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Scottish Court of Session Decisions


You are here: BAILII >> Databases >> Scottish Court of Session Decisions >> Pik Facilities Ltd v. Watson Ayr Park Ltd [2005] ScotCS CSOH_132 (04 October 2005)
URL: http://www.bailii.org/scot/cases/ScotCS/2005/CSOH_132.html
Cite as: [2005] CSOH 132, [2005] ScotCS CSOH_132

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Pik Facilities Ltd v. Watson Ayr Park Ltd [2005] ScotCS CSOH_132 (04 October 2005)

OUTER HOUSE, COURT OF SESSION

[2005] CSOH 132

 

 

 

 

 

 

 

 

 

 

 

 

OPINION OF R F MACDONALD QC

(Sitting as a Temporary Judge)

in the cause

PIK FACILITIES LIMITED

Pursuers

against

WATSON'S AYR PARK LIMITED

Defenders

 

________________

 

 

Pursuers: Tyre QC, EMC MacLean; McClure Naismith

Defenders: Stephenson; Balfour & Manson

4 October 2005

Introduction

[1]      The issue in this case is whether the defenders, who operate an off-site car park near Prestwick Airport, have the right to drop off and pick up their customers in a shuttle bus outside the airport terminal.

[2]     
The pursuers are the heritable proprietors of Glasgow Prestwick International Airport ("the airport") in terms of a Feu Disposition in their favour recorded in the Division of the General Register of Sasines for the County of Ayr on 3 April 1992. The ground comprised within the airport, lying generally south west of the apron, ("the airport ground") is covered by, inter alia, terminal buildings, roads, pavements, car parks and other airport facilities. The roads running over such ground to the junction at the roundabout on the A79 road ("the airport roads") are owned and maintained exclusively by the pursuers.

[3]     
Since about November 2001 the defenders have operated secure car parking facilities at Shawfarm, Prestwick for passengers departing from the airport. As Shawfarm is some distance from the airport terminal, the defenders transport their customers to and from the airport terminal by shuttle bus, which travels over the airport roads. The customers pay a charge to the defenders for the car parking facilities and the bus trips to and from the airport terminal.

[4]     
The action was raised in the Sheriff Court and subsequently, on the unopposed motion of the pursuers, remitted to the Court of Session. The pursuers seek interdict against the defenders, their servants and agents from trespassing on the airport roads, and that by driving buses and motor cars over such roads for the purpose of (1) collecting members of the public to be conveyed to, and (2) dropping off members of the public being conveyed from, car parking facilities operated by them outwith the curtilage of the airport without the express prior consent of the pursuers. The case called on the procedure roll on the pursuers' fourth plea-in-law seeking decree de plano.

The Pleadings

[5]     
It is averred by the pursuers that, as heritable proprietors of the airport ground, they have the exclusive right to determine who enters upon it and to regulate the purposes for which it is used, that if the defenders wish to use any part of the airport ground, including the airport roads, for the purpose of their business, their (the pursuers') consent is required, that such consent has never been granted, that the defenders therefore have no right, warrant or justification to intrude upon the airport ground and that by so doing they have trespassed on the airport ground.

[6]     
In response the defenders aver that the pursuers, a property management company who are heritable proprietors of the airport ground, do not have the exclusive right to determine who enters upon it. They go on to aver that the airport is operated by Glasgow Prestwick International Airport Limited ("the operators"), who occupy and control the airport and its curtilages and are holders of a public use Aerodrome Licence No P766 issued by the Civil Aviation Authority on 5 October 1995, condition 1 of which requires that the aerodrome shall at all times when it is available for the take-off or landing of aircraft be so available to all persons on equal terms and conditions. Condition 8 provides that, without prejudice to condition 1, nothing in the licence is to be taken to confer on any person the right to use the aerodrome without the consent of the licensee. The airport is subject to economic regulation by the Civil Aviation Authority in terms of the Airport Act 1986 and regulations made thereunder. The operators hold a permission from the Civil Aviation Authority to levy airport charges.

[7]     
The defenders also aver in answer that the airport concourse is a public place to which members of the public have had recourse for more than twenty years. The passenger terminal and adjacent concourse, situated generally north of the A79 road, were officially opened in September 1964, the concourse is a public place to which members of the public have had recourse for more than twenty years and a public right of way exists over the private roads owned by the pursuers which connect the A79 to the concourse. Reference is made to section 3(3) of the Prescription and Limitation (Scotland) Act 1973 as amended. (Some degree of confusion has been introduced into the pleadings by the use by the defenders of the word "concourse", a word not used by the pursuers. I do not know exactly what the defenders are referring to when they use the word "concourse", the relevant definition of which is given in the Shorter Oxford English Dictionary (5th Ed, 2002) as "an open central area in a large public building, railway station etc". It is difficult to apply that definition to the expression "passenger terminal and adjacent concourse" used by the defenders. The concourse can properly mean only the open central area within the terminal, and for the purpose of this action I proceed on the basis that the terminal and the concourse are one and the same thing.)

[8]     
The pursuers respond to the defence that the concourse is a public place and that there is a public right of access over the roads leading to it from the A79 by making the following averments. The airport roads are private accesses whose layout has been almost the same since the terminal opened and which form a one-way circuit running clockwise from the roundabout on the A79 to the terminal and back, also allowing access off the circuit to car parks and other parts of the airport. They start at the south western entrance from the roundabout and run initially in a generally north westerly direction, then south easterly in a straight section in front of the terminal, then south westerly between car parks 1 and 2 and then again north westerly to the south west exit to the roundabout, where vehicles can either exit or continue on the circuit. The section in front of the terminal is known as Younger Drive ("the drive"), and consists of four lanes of carriageway and a pavement which runs between the edge of the carriageway and the front elevation of the terminal. Pedestrian crossings run over the carriageway between the pavement and car park 2. The primary function of the drive is as a means, in conjunction with the other airport roads, of vehicular and pedestrian access to and egress from the terminal, car parks and other parts of the airport. Those using the terminal can be dropped off in the lane adjacent to the pavement but, in general, vehicles are not permitted to park on the airport roads or to wait in the drive. By arrangement with, and regulation of, their operators, particular public service buses and taxis are allowed to wait for passengers at identified locations in the dropping-off lane. Access to the bay off the drive, forming Hudson Place, is restricted to authorised vehicles, such as coaches, which are sometimes allowed to wait there. Signs, road markings and gates publicise and enforce such restrictions and control use of the drive and other airport roads. Offending vehicles are frequently required to move or are served with civil penalty notices. Use of the terminal by the public is controlled. Members of the public can be, and sometimes are, removed and excluded from the terminal. Access to the airside of the terminal from the landside is strictly limited to those identified as passengers and others authorised to have such access. Access from aircraft is limited to passengers and personnel from flights that have been permitted to land. Such permission can be, and sometimes is, refused. The terminal is closed each day, usually between about midnight and 5 am. The precise timing and length of such nightly closure vary according to circumstances, such as flight times and delays. Signs publicise such nightly closure. There is usually no use of the airport roads by the public while the terminal is closed. Those using the terminal, drive and other airport roads are, predominantly, passengers, or other customers, employees and contractors of the pursuers or others granted rights or otherwise permitted to conduct business at the airport and others fulfilling public duties or exercising public rights, such as Police, Fire, Medical, Customs, Postal, Civil Aviation Authority, Department for Transport, Central Government, Local Authority and other Officers. Use of, and control over, the terminal, drive and other airport roads has been persisted in a similar manner for more than twenty years. Over that period the public has not, therefore, had unrestricted use of the terminal, drive or other airport roads: they have exercised such use, not as of right, but by tolerance. Such use has not been exercised by the public as such. No part of the terminal, drive or other airport roads has become a public place. (The layout of the airport ground and roads as above described is shown in the plan no 5/2 of process, the aerial photograph no 5/3 of process and the photographs no 5/3 of process.)

[9]     
Secondly, the defenders aver that the pursuers are not entitled to use their ownership of the airport to exclude the defenders from it in the manner and for the reasons sought as such exclusion would constitute an infringement of section 18(1) of the Competition Act 1998 ("the 1998 Act"), which, so far as relevant, provides that "...... any conduct on the part of one or more undertakings which amounts to the abuse of dominant position in a market is prohibited if it may affect trade within the United Kingdom". The defenders' business is that of providing secure car parking, including long-stay car parking for air travellers. As they operate from premises which do not fall within the curtilage of the airport, it is essential for the effective operation of their business that they can access (sic) airport property for the purpose of dropping and collecting customers and their baggage. To use the defenders' service the air traveller drives to the defenders' car park shortly before departure of the flight. The car is booked in and a shuttle bus service then takes the traveller to the airport to check in for the flight. When the traveller returns to the airport the reverse process takes place and the car is signed out and returned to the traveller. Travellers are taken to and collected from the terminal concourse. The defenders are only one of a number of commercial operators who bring travellers onto airport ground. Other such commercial operators include nearby hotels, private bus companies (including Stagecoach), taxi operators and airport long-stay car park shuttle bus operators. In all material respects the other commercial operators' use of the access to the airport and vehicle bays on the terminal concourse is identical to the use made of it by the defenders, who use the terminal concourse as an identifiable drop-off and collection point for their customers. Two short-stay car parks (1 and 2, situated generally to the north of the A79, with access to and from the terminal being obtained by means of the airport roads) and one long-term car park (3, situated generally to the south of the A79 and accessed (sic) partly by public roads, including the A79 roundabout) are situated on the airport ground. A shuttle bus operates between car park 3 and the terminal concourse. Since the action was raised car park 5, outwith and to the east of the airport on Shawfarm Road, and partly accessed (sic) by public roads, has opened. A shuttle bus operates between car park 5 and the terminal concourse. The airport car parks are operated by the operators in conjunction with BCP Limited, 28 Bolton Street, Mayfair, London. The defenders are unaware of the precise inter-relationship between the pursuers, the operators and BCP Limited in the operation of the car parks. If the pursuers have otherwise an absolute right to control access to the airport (which is denied), then by virtue of their control of it they are dominant suppliers of an essential input or facility required to operate in the market for car parking at the airport (whether the market is defined as long-stay car parking alone, or extended to include short-term car parking). If the pursuers, as they aver, earn significant income from car parking, they have an interest in protecting those activities from off-airport car park operators, such as the defenders. The pursuers have an incentive to mitigate the potential impact of competition from off-airport car park operators such as the defenders and in seeking interdict they expressly assert an entitlement to exclusive use and enjoyment of the airport roads for their business free from any competition from the defenders. In doing so the pursuers seek to deny the defenders access to the airport (an essential facility) for the purposes of the defenders' business and have not provided objective justification for their purported exclusion of the defenders from access to the essential facility. At no time have the pursuers sought a specific payment, or specific payment formula, in return for allowing the defenders access to the airport. The defenders have sought an arrangement whereby they would pay the operators a fixed annual amount for a designated collection and drop-off point on the terminal concourse and provision of a dedicated passenger telephone link. The operators have sought from the defenders a payment agreement based on the number of cars that use the defenders' car park, subject to a minimum monthly amount, but have not suggested any specific figure. Before the raising of the present action there was correspondence (which is produced and referred to) between the defenders and the operators (and their respective solicitors) and meetings between the defenders' employees and the operators' employees about these matters, from which it was apparent that the aim of the operators was to exclude the defenders from the airport rather than negotiate a basis upon which the defenders could obtain access to it.

[10]     
In response to the above averments the pursuers assert that the exclusion of the defenders from the airport roads by, or at the insistence of, the pursuers would not constitute an infringement of the Chapter II prohibition imposed by section 18(1) of the 1998 Act. [So that the following averments may be understood I interpose to explain that "in all the cases in which it has acknowledged that the refusal to supply or make available certain (tangible or intangible) goods or services might constitute an abuse of a dominant position, the Court has distinguished between a market for such goods and services (upstream) and a derivative market (downstream) in which they are utilised as inputs for the production of other goods and services: see IMS Health v NDC Health [2004] 4 CMLR 1543, Opinion of Advocate General Tizzano at p 1564, paragraph AG55.] The pursuers are present in the upstream market for the provision of services for the take-off, landing and servicing of passenger flights serving Scotland and Northern England and cargo flights serving the UK and Western Europe. Their primary use of the airport is in that market. They are not dominant in that market and are subject to intense competition. They acquired the airport in 1992 at its full market value and have continually and substantially re-invested in it and developed and upgraded its facilities since then. They have borne the risk of such acquisition and investment and thereby ensured the survival and viability of the airport to date. They are not a public body or other emanation of the State and do not receive State aid or have the benefit, in their upstream market, of monopoly rights conferred by the State. They provide car parking services for those using the airport. The revenue from those services formerly made up about 12% of their total turnover and a substantial reduction in that revenue, resulting from the defenders' use of their property, would threaten such re-investment. As a result of the defenders' use of their property the pursuers are at present losing revenue of about £250,000 a year. The pursuers, defenders and others providing car parking services that may be used in connection with the airport are present on the downstream market for the provision of services for surface transport for those using the airport. Other such services are provided by trains serving the airport railway station, public buses serving the airport and the stops nearby, taxis, private coaches, courtesy buses and other commercially operated vehicles that drop off and pick up those using the airport. Demand substitutability exists among such services, including those provided by the pursuers and defenders. If the parties are present on a downstream market for the provision only of such car parking services (which is denied), the defenders are not the pursuers' only competitors on that market. There are other sites for parking cars that may reasonably be used in connection with the airport. Use of the airport roads, such as the use made by the defenders, is not essential to the provision of such services outwith the curtilage of the airport as passengers could be dropped off and picked up outwith the curtilage of the airport, in particular at bus stops on either side of the A79 near the railway station. There is pedestrian access to the terminal from these bus stops, either via the railway station and overhead footbridge or via the footpaths on the A79 and over the airport ground. Passengers from the defenders' car park could be carried to the terminal building over the airport roads by taxi or other public service vehicle. The defenders' use of the airport roads is merely suitable and advantageous to the conduct of their business and not essential to enable them to compete in the downstream market, whether for the provision of services for such transport or only car parking. Refusal to allow such use would not result in the elimination of competition in either such market. Even if it would (which is denied), refusal of such use by the defenders would be objectively justified. Standing the pursuers' ownership, investment and risk, they would at least be entitled to reasonable fees for such use and to impose reasonable conditions on such use for the purposes of, among other things, safety, appropriate passenger flow, avoiding traffic congestion and maintenance of appropriate on-site service provision. The pursuers would also be entitled to ascertain and reasonably choose between undertakings seeking to make such use. The defenders commenced use of the airport roads and ground in November 2001 without the pursuers' consent and, despite a meeting and correspondence with a view to reaching an appropriate commercial arrangement involving the payment of fees for such use, they have not paid, or offered to pay, any fee for their use of the airport roads and ground. They have not demonstrated a willingness to comply with reasonable requirements in connection with their use of the airport roads.

Submissions

[11]     
There are two separate defences pleaded, namely, (1) public right of way; and (2) competition law. I shall deal with each of these in turn. Before I turn to do so I must record that Mr Stephenson for the defenders embarked upon, but subsequently abandoned, a defence based on airport regulation under the Airports Act 1986.

Public right of way

(i) Submissions for the pursuers

[12]     
Mr Tyre for the pursuers began by submitting that the averment in the defences that the pursuers as heritable proprietors of the airport ground do not have the exclusive right to determine who enters upon the ground was irrelevant. In the Stair Memorial Encyclopaedia, Volume 18, p 122, paragraph 141, headed "Right in the property as title to sue", Professor Reid states as follows:

".... in a question with a stranger to the property an action may be raised by a superior as well as by a vassal, and by a landlord as well as by a tenant."

[13]     
In Brocket Estates Ltd v McPhee and Others 1949 SLT (Notes) 35 a land-owning company brought petitions for interdict against individuals who were alleged to have staked out claims to small-holdings on parts of the estate of which the petitioners were proprietors. The respondents contended that the petitioners' averments were irrelevant because there was no averment of encroachment upon their enjoyment of their lands, but only on the tenant's possession. Lord Strachan rejected that contention, holding that no matter what attitude a tenant might adopt the landlord had himself an interest and a title to prevent the wrongful establishment of small holdings on his land.

[14]     
Moving on to deal with the defence of a public right of way, Mr Tyre submitted that a public right of way had to be from one public place to another and that a public place is a place to which the public have a right of access. In Jenkins v Murray (1866) 4M 1046, Lord President McNeill said at p 1047:

"Now, the issue in this case is whether there existed a public right of way for foot-passengers from a certain point C to a certain point D delineated upon the plan. That is a question whether the public had a right of way - that is, whether it was a public way for transit from one public point to another. I think that a public road is a public place from which a right of way may go, and at which a right of way may terminate. As we generally understand the question, it requires that it shall be from one public place to another - that is, it is a way by which the public are entitled to go from one public place to another. That is the meaning of a right of way. It is a place from where the public are entitled to be to a place where the public are entitled to be, as from one part of a public road to another part of a public road, or from one village to another village, and so forth. Now, I think that the termini taken here are termini which entitled the pursuers to have this matter investigated - that is, the alleged right of way is from one part of a public road to another part of a public road."

At p 1050 Lord Curriehill stated:

".... a right of way, and particularly a right of footway, through a man's ground, means not a right of promenading within that ground - going in at a certain point, and promenading indiscriminately over the ground, and coming away again. They must go through the ground from an entry at one place to an ish at another. And .... the two points where the ish and the entry are must be public places. I think a public road is a public place, in the sense in which that expression is used. But the two points must be public places. It will not do for people to enter the ground of a proprietor, and walk about in it as much as they choose, and come out where they entered. That will not make a right of way. The line of road must be a marked line."

[15]     
The case of Duncan v Lees (1870) 9M 274 dealt with the question whether there was a public right of way over a footpath leading from a point on the turnpike road between St Andrews and Crail to a remarkable rock known as the Rock and Spindle on the sea-shore, which was not part of the beach but part of the property of the proprietor of the adjoining ground. It was held that, although tourists, geologists and members of the public generally were proved to have frequented the Rock and Spindle for the prescriptive period, it was not, and could not be, thereby rendered a public place, so as to form a terminus to the footpath in question, and, further, that mere occasional use by fishermen and others of a small natural harbour at the rock was insufficient proof of its being a public place. After describing the Rock and Spindle as "a natural object of curiosity, and very much visited by people who are resident in St Andrews, and also by strangers who come there" as well as "a curious rock, and a rock which has a great deal of interest both for general sight-seers and also for geologists and men of science", Lord President Inglis went on to state at p 276:

"But certainly it cannot be said that it is a public place, or that the existence of this curious natural object constitutes that part of the sea-shore a public place in any other sense than the sea-shore is public in any part of it. Therefore, I am disposed to hold that, if there were nothing here except the frequent use of this supposed footpath as a means of obtaining access to this curious rock, that rock in itself, and the part of the sea-shore where it is situated, would not, in the legal sense of the term, as applicable to cases of this description, be a public place."

At p 277 Lord Deas said:

"Now, I have no difficulty in holding that that rock called the Rock and Spindle, or the Spindle Rock, is not a public place. It may in one sense be said to be on the shore, but it is not a part of the beach. The tide never flows over it; nobody says that it does. It is, so far as I see, a part of the private property of the proprietor of the adjoining ground. Although it happens to be a rock, it is not the less his property. It is no more a public place than any other rock along the shore. It may be more interesting and more curious than some rocks, but that will not make it a public place in the sense of its being the terminus of a public road."

[16]     
In Marquis of Bute v McKirdy & McMillan 1937 SC 93 the pursuer, who owned the foreshore ex adverso of his lands, brought an action of declarator that there existed no right of way over a track about a quarter of a mile in length leading from a public road to the foreshore. The track was held to have been part of a road extending to the foreshore, which became a public road in 1819, but which ceased to be maintained at public expense in 1836. From 1865 till 1934, when the pursuer first attempted to close the track, it had been used by the public as an access to the foreshore for the purpose of bathing and recreation. The evidence justified the inference that this use extended as far back as 1836. It was held, first, that the track having been at one time a public road, the foreshore at its terminus had acquired the character of a public place which it had never lost, and further that, even if it was not established that the track had ever been part of a public road, the resort by the public to the foreshore for recreation had made the foreshore a public place prior to 1894 when the prescriptive period began; and, secondly, that the extent of the public use of the track throughout the prescriptive period was consistent, not with tolerance by the proprietor, but with the assertion of a right by the public. At p 130 Lord Fleming stated:

"It is not necessary to essay the task of defining a public place, but it would be safe to say that a place becomes public if the public resort to it in the exercise of a legal right to do so."

At p 132 Lord Moncrieff stated:

"A 'public place', in my opinion, is one to which the public have right of access, which the public have right to occupy, and which in fact the public do occupy by a practice of resort."

[17]      In Ayr Burgh Council v British Transport Commission 1955 SLT 219 the pursuers, as proprietors of the local cattle market, raised an action of interdict against the defenders and all others acting under their authority from levying a charge for each motor vehicle with non-railway borne traffic making use of the defenders' livestock bank beside the cattle market. They contended that they had acquired a private right of way to the cattle market by prescription or agreement and also that, in any event, there had been acquired over the requisite prescriptive period a public right of way for members of the public on foot, driving cattle or in cattle floats for the purpose of getting to the cattle market. It was admitted that public user had in fact always been restricted to about four days in the week when the market was open. It was held by the First Division that, in so far as the case was based on public right of way, the pursuers had not averred the necessary unrestricted user and that the averments relating to public right of way were accordingly irrelevant. At p 222 Lord Carmont said:

"..... it is not sufficient to say that the market is a public place in the sense that the public cannot be excluded when markets are being held on 'market days' (generally four days in the week), and to be discreetly silent in face of a challenge about a fact of which the pursuers are better informed than anyone else, I mean as to whether they lock up the market during non-business days and hours and during the night to the exclusion of traffic and the public. That they are conscious that this limitation will strike at a full right of way appears from the modified claim ... 'The public have therefore acquired a public right of way over the said strip for the purpose of attending market and driving cattle to and from the market'. But the defenders are entitled to know quite clearly the full extent of the claim".

Lord Russell pointed out at p 223:

"Ex facie of the pursuers' averments the market is open for business on market days, generally four days in the week. Ex facie of the defenders' averments the entrance gates to the loading bank are and always have been shut and locked during the defenders' non-working hours. One might reasonably expect that there would be prolonged intervals of time during which in every week entrance to and egress from the market and the loading bank are in fact impossible and I do not doubt that the statements of fact abovementioned by each of the parties may be accepted pro veritate. If so, the question arises whether it is legally possible to prove the existence of a public right of way by evidence of public user asserted as of right over an area represented by the defenders' loading bank to and from which entrance and egress have been and continue to be closed by locked gates for long intervals each week at the pleasure of the owners of the loading bank."

The most important passage occurs in the opinion of Lord Patrick at p 225. Referring to Article 7 of condescendence in the action, he stated:

"It commences by alleging that the market is a public place, as is necessary if the market is to be the terminus of a public right of way. It continues by alleging that the public have had access to it for forty years without restriction, and proceeds at once to contradict this assertion by implication. It is stated that on market days (generally four days in the week) the pursuers have no power to exclude any member of the public from the market, whether he intends to do business there or not, and have never done so. I infer that on three days in the week and at night, the market being closed, the public are excluded from it. The market is owned by the pursuers and leased by a company which runs it. In my opinion a market leased to a company which fixes the days when it shall be open and which, I have no doubt, closes the market on other days and at night, a market to which the public have access, not unrestricted but limited to such times as the lessee dictates, is not a public place in the sense in which that term is used in the law of Scotland relating to public rights of way. No case has been cited to us in which a place to which the public had such restricted access was held to be a public place according to the law of Scotland. On principle it appears to me that such a place cannot be a public place in the sense of a proper terminus for a public right of way. If once a right of way is established it must be kept open for passage by the public at all times. If the public could be excluded from the termini of such a way at the will of the proprietors of the termini, the proprietors of the solum of the ground over which the way passed would be subjected to the burden of permitting the passage of the public over their lands to termini from which the travellers might find themselves excluded. This would be the antithesis of a public right of way which exists for the passage of the public at all times from and to places to which they have right of access as members of the public."

[18]     
Love-Lee v Cameron of Lochiel 1991 SCLR 61 was a Sheriff Court case concerned with whether there was a public right of way over an access roadway leading from a public road to a sub-post office within private shop premises. It was held that the public had no right of resort to the sub-post office without the consent of the owner and that, accordingly, there were no relevant averments that the northern terminus of the access road was a public place and the access road could not be a public right of way. At p 67E-F Sheriff Principal Ireland stated:

"One of the necessary characteristics of a public right of way is that it should run from one public place to another. The southern terminus of the access road is a public place, since it is the public road from Corpach to Kinlochiel. The pursuer must, however, also make averments from which it can be inferred that the northern terminus, namely the post office, is a public place. A public place is a place to which the public resort as a matter of right."

The Sheriff Principal then referred to the public places in Jenkins v Murray, Marquis of Bute v McKirdy & McMillan, and Duncan v Lees (all supra), namely, a public road, a village, a bathing beach which is part of the foreshore and a natural harbour, and continued between p 67F and p 68C:

"One characteristic of all of these, as of a public highway, is that no private citizen has the right to exclude any member of the public from using them ..... Contractual obligations between the postal authorities and the sub-postmaster apart, there is nothing to prevent the proprietor ... or the tenant ... from asserting his or her possessory rights in the building in which the business is carried on and excluding members of the public from it. There are therefore no relevant averments that the northern terminus of the road is a public place and the road cannot be a public right of way."

The author of the helpful commentary on that decision at pages 68-9, the then Dr, now Professor, Robert Rennie, points out that the law is clear that the fact alone that the public happen to go to a particular place does not make it public, that the public's right of access must be an unrestricted one and that it was clear from the authorities that the Sheriff Principal's decision was entirely correct in relation to a place like a sub-post office which is closed to the public at specified times.

[19]     
In light of these authorities Mr Tyre focused on the central averments made by the defenders on the issue of public right of way. These are to be found at p 13C-E and, although I have already referred to them above, I now quote their exact terms:

"The concourse is an open area over which access can be gained to the terminal. The concourse is a public place to which members of the public have had recourse for more than twenty years. A public right of way exists over the private roads owned by the pursuers connecting the A79 and the said concourse. The said roads have been used by the public for more than twenty years. Reference is made to the Prescription and Limitation (Scotland) Act 1973 as amended, section 3(3)."

There was no averment that the concourse (or terminal) was a place to which the public had a right of access. It followed that there could be no public right of way over the airport roads to the concourse and the defence based on public right of way was, therefore, irrelevant.

(ii) Submissions for the defenders

[20]     
Mr Stephenson began his response by pointing out that the point taken against the defenders was purely one of relevancy: it was not suggested that there was a lack of specification in the defenders' pleadings about public right of way. It was not disputed that the entrance to the airport roads, namely the A79 public road, was a public place and the defenders had explicitly averred at p 13 C-D that "the concourse is a public place". That averment was sufficient to entitle the defenders to a proof before answer on public right of way. Mr Tyre had sought to rely on the pursuers' averments on public right of way, but he was not entitled to do that as they were covered by the general denial made by the defenders. It was denied that the terminal closed at any point of the night. Although there were no averments by the defenders to this effect, the pursuers' website stated that the airport was open twenty four hours a day. According to Mr Tyre the concourse was not a public place as it was part of the pursuers' private land, but that begged the question, what is a public place? The defining character of a public place was that it was a place to which the public had resort: that was a necessary, but not a sufficient, condition of the existence of a public place. It was not clear what was necessary beyond public resort for a place to be a public place in the context of the law relating to public right of way. In Marquis of Bute v McKirdy & McMillan (supra) the Lord President had stated at p 117, under reference to Scott v Drummond (supra) that "it is a question of fact suitable for determination by a jury whether a place is or is not a public place." What the Lord President said at pages 117-118 suggested dubiety or doubt about what was required for a place to be a public place, and his comments at pages 131-132 told one nothing about how public rights of access arose. In Cumbernauld and Kilsyth District Council v Dollar Land (Cumbernauld) Ltd 1993 SC (HL) 44 the question was whether use of a walkway through Cumbernauld town centre had been as of right or by tolerance. The Lord Ordinary found that the various uses made of the walkway by the public since 1966 had the character of general public use of a town centre pedestrian thoroughfare. The defenders in that case did not take the point that there was no public place at either of the termini. What might it mean to say that a public place was one to which the public had resort as of right? It was not much more than to say that it was a place to which there was public access as of right. There was circularity. The English case of R (on the application of Beresford) v Sunderland City Council [2004] 1 All ER 160, [2003] UKHL 60 was a decision of the House of Lords on the question whether an open, flat area of grass of some 13 acres near the town centre of Washington in Tyne and Wear constituted a town or village green under the Commons Registration Act 1965, section 22(1) on the ground that the inhabitants of the locality had there indulged in "lawful sports and pastimes as of right" for not less than 20 years. At p 175, paragraph 55 Lord Rodger of Earlsferry stated that:

"If the inhabitants of any locality have engaged in lawful sports and pastimes nec vi nec clam aut precario for at least 20 years, they have engaged in them 'as of right' and the land can be registered as a town or village green in terms of the 1965 Act."

A place in Scotland became a public place in the same way. There was very little difference in the way places became public places and a route became a public right of way. Whether a place was a public place was a question of fact, a jury question, a matter for proof (before answer, in this case).

(iii) Reply for the pursuers

[21]      Referring to the Cumbernauld case, Mr Tyre pointed out that the argument in that case was about the use of the walkway: there was no doubt that each terminus was a public place. The Sunderland City Council case had not sought to lay down the definition of a public place as the terminus of a public right of way. The requirements of a public place as the terminus of a public right of way were clearly set forth in the dictum of Lord Moncrieff in Marquis of Bute v McKirdy & McMillan at p 132.

(iv) Discussion and Conclusion

[22]     
Mr Stephenson did not even seek to answer the submission by Mr Tyre that the pursuers' heritable title gave them sufficient title and interest to pursue an action for trespass on their property. I am satisfied, for the reasons given by Mr Tyre, that the pursuers do have the necessary title and interest to pursue this action.

[23]     
It seems to me that the question which arises for decision is whether the defenders have made sufficient averments to entitle them to a proof before answer on the issue of public right of way. It is clear from their averment at p 13 C-D that the public right of way which they assert exists is one "over the private roads owned by the pursuers connecting the A79 and the said concourse". The cases referred to by Mr Tyre make plain that a public right of way can exist only between two public places and that a public place "is one to which the public have right of access, which the public have right to occupy, and which in fact the public do occupy by a practice of resort" - per Lord Moncrieff in Marquis of Bute at p 132. I accept Mr Tyre's submissions in relation to the two House of Lords decisions founded on by Mr Stephenson. The Cumbernauld case was concerned only with the question of the nature of user of the walkway, not with whether the termini were public places. So far as the Sunderland City Council case is concerned, it is important to note that the question which the House was considering was whether the land in question was land on which the inhabitants of the locality had indulged in lawful sports and pastimes "as of right for not less than twenty years". At para 62 Lord Rodger of Earlsferry drew a distinction between the expression "of right" and the expression "as of right": indeed, after the first hearing of the appeal the House invited further written and oral submissions from counsel on whether the user of the land had been "of right", rather than "as of right". I reject Mr Tyre's submission that a place in Scotland becomes a public place in the same way that land becomes a town or village green in England by user for the prescriptive period "as of right".

[24]     
It is clear from the Scottish authorities referred to above that a public place for the purpose of the law relating to public rights of way is a place to which the public have a legal right of access - in other words access "of right", as opposed to access "as of right" - and which they occupy by a practice of resort. There is no dispute that one terminus of the alleged public right of way, namely, the A79 road, is a public place. The question for decision is therefore narrows down to whether the defenders have made sufficient averments that the other terminus, namely, the concourse (as they refer to it) or the terminal is a public place. They have made a formulaic averment, unsupported by any averments of fact, that the concourse "is a public place to which members of the public have had access for more than twenty years". This is no more than the pursuers did in Ayr Burgh Council, and it was held by the Second Division in that case that the pursuers' case was irrelevant as it did not aver the necessary unrestricted user. It is not averred by the defenders that the pursuers or the operators are not entitled to exclude the public from the terminal or concourse at will. It is not averred that the public have a right of resort to the concourse or terminal at all times without the consent of the pursuers or the operators. It is not averred that no private citizen has the right to exclude any member of the public from using the terminal or concourse. In my view the terminal or concourse in this case falls into the same category as the market in Ayr Burgh Council and the sub-post office in Love-Lee, both of which were undoubtedly places to which the public had resort, but were not places to which the public had an unrestricted right of access at all times.

[25]     
In my opinion it simply will not do for Mr Stephenson to say that the defenders have averred that the concourse is a public place and that that averment is sufficient to entitle them to a proof before answer. There must be sufficient supporting factual averments from which it can be inferred that the place is a public place in the sense in which that term is used in the law relating to public rights of way (see Sheriff Principal Ireland in Love-Lee at p 67E-F). Mr Stephenson submitted that the pursuers were not entitled to found upon their own averments as they were met by a general denial, but I do not think that that is correct. The pursuers have made detailed averments, which I have set out above, about the use of the airport by the public. These include averments of restricted public access, and, in particular, averments that use of the terminal by the public is controlled, that members of the public can be, and sometimes are, removed and excluded from the terminal and that the terminal is closed each day, usually between about midnight and 5 am, during which time there is usually no use of the airport roads by the public. These detailed averments by the pursuers are met only by a general denial by the defenders. As Lord Stewart remarked in the well-known case of Ellon Castle Estates Co Ltd v Macdonald 1975 SLT (Notes) 66 at p 66:

"Our whole system of pleading and of disposal of cases upon preliminary pleas must depend upon each party stating with candour what are the material facts upon which he relies and admitting the facts stated by his opponent which he knows to be true. As was said by Lord Justice Clerk Hope in Neilson v Househill Coal and Iron Company (1842) 4D 1187 at p 1193: 'The beauty of the Scotch system is that, without disclosing what is properly called evidence, you must at least state the line of defence, and the main facts and points in the inquiry on which you rest, so that the other party shall be fully able to investigate the case, and be prepared for it.' Whatever be the justification at an early stage in a case for the tabling of skeleton defences, it is destructive of the whole concept of our system of civil pleading for a defender to continue to maintain a blanket denial of pages of relevant averments and to adopt the attitude that she is entitled to make the pursuers prove every fact which they aver."

In the later case of Foxley v Dunn 1978 SLT (Notes) 35, an action for payment for the balance of the price of ten cars in which the defences consisted of a bare denial coupled with an inconsistent averment that the sum sued for was excessive, Lord Stott, agreeing with the above observations of Lord Stewart, stated at p 35:

"A defender is under a duty to answer on matters which are clearly within his knowledge and he cannot, as counsel for the pursuer put it, duck the issue by simply ignoring the averments made against him. Defenders should honestly answer the case made and it would, I think, make a mockery of our court proceedings if defences of this kind were to be remitted to probation."

A similar approach to skeletal defences was taken by Lord McCluskey in Rankin v Reid 1987 SLT 352. In EFT Finance Ltd v Hawkins 1994 SC 34 Lord Osborne, in holding that the defences were exiguous and evasive and that he was entitled to infer that the defender simply had no response to make to the pursuers' averments in condescendence 3, stated at p 39 G-H:

".... the stance of unqualified denial taken up by the defender in answer 3 .... is not one which the court should be obliged to accept since, in that answer, the defender has not approached the business of pleading with candour."

I refer also to the decision of Lord Caplan in McManus v Speirs Dick and Smith Ltd 1989 SLT 806, in which it was held that, in the circumstances of the case involving evidential difficulties due to the defenders having ceased trading and having had difficulty tracing crucial witnesses or even checking that they had ever employed the deceased, there was no room for an immediate inference that the defenders were not being as candid as circumstances permitted by making only bare denials, that there was a genuine issue to be tested and that the motion for summary decree should be refused. Lord Caplan did not dispute any of the principles in the case mentioned above. These decisions show that, where candour can reasonably be expected of a defender in response to detailed averments made by a pursuer, and such candour is not forthcoming, the result can be that either summary decree or decree de plano is granted against the defender.

[26]     
In my opinion there is no reasonable explanation for the lack of candour by the defenders in their defence to this action based on a public right of way. In response to the pursuers' case based on trespass they have asserted the existence of a public right of way based on the terminal or concourse being a public way to which the public have had access for more than the prescriptive period. They have failed to make any averments of fact from which the court could infer that the terminal or concourse is a public place and they have failed to answer the detailed averments of the pursuers from which (if proved) it could be inferred that the concourse is not a public place in the sense required for the law relating to public rights of way. The defenders would not be in a position to put forward in evidence or to suggest in cross-examination any facts different from those averred in detail by the pursuers. Mr Stephenson submitted that whether a place was a public place was a question of fact. In my opinion it is a mixed question of fact and law, as he himself impliedly accepted when conceding that any proof on the issue would require to be by way of proof before answer. Whether it be a pure question of fact or a mixed question of fact and law, the court would require to make findings of fact from which it could infer that the place was public place. As their pleadings stand the defenders are not entitled to lead any evidence with a view to establishing that the terminal or concourse is a public place. I am therefore of the view that they have pleaded no relevant defence of public right of way.

Competition law

(i) Submissions for the Pursuers

[27]     
Mr Tyre submitted that the defence based on section 18(1) of the 1998 Act was irrelevant because, first, there were no relevant averments of a dominant position in a relevant market, and, secondly, there were no relevant averments of abuse, or, put another way, there were no factual averments of refusal of access to an essential facility. Section 18 was the domestic provision giving effect to Article 82 (formerly 86) of the EEC Treaty. Section 60 of the 1998 Act dealt with the principles to be applied in determining questions under Part II of the Act and, so far as relevant, provided as follows:

"(1) The purpose of this section is to ensure that so far as is possible (having regard to any relevant differences between the provisions concerned), questions arising under this Part in relation to competition within the United Kingdom are dealt with in a manner which is consistent with the treatment of the corresponding questions arising in Community law in relation to competition within the Community.

(2) At any time when the court determines a question arising under this Part, it must act (so far as is compatible with the provisions of this Part and whether or not it would otherwise be required to do so) with a view to securing that there is no inconsistency between -

(a) the principles applied, and decision reached, by the court in determining that question; and

(b) the principles laid down by the Treaty and the European Court, and any relevant decision of that Court, as applicable at that time in determining any corresponding question arising in Community law.

(3) The court must, in addition, have regard to any relevant decision or statement of the Commission."

[28]     
Mr Tyre accepted that competition law could interfere with property rights. That was clear from the decision of the Commission in KLM Royal Dutch Airlines NV and Others v Flughafen Frankfurt/Main AG [1998] 4 CMLR 779, which dealt with ramp-handling services at Frankfurt Airport. In the report the name of the owners and operators of the airport has been shortened to "FAG". At p 810, paras (89) to (92), the Commission stated as follows:

"(89) FAG's decision not to open up a market for the provision of ramp-handling services is not justified by the consideration that it is the owner of the airport and as such is entitled to determine to what use its property is put.

(90) In its ruling in Case 44/79, HAUER V LAND RHEINLAND-PFALZ of 13 December 1979, [1979] ECR 3727; [1980] 3 CMLR42, paragraph 17, the Court of Justice has acknowledged the existence of a fundamental right to property also in the Community context. However, the Court also declared that it is guaranteed in the Community legal order in accordance with the ideas common to the constitutions of the Member States. In this context, the Court found that in the constitutions of all Member States it is recognised that the right of property may be restricted in the general interest and to the extent necessary in that regard.

The competition rules of the EC Treaty may accordingly be considered to constitute restrictions on the right of property which correspond to objectives of general interest pursued by the Community.

(91) In this instance, any potential independent operator is obliged to encroach (against remuneration) on FAG's right to property, because of the lack of alternatives. Ramp-handling services can be carried out only on the apron itself, since it is not feasible for aircraft to leave the airport area to receive such services. Limiting FAG's right to property would therefore be neither disproportionate nor excessive, but simply the result of lack of alternatives.

(92) The application of Article 86 EC would not constitute an excessive and intolerable interference with the rights of FAG as owner of Frankfurt Airport, violating the very substance of its right to property; the imposition of an obligation on FAG to open up the market for the provision of ramp-handling services does not deprive it of the property as such, but restricts the exercise of those rights to what is compatible with the competition rules of the EC Treaty. It should be noted in particular that the application of Article 86 would not prevent FAG from continuing to offer ramp-handling services in competition with other suppliers of those services. It could also ask ground-handling operators to make adequate payment for the use of the facilities provided by it in the form of rents, as long as such amounts were within the limits imposed by the competition rules."

[29]      That statement by the Commission was the beginning, not the end, of the matter. The opinion of Advocate General Jacobs in Bronner v Mediaprint, Case C-7/97 at p I-7801, para 28 should be adopted as a summary of the law up to 1998. That paragraph stated as follows:

"In order to determine whether an undertaking has abused a dominant position on the market contrary to Article 86, it is necessary first to define the relevant market, secondly to determine whether the undertaking concerned is dominant on the market so defined, and, if so, finally to determine whether its conduct amounts to an abuse of that dominant position."

In that case the Court held that the refusal by a press undertaking which held a very large share of the daily newspaper market in Austria and operated the only nationwide home-delivery scheme there to allow the publisher of a rival newspaper, which, by reason of its small circulation was unable either alone or in co-operation with other publishers to set up and operate its own home delivery scheme in economically reasonable conditions, to have access to that scheme for appropriate remuneration did not constitute an abuse of a dominant position within the meaning of Article 86. For the existence of an abuse within the meaning of that provision to have been capable of being established in such circumstances, it would have been necessary not only for the refusal of the service comprised in home delivery to have been likely to eliminate all competition in the daily newspaper market on the part of the person requesting the service and for such refusal to have been incapable of being objectively justified, but also for the service itself to be indispensable to carrying on that person's business, for lack of any actual or potential substitute for that home-delivery scheme. Paragraphs 41 to 46 of the judgment of the Court state as follows:

"41. ...it would ... be necessary .... in order to plead the existence of an abuse within the meaning of Article 86 of the Treaty ...... not only that the refusal of service comprised in home delivery be likely to eliminate all competition in the daily newspaper market on the part of the person requesting the service and that such refusal be incapable of being objectively justified, but also that the service itself be indispensable to carrying on that person's business, inasmuch as there is no actual or potential substitute in existence for that home-delivery scheme.

42. That is certainly not the case even if .... there is only one nationwide home-delivery scheme in the territory of a Member State and, moreover, the owner of that scheme holds a dominant position in the market for services constituted by the scheme or of which it forms part.

43. In the first place, it is undisputed that other methods of distributing daily newspapers, such as by post and through sale in shops and kiosks, even though they may be less advantageous for the distribution of certain newspapers, exist and are used by the publishers of those daily newspapers.

44. Moreover, it does not appear that there are any technical, legal or even economic obstacles capable of making it impossible, or even unreasonably difficult, for any other publisher of daily newspapers to establish, alone or in co-operation with other publishers, its own nationwide home-delivery scheme and use it to distribute its own daily newspapers.

45. It should be emphasised in that respect that, in order to demonstrate that the creation of such a system is not a realistic potential alternative and that access to the existing system is therefore indispensable, it is not enough to argue that it is not economically viable by reason of the small circulation of the daily newspaper or newspapers to be distributed.

46. For such access to be regarded as indispensable, it would be necessary at the very least to establish, as the Advocate General has pointed out at point 68 of his Opinion, that it is not economically viable to create a second home-delivery scheme for the distribution of daily newspapers with a circulation comparable to that of the daily newspapers distributed by the existing scheme."

[30]     
The latest word from the European Court was to be found in IMS Health v NDC Health [2004] 4 CMLR 1543 at p 1577, para 28, where the following is stated:

"It is clear from paragraphs [43] and [44] of Bronner that, in order to determine whether a product or service is indispensable for enabling an undertaking to carry on business in a particular market, it must be determined whether there are products or services which constitute alternative solutions, even if they are less advantageous, and whether there are technical, legal or economic obstacles capable of making it impossible or at least unreasonably difficult for any undertaking seeking to operate in the market to create, possibly in co-operation with other operators, the alternative products or services. According to paragraph [46] of Bronner, in order to accept the existence of economic obstacles, it must be established, at the very least, that the creation of those products or services is not economically viable for production on a scale comparable to that of the undertaking which controls the existing product or service."

That principle had been applied at the national level by Laddie J in Getmapping Plc v Ordnance Survey [2003] ICR 1, in which the essential facilities doctrine of Advocate General Jacobs had been regarded as setting out the way to proceed.

[31]     
Applying the approach derived from the above cases to the facts of the present case, there required to be averments by the defenders of the pursuers' dominant position in a relevant market and also abuse of that position. The defenders had failed to aver that the pursuers were in a dominant position in a relevant market. They had failed adequately to identify the relevant market for the purpose of section 18(1). They had not adequately addressed, far less answered, the question, what is the relevant market here? Was it car parking in general or short-stay car parking? The averments in answer 7 at p 26A-B suggested that the relevant market was transport to the airport. Off-site car parking with a shuttle service to the airport could be a relevant market. Commission Notice 97/C372/03 on the definition of relevant market for the purposes of Community competition law defined a relevant product market in paragraph 7 and a relevant geographic market in paragraph 8. Those paragraphs provide the following definitions:

"7. 'A relevant product market' comprises all those products and/or services which are regarded as interchangeable or substitutable by the consumer, by reason of the products' characteristics, their prices and their intended use.

8. 'Relevant geographic markets' are defined as follows -

'The relevant geographic market comprises the area in which the undertakings concerned are involved in the supply and demand of products or services, in which the conditions of competition are sufficiently homogenous and which can be distinguished from neighbouring areas because the conditions of competition are appreciably different in those areas.'"

Paragraph 9 goes on to state that the relevant market within which to assess a given competition issue was therefore established by the combination of the product and geographic markets.

[32]     
The defenders had also failed to aver that the pursuers were in a dominant position. Ownership of the airport ground was relevant only to the question of abuse, not to that of dominant position. The averment by the defenders at p 16B that "the pursuers are dominant suppliers of an essential input or facility required to operate in the market for car parking at the airport" revealed a faulty analysis as the access road was a facility, not a market. At p 16E the defenders averred that the pursuers, in seeking interdict, were seeking to deny the defenders access to the airport, an essential facility, for the purpose of the defenders' business. It was not averred that the refusal of access was likely to eliminate all competition so as to make it practically and economically impossible for the defenders to carry on business at all. Dropping off and picking up their customers on the public road next to the airport would not be as attractive to the defenders as dropping them off and picking them up outside the terminal building, but it was not averred that the latter practice was indispensable to the defenders' business. The position of the pursuers would be more difficult if the beginning of the access road were two miles away, but that was not the case. Council Directive 96/67/EC on access to the groundhandling market at Community airports, which provides in Article 6 that Member States shall take the necessary measures to ensure free access by suppliers of groundhandling services to the market for the provision of groundhandling services to third parties, did not cover car parking or transporting customers from car parks to terminals. The defence based on competition law was no more than an attempt by the defenders to force the pursuers to improve the defenders' competitive position, but the pursuers were entitled to do what they were doing and the defence should be held to be irrelevant.

(ii) Submissions for the defenders

[33]     
Mr Stephenson accepted that the defenders required to make relevant averments as the basis for an inquiry into an alleged infringement of section 18(1) of the 1998 Act by the pursuers. The defenders had to aver (1) conduct; (2) by an undertaking; (3) amounting to abuse of a dominant position; (4) occurring in a market; (5) which may affect trade within the United Kingdom. Mr Tyre's submission was to the effect that the defenders had failed to make relevant averments in relation to requirements (3) and (4). The defenders had made sufficient averments to entitle them to an inquiry into whether the conduct complained of was abuse of a dominant position in a market. Under section 60 of the 1998 Act the Court had to take account of Community law in determining this issue. Mr Tyre had not referred to any cases dealing with transport facilities. Only Bronner was a decision of the European Court of Justice: the other cases to which he referred were decisions of the Commission. (This statement was incorrect, as the decision in IMS Health, referred to by Mr Tyre, was also a decision of the Court.) The cases which were about to be referred to had not been disapproved of in Bronner, which dealt with a distribution system, something different from an airport.

[34]     
B & I Line Plc v Sealink Harbours Ltd and Sealink Stena Ltd [1992] 5 CMLR 255 dealt with access to the port of Holyhead. Sealink Harbours Ltd ("SHL") was the owner and operator of the port of Holyhead and Sealink Stena Line Ltd ("SSL") was an operator of ferry services between Great Britain, France and Ireland. SSL's holding company was Sealink Stena Line (Holdings) Ltd ("SSL Holdings"). SHL was owned 45% by SSL Holdings and 55% by SSL. SSL and SHL had both been members of the group of companies controlled by Stena Line AB ("the Stena Group") of Sweden since their acquisition by the Stena Group from Sealink Ferries in 1990 and the Commission therefore treated them as a single economic entity and referred to them jointly as "Sealink". On a complaint by B & I Line the Commission held that Sealink, which both owned the port of Holyhead and used it for operating ferry services to and from Ireland, had infringed Article 86 EEC by altering its sailing schedules inasmuch that the only competing ferry service operated by B & I Line was put at a competitive disadvantage because the physical limitations of the port meant its loading and unloading activities would be impeded, and issued an interim order requiring Sealink to return to its previously published schedules for the duration of the peak summer season. The Commission stated as follows at paras 41 and 42:

"41. A dominant undertaking which both owns or controls and itself uses an essential facility, i.e. a facility or infrastructure without access to which competitors cannot provide services to their customers, and which refuses its competitors access to that facility or grants access to competitors only on terms less favourable than those which it gives its own services, thereby placing the competitors at a competitive disadvantage, infringes Article 86, if the other conditions of that Article are met. A company in a dominant position may not discriminate in favour of its own activities in a related market ...... The owner of an essential facility which uses its power in one market in order to strengthen its position in another related market, in particular by granting its competitor access to that related market on less favourable terms than those of its own services, infringes Article 86 where a competitive disadvantage is imposed upon its competitor without objective justification.

This was accepted by Sealink through its subsidiary SHL when it stated that no agreement would be given to vary schedules if this compromised its ability to provide an acceptable level of service to all port users ... This is particularly so where the physical configuration of the port has obliged operators to accept differences in the services they are offered by the operator of the essential facility, in order to maximise its efficient utilisation.

42. The owner of the essential facility, which also uses the essential facility, may not impose a competitive disadvantage on its competitor, also a user of the essential facility, by altering its own schedule to the detriment of the competitor's service, where, as in this case, the construction or the features of the facility are such that it is not possible to alter one competitor's service in the way chosen without harming the other's. Specifically, where, as in this case, the competitor is already subject to a certain level of disruption from the dominant undertaking's activities, there is a duty on the dominant undertaking not to take any action which will result in further disruption. That is so even if the latter's actions make, or are primarily intended to make, its operations more efficient. Subject to any objective elements outside its control, such an undertaking is under a duty not to impose a competitive disadvantage upon its competitor in the use of the shared facility without objective justification ....."

[35]     
Euro-Port A/S v Denmark [1994] 5 CMLR 457 was another decision of the Commission concerning a seaport. It was held that the organisation on behalf of a third party of port operations in a single port can constitute a relevant market within the meaning of Article 86 EEC. At paragraph 12 the Commission stated:

"12. The refusal to allow Euro-Port A/S .... to operate from Rodby has the effect of eliminating a potential competitor on the Rodby - Puttgarden route and hence of strengthening the joint dominant position of DSB and DB on that route.

According to the case law of the Court, an abuse within the meaning of Article 86 is committed in cases where, without any objective necessity, an undertaking holding a dominant position on a particular market reserves to itself an ancillary activity which might be carried out by another undertaking as part of its activities on a neighbouring but separate market, with the possibility of eliminating all competition from such undertaking ...

Thus, an undertaking that owns or manages and uses itself an essential facility, i.e. a facility or infrastructure without which its competitors are unable to offer their services to customers, and refuses to grant them access to such facility is abusing its dominant position.

Consequently, an undertaking that owns or manages an essential port facility from which it provides a maritime transport service may not, without objective justification, refuse to grant a shipowner wishing to operate on the same maritime route access to that facility without infringing Article 86."

[36]     
In Bronner Advocate General Jacobs, considering the essential facilities doctrine as it had developed in the United States, stated at p I -7807, para 47:

"The US essential facilities doctrine has developed to require a company with a monopoly power to contract with a competitor where five conditions are met. First, an essential facility is controlled by a monopolist. A facility will be regarded as essential when access to it is indispensable in order to compete on the market with the company that controls it. The following have for example been held to be essential facilities: railroad bridges serving the town of St Louis; a local telecommunications network; a local electricity network. Secondly, a competitor is unable practically or reasonably to duplicate an essential facility. It is not sufficient that duplication would be difficult or expensive, but absolute impossibility is not required. Thirdly, the use of the facility is denied to a competitor. That condition would appear to include the refusal to contract on reasonable terms. Fourthly, it is feasible for the facility to be provided. Fifthly, there is no legitimate business reason for refusing access to the facility. A company in a dominant position which controls an essential facility can justify the refusal to enter a contract for legitimate technical or commercial reasons. It may also be possible to justify a refusal to contract on grounds of efficiency."

[37]     
Bronner had been applied in the domestic context by Laddie J in Getmapping and in Suretrack Rail Services Limited v Infraco JNP Limited [2002] EWHC 1316 (Ch), [2002] EuLR 659. In Jobserve Ltd v Network Multimedia Ltd [2002] UKCLR 184 the Court of Appeal, dismissing an appeal against the grant of an interim injunction and agreeing with the judge of first instance that there was a serious question to be tried on an infringement of section 18(1) of the 1998 Act, stated per Mummery LJ at p 187, para [12] that, in general, abuse of a dominant position is a complex question of mixed fact and law which should be determined at trial on the basis of tested oral and documentary evidence and rival submissions, rather than in the summary setting of an application for an interim injunction.

[38]      Mr Stephenson went on to submit that the defenders' averments relating to an infringement of section 18(1) of the 1998 Act in answer 5 from p 13E to the end of answer 5 at p 18C were sufficient for an inquiry into them to be allowed. The airport was an essential facility. The pursuers, as sole providers of car parking at the airport, were monopolists. The airport was an indispensable facility. The defenders were saying that their business would close if they could not take their customers right up to the airport terminal. At p 14C it was averred that it was essential for the effective operation of the defenders' business that they can access (sic) airport property for the purpose of dropping and collecting their customers and their baggage. It was obvious that the defenders were unable to duplicate the essential facility. The object of the action brought by the pursuers was to deny the defenders, as competitors of the pursuers, use of that essential facility. It could not be said that provision of the essential facility was not feasible, or that there was any objective justification for refusing access to the essential facility. There would be no business for the defenders if they had to drop their customers at the public bus stop. The market was the market for car parking at the airport. The pursuers were in a dominant position as they owned the airport ground and controlled access to the airport, and their associated companies operated four car parks on the airport ground and a shuttle bus service to the terminal. They could stop others providing car parking. The whole purpose of the action was to stop the defenders competing, as was obvious from the pursuers' averment in condescendence 6 at p 21B that, as a result of the defenders' use of the pursuers' property, the pursuers were presently losing revenue of about £250,000 a year. The position in the present case was not all that different from the position in the seaport cases referred to above.

(iii) Reply for the pursuers

[39]     
Mr Tyre submitted that the decisions of the Commission in B & I Line and Euro-Port A/S had to be read as having been qualified by what was subsequently said by the Court in Bronner. What was stated in paragraph 42 of B & I Line was no longer the law as it was inconsistent with Bronner. A competitive disadvantage was not enough. As Laddie J pointed out in Suretrack at p 665, paragraph 20:

"Even big businesses are entitled to win in the market place. Even big businesses are entitled to take rational decisions which are beneficial to them and harmful to competitors or others in the market. Businesses which hold a dominant position are allowed to continue to hold a dominant position and to take the benefit of the advantages which that dominant position gives them. What they are not entitled to do is abuse the dominant position."

[40]     
The essential facility was the access road. The defenders were not being prevented from using the airport as they could drop their customers at the gate. The defenders were not offering to prove that they would go out of business, but even that would not be enough, as they had failed to identify the downstream market.

(iv) Discussion and Conclusion

[41]     
As Advocate General Jacobs stated at paragraph 28 of his Opinion in Bronner, "it is necessary first to define the relevant market". Mr Tyre's submission was that the defenders had not adequately addressed and answered the question, what was the market here? In the course of submissions Mr Stephenson asserted that the market was "the market for car parking at the airport".

[42]     
It is clear from the definition of relevant market provided in the Commission Notice (97/C372/03) that a relevant market has two main aspects: product (or services) and geography. In my opinion it is essential for a party claiming an infringement of section 18(1) of the 1998 Act to make a distinct averment in clear and precise terms of the relevant market. The importance of such an averment can hardly be overemphasised as the definition of the market is bound to affect the subsequent determination of the question whether there has been abuse of a dominant position. The European cases make clear the importance of defining the relevant market with clarity and precision. Moreover, it is vital that the party against whom an infringement of section 18(1) of the 1998 Act is pleaded should know in advance, in order to be able to answer the case made against him, what the relevant market is said to be. The definition of the relevant market is not, in my opinion, something which should have to be inferred, perhaps wrongly, from the averments made by the party claiming an infringement of section 18(1) of the 1998 Act. The relevant product (or services) and geographic markets must be distinctly averred with clarity and precision. What is the position here? I have read and re-read several times the averments made by the defenders in answer 5 from p 13E to p 18C and I can find no distinct averment in clear and precise terms of the relevant market. It would have been a simple matter for the defenders to have made a distinct averment that the relevant market was whatever they are claiming it to be. They have not done so, and Mr Stephenson did not seek leave to amend to make such an averment.

[43]     
There are two passages in answer 5 which may be thought to touch upon the issue of relevant market. The first is at p 14E to p 15B:

"The defenders are only one of a number of commercial operators who bring travellers into (sic) airport land. Other such commercial operators include nearby hotels, private bus companies (including Stagecoach), taxi operators and airport long stay car park shuttle bus operators. In all material respects the other commercial operators' use of the access to the airport and vehicle bays on the terminal concourse is identical to the defenders'. They use the terminal concourse as an identifiable drop off and collection point for their customers."

That passage, as Mr Tyre (in my view, correctly) pointed out, suggests that the relevant market is surface transport to the airport. The second passage is at p 16A-C:

"Esto the pursuers have otherwise an absolute right to control access to the airport, which is denied, by virtue of said control the pursuers are dominant suppliers of an essential input or facility required to operate in the market for car parking at the airport (whether the market is defined as long stay car parking alone, or extended to include short stay car parking)."

That passage, as Mr Tyre (again in my view, correctly) pointed out, suggests that the relevant market is car parking at the airport, either all car parking or only long stay car parking - the defenders themselves do not seem to know. It goes without saying that these two passages could be taken as suggesting inconsistent markets. So far as "car parking at the airport" is concerned, there could be various different markets - all car parking (long stay and short stay) within the airport ground, all car parking within the airport ground and a specific radius outside it, any form of car parking without a shuttle bus to the terminal, or any form of car parking with a shuttle bus to the terminal. The relevant market must relate not only to the product or service, but to a geographic area. As the defenders' car park is some distance from the airport, I do not see how the relevant market could on any view be defined as "car parking at the airport". The defenders are not engaged in the business of providing car parking "at the airport" if by "the airport" is meant the curtilage of the airport: they provide car parking only some distance from the airport, which is why they wish to drive their shuttle bus from their car park up to the terminal. The defenders' averments in answer 5 touching upon the issue of relevant market display, in my opinion, vagueness, ambiguity and confusion. I conclude that the defenders have not relevantly averred what is the relevant market in this case.

[44]     
The next point to be considered is whether the defenders have made relevant averments of abuse of a dominant position by the defenders. Abuse of a dominant position can take place only within a defined market and if, as I have held, the market has not been defined, it is not possible to say whether abuse of a dominant position has been relevantly averred, but, lest I be wrong in my conclusion that the relevant market has not been relevantly averred, and the defenders have defined the relevant market as relating to "car parking at the airport", as Mr Stephenson asserted in submissions, it is appropriate that I should express my views on the defenders' averments of abuse of a dominant position.

[45]     
Like the Advocate General in Bronner (p I - 7802, paragraph 32) I consider that "it is appropriate in the present context to consider the issue of dominance together with that of abuse". The defenders' averments on abuse of a dominant position are to be found in answer 5 at p 16A-C in the passage quoted above. I think that Mr Tyre was correct in his submission that the word "dominant" in that passage was in the wrong position as the access road was a facility, not a market. What the defenders appear to be attempting to say in those averments is that the pursuers are in a dominant position in the market for car parking at the airport because they are the owners of an essential facility in that market, namely, the airport roads. I do not see how the airport roads can be said to be an essential facility for "car parking at the airport", which, if that expression is given the wide meaning which the defenders must intend it to have, must be taken to include off-airport car parking. The use of the airport roads is not essential to the parking of a car in the defenders' car park. The pursuers make this point in their averments from p 21E to 22D, which read as follows:

"Use of the airport roads, such as the use made by the defenders as hereinbefore condescended upon, is not essential to the provision of such services outwith the curtilage of the airport. Passengers carried from an off-site car park, like the defenders', could be dropped off and picked up outwith the said curtilage. In particular, they could be dropped off and picked up at the bus stops on either side of the A79 near the station. There is pedestrian access and egress to (sic) the terminal. From the bus stops it can be conveniently obtained via the station and overhead footbridge or via the footpaths on the A79 and over the airport ground. Such passengers could be carried to the terminal building over the airport roads by taxi or other public service vehicle. The defenders' use of the airport roads is merely suitable and advantageous to the conduct of their business. It is not essential to enable them to compete in the downstream market, whether for the provision of services for such transport or only car parking. Refusal to allow such use would not result in the elimination of competition in either such market."

These averments are made in response to the defenders' averments at p 14 C-D that it is essential for the effective operation of their business that they can access (sic) airport property for the purposes of dropping and collecting their customers and their baggage. In the context of all the averments made on record, I do not think that that averment by the defenders can be regarded as relevant. It is not averred that the pursuers have done anything which prevents the defenders operating a car park at the defenders' off-airport site. The question is whether the operation of a shuttle bus from the defenders' car park right up to the terminal building can be said to be essential for the operation of the defenders' car parking business. In this connection I do not think the two seaport cases upon which Mr Stephenson sought to rely can be prayed in aid as valid analogies. Access to a seaport is obviously essential for the operator of a passenger ferry service. The equivalent in this case would be access to the airport by a particular airline. The refusal by the pursuers to allow access by the defenders' shuttle bus to the airport terminal does not make it impossible for the defenders' customers to reach the terminal as it is not disputed that there are alternative, though less convenient, means of access open to them. It is not suggested that the pursers are refusing the defenders' customers access to the terminal. The position of the defenders is clearly distinguishable from, for example, that of the ramp-handlers in the KLM case, who could not carry on their business without access to the apron of the airport. The requirement of indispensability is not satisfied and the question of objective justification does not therefore arise.

[46]     
In my view the defenders have failed to make any relevant averments of abuse of a dominant position by the pursuers.

Decision

[47]     
For the reasons given above I am of the opinion that the defences based on public right of way and an infringement of section 18(1) of the 1998 Act are irrelevant. I shall therefore repel pleas-in-law 1 to 4 for the defenders, sustain pleas-in-law 1, 2 and 4 for the pursuers and pronounce interdict in terms of the first crave as amended.

 

 

 


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