In addition, counsel on behalf of the Solicitors contested the allegation that the attempt to seek a contribution from the Architects amounted to an abuse of process. In particular, in that context, counsel placed reliance on the extended limitation period to which I have referred. On that basis it was suggested that there was nothing abusive in maintaining proceedings which were otherwise statute barred by means of reliance on the extended limitation period contained in s. 31. 4.4 Against the background of those general submissions, I now turn to an analysis of the issues which arose. I turn first to the construction of s. 21. 5. The Construction of Section 21 5.2 The Architects place reliance on Wallace v. Litwiniuk [2001] 92 Alta L.R. (3d) 249, a decision of the Court of Appeal of Alberta, which was quoted with approval by the House of Lords in Royal Brompton Hospital NHS Trust v. Hammond & Ors [2002] 1 WLR 1397. It is, of course, important to start by noting that judgments of foreign jurisdictions in relation to relevant statutory regimes within those jurisdictions need to be carefully analysed in order to ascertain whether they are, in fact, persuasive in this jurisdiction. Where the reasoning of the court concerned derives in material part from the wording of the relevant foreign statute, which wording is not reproduced in an Irish corresponding provision, then great care needs to be exercised in applying such judgments in this jurisdiction. Helpfully the judgement in Wallace (at para. 10) sets out the provisions of the relevant Alberta legislation which makes it clear that claims for a contribution are, in the words of that legislation, confined to liabilities “in respect of the same damage”. It will be recalled that the same phrase is to be found in s. 21 of the 1961 Act. Likewise, it is clear that the same term is to be found in the United Kingdom Civil Liability (Contribution) Act 1978, which was under consideration in Royal Brompton Hospital. This is, therefore, a case where the key phrase “the same damage” appears in all relevant legislation. The authorities are, therefore, clearly relevant and, in my view, highly persuasive. As pointed out in the speech of Lord Bingham in Royal Brompton Hospital at p. 1401, the term “damage” does not mean “damages”, noting that the same point had been made by Roch L.J. in Birse Construction Limited v. Haiste Limited [1996] 1 W.L.R. 675 at p. 682. 5.3 It should immediately be noted that there are differences between the Alberta, United Kingdom and Irish legislation. The categories of persons qualifying are differently described. However, in each case there is a limitation by reference to the requirement that whatever persons may qualify within the terms of the respective sections must potentially be liable in respect of “the same damage”. The differences in the sections are not, therefore, material to the question of the proper interpretation of the phrase “the same damage”. 5.4 The decision of the Court of Appeal of Alberta is particularly apposite as it concerns an attempt, as here, by a firm of lawyers to seek a contribution from the party who was said to be liable to their former client in circumstances where the lawyers concerned failed to bring proceedings against that party in a timely fashion, such that the proceedings became statute barred. In that context, and in characterising the plaintiff’s claim against her lawyers, the court said the following at para. 32:-
‘The “damage” allegedly caused by the appellant (solicitor) is mutually exclusive to the “damage” caused by (the negligent driver), since only by the extinction of the right to recover the latter did the former come into existence.’”
5.7 As pointed out in Wallace, the fact that the calculation of damages in both cases may be analogous (in the sense that the calculation of the amount of damages to which a successful plaintiff may be entitled may be based on the same general considerations) is not the point. However, even that analogy is a long way short of being complete. 5.8 All of the authorities on the award of damages against lawyers for depriving their client of an opportunity to bring proceedings by allowing limitation periods to expire make it clear that, in assessing the damages to be awarded the court must have regard to the prospects of success which the client might have had in the event that the proceedings were able to be considered on their merits. It is true that the court may well award what appears to be the full value of the lost claim, or something approximating to it, in circumstances where it is felt that the client was deprived of bringing an action which had a significant chance of success. But it is also true that in very weak cases nominal or very small damages will be awarded and in cases where a significant risk attached to the bringing of the clients case, an appropriate deduction will be made to reflect the risk of losing. While in a somewhat different context, the judgment of the Supreme Court in Phillip v. Ryan [2004] 4 IR 241, and the English authorities referred to in that case, make clear that the court should reach a general assessment on the likelihood or otherwise of a hypothetical event, relevant to damages, being likely to have occurred or not. 5.9 It is clear, therefore, that in the event that the Moloneys establish liability for negligence against the Solicitors the court, in assessing damages, will be required to have regard to the likely extent of the full value of the Moloneys’ claim lost by the Solicitors’ negligence, but also will be required to have proper regard to any significant risks that the Moloneys might have faced in maintaining that litigation. The court will not decide the case against the Architects and give the Moloneys the damages that they would have obtained. Rather, the court will assess the value of the loss of opportunity by reference to the full value of the claim coupled with any significant risk on liability. 5.10 It must be noted that that exercise is an entirely different exercise to the one which would have been conducted had the Moloneys’ proceedings against the Architects been commenced and proceeded with in a timely fashion so that no limitation barrier arose. In those circumstances, the court would consider all issues of liability and quantum and come to whatever decision might be considered appropriate on the law and the facts. 5.11 Apart altogether from theory, there are real differences of substance and practice between the two methods of approaching the calculation of damages. To illustrate that difference (by reference to a hypothetical case – it not being appropriate to say anything about the merits or otherwise of any of the claims that might arise in these proceedings), it is only necessary to consider a claim which might have been maintained by a litigant in circumstances where the amount of the claim was fixed (for example, because it comprised solely of special or calculatable damages which were not, in themselves, in dispute), but where there was a significant risk (whether of fact or law) on the question of liability. For the purposes of this exercise I will assume that the relevant claim was worth €100,000.00, but that an objective assessment of the risks of winning and losing put the litigant’s chances at 50/50. Two very different scenarios would apply depending on whether that litigant pursued his original claim, on the one hand, or pursued a claim against his lawyers by reason of having lost the original claim due to lapse of time, on the other. 5.12 In the former case, the court would consider the question of liability and come to a conclusion on it. The litigant would either get nothing if he lost on liability or, €100,000.00 if he won. While it might, of course, be possible that he might be able to settle the case for something around €50,000.00 in those circumstances, the court’s role would involve no such exercise. Rather the court would decide the question of liability on the merits and either award the full sum or nothing, depending on its view on that liability issue. 5.13 In contrast, in the event that the same litigant lost his original claim by virtue of delay on the part of his lawyers, the court would be likely to award him something of the order of €50,000.00 having regard to the value of the claim lost, but also paying due regard to the risk that the claim might not have been successful. 5.14 That analysis demonstrates that, even so far as the calculation of “damages” is concerned, there can be real and substantial differences between the proper and logical approach of the court in the assessment of damages when considering a claim against a lawyer for causing a litigant to lose an original claim on the one hand, and the approach of the court in considering that original claim itself, on the other. 5.15 I was more than satisfied, therefore, that the fact that there may be some broad analogy between the considerations which a court may properly have regard to in considering such an original claim and a claim against lawyers for delay such as caused the original claim to be statute barred, does not in any way suggest that, even as a matter of the calculation of damages, the claim can properly be said to be in respect of “the same damage”. In addition, for the reasons identified in Wallace, I was satisfied that there is a real, substantial and significant difference between the nature of the damages as and between the two types of cases. One relates to damages caused by an actual original wrongful event on the part of the original contemplated defendant. The other relates to damages for the loss of an opportunity to bring proceedings in respect of that original event and to decide such matters as whether same should be compromised or be allowed go to the court for determination and gain the benefit of the result of any such settlement or judicial determination. 5.16 The differences in damage are real and substantial, both as to their nature and as to the proper approach to their quantification. They cannot be said, therefore, in my view, to be the “same damage” in the sense in which that term is used in s. 21. 5.17 In those circumstances, it seemed to me that the Solicitors’ claim against the Architects in the third party proceedings was bound to fail. It was bound to fail because, as a matter of common law, as is clear from all the authorities, no claim between concurrent wrongdoers is allowed. Such a claim is only maintainable, if at all, if it comes within s. 21 of the 1961 Act. For that to be so, then the liability of the concurrent wrongdoers must be for “the same damage”. For the reasons which I have sought to analyse there is no basis on which a claim against an architect for negligence in design or supervision and against a solicitor for negligence in allowing an original claim against that architect to become statute barred, relate to the same damage in the sense in which that term is used in the section. The Solicitors’ claim in this case does not, therefore, come within s. 21 of the 1961 Act. That being so, there is no other basis on which it can properly be maintained and it is, therefore, in my view, bound to fail. 6. Some other Considerations 6.2 In those circumstances, it did not seem to me that it could be an abuse of process, per se, to seek to join as a third party a person against whom the original claim of the plaintiff might be statute barred. Something more would, in my view, be needed. In order to determine whether, in all the circumstances, a particular invocation of an entitlement which would otherwise arise to join a third party outside the original limitation period, but within the limitation period specified in s. 31, might amount to abuse of process, would involve a detailed inquiry into all of those relevant circumstances. While it was, having regard to my earlier findings, unnecessary to address this issue on the facts of the instant case, I am inclined to the view that it would not be appropriate to conduct such an inquiry within the limited confines of a motion such as is currently before the court. That is not to say that at trial (whether of all issues or a preliminary issue directed to that question) it may not be appropriate for the court to consider all relevant circumstances in determining whether an abuse of process arises. 6.3 It was also unnecessary for me to determine the precise “wrong” which is spoken of in s. 21. However, having regard to the provisions of s. 31 and the fact that that section contemplates bringing a claim for contribution outside of the original limitation period, I am inclined to the view that counsel for the Solicitors is correct in his argument and that, on that aspect of the case, the Architects would not have been entitled to have the proceedings as against them dismissed. 7. Conclusions 7.2 I will, therefore, make an order dismissing the third party proceedings.
|