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Scottish Court of Session Decisions |
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You are here: BAILII >> Databases >> Scottish Court of Session Decisions >> AXA General Insurance Ltd & Ors v. The Socttish Ministers & Ors [2011] ScotCS CSIH_31 (12 April 2011) URL: http://www.bailii.org/scot/cases/ScotCS/2011/2011CSIH31.html Cite as: [2011] ScotCS CSIH_31, 2011 SLT 439, 2011 SCLR 305, [2011] CSIH 31, 2011 GWD 14-325 |
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FIRST DIVISION, INNER HOUSE, COURT OF SESSION
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Lord PresidentLord EassieLord Hardie
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[2011] CSIH 31P490/09
OPINION OF THE COURT
delivered by THE LORD PRESIDENT
in the reclaiming motion
AXA GENERAL INSURANCE LIMITED and OTHERS
Petitioners and Reclaimers;
Against
(First) THE LORD ADVOCATE, as representing the Scottish Ministers
(Second) THE ADVOCATE GENERAL for SCOTLAND
and
(Third to tenth) DANIEL FLEMING and OTHERS
Respondents:
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Alt: Dewar, Q.C., Mure, Q.C.; Scottish Government Legal Directorate) (First Respondent)
Alt: Johnston, Q.C., MacGregor; Office of the Solicitor to the Advocate General (Second Respondent)
Alt: O'Neill, Q.C., Pirie; Thompsons (Third to Tenth Respondents)
Intervener: The Counsel General to the Welsh Assembly Government; Anderson Strathern LLP
12 April 2011
INDEX
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II |
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III |
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IV |
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V |
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VI |
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VII |
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VIII |
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IX |
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The argument for exclusion of all common law review grounds
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Acts of the Scottish Parliament - legislation sui generis?
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X |
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XI |
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Introduction
[1] This
is the Opinion of the Court to the drafting of which each of its members has
contributed substantially.
[2] On 17 June 2009 the Damages
(Asbestos-related Conditions) (Scotland) Act 2009 - "the 2009 Act" - came into force, having been
enacted by the Scottish Parliament. Put shortly, it provides that
asbestos-related pleural plaques, and certain other asbestos-related
conditions, constitute personal injury which is not negligible and is therefore
actionable under Scots law. Each of the petitioners is a large insurance
company, the business of which includes employers' liability insurance
policies. They have brought this petition for judicial review seeking declarator
that the 2009 Act is unlawful and its reduction. The first and second
respondents are, respectively, the Lord Advocate, representing the Scottish
Ministers, and the Advocate General for Scotland, representing the United Kingdom
Government. Each of the third to tenth respondents is an individual who has
been diagnosed with pleural plaques and has raised, or intends to raise, an
action of damages against his or her former employer. On 8 May 2009 they
moved the Lord Ordinary (Uist) to enter the process in terms of Rule of Court
58.8(2) as individuals who were "directly affected" by the issues raised in the
judicial review, which motion was granted ([2010] CSOH 36). On 8 January 2010 a different Lord
Ordinary, Lord
Emslie,
having heard an extensive debate, dismissed the petition ([2010] CSOH 2; 2010 SLT 179).
[3] The petitioners now reclaim both against
that decision and the decision to allow the third to tenth respondents to enter
the process. The first respondent and the third to tenth respondents have
lodged grounds of cross-appeal. Written submissions have also been received
from the Counsel General for Wales, as intervener on behalf of the Welsh Assembly Government.
The case raises important constitutional questions about the amenability of
Acts of the Scottish Parliament to challenge on grounds other than those
expressly provided for in the Scotland Act 1998, as well as other important
issues.
Statutory and other
provisions
[4] We
set out the text of the 2009 Act in its entirety:
"1. Pleural plaques
(1) Asbestos-related pleural plaques are a personal injury which is not negligible.
(2) Accordingly, they constitute actionable harm for the purposes of an action of damages for personal injuries.
(3) Any rule of law the effect of which is that asbestos-related pleural plaques do not constitute actionable harm ceases to apply to the extent it has that effect.
(4) But nothing in this section otherwise affects any enactment or rule of law which determines whether and in what circumstances a person may be liable in damages in respect of personal injuries.
2. Pleural thickening and asbestosis
(1) For
the avoidance of doubt, a condition mentioned in subsection (2) which has
not caused and is not causing impairment of a person's physical condition is a
personal injury which is not negligible.
(2) Those conditions are-
(a) asbestos-related pleural thickening; and
(b) asbestosis.
(3) Accordingly, such a condition constitutes actionable harm for the purposes of an action of damages for personal injuries.
(4) Any rule of law the effect of which is that such a condition does not constitute actionable harm ceases to apply to the extent it has that effect.
(5) But nothing in this section otherwise affects any enactment or rule of law which determines whether and in what circumstances a person may be liable in damages in respect of personal injuries.
3. Limitation of actions
(1) This section applies to an action of damages for personal injuries-
(a) in which the damages claimed consist of or include damages in respect of-
(i) asbestos-related pleural plaques; or
(ii) a condition to which section 2 applies; and
(b) which, in the case of an action commenced before the date this section comes into force, has not been determined by that date.
(2) For the purposes of sections 17 and 18 of the Prescription and Limitation (Scotland) Act 1973 (c.52) (limitation in respect of actions for personal injuries), the period beginning with 17 October 2007 and ending with the day on which this section comes into force is to be left out of account.
4. Commencement and retrospective effect
(1) This
Act (other than this subsection and section 5) comes into force on such day as
the Scottish Ministers may, by order made by statutory instrument, appoint.
(2) Sections 1 and 2 are to be treated for all purposes as having always had effect.
(3) But those sections have no effect in relation to-
(a) a claim which is settled before the date on which subsection (2) comes into force (whether or not legal proceedings in relation to the claim have been commenced); or
(b) legal proceedings which are determined before that date.
5. Short title and Crown application
(1) This Act may be cited as the Damages (Asbestos-related Conditions) (Scotland) Act 2009.
(2) This Act binds the Crown."
[5] Sections 28 and
29 of the Scotland Act 1998 provide:
"28. Acts of the Scottish Parliament
(1) Subject to section 29, the Parliament may make laws, to be known as Acts of the Scottish Parliament.
(2) Proposed Acts of the Scottish Parliament shall be known as Bills; and a Bill shall become an Act of the Scottish Parliament when it has been passed by the Parliament and has received Royal Assent.
(3) A Bill receives Royal Assent at the beginning of the day on which Letters Patent under the Scottish Seal signed with Her Majesty's own hand signifying Her Assent are recorded in the Register of the Great Seal.
(4) The date of Royal Assent shall be written on the Act of the Scottish Parliament by the Clerk, and shall form part of the Act.
(5) The validity of an Act of the Scottish Parliament is not affected by any invalidity in the proceedings of the Parliament leading to its enactment.
(6) Every Act of the Scottish Parliament shall be judicially noticed.
(7) This section does not affect the power of the Parliament of the United Kingdom to make laws for Scotland.
29. Legislative competence
(1) An Act of the Scottish Parliament is not law so far as any provision of the Act is outside the legislative competence of the Parliament.
(2) A provision is outside that competence so far as any of the following paragraphs apply-
(a) it would form part of the law of a country or territory other than Scotland, or confer or remove functions exercisable otherwise than in or as regards Scotland,
(b) it relates to reserved matters,
(c) it is in breach of the restrictions in Schedule 4,
(d) it is incompatible with any of the Convention rights or with Community law,
(e) it would remove the Lord Advocate from his position as head of the systems of criminal prosecution and investigation of deaths in Scotland.
(3) For the purposes of this section, the question whether a provision of an Act of the Scottish Parliament relates to a reserved matter is to be determined, subject to subsection (4), by reference to the purpose of the provision, having regard (among other things) to its effect in all the circumstances.
(4) A provision which-
(a) would otherwise not relate to reserved matters, but
(b) makes modifications of Scots private law, or Scots criminal law, as it applies to reserved matters,
is to be treated as relating to reserved matters unless the purpose of the provision is to make the law in question apply consistently to reserved matters and otherwise."
[6] Article 1
of the First Protocol to the European Convention for the Protection of Human
Rights and Fundamental Freedoms - ("the Convention") - provides:
"Protection of property
Every natural or legal person is entitled to the peaceful enjoyment of his possessions. No one shall be deprived of his possessions except in the public interest and subject to the conditions provided for by law and by the general principles of international law.
The preceding provisions shall not, however, in any way impair the right of a State to enforce such laws as it deems necessary to control the use of property in accordance with the general interest or to secure the payment of taxes or other contributions or penalties."
Article 34 of the Convention provides:
"Individual applications
The Court may receive applications from any person, non-governmental organisation or group of individuals claiming to be the victim of a violation by one of the High Contracting Parties of the rights set forth in the Convention or the Protocols thereto. The High Contracting Parties undertake not to hinder in any way the effective exercise of this right."
Section 100 of the Scotland Act 1998 provides that the Act does not enable a person to bring proceedings which, put shortly, invoke a Convention right "unless he would be a victim for the purposes of Article 34 of the Convention ...".
[7] The Rules of
the Court of Session include the following.
Rule of Court 58.8 provides:
"(1) A person to whom intimation of the first hearing has been made and who intends to appear-
(a) shall intimate his intention to do so to-
(i) the agent for the petitioner, and
(ii) the Keeper of the Rolls, not less than 48 hours before the date of the hearing; and
(b) may lodge answers and any relevant documents.
(2) Any person not specified in the first order made under rule 58.7 as a person on whom service requires to be made, and who is directly affected by any issue raised, may apply by motion for leave to enter the process; and if the motion is granted, the provisions of this Chapter shall apply to that person as they apply to a person specified in the first order.
...".
[8] Rule of
Court 58.8A provides:
"(1) A person to whom rule 58.8(2) does not apply may make an application to the court for leave to intervene -
(a) in a petition for judicial review;
(b) in an appeal in connection with such a petition.
...
(6) The court may grant leave only if it is satisfied that -
(a) the cause raise(s), and an issue in the cause which the applicant wishes to address raises, a matter of public interest;
(b) the propositions to be advanced by the applicant are relevant to the cause and are likely to assist the court; and
(c) the intervention will not unduly delay or otherwise prejudice the rights of the parties, including their potential liability for expenses.
...".
Pleural Plaques
[9] Pleural
plaques are physical changes in the pleurae: two layers of tissue comprising
the visceral pleura, the inner layer which covers the lungs, and the parietal
pleura, the outer layer which lines the ribs and chest wall. Between these
layers is a serous fluid, which lubricates them as they slide against each
other, facilitating expansion and retraction of the lungs. Upon radiological
examination, pleural plaques present as areas of fibrous tissue. They consist
of a dense and irregularly shaped collagenous mass, with a polished or nodular
surface. They are normally bilateral and almost exclusively found on the
parietal pleura. Over time they may increase in size and number and become
calcified. They can measure more than 10cm across and up to 1cm in thickness
and may fuse into larger sheets as they become more extensive. They are caused
by exposure to asbestos and are therefore associated with the construction,
shipbuilding and steel industries. Their precise aetiology is unknown, but may
involve prolonged inflammation due to cells reacting to, and attempting to
engulf, inhaled asbestos fibres. They have a latency period of twenty years or
more. In the vast majority of cases, pleural plaques are asymptomatic, causing
no discomfort, impairment of the pulmonary function or external marks. Nor do
they actuate, or contribute to, more serious and potentially fatal conditions
such as lung cancer, mesothelioma or asbestosis. Nevertheless, their existence
evidences significant previous exposure to asbestos, which of itself represents
a greatly increased risk of contracting such diseases.
The Decision in Rothwell
[10] On
17 October 2007 the House of Lords issued its decision in a conjoined
group of English cases sub nom Rothwell v Chemical Insulating
Co Limited [2008] 1 AC 281 in
which the defendants contended that asymptomatic pleural plaques did not give
rise to liability in damages either in themselves or taken together with the
risk of developing other asbestos related conditions and anxiety at the
prospect of that risk materialising. We refer later at paras [91] - [92]) to
the pertinent English and Scottish decisions which preceded the Rothwell
litigation. The majority of the House in Rothwell agreed with the
reasoning of Lord Hoffmann: pleural plaques, either of themselves or
"aggregated" with the risk of developing other asbestos-related diseases and
the consequent anxiety, did not cause damage and did not therefore constitute
an injury giving rise to an action in tort (paragraph 2). Lord Hope of Craighead held that, while they
might be described as injury, they caused no harm, did not amount to real, as
opposed to minimal, damage and were not therefore actionable even when so
aggregated (paragraphs 38 - 39). On 27 October 2007 Rothwell was
applied by Lord
Uist in Wright
v Stoddard International Plc (No.2) [2007] CSOH 173; 2008 Rep L R 37,
although on the facts of that case damages would not have been awarded even if
it had been competent to do so in respect of pleural plaques (paragraphs [160]
- [161]).
The 2009 Act - the
legislative process
Background and rationale
[11] During
First Minister's Questions in the Scottish Parliament on 25 October 2007, the First Minister
stressed that Rothwell was not binding on Scottish courts, but confirmed
that the Scottish Government was considering its position (Official Report, 25 October 2007, cols 2725 - 2726). On 7 November 2007, during a member's
business debate, Members of the Scottish Parliament expressed concerns about
the decision. The Minister for Community Safety, Fergus Ewing, MSP, ("the
Minister") confirmed that the Scottish Government would consider a bill
intended to reverse its effect which had been drafted by Thompsons, a firm of
solicitors specialising in pleural plaques claims and which now acts for the
third to tenth respondents (Official Report, 7 November 2007, cols 3130 -
3150). On 28 November 2007 the Cabinet Secretary for Justice, Kenny
MacAskill, MSP, in response to a Written Parliamentary Question, confirmed the
Scottish Government's intention to introduce a bill which would reverse the
effect of the Rothwell decision, permitting those negligently exposed to
asbestos and diagnosed with pleural plaques to "continue to be able to raise an
action for damages". This was announced the following day in a press release.
It was confirmed in a statement to the Scottish Parliament on 13 December
2007 by the Cabinet Secretary for Justice, who also indicated that the Bill's
provisions in relation to retrospection were "under careful consideration"
(Official Report, 13 December 2007, Cols 4455 - 4456).
[12] On 6 February 2008 the Scottish Government
circulated a "partial regulatory impact assessment" to various parties,
including the petitioners and Thompsons. This method of consultation was
unusual, but adopted in an attempt to avoid undue delay in the legislative
process (see statements by the Minister to the Justice Committee (Official
Report, 9 September
2008, col
1089) and to the Scottish Parliament (Official Report, 5 November 2008, col 12055)). It
acknowledged the potential implications of the Bill for the insurance industry,
employers and Government Departments (paragraph 1). The Scottish Government's
stated objective was to ensure that the Rothwell decision did not have
effect in Scotland and that pleural plaques
were an actionable injury in Scots law (paragraph 9). It outlined the
rationale for governmental intervention (at paragraph 10):
"Pleural plaques have been regarded as actionable for over twenty years. They are part of the unintended and unwelcome consequences of our industrial heritage. The [Rothwell] Judgment has raised serious concerns for people with pleural plaques. Although plaques are not in themselves harmful they do give rise to anxiety because they signify an increased risk of developing very serious illness as a result of exposure to asbestos. In areas associated with Scotland's industrial past, people with pleural plaques are living alongside friends who worked beside them and are witnessing the terrible suffering of those who have contracted serious asbestos-related conditions, including mesothelioma. This causes them terrible anxiety that they will suffer the same fate. The Scottish Government believes that people who have negligently been exposed to asbestos who are subsequently diagnosed with pleural plaques should be able to raise an action for damages as has been the practice in Scotland for over twenty years."
In his evidence to the Justice Committee, the Minister expanded on the purpose and rationale, stating that the Scottish Government did not dispute the medical evidence but placed a different interpretation on it:
"We believe, however, that it is important to take account of other facts. First, pleural plaques represent a physiological change in the body. They occur because the body has been attacked or injured. Secondly, pleural plaques are strongly associated with exposure to asbestos. Although they do not directly cause a greatly increased lifetime risk of mesothelioma or a small but significantly increased risk of bronchial carcinoma, they signify that, as a result of exposure to asbestos, the individual is at such higher risk compared with the general population.
Thirdly people with pleural plaques have a specific physical manifestation of asbestos exposure which can cause them understandable anxiety for the reasons that I have just set out. That is notably the case because many people with pleural plaques live in our old industrial heartlands and will know, often from family experience, about the potential lethality of asbestos ...
... Reflecting on those factors and on the fact that a right to damages has been an established feature for the past 20 years, and taking account of discussions with our chief medical officer, the Scottish Government believes that pleural plaques are not a trivial injury and that people who develop them should still be able to claim damages where their condition has arisen because of an employer's negligence. That is the straightforward and specific purpose of our bill, and it is an appropriate and proportionate response to the potential fall-out here from the House of Lords judgment." (Official Report, 9 September, cols 1087 - 1088)
The
potential cost of the legislation
[13] In
the partial regulatory impact assessment, the Scottish Government's position
was that, as the Bill did not introduce any liability not in existence prior to
Rothwell, any new claims in respect of pleural plaques would not incur
additional costs (paragraph 23). Using figures provided by Thompsons, it
estimated the cost to insurers for the settlement of 250 cases then sisted and
380 cases then "backed up" with solicitors at £10,080,000, based on an average
total cost to defenders per successful claim of £16,000 (paragraph 24).
It estimated that around 200 new cases a year might be expected at a cost of
£3,200,000, extrapolated, using projections produced in respect of mesothelioma
cases, to a peak of £3,840,000 in 2015 (paragraph 25). Costs were estimated
for Scottish cases against the Ministry of Defence at £518,000, and against the
Department for Business, Enterprise & Regulatory Reform at £936,000, with
annual costs thereafter of £201,600 (paragraph 26). The Scottish Government
had responsibility for three pending cases, at an estimated cost of £48,000,
with recurring annual costs estimated to be negligible (paragraph 26). It was
acknowledged that any legislation might lead to insurance companies raising the
cost of premiums for insurance policies (paragraph 28).
[14] In their replies
to the partial regulatory impact assessment insurers, including the
petitioners, submitted that the projected costs omitted the legal expenses of
pursuers and, along with the projected number of claims, had been
underestimated. The Scottish Government's final regulatory impact assessment of
19 June 2008 assumed an increased cost
per case of £25,000, taking account of pursuers' expenses (paragraph 29). The
projected number of pleural plaque claims remained the same, but
60 pending cases and an estimated 20 new cases per year involving other
asymptomatic asbestos-related diseases also covered by the Bill were now
factored into the costs, employers and insurers being notionally allocated 55
of the pending and 18 of the new cases with the rest being allocated to local
authorities (paragraphs 27 - 28). The cost of the legislation was given as:
£17,125,000 for insurers, employers and former employers to settle existing
cases, with annual costs of £5,450,00 thereafter, rising to £6,540,000 in 2015
before decreasing; £75,000 for the Scottish Government to settle outstanding
cases, with negligible annual costs thereafter; £518,000 for the Ministry of
Defence to settle existing cases, with annual costs thereafter of £168,000; £1,200,000
for the Department of Business Enterprise and Regulatory Reform to settle
existing cases with an overall liability of £5,300,000; and £1,000,000 for
local authorities to settle existing cases, with annual costs of £500,000 per
annum thereafter rising to £600,000 in 2015 before decreasing (table at pages
13 - 14 of the assessment).
[15] The Bill was
introduced to the Scottish Parliament on 23 June 2008. It was supplemented by
a financial memorandum, quoting the same estimated costs as the final
regulatory impact assessment. The memorandum acknowledged the significant
savings to employers, former employers and insurers were no legislation to be
enacted (paragraph 25). Thereafter, the Justice Committee received
written submissions from the petitioners and other representatives of insurance
companies, including the Association of British Insurers which, using figures
produced by the UK Government (Ministry of Justice, Pleural Plaques,
July 2008) estimated the annual cost of the Bill in Scotland at £76,000,000 to
£607,000,000, and the total cost at £1.1 billion to £8.6 billion. Giving
evidence to the Justice Committee on 2 September 2008, insurers'
representatives suggested that these increased costs would create "upward
pressure on premiums in Scotland", although uncertainty in the number of future claims meant
the extent to which they were likely to increase was unclear (Official Report, 2 September 2008, cols 1030 - 1034). They
suggested that claims might increase due to individuals being encouraged to
come forward by advertisements and the practice of agencies running "scan vans"
(cols 1040 - 1042).
[16] On 9 September 2008 the Minister told the
Justice Committee that the Scottish Government did not consider the insurance
industry's estimates on costs to be credible: they were based on Scotland bearing 30% of the total UK cost as opposed the
Scottish Government's projection of, at most, 10% (Official Report, 9 September 2008, cols 1088; 1095; 1110 -
1114). He accepted that the projected number of cases of pleural plaques was
based on variable factors which were difficult to pin down (cols 1095 - 1096).
He expected, but had not yet confirmed, that the UK Government would meet the
liability of Scottish cases involving UK Departments (col 1111 - 1112). In its
report of 13 October 2008 on Stage 1 of the Bill, the Justice Committee
suggested that the costs had been "significantly overestimated" by the
insurance industry but underestimated by the Scottish Government, from which it
sought reassurances that the figures quoted were a "fair indication" of the
likely costs (19th Report, 2008 (Session 3), SP Paper 158, paragraphs
135 - 137). It also sought clarification on whether the UK Government would
invoke the Statement of Funding Policy, placing the financial burden for claims
against UK Departments under the Act on the Scottish Consolidated Fund (paragraph 146).
[17] During the Stage
1 debate on 5
November 2008,
the Minister indicated that it was no longer clear that the UK Government would
bear the costs of any claims made in respect of UK Departments (Official
Report, 5 November
2008, cols
12013 - 12014). This followed correspondence on 29 September 2008 from the Ministry of
Justice, which stated that the decision of the UK Government on whether to
invoke the Statement of Funding Policy could not be made until it had finished
its own consultation exercise and the exact terms of the Scottish legislation
had been established. The motion passed at the end of that debate was:
"That the Parliament agrees to the general principles of the Damages (Asbestos-related Conditions)(Scotland) Bill but, in so doing, notes the terms of the Justice Committee's Stage 1 report, in particular the concerns expressed with regard to the Financial Memorandum, and calls on the Scottish Government to provide the Parliament with a more detailed analysis of the likely cost implications, from such information as is available to or can be obtained by the Scottish Government, prior to the Bill being considered at Stage 3".
[18] As a result, on 25 February 2009, and following, inter
alia, consultation with the actuarial profession, the Minister wrote to the
convener of the Justice Committee, Bill Aitken, MSP, to report a "reassessment"
of the financial implications of the Bill, with revised "tentative
conclusions". No further information on the Statement of Funding Policy was
available, but he reasserted as legitimate the expectation that costs involving
UK Departments be met by the UK Government. The number of backed-up cases was
now estimated at between 690 and 1040, at a cost of between £14,660,000 and
£22,880,000. If the number of claims peaked in 2015 there would be between 341
and 848 that year, at a cost of between £7,250,000 and £18,790,000, with the
total number of new cases from enactment of the Bill up to and including 2015
estimated at between 2826 and 5928, at a cost of between £60,500,000 and
£131,310,000. The increased estimates resulted from an acceptance that,
contrary to previous assumptions, Thompsons dealt with less than 90% of the
total number of relevant claims in Scotland, and new projections based on Health and Safety
Executive data on benign pleural disease, following doubts about the model
based on mesothelioma deaths. The revised figures also assumed a 75% - 80%
success rate, with costs of £25,000 per successful and £10,000 per unsuccessful
claim. The review had strengthened the Scottish Government's view that the
"extreme" projections in some of the insurance industry submissions to the
Justice Committee lacked any real foundation, but highlighted more clearly the
inherent uncertainty involved in any such projections. Nevertheless, it was
said to represent "the most thorough Scotland-specific projection of the
financial implications of ensuring that the civil justice system preserves
rights of redress in relation to asymptomatic asbestos-related conditions".
[19] On 6 March
2009 the Scottish Government issued a revised financial memorandum outlining
the anticipated costs of the legislation as being: £11,843,950 - £20,033, 950
for insurers, employers and former employers (other than local authorities and
Government Departments) to settle existing cases, with annual costs of
£3,761,000 - £6,947,000 thereafter, rising to £5,841,000 - £16,555,000 in 2015
before decreasing; £75,000 for the Scottish Government to settle outstanding
cases, with negligible annual costs thereafter, but possibly reaching £50,000
per annum by 2015; £518,000 for the Ministry of Defence to settle existing
cases, with annual costs thereafter of £168,000, or "alternatively" £261,000 -
£398,000 by 2015 before decreasing; £1,373,050 for the Department of Business
Enterprise and Regulatory Reform to settle existing cases followed by annual
costs of £321, 000 rising to around £385,000 before decreasing, or
"alternatively" £498,000 rising to £760,000 before decreasing and with an
overall liability of £4,973,500 over 15 years; and £850,000 - £880,000 for
local authorities to settle existing cases, with costs of £425,000 - £450,000
per annum thereafter, rising to £660,000 - £1,042,000 in 2015 before decreasing
(see table at page 10 of the memorandum). These revised figures assumed the
same success rate and cost per case used in the reassessment exercise.
[20] During the Stage
3 debate concerns were expressed by Conservative members of the Parliament
about the financial burden to be borne by public funds, due to the uncertainty
over the projected number of cases, the failure to obtain an undertaking on the
Statement of Funding Policy and the retrospective effect of the Bill on the
insurance industry and the public funds (see speech of Bill Aitken, MSP,
Official Report, 11 March 2009, cols 15630 - 15632). In response, the Minister
stated that it was not possible to predict the costs involved with precision
but highlighted that:
"... two weeks ago - on the same day that Parliament debated action on mesothelioma day - an insurance company announced that it had made £759 million in pre-tax profits in a single year. I have nothing against profits, but that is pretty high. Equally, an ABI statement declared that the UK insurance industry contributed £9.7 billion in taxes in a single year. In that context, I hope that Bill Aitken agrees that our estimates of the bill's financial implications may not seem too daunting" (col 15653)
The
legal effect of the Bill
[21] In
its partial regulatory impact assessment, the Scottish Government indicated
that the Bill would take effect from 17 October 2007, the date on which the Rothwell
decision was issued, and that the normal rules of jurisdiction and
applicable law would apply in cases with a cross-border dimension (paragraph
9). It stated that it was intended to encroach into the law of damages "no
more than necessary" (paragraph 39). Thereafter, the explanatory notes
accompanying the first draft of the Bill suggested that section 1(4) of the
Bill ensured it would not encroach into other areas of delict (paragraph 6).
It also stated that the Bill would have no effect on the law of quantum of
damages (paragraph 5). Section 4(2) was designed to ensure that the main
provisions of the Bill were to be treated for all purposes as always having had
effect, the view being that:
"This is necessary in order to fully address the effect of the judgment in [Rothwell], because an authoritative statement of the law by the HoL is considered to state the law as it has always been" (at paragraph 9)
[22] On 25 November 2008 Thompsons wrote to the
Scottish Government expressing concerns over certain aspects of the Bill. In
particular, it proposed amendments which would expressly limit its effect to
the law of delict. On 28 November 2008, Paul Allen, head of the Damages and
Succession Branch of the Constitution, Law and Courts Directorate, replied,
indicating:
"I appreciate the further consideration that you and your colleagues have given to these matters. Regrettably, however, we still perceive potential difficulties with what is suggested. As one example, we are concerned that there is a risk that, if we specify on the face of the Bill that its provisions are for the purposes of the law of delict, defenders may seek to argue that there is no read-across to other areas of law, eg. the interpretation of contracts. This could place a significant barrier in the way of many potential claimants, if it were argued that it leaves pursuers with a delictual claim against an employer that is not covered by the employer's insurance policy. It is a pity that a meeting to discuss such issues could not take place before amendments were lodged on 25 November, especially as the process of disclosing our concerns to the Committee may also result in those concerns being drawn to the attention of those who may wish to utilise them in opposing claims for compensation, contrary to our intention and yours. Of course, we will endeavour to avoid that consequence so far as possible, but it is not entirely in our hands."
[23] Before the
Justice Committee, the retrospective effect was described by a representative
of the insurance industry as "a worrying development" (Official Report, 2 September 2008, Col 1032). In his evidence, the Minister
stated that the Bill would meet its policy objectives "without making any undue
incursion into the general law of delict" (Official Report, 9 September 2008, col 1089) and stressed
"clearly for the record" that the Bill would "restore a right of action to
those who enjoyed that right before", not extend that right. (col 1093; see
also cols 1099, 1110). The retrospective effect of the legislation was, he
said, for the "clear and manifest purpose" of restoring the law to the position
it was in when the sisted claims were first raised: it did not contravene
Article 6 of the European Convention on Human Rights (col 1102). He confirmed
that the normal principles of jurisdiction would apply, restricting "forum
shopping" (col 1104). A no-fault compensation scheme had been considered, but
rejected, by the Scottish Government (cols 1107 - 1108). In its report, the
Justice Committee suggested that while the Bill represented "a departure from
the established principles of delict in Scotland", it did not generally
undermine that area of law, being restricted to asbestos related conditions (paragraph
85; see also paragraphs 111 - 112). It rejected an alternative approach based
on a publicly funded compensation scheme (paragraphs 87 - 97). It stated (at paragraph
86):
"The Committee recognises that pleural plaques have been regarded for 20 years as being compensatable within the envelope of the law, and believes that the Bill represents a proportionate response to the House of Lords judgment"
It did however seek clarification of whether the Bill would alter the way in which quantum of damages was established (paragraph 104).
[24] During the Stage
1 Debate, the Minister confirmed that the Bill did not address quantum, which
would remain a matter for the courts (Official Report, 5 November 2008, cols 1205 - 1206).
During consideration of the Bill by the Justice Committee at Stage 2 amendments which would have expressly
limited its effect to delict were proposed. In response, the Minister stated
(Official Report, 2 December 2008, at col 1471):
"I see the attraction of the idea that there should be an express reference to the law of delict; however, it is unnecessary. The Official Report already shows that the law of delict is our primary purpose. More important, such an idea could be unhelpful. Defenders may use it to argue that the legislation's scope had been narrowed so that it applied only to delictual matters, not to associated areas of law, and to frustrate the claims that we all want to facilitate. I know that that is not the intention of those who drafted the amendment, but I fear that that may be its effect."
The relative amendments were either withdrawn or not moved.
The issues in the reclaiming motion
[25] As already indicated, a number of issues arise
in this reclaiming motion. In summary, the reclaimers now challenge the
validity of the legislation on two bases. (An argument, rejected by the Lord
Ordinary, that the 2009 Act infringed article 6 of the Convention was not
insisted in by the reclaimers.) They maintain that the 2009 Act infringes
their rights under Article 1 of Protocol 1 of the Convention - "A1P1"- and is
hence outwith the legislative competence of the Scottish Parliament by virtue
of section 29 (2)(d) of the Scotland Act 1998. The reclaimers further contend
that as part of its supervisory jurisdiction the Court of Session may review
and reduce legislation passed by the Scottish Parliament on grounds such as
irrationality and that the 2009 Act is invalid on that account. The Advocate
General takes the standpoint that measures enacted by the Scottish Parliament
are susceptible of review on grounds other than those for which express
provision is made in the Scotland Act 1998, albeit that given the width of the
discretion inherent in the powers of the Parliament the occasions on which the
Court could ever intervene are likely to be rare indeed. On the other hand,
counsel for the Lord Advocate and counsel for the third to tenth respondents
contend that legislation of the Scottish Parliament may only be reviewed by the
Court on the grounds set out expressly in the Scotland Act 1998, to the
exclusion of any common law basis of judicial review. So far as the ultimate
merits are concerned, both contend that the 2009 Act cannot be said to be
irrational, or to infringe any right of the petitioners protected by A1P1.
[26] Additionally, questions are raised as to title
and interest to sue and to defend. First, it is argued on behalf of the Lord
Advocate and the third to tenth respondents respectively that the petitioners
lack title and interest to bring this petition for judicial review, that
contention involving the proposition that in so far as the petitioners invoke
A1P1 they are not victims within the sense of article 34 of the Convention. For
their part, the petitioners challenge the title and interest of the third to
tenth respondents to oppose the petition and hence, as already mentioned, they
also reclaim the decision of Lord Uist to allow those respondents to become opposing parties in the
proceedings.
[27] Given that
questions of title and interest to sue or to defend are generally seen as being
a preliminary matter, we think it appropriate first to consider that chapter of
the debate before us.
The petitioners' title and
interest
Victim status under article 34 of the Convention
[28] Counsel
for the third to tenth respondents submitted that the reclaimers had failed to
establish that they would be victims for the purposes of article 34 of the
Convention if these proceedings had been brought in the European Court of
Human Rights ("ECtHR") and had thus failed to satisfy the test of title and
interest, in so far as the challenge to the 2009 Act was based upon the claimed
incompatibility with Convention rights, that test being laid down by section
100 of the Scotland Act 1998. It was submitted on behalf of these respondents
that the Lord Ordinary had erred in concluding that the reclaimers had such "victim
status".
[29] In advancing that submission counsel
criticised the Lord Ordinary for failing, said counsel, to recognise that, in
determining victim status for the purposes of article 34, he was precluded
from pre-empting or going beyond Strasbourg jurisprudence. A distinction was to be drawn between
section 2(1) of the Human Rights Act 1998 on the one hand and
section 7(7) of that Act and section 100(1) of the Scotland Act on
the other hand. In section 2(1) of the Human Rights Act the obligation upon a
court or tribunal determining a question that had arisen in connection with a
Convention right was to take into account the Strasbourg jurisprudence. In contrast, in
proceedings in which it was alleged that a public authority had acted, or
proposed to act, in a manner incompatible with a Convention right, section 7(7)
of that Act provided that "a person is a victim of an unlawful act only if he
would be a victim for the purposes of article 34 of the Convention if
proceedings were brought in the European Court of Human Rights in respect of
that act." Section 100(1) of the Scotland Act 1998 similarly precluded a
person from bringing proceedings in a court or tribunal on the ground that an
act was incompatible with Convention rights "unless he would be a victim for
the purposes of Article 34 of the Convention ... if proceedings in respect
of the act were brought in the European Court of Human Rights." In its
judgment in Terem Ltd & Others v Ukraine App. no. 70297/01, 18 October 2005, the ECtHR observed:
"The concept of 'victim' in Article 34 must be interpreted autonomously and independently of domestic law concepts such as a capacity to bring or take part in legal proceedings."
Counsel submitted that, as the national courts have no margin of appreciation in this matter, the Court was obliged to follow and apply the established jurisprudence of this autonomous concept. The Lord Ordinary was precluded from developing the Strasbourg jurisprudence or adapting it to new situations encountered in the national sphere or by applying its case law to new situations by analogy.
[30] Counsel stressed that the reclaimers did not
have the status of being a party in a pleural plaques litigation. That was just
as relevant a factor as was the fact that a company had a separate legal
personality from its shareholders - cf Meltex Ltd v Armenia (2009) 49 EHRR 40. There
was no authority for the proposition that an insurer's separate personality
from its insured could be disregarded. Accordingly, the petitioners should be
treated in a similar manner to the shareholders, or sole shareholder, in a
company which had of course a separate legal personality. The reclaimers
equally had a separate legal persona from their insured. Moreover, even
if it were appropriate in certain cases to disregard the distinction between
insurers and their insured, the reclaimers did not aver any exceptional
circumstances justifying the making of such a distinction. In any event, it
was submitted that the Lord Ordinary had erred in concluding that the
reclaimers were directly affected by the 2009 Act, a necessary requirement for
qualification as a victim for the purposes of Article 34.
[31] In a submission which to an extent marched
in parallel with that of counsel for the third to tenth respondents, counsel
for the Lord Advocate criticised the Lord Ordinary's reasoning on the
reclaimers' title and interest. The view which the Lord Ordinary reached at paragraph
[59] of his Opinion that they had a "live, practical interest in the
subject-matter" and would be "materially affected by the outcome of
proceedings" paragraph, contradicted his later conclusion - at paragraph [195]
- that it remained unclear whether any specific insurance contract was engaged.
When challenging an Act of the Scottish Parliament, the locus standi of the
person advancing the challenge ought to be established from the outset of
proceedings (McCann v Attorney General for Northern Ireland
[1961] NI 102, per Lord Radcliffe at pages 127-128). It would be
unsatisfactory if the Act were declared unlawful but the insurance policies
issued by the petitioners were subsequently shown to be inapplicable. As there
was uncertainty whether any of the reclaimers' insurance contracts were
necessarily engaged, the Lord Ordinary could not be satisfied that the
reclaimers were directly affected by the legislation. On any view they were
only indirectly affected. The cross-appeal regarding lack of victim status
should be allowed.
[32] In reply the Dean of Faculty submitted that
the suggestion that the present petition involved an exercise in abstraction
was without merit. The reclaimers' rights were not the same as those of the
employers engaged in pleural plaques litigation whom they insured. If the
reclaimers were precluded from challenging, in their own right, the legality of
the legislation, it was not clear how an insurer's rights could be litigated.
Contracts of insurance usually allowed insurers to be subrogated to the
position of the employer in defending the claim by the employee, but that
subrogation would not allow insurers such as the reclaimers to raise in those
proceedings issues concerning the contravention of their own rights. An
employer against whom a decree awarding damages had been pronounced, and who
was faced with refusal by his insurer, would need to raise an action for
indemnity against that insurer. The difficulty with such a subsequent action
would be that the relevant employer would have a lawful interlocutor based on
an Act of the Scottish Parliament whose legality was disputed by the insurer.
The reclaimers' complaints in the present case concerned the terms and effects
of the 2009 Act, not its application in individual cases. Reference was made
to James v United Kingdom (1986) 8 EHRR 123, at paragraphs 35-36.
In any event, the four sample policies lodged in process gave a confirmatory
indication of the potential liabilities of the reclaimers in terms of contracts
entered into with employers. It was clear that the reclaimers were insurers
for the purposes of any claims which might arise. As the contracts involved
compulsory insurance for employers in terms of the Employers Liability
(Compulsory Insurance) Act 1969, any suggestion of exclusion clauses was
without merit. It was clear from the information before the Court that one of
the purposes of the 2009 Act, and not simply an incidental consequence of it,
was that claims under it should be funded by the reclaimers and other
insurers. The purpose of section 4(2) of the 2009 Act was to remove a
potential barrier to insurers, including the reclaimers, being responsible for funding
any successful claims. The proposition that the 2009 Act did not directly
engage the patrimonial interests of the reclaimers or was too remote in its
effect was unsustainable: it targeted them.
[33] In our view, while it may be important in
appropriate cases to recognise the distinction between section 2(1) and
section 7(7) of the Human Rights Act 1998, it is unnecessary for us to do
so in the context of this case in so far as it involves a challenge to
legislation passed by the Scottish Parliament on the basis that the legislation
infringes a Convention right. Such challenges are regulated by
sections 29 and 100 of the Scotland Act 1998. Section 100(1) imposes
a similar test for a litigant as that set by the provisions of sections 7(1)
and 7 (7) of the Human Rights Act 1998. The test in terms of
section 100(1) of the Scotland Act 1998 requires the Court to be satisfied
that the reclaimers would be victims for the purposes of article 34 if the
proceedings were brought in the ECtHR. We understand the submission advanced by
Mr O'Neill to the effect that satisfaction of that test may be a
different issue from the Court's simply being required, in terms of section 2
(1) of the Human Rights Act 1998, to take into account the Strasbourg
jurisprudence in proceedings in which the victim status for title to sue has
been satisfied. Having said that, we do not consider that the Lord Ordinary
erred in that regard. It is clear from paragraphs [48] and [49] of his Opinion
that the Lord Ordinary was aware of the correct test and sought to apply it.
Accordingly we reject any express or implied criticism of the Lord Ordinary in
that respect.
[34] A question respecting a party's title and
interest to sue is often determined as a preliminary issue and is a discrete
issue separate from the merits of the claim. At paragraph [59] of his
opinion the Lord Ordinary records that parties invited him to judge the
question of the reclaimers' title and interest as a preliminary issue. His
conclusions on that preliminary issue should be seen in that light. The
submissions on behalf of the Lord Advocate appeared in our view in some measure
to fail to acknowledge, as the Lord Ordinary recognised at paragraph [43]
of his Opinion, the distinction between a claim to be a victim of a breach of
Convention rights and the ultimate establishment of that claim - see Burden
v United Kingdom (2008) 47 EHRR 38, paragraph 27. In that
case, although the applicants satisfied the court that they qualified as
victims, they were unsuccessful on the merits of their claim.
[35] It is also to be noted that, having affirmed
that a person must be directly affected in order to claim to be a victim, the
ECtHR observed at paragraph 34 of its judgment in Burden v United Kingdom:
"It is, however, open to a person to contend that a law violates his rights, in the absence of an individual measure of implementation, if he is required either to modify his conduct or risk being prosecuted or if he is a member of a class of people who risk being directly affected by the legislation."
Thus, in a case in which the violation is said to lie in the terms of a particular legislative measure, it is sufficient to establish a claim to victim status that the person advancing that claim be "a member of a class of people who risk being directly affected by the legislation." In order to determine whether the reclaimers are members of such a class, and thus victims, we consider that the Lord Ordinary was correct to recognise that it was appropriate to look at the reality of the situation underlying the reclaimers' position, notwithstanding that a legal action by a pleural plaques claimant based on the 2009 Act would normally be raised against his or her allegedly negligent former employer or employers without the employers' liability insurer or insurers being convened as defenders. That reality was recorded by the Lord Ordinary in paragraph [60] of his Opinion as follows:
"Owing to the extended latency period for asbestos-related conditions, it is said that some former employers are in liquidation, and that others have gone out of business altogether. Some have even been struck off the Register of Companies and, as shell entities without directors, assets, accounts or trading activities, have had to be formally restored to that register in order to facilitate the constitution of claims. For practical purposes, especially in the case of companies in the latter situation, it is insurers such as the petitioners who respond to claims, negotiate settlements and at their own expense conduct or compromise any legal proceedings. It is the petitioners, and not their respective insured, whose solicitors are engaged to handle such matters. Under what is sometimes referred to as the 'step-in-clause' routinely found in employer's liability indemnity insurance policies (including those lodged as productions 6/65-68 in the present case), it is insurers who ex contractu (and as dominus litis) assert the right to take over the control and direction of legal proceedings and, if appropriate, to compromise or settle such proceedings on whatever basis they see fit. It is insurers who assume liability for the payment of any damages, interest or expenses which may be found or agreed to be due. It is insurers who, under the Third Parties (Rights against Insurers) Act 1930, may be directly convened as defenders once legal liability has been established against an insolvent insured, and who may then, in direct opposition to the injured party, re-open questions on the merits and qualification of his claim: cf Cheltenham and Gloucester plc v Sun Alliance & London Insurance plc 2001 SC 965, per Lord President Rodger at paragraphs 16-17. It is insurers who may, on effecting policy payments, exercise subrogation rights in the name of their insured. With such factors in mind, it seems to me that the petitioners' claimed involvement in pleural plaques litigation is demonstrably closer than the respondents were prepared to acknowledge."
Allied to these factors is the effect on the ability of insurers such as the reclaimers to challenge the legality of the legislation in actions of indemnity initiated by their insured against whom a decree for damages has been pronounced in favour of a pursuer having asymptomatic asbestos-related pleural plaques, asbestos-related pleural thickening or asbestosis. In such actions the issue before the court will be the entitlement of the insured to indemnity. The insurers may be precluded from challenging the validity of the 2009 Act, on the basis of which the pursuer in the substantive action obtained decree. In these circumstances, it seems to us to be clear that the reclaimers are within a class who may be directly affected by the legislation which they now challenge.
[36] We also reject the suggestion made by counsel
for the third to tenth respondents in the course of his submissions to the
effect that the reclaimers' complaints about the 2009 Act ought to be raised by
way of defence to individual pleural plaques actions. At a practical level such
an approach might result in a multiplicity of actions in which the validity of
the 2009 Act was put in issue, each of them involving the convening of the Lord
Advocate. But more importantly, since the reclaimers seek to challenge the
validity of the 2009 Act inter alia on the ground that it infringes their
rights underA1P1, it is doubtful whether that issue could relevantly be raised,
far less determined, in an action of reparation by an employee against his
former employer or employers. In such an action the court would not be concerned
to inquire into the effect upon third parties - the employers' insurers - of any
decree in favour of the pursuer. Although it is conceivable that the former
employer or employers of the pursuer might seek to challenge the legality of
the 2009 Act on analogous or other grounds, they would have no title to
challenge its legality on the ground of an alleged breach of the protection of
their insurers' right of property afforded by A1P1. In any event, the
reclaimers take issue with the legality of the 2009 Act and, in particular,
whether it is compatible with the Convention. In these circumstances the Court
should be concerned with that issue rather than the effect of the legislation
upon a multiplicity of actions of reparation. The present situation is not
dissimilar from that in James v United Kingdom, which was concerned with
a challenge to the general effect of legislation, namely the compulsory
transfer of property to tenants exercising rights under the Leasehold Reform
Act 1967. In that case the ECtHR stated:
"35. The applicants maintained that since their grievance concerned in substance the effect of the legislation on the ownership of specific properties formerly belonging to them, each individual act of enfranchisement before the Court should be examined on its merits for compliance with Article 1.
In its report, the Commission rejected this approach. It noted that the particular matters of which the applicants complained resulted from transactions between private individuals for which the United Kingdom was responsible qua legislator but not otherwise. For the Commission, although account must be taken of the practical effects of the legislation, the essential issue for decision is whether the respondent State has breached the applicants' rights under the Convention by empowering tenants to acquire their property on the terms and conditions laid down in the legislation; and this issue has to be determined by considering whether the legislation is compatible with the Convention rather than by separate scrutiny of the individual transactions.
The Government adopted the same approach as the Commission.
36. The Court has frequently stated the principle that, without losing sight of the general context of the case, it must, in proceedings originating in an individual application, confine its attention, as far as possible, to the concrete case.
In the present case, however, the essence of the applicants' complaint is directed against the terms and conditions of the contested legislation. It does not relate to the manner of execution of the law by a State authority, be it administrative or judicial. Indeed, one of the applicants' criticisms was that the legislation does not allow scope for discretionary and variable implementation according to the particular circumstances of each individual property. The Court must therefore, like the Commission, direct its attention primarily to the contested legislation itself, in order to determine whether that legislation is compatible with Article 1 of Protocol No.1.
This does not mean that the Court will examine the legislation in abstracto. The individual enfranchisements complained of are illustrative of the impact in practice of the reform it introduced and, as such, material to the issue of its compatibility with the Convention. In this respect, the consequences of application of legislation such as occurred in the 80 specific transactions before the Court are to be taken into account.
The Court will accordingly consider the applicants' claims on the basis of the above approach."
We consider that it is appropriate to adopt a similar approach in this case, since we are likewise concerned with a complaint directed against the general effect of the terms of contested legislation. Such an approach should ensure that any legitimate concerns of the reclaimers about the legality of the 2009 Act are fully addressed.
[37] For completeness we would also record that
we do not consider to be apposite the analogy sought to be drawn by counsel
for the third to tenth respondents between, on the one hand, an employer's
liability insurer and its insured and, on the other hand, a company and its
shareholder or shareholders. As is apparent from the passage at paragraph [60]
of the Lord Ordinary's Opinion, which we have already quoted, the involvement
of insurers in litigation over pleural plaques claims is of a different nature
from the involvement of shareholders in a company, even where one shareholder
is, in effect, the sole owner of the company. That difference, put briefly, is
that in the present case one is not concerned with the underlying interests of
participants as shareholders in a given juristic person, but with the
patrimonial interest of a discrete juristic persona or entity, namely
the insurer, to whom, as the reclaimers argue, the legislation was plainly
directed. Nor do we consider it to be detrimental to the reclaimers'
submissions that there is apparently no authority in the Strasbourg jurisprudence for the
proposition that an insurance company can be a victim in respect of an act that
might also adversely affect its insured. We agree with the Lord Ordinary when
he observed in the course of paragraph [76] of his Opinion:
"... it is relevant to note that courts both north and south of the border have recently felt free to reach their own decisions on admissibility notwithstanding the absence of any express ruling by the Strasbourg Court on the point at issue. For example, in a number of cases concerning the lawfulness of legislation designed to prohibit foxhunting with dogs, UK courts appear to have had no difficulty in accepting the admissibility of certain individuals' Convention claims even though the Strasbourg Court had never addressed the question whether (i) an organisation campaigning on rural issues or (ii) farmers, landowners, managers of fox-hounds and a wide range of other individuals were directly affected by the proposed legislative ban: cf. Whaley v Lord Watson [2000 SC 340]; Adams v Advocate General for Scotland and Others 2003 SC 171 and 2004 SC 665; the Countryside Alliance [[2007] UKHL 52; [2008] 1 AC 719] case; and Whaley v Lord Advocate [[2007] UKHL 53; 2008 SC (HL) 107]. The simple answer, in my view, is that Strasbourg has laid down various broad principles to be applied in determining issues of admissibility under article 34, and it is then for national courts to have regard to these principles in judging the circumstances of each individual case."
[38] As the Lord Ordinary thus observes, the answer
to the question whether there is the requisite victim status will depend on the
particular circumstances of any case. In the present case, for the reasons
already given, we are satisfied that the reclaimers are within a class who may
properly be said to be directly affected by the 2009 Act. That is, in our view,
sufficient to establish their victim status. We do not consider that reaching such
a conclusion amounts to a development of Strasbourg jurisprudence by applying its case
law to new situations. Rather, it is the result of an application of the Strasbourg jurisprudence to the
particular facts of this case, which directs us to the conclusion that the
reclaimers satisfy the test of victim status under article 34. In these
circumstances we agree with the submissions of the Dean of Faculty to the
effect that the Lord Ordinary was correct to conclude that the reclaimers had
the requisite elements of title and interest to enable them to have "victim"
status in terms of article 34 of the Convention and thus to pursue their challenge
to the 2009 Act under A1P1
Title and interest for a "common law" challenge
[39] Counsel
for the third to tenth respondents also questioned the Lord Ordinary's
conclusion that the reclaimers had title and interest to pursue their grounds
of complaint at common law by way of petition for judicial review. Counsel
submitted that at paragraph [57] of his Opinion the Lord Ordinary
formulated a new test for title and interest to sue in Scots law which was at
variance with the Opinion of Lady Smith in Forbes v Aberdeenshire Council [2010] CSOH 1. At paragraph [57] the Lord Ordinary stated:
"Against that background the domestic rules [on title and interest to sue] may, like Article 34 of the Convention, be seen as intending to exclude access to the courts where a pursuer's interest in, or connection with, the subject-matter of a proposed litigation is remote, tenuous, academic or theoretical. Mere busybodies should not be permitted to take up court time, and cause expense to others, where the matters in issue, and indeed the outcome of proceedings, would not practically affect them in any relevant manner. In certain contexts, no doubt, as mentioned by Lord Dunedin in his speech in Nicol [D & J Nicol v Dundee Harbour Trustees 1915 SC (HL) 7], a pursuer must be able to identify some specific legal status or relationship to serve as the basis for court action. Only a contracting party, for example, can ordinarily sue on, or for breach of, a contract; prima facie it is only trustees who have the right to pursue claims relative to trust property; and only an injured party, to the exclusion of relatives, employers, business associates and the like, can claim damages for negligence. But in other cases, especially those with a public law element, the qualifying relationship may be of a rather broader and more general nature as illustrated by the authorities to which I have referred. Accordingly, where a party's personal, social, political, economic or proprietary interests are demonstrably affected by some real (as opposed to merely academic or theoretical) public law issue or grievance, then as a general rule he will be held to have title to raise proceedings for judicial review in that connection."
In contrast, it was submitted, in Forbes v Aberdeenshire Council Lady Smith favoured a stricter approach to what she regarded as the long-established and incontrovertible principle of title and interest which applied in judicial review applications questioning the legality of measures of general effect. In particular reliance was placed by counsel upon Lady Smith's observations at paragraph [17] to the following effect:
"It is trite that a party to an action must have both title and interest. Title may be said to involve being a party to some formal legal relationship which gives him some right against the other party. In this case the petitioner founds on the fact that she is a member of the public who lives in the locality of the sand dunes. So far as interest is concerned, the authorities in Scotland support the description provided in paragraph 4.29 of Macphail: Sheriff Court Practice:
'Some benefit from asserting the right with which the action is concerned or from preventing its infringement'.
To put it another way, the individual who seeks to challenge a grant of planning permission such as is concerned here must be able to show that she is affected by it in some identifiable way."
Counsel submitted that it was difficult to reconcile the approach taken in these cases. In particular, if Lord Emslie's approach was correct, Lady Smith's doubts in Forbes v Aberdeenshire Council about the petitioner's title and interest in that case were misplaced.
[40] The submission contains two criticisms of
the Lord Ordinary. The first is that he formulated a new test for title and
interest to sue in Scots law. In our view, it is important to bear in mind the
context in which the Lord Ordinary made the comments quoted above. They were
concerned with the question of title and interest in a petition involving a
matter of public law. Furthermore it is clear from the opening phrase of the paragraph
that the Lord Ordinary made his observations against a background of
considering prior to paragraph [57] a number of authorities to which he
had been referred. The authorities cited by the Lord Ordinary, in his opinion,
supported the general proposition that "questions of title and interest should
be approached on a broad, pragmatic basis." In D & J Nicol v Dundee
Harbour Trustees the pursuers did not have title as trade competitors to
challenge the actions of the harbour trustees which allegedly harmed the
pursuers' business, but they were permitted to sue in their capacity as harbour
ratepayers and as such entitled to insist on a proper exercise by the trustees
of their duties. The speech of Lord Dunedin in that case, to which the Lord
Ordinary refers, includes the following passage at page 12 of the report
of that speech:
"By the law of Scotland a litigant, and in particular a pursuer, must always qualify title and interest. Though the phrase 'title to sue' has been a heading under which cases have been collected from at least the time of Morison's Dictionary and Brown's Synopsis, I am not aware that anyone of authority has risked a definition of what constitutes title to sue. I am not disposed to do so, but I think it may fairly be said that for a person to have such a title he must be a party (using the word in its widest sense) to some legal relation which gives him some right which the person against whom he raises the action either infringes or denies ...".
From that passage in Lord Dunedin's speech it is clear that he did not seek to provide a comprehensive definition of title but favoured a broad approach. This enables anyone who can qualify as a party in the widest sense of that word to seek to vindicate by litigation the rights which he or she claims. We also refrain from seeking to formulate a definition of title and are content to have as our starting point the above observations of Lord Dunedin. As can be seen from the authorities mentioned below and relied upon by the Lord Ordinary, that approach is consistent with decisions subsequent to D & J Nicol v Dundee Harbour Trustees in which the court has been confronted by developments in the law, particularly public law.
[41] In Wilson & Others v Independent
Broadcasting Authority 1979 SC 351 the Lord Justice Clerk (Ross) observed
at page 356:
"... I see no reason in principle why an individual should not sue in order to prevent a breach by a public body of a duty owed by that public body to the public. It may well be that the Lord Advocate could be a petitioner if the interests of the public as a whole were affected ..., but I see no reason why an individual should not sue provided always that the individual can qualify an interest."
The Lord Ordinary also noted the observations of Lord Clarke in Rape Crisis Centre v Secretary of State for the Home Department 2000 SC 527 as another indication of the Court's approaching the issue of title and interest to sue on a broad and flexible basis in a petition for judicial review. Lord Clarke observed that although the dictum of Lord Dunedin quoted above had stood the test of time it pre-dated the development of administrative law and judicial review in recent decades. In those circumstances Lord Clarke stated, at page 534, that the "key elements, therefore, of the dictum, namely 'some legal relation which gives him some right which the person against whom he raises the action either infringes or denies' must be given a content and a meaning which keep them abreast with those developments." Lord Clarke went on to observe that it was insufficient to suggest that the public interest in ministers acting lawfully, by itself, conferred on every member of the public a right to challenge a minister's actions and he continued:
"Matters must go further, in my judgment, and the individual or body seeking to challenge the Minister's act or decision must show that having regard to the scope and purpose of the legislation, or measures, under which the act is performed, or the decision is made, he or they have had such a right conferred upon them by law, either expressly or impliedly."
Moreover, Lord Clarke considered that the approach of the Lord Justice Clerk in Wilson v Independent Broadcasting Authority was similar to that applied by Lord Clyde in Scottish Old People's Welfare Council, Petitioners 1987 SLT 179. In that case, in the context of benefits conferred by social security legislation, Lord Clyde said at page 185:
"The purpose of the legislation is to make state benefit available to any member of the public who may qualify for it and it is not unreasonable to see the duty of the proper administration of the legislation as a duty owed to the public. On that basis it can be concluded that any member of the public has at least a title to sue and the only question remaining would be whether he has an interest to do so."
On the basis of these authorities we consider that in passing legislation the Scottish Parliament has a duty to members of the public to act in conformity with the law. As the Lord Justice Clerk observed in Wilson v Independent Broadcasting Authority, we see no reason why an individual member of the public who is adversely affected by the legislation cannot challenge such legislation, provided always that he or she can qualify an interest to do so.
[42] As is apparent from the above authorities,
to which he referred, the Lord Ordinary was not, in our view, formulating a new
test for title and interest to sue in Scots law. Rather he was recognising the
development of the test enunciated by Lord Dunedin, who himself recognised the
difficulty of providing a definition setting precise or fixed boundaries and
specifically disavowed any intention of doing so. Of necessity, the concept of
title to sue requires to be sufficiently flexible to accommodate developments
in the law, while at the same time restricting rights of action to those with a
real and legitimate interest to protect. As a generality, in matters of public
law it may not be particularly difficult to establish title to challenge the
legality of an administrative act but it will usually be more difficult to
establish some real and practical interest. As the Lord Ordinary recognised,
the courts in Scotland have in the past excluded
parties where their interest is remote, tenuous, academic or theoretical.
[43] The second criticism of the Lord Ordinary's
conclusion that the reclaimers had title and interest at common law to
challenge the legislation - which in some respects overlaps with the first -
was based upon an alleged disparity between the approach adopted by the Lord
Ordinary and that followed by Lady Smith in Forbes v Aberdeenshire
Council. In that case the petitioner sought interim suspension of
planning permission for work on sand dunes and interim interdict against
the grantees of the permission from acting upon, or otherwise implementing,
that planning permission. The petitioner lived in a mobile home, situated
about one kilometre from the sand dunes, which were not visible from that
home. The petitioner had not objected to the developer's application for
planning permission and raised her petition as an individual and not in a
representative capacity. Senior counsel for the petitioner in that case (Mr O'Neill),
relied upon the Aarhus Convention and the Council Directive of 27 June
1985 (85/337/EEC) as amended by Council
Directive 2003/35/EC of 26 May 2003 in support of his contention
that the petitioner had a title and interest to pursue the remedies sought by her.
However, as the Lord Ordinary in that petition recognised, it is clear from
their terms that the Aarhus Convention and the Council Directive are intended
to ensure that members of the public "having a sufficient interest" have access
to a judicial review procedure. Neither of those innovate upon our domestic
law of title and interest. As Lady Smith stated at paragraph [15]:
"... neither the Convention nor the Directive require Member states to regard each and every one of their citizens as having a sufficient interest in every environmental issue which arises."
As with many legal concepts, issues of title and interest are fact sensitive. The petitioner in Forbes v Aberdeenshire Council did not reside adjacent to the development site; she could not see it from her mobile home; she had not objected to the planning application; and she was not acting in a representative capacity on behalf of a group who had title and interest to pursue the action for judicial review.
[44] In the passage quoted above from paragraph [17]
of Lady Smith's Opinion, we note that
in the second sentence Lady Smith slightly reformulated Lord Dunedin's well-known dictum
concerning title , by referring to a requirement to "being a party to some
formal legal relationship which gives him some right against the other party."
For our part we would not have introduced the word "formal" into the
requirement of a legal relationship. If the use of that word is intended to
convey a relationship constrained by legal formalities, excluding the rights of
a member of the public qualified to challenge an executive act by reason of his
or her membership of a class affected by such an act, such a restriction would
appear to be contrary to authority (Wilson v Independent Broadcasting
Authority; Scottish Old People's Welfare Council, Petitioners ).
Moreover, such restriction would be incompatible with the recognition by Lord
Dunedin that the word "party" should be used "in its widest sense" and also
with the need for flexibility recognised by Lord Clarke in Rape Crisis Centre v Secretary
of State for the Home Department to enable the concept of title to sue to
accommodate developments in the law. On the other hand, the terminology used
by Lady Smith might be construed as
meaning no more than that there should be a legal relationship conferring
rights upon the individual who wishes to vindicate these rights by litigation.
So construed, Lady Smith's definition would be consistent with the broad
flexible approach mentioned by the Lord Ordinary and would include members of
the public deriving their rights to litigate from an unlawful administrative
act where they have a real interest to invoke the supervisory jurisdiction of
the court.
[45] However, even if it were accepted that Lady Smith's definition was too
narrowly formulated, we do not agree with the suggestion made by
Mr O'Neill to the effect that Lady Smith's "expressed doubts" in Forbes v
Aberdeenshire Council over the petitioner's title and interest in that case
appeared to be misplaced. The circumstances of that case were such that,
applying the test enunciated by the Lord Ordinary, the inevitable conclusion was
that the petitioner in Forbes v Aberdeenshire Council had no
sufficient title and interest to pursue her application for judicial review.
[46] In these circumstances we have come to the
conclusion that, having been invited to address the matter as a preliminary
issue, the Lord Ordinary rightly reached the view that, were it open to the
reclaimers to challenge the validity of the 2009 Act on some ground other than
those expressly contemplated by the Scotland Act 1998, the reclaimers had
advanced sufficient title and interest to do so. We do not accept the
criticisms of his conclusion on that matter which were advanced by the respondents.
But before turning to the important issue whether it be open to the reclaimers
to advance such a challenge, it is however convenient in this chapter of this
Opinion - related to issues of title and interest - next to consider the
reclaimers' challenge to the title and interest of the third to tenth
respondents to enter the process as defending parties.
Title and interest of the
third to tenth respondents
[47]
As already narrated, the third to tenth respondents entered the process
following the interlocutor pronounced by Lord Uist on 8 May 2009 in the exercise of his
discretion under Rule 58.8(2) of the Rules of the Court of Session. Lord
Uist refused leave to reclaim against that interlocutor. However, this
reclaiming motion has the effect of submitting to the review of the Inner House
all previous interlocutors in the case (Rule of Court 38.6(1)). Thus the
reclaimers invite us to review that interlocutor of 8 May 2009.
[48] In his submissions on this branch of the
argument the Dean of Faculty referred at the outset to the terms of Rule of
Court 58.8(2), which we repeat for convenience:
"(2) Any person not specified in the first order made under rule 58.7 as a person on whom service requires to be made, and who is directly affected by any issue raised, may apply by motion for leave to enter the process; and if the motion is granted, the provisions of this Chapter shall apply to that person as they apply to a person specified in the first order."
The Dean of Faculty noted that the clause "and who is directly affected by any issue raised" was inserted into this Rule of Court by paragraph 2(2) of the Act of Sederunt (Rules of the Court of Session Amendment No.5) (Public Interest Intervention in Judicial Review) 2000 (SSI 2000 No.317). That Act of Sederunt also added a new rule, namely Rule 58.8A, which provides that a person to whom Rule 58.8(2) does not apply may make an application to the court for leave to intervene in a petition for judicial review. The court may grant leave to intervene in terms of Rule 58.8A only if it is satisfied as to the matters specified in Rule 58.8A(6), namely that the cause, and the issue in the cause which the applicant wishes to address, raise a matter of public interest; that the propositions to be advanced by the applicant are relevant to the cause and likely to assist the court; and that the intervention will not unduly delay or otherwise prejudice the rights of the parties, including their potential liability for expenses. Further, in terms of Rule 58.8A(8) the intervention is normally in the form of a short written submission. In this case the Counsel General to the Welsh Assembly Government sought and was granted leave to enter the process under Rule 58.8A and lodged a written submission.
[49] The Dean of Faculty made plain that the
reclaimers would have had no objection to the third to tenth respondents
entering the process as interveners pursuant to Rule 58.8A but the
reclaimers objected to their being allowed to enter the process under
Rule 58.8(2). He reminded the Court that Rule 58 replaced
Rule 260B in an earlier version of the Rules of the Court of Session.
Rule 260B in that version had itself been introduced by an amending Act of
Sederunt. It was a procedural amendment which did not and could not alter the
substantive law (West v Secretary of State for Scotland 1992 SC 385, at p 404). Similarly the amendments to Rule 58 introduced by the Act
of Sederunt in 2000 could only regulate matters of procedure. Thus the words
"directly affected" had to be construed and applied consistently with the
underlying substantive law. Section 7 of the Human Rights Act 1998
modified the substantive law by providing that, in the context of judicial
review proceedings in Scotland raising an issue under the Convention, an
applicant is deemed to have title and interest to sue only if he is, or would
be, a victim of the act of which complaint was made. The term "victim" bore
the same meaning for this purpose as it bore in the jurisprudence of the Strasbourg court concerning article 34
of the Convention. Thus a person claiming to be "directly affected" and
seeking leave to enter the process, required to show that he was or would be a
victim of the measure in question. It was submitted that such an
interpretation of the Rule of Court accorded with the fact that the amendments
to Rule of Court 58.8 came into force on 2 October 2000, the date on
which the Human Rights Act 1998 itself entered into force throughout the United
Kingdom. The third to tenth respondents were not victims directly affected in
terms of article 34; they were beneficiaries of an unlawful act by the
Scottish Parliament and had no title and interest to enter the process to
defend the legislation. They were in no different position from any other person
suffering from pleural plaques. Parties were aware of 567 cases of
pleural plaques. If it were appropriate to allow the third to tenth
respondents to enter the process as parties, the same should apply to the other
559 persons in a similar position. The public interest in defending the
legislation was served by the Lord Advocate, although others might be permitted
to enter the process as interveners by virtue of Rule of Court 58.8A.
[50] In the alternative the Dean of Faculty
submitted that if "directly affected" was not to be equiparated with the test
for victim status under article 34, it must be construed in accordance
with the ordinary principles of title and interest. Unlike the petitioners,
the third to tenth respondents could not derive title in this case from the
duty of the Scottish Parliament to act in conformity with the legal limits on
its competence. As these respondents maintain that the Scottish Parliament has
acted within its powers, no legal relation to which they are a party had been
infringed or denied. The Lord Ordinary had erred in respect that he appeared
to conflate interest and title. In paragraph [84] of his Opinion the Lord
Ordinary accepted the proposition that these respondents were entitled to enter
the process because "valuable claims would be lost" if the reclaimers' attack
on the validity of the Act were to succeed. On the contrary, if the reclaimers
were successful, the respondents would lose nothing. They would retain any
common law right that they might have. If the Act is not law because it is in
breach of the reclaimers' Convention rights or is otherwise a nullity on common
law grounds, these respondents could not maintain that they are being deprived
of anything. The alleged statutory basis of their action was legally
non-existent. The only relevant interest in affirming the validity and
legality of legislation passed by the Scottish Parliament rested with the law
officers, who are the proper contradictors subject to the limited right of
intervention envisaged by Rule 58.8A - see Adams v Advocate
General for Scotland 2003 SC 171. If the validity of an Act of
the Scottish Parliament were challenged in an action of damages pursuant to its
provisions, the action would require to be intimated to the Advocate General
and to the Lord Advocate, either or both of whom might participate as a party
in the proceedings so far as they relate to a devolution issue (Scotland Act
1998, schedule 6, paragraphs 5 and 6). Thus in the context of an
ordinary action for damages, the proper party to defend the validity of an Act
of the Scottish Parliament was one or both of the law officers, as opposed to a
party seeking to rely upon advantages conferred on him by its terms.
[51] In response, counsel for the Lord Advocate
submitted that the third to tenth respondents were "directly affected" by the
issues raised in the petition and were thus entitled to seek entry to the
process by virtue of Rule of Court 58.8(2). That rule did not involve the
same test as that which would apply to title and interest to sue at common
law. Rather it was concerned with persons having an interest to defend an
action. If the reclaimers were successful, the third to tenth respondents
would lose their right to seek compensation following a diagnosis of pleural
plaques. Counsel for the Lord Advocate also submitted that the rule was not
restricted to permitting parties to defend their Convention rights. It was a
general rule, having application in petitions for judicial review generally.
Access to the court under Rule 58.8(2) was not granted as of right. The Court
had a discretion and if a large number of individuals sought to enter the
process a Lord Ordinary faced with such applications could restrict their
number by permitting a representative selection to enter the process as
parties.
[52] For his part, counsel for the third to tenth
respondents submitted that those respondents were entitled to enter the
proceedings. The 2009 Act provided the basis for their actions of damages in
respect of pleural plaques and they were thus, in the terminology of Rule of
Court 58(2), "directly affected" by an issue raised in the petition. Contrary
to the Dean of Faculty's submissions, one should assume that the Act was
valid. The reclaimers confused title and interest to pursue an action or to
make an application for judicial review with entitlement to defend an action or
to respond to such an application. Potential detriment, particularly the loss
of a statutory right, provided the latter entitlement. In that respect counsel
referred to Norwich Union Life Insurance Society v Tanap Investments
UK Ltd 2000 SC 515, per Lord Prosser at p 525; and to Zurich General
Accident & Liability Insurance Company v Livingston 1938 SC 582, per Lord
Moncrieff at p 590. The inherent jurisdiction of the Court of Session
would also have permitted these respondents to enter the proceedings. The
number of individuals afforded access to proceedings in terms of Rule 58.8(2) was
at the Court's discretion. The words "directly affected" in that rule did not
equiparate to a party with "victim status" in terms of article 34 of the
Convention. The concept of victim status was first introduced by the Scotland
Act 1998 which came into force in May 1999, prior to the amendment of the Rule
of Court and the entry into force of the Human Rights Act 1998 in October 2000. If
necessary, these respondents could be considered victims in terms of article 34:
their participation was aimed at ensuring a fair trial in their actions (article 6
of the Convention) and securing their right to seek compensation under the 2009
Act.
[53] We begin our consideration of the competing
submissions on this branch of the argument in the reclaiming motion by
observing that the historical background to the introduction of the procedural
form of remedy by way of petition for judicial review in Scotland is
conveniently summarised in the Opinion of the Court delivered by the Lord
President (Hope) in West v Secretary of State for Scotland. It
is unnecessary for us to rehearse it. Against that background, the Act of
Sederunt (Rules of Court Amendment No.2) (Judicial Review) 1985 (S.I. 1985
No.500) introduced, by virtue of Rule of Court 260B, new procedures for
making an application to the supervisory jurisdiction of the Court of Session
for judicial review of administrative acts or decisions. In 1994 the Rules of
Court then existing were replaced by the rules brought into force by the Act
of Sederunt (Rules of the Court of Session 1994) 1994 (S.I. 1994 No.1443). As
was observed by the Dean of Faculty, Rule 58.8 is derived from
Rule 260B, which it replaced. The Act of Sederunt (Rules of the Court of
Session Amendment No.5) (Public Interest Intervention in Judicial Review) 2000
(S.S.I. 2000 No.317) came into effect on 2 October 2000 and amended
Rule of Court 58.8(2) by the insertion of the phrase "and who is directly
affected by any issue raised" after the words "to be made" occurring on
line 2 of the rule (SSI 2000 No.317 paragraph 2(2)).
[54] While the phrase "[a]ny person ... who is
directly affected by any issue raised" comprehends a wide range of persons if
considered in isolation, we are of the view that its construction in the
context of Rule of Court 58.8(2) is constrained by the substantive law on
title and interest. The Act of Sederunt which introduced the provision was
concerned with the regulation of procedure and did not alter the substantive
law. An Act of Sederunt is incapable of doing so - see West v Secretary
of State for Scotland, at p 404. Thus the amendment to
Rule 58.8(2) giving a person "directly affected by any issue raised" the
right to apply to the Court for leave to enter the process would undoubtedly
apply to a person who could satisfy the Court that, in addition to the
petitioner, he was also adversely affected by the act complained of and as such
had a title and interest to impugn the same act or decision and, further, that
it would be expedient that he be a party to the proceedings. Rule 58.8(2)
thus regulates the procedure whereby such a party may enter the process. But in
our view it does not, and could not, create a title to sue or to defend in a
person who did not have such a title otherwise. By way of example, a situation
inviting use of the procedure provided in Rule 58.8(2) or in Rule 58.8A
could arise in the context of judicial review of a decision of a local planning
authority granting a planning application. If a local authority granted
planning permission to a developer who had failed to comply with the
requirement to intimate the application to a neighbour entitled to receive such
intimation, thereby depriving the neighbour of the opportunity to object to the
application before it was granted, that neighbour would have a title and an
interest to petition for judicial review of the decision of the local
authority. Such a petition would be served upon the local planning authority
and upon the developer, who made the application for planning permission, as
the principal parties involved in the allegedly unlawful act. The local authority
would have title and interest to answer the petition and thereby seek to defend
its decision; the developer as applicant for the grant of the permission would
also have title and interest as a party. The local planning authority's right,
and the developer's right, to defend derives from Rule of Court 58.8(1) as
persons to whom the petition required to be intimated. However, if there were
other neighbours who also did not receive the intimation of the making of the
application for planning consent to which they were entitled and whose
interests would be adversely affected by the development, on becoming aware of
the petition such neighbours - although not parties upon whom the petition
required to be served - could apply to the court for leave to enter the process
in terms of Rule of Court 58.8(2) because they would also be directly
affected by the decision of the local planning authority to grant planning
permission. Other persons or organisations, who were not adversely affected by
the decision to grant planning permission, either because they were not
entitled to notification or because they were in favour of the development, might
nevertheless wish to enter the process to make representations about the
alleged unlawful act. Such representations might be in favour of the decision
of the local authority or adverse to it. In either event they would require to
rely upon Rule of Court 58.8A and to seek to persuade the court that they
should be permitted to intervene to make representations about an issue of
public interest arising in the case. The amendment to Rule of
Court 58.8(2) and the introduction of Rule of Court 58.8A thus
achieve a reasonable balance to respect the interests of all concerned.
[55] In our view, before the third to tenth respondents
may rely upon Rule of Court 58.8(2) allowing them to enter the process as
a party, rather than an intervener under Rule of Court 58.8A, they must be able
to demonstrate such an interest as would entitle them to enter the process as
such a party. In that regard counsel on their behalf submitted that as pleural
plaque claimants, or potential claimants, they had a right to defend the
legality of the 2009 Act since that was the statutory basis for their claims
for damages. That submission contains within it the proposition that, in a
challenge to the validity of a legislative norm, all beneficiaries, and all of
those who perceive themselves to be potential beneficiaries, of a legislative
act are entitled to be convened as respondents, in addition to the authority
which passed the legislative act or those charged with defending its legality
(in this case the Lord Advocate). Apart from Norwich Union Life Insurance
Society v Tanap Investments UK Ltd and The Zurich General
Accident & Liability Insurance Company Ltd v Livingston counsel for the third to
tenth respondents did not refer to any authorities in support of the
proposition inherent in the submission. For our part, we do not consider that
either of those decisions establishes that that proposition is sound. In Norwich
Union Life Insurance Society v Tanap Investments UK Ltd the court
was concerned with the interpretation of sections 8 and 9 of the Law
Reform (Miscellaneous Provisions) (Scotland) Act 1985 in connection with the
rectification of documents. In delivering the Opinion of the Court, Lord
Prosser explained the protection afforded by section 9 to certain persons
as follows:
"Put broadly, the section applies to a person where there has been reliance on the terms of the document in question with the result that that person's position has been materially affected. If there is such a person, sec 9(1) provides substantial protection for him: rectification will only be ordered if his interests would not be adversely affected to a material extent or if he has consented." (Paragraph [14])
Although the second defenders failed to satisfy that test because they had not relied upon the terms of the document in question, nevertheless the Court concluded that the possible adverse effect on those defenders could be a relevant factor in the exercise by the Court of its discretion under section 8 of the 1995 Act whether to allow rectification or not. Such a conclusion is not difficult to understand, involving as it did the construction of the relevant statutory provisions, which did not expressly or by implication remove the defenders' right to defend their patrimonial interests. The consequence of rectification of the agreements in that case might well have adversely affected the postponed security held by the second defenders over heritable property. In Zurich General Accident & Liability Insurance Company Ltd v Livingston the court was concerned with the interpretation of section 10 of the Road Traffic Act 1934. Section 10(1) required insurers, subject to the provisions of that section, to satisfy judgments against persons insured by them in respect of third party risks "notwithstanding that the insurer may be entitled to avoid or cancel, or may have avoided or cancelled, the policy." Section 10(3) provided inter alia:
"No sum shall be payable by an insurer under the foregoing provisions of this section, if, in an action commenced before, or within three months after, the commencement of the proceedings in which the judgment was given, he has obtained a declaration that, apart from any provision contained in the policy, he is entitled to avoid it on the ground that it was obtained by the non-disclosure of a material fact, or by a representation of fact which was false in some material particular ... Provided that an insurer who has obtained such a declaration as aforesaid in an action shall not thereby become entitled to the benefit of this subsection as respects any judgment obtained in proceedings commenced before the commencement of that action unless before or within seven days after the commencement of that action he has given notice thereof to the person who is the [pursuer] in the said proceedings specifying the non-disclosure or false representation on which he proposes to rely, and any person to whom notice of such an action is so given shall be entitled ... to be made a party thereto.".
The pursuers raised an action against their insured for declarator in terms of section 10(3) of the Act in respect of an alleged non-disclosure of a material fact and of an alleged representation of fact which was false in a material particular. Third parties, who had not commenced proceedings against the insured before the raising of the action of declarator, sought leave to be sisted as defenders. The Lord Ordinary refused the crave of the minute on the basis that a statutory title was conferred only upon persons who had been notified of the proceedings, namely parties who had already commenced actions against the insured prior to the commencement of the action of declarator, and the minuters did not qualify in that regard. The court allowed the reclaiming motion against that decision on the basis that section 10(1) conferred upon a third party a statutory but contingent right against insurers of motorists in respect of third party risks. That right subsisted prior to the commencement of an action for damages against the insured motorist. On that basis the party enjoying such a right had a common law title and interest to be heard in proceedings designed to defeat his statutory right by the insurers invoking the statutory exception (Lord President Normand at page 587; Lord Fleming at page 589; Lord Moncrieff at pages 589/590). At page 590 Lord Moncrieff stated:
"It seems to me quite unanswerable that a person, whose statutory right may be taken away by a process of law, should, before his statutory right is taken away, be entitled to be heard as a proper defender against the conflicting claim."
Superficially the observations of Lord Moncrieff might appear to assist the third to tenth respondents. However, they require to be considered in the context of legislation, the legality or validity of which was not in dispute, which undoubtedly conferred upon third parties a right to recover damages from insurers of a motorist for the latter's delict. That right against the insurers could only be defeated if the insurers obtained a declarator in terms of section 10(3) of the Road Traffic Act 1934. Although the statute obliged insurers to intimate any action of declarator to parties who had commenced proceedings against their insured, third parties who had suffered loss as a result of the delict of the insured clearly satisfied the common law test for title and interest to vindicate their rights. In both of the cases cited by Mr O'Neill in his submissions for the third to tenth respondents, the Court was thus concerned with a question of statutory construction and the extent to which existing rights, contingent or otherwise, could be defeated. Where an individual has undisputed rights, even where they are contingent, one can readily understand that he has title and interest to assert these rights either as a party to proceedings or, where he is not such a party, by being allowed to enter the process when these proceedings affect his rights. That should be contrasted with the circumstances in this case in which the legality of the legislation itself is in issue.
[56] We were not referred to any authority
supportive of a positive answer to the proposition, inherent in the submission
of counsel for the third to tenth respondents, that any beneficiary, or
potential beneficiary, of a general legislative measure had title to intervene
as a responding party to counter any challenge to its validity; nor are we
aware of any. Indeed we consider that there are important indications to the
contrary. In cases in which the validity of a bye-law or some other form of
secondary legislation is challenged, it has never been suggested that,
additionally to the promulgators of the measure, or those responsible for the
promulgators of the measure such as a law officer, all who might potentially
benefit from it should be called for their interest. Thus in D & J
Nicol v Dundee Harbour Trustees, while the title of the pursuers to
challenge the use of the ferries for excursions up the Tay was recognised as
ratepayers, there was no suggestion that all other ratepayers should be
convened as additional defenders to argue that the use of the ferries for
excursions was beneficial to their interests as supplementing the funds of the
Trust and thereby reducing their contributions. We do not consider that any
such attempt by those other ratepayers would have been unsuccessful as they had
no title or interest to defend. It is not difficult to see why it has not been
seen as necessary, or even appropriate, to convene as defending parties all who
might be beneficiaries of an impugned legislative measure. First, there is the
obvious practical difficulty of identifying all who might be benefitted by a
general legislative measure. In the present case one is not talking of some
narrowly defined measure directed solely to people directly and individually
identified in the measure. It is of general application to every person, and
the families of every person, who might have been exposed to asbestos. The
legislation could have been framed yet more widely, as introducing
retrospectively claims for damages for worry and anxiety. Secondly, there is
the allied consideration that it can only be for the taker of the decision to
adopt the norm conferring a benefit on third parties to justify that decision.
Only that decision taker - no doubt through the appropriate representative, such
as a law officer - can appropriately expound the reasons for its decision.
Benefitted third parties cannot add to those reasons.
[57] Since we therefore consider that the fact
that the third to tenth respondents may be among the beneficiaries or potential
beneficiaries of the legislation in issue does not give them title and interest
to be convened as respondents entitled to receive service of the petition
challenging the validity of the legislation, we have difficulty in seeing that
being such a beneficiary of the legislation can properly be said to give an
entitlement to be convened, as respondent, as a person "directly affected", in
terms of Rule of Court 58.8(2). That interpretation of the rule would go
beyond matters of procedure and move into the field of the substantive law of
entitlement to defend. It was, however, also submitted that as beneficiaries,
or potential beneficiaries, of the 2009 Act, the third to tenth respondents
were sufficiently "directly affected" by the challenge to the validity of the
2009 Act to represent the interests of such beneficiaries, or potential beneficiaries,
in resisting that challenge. As we understood counsel for the Lord Advocate,
he supported the admission of the third to tenth respondents, as respondents
rather than interveners, on the basis of their being representative of
asymptomatic pleural plaques claimants. In his efforts to address the obvious
practical problem of numbers, were every beneficiary or potential beneficiary
to be entitled to apply for admission as a respondent under Rule 58.8(2),
counsel for the Lord Advocate and counsel for the third to tenth respondents
pointed to the existence of a discretion under that rule and submitted that the
Court could allow a representative sample of beneficiaries to become
respondents. However, if the basis for entering the judicial review petition
process to oppose the petition is thus one of some representational capacity,
that basis is catered for by Rule of Court 58.8A and we do not consider
that in so far as the third to tenth respondents are said to be representative
of beneficiaries, or potential beneficiaries, of the legislation in issue, they
should not have proceeded under that route, with the conditions of
participation which it lays down.
[58] In all the circumstances we have reached the
conclusion that Lord Uist erred in concluding that these respondents were entitled to be parties
to the proceedings and we shall sustain the Dean of Faculty's submissions to
that effect.
[59] Having concluded that the Lord Ordinary was
correct to hold that, as well as having victim status in terms of article 34 of
the Convention, the reclaimers had title and interest to pursue a challenge to
the validity of the 2009 Act on what might be termed common law grounds, we
turn next to the issue whether the validity of legislation passed by the
Scottish Parliament may be questioned on grounds other than those for which
express provision is made in the Scotland Act 1998
The challenge at common
law
Preface
[60] The
Court of Session has exercised a supervisory jurisdiction in Scotland probably
from at least the time of the reconstitution of the Court by the College of
Justice Act 1532: see Eba v Advocate General for Scotland [2010] CSIH 78; 2010 SLT 1047 at paragraph [34].
We were not referred to any case in which it had been sought to bring under
review a statute of the pre-Union Scots Parliament, though at least one case
may suggest that such review was not, at least on the merits of the
legislation, open: in Stuart v Wedderburn (1627) Durie 301 it
was said - "The said Act of Parliament [an Act of 1621] could not be drawn in
dispute before the Session, if it was formally or well done or not, they not
being judges thereto". However, the existence of the doctrine of desuetude
demonstrates that in certain circumstances it was open to the Court to hold
that statutes of that Parliament were no longer of legal effect. The position
in England and Wales, where no such doctrine
was admitted, appears to have been different. There is, however, little
advantage in addressing further the pre-Union position since constitutional
principles have moved on significantly since that time.
[61] The Scottish Parliament, brought into
existence by the Scotland Act 1998, was created by the United Kingdom
Parliament. It was thus created as a statutory body introduced into a legal
landscape in which the Court of Session had supervisory jurisdiction over
bodies operating in this part of the United Kingdom. The issues on this aspect of the
reclaiming motion are whether the nature and powers of the Scottish Parliament
are such that its legislation is immune from challenge before the Court of
Session other than on the grounds of incompetence specifically provided for by
the Scotland Act 1998; and, if its legislation is not so immune, on what
grounds may that legislation be open to challenge.
Judicial review of UK legislation
[62] In
addressing these issues it is unnecessary to reach a concluded view as to
whether statutes of the United Kingdom Parliament are subject to review by the
superior courts on grounds of irrationality or otherwise. But, as there are at
least some analogies between the Westminster and the Holyrood legislatures, it is appropriate to say
something about that matter. The conventional view is that United Kingdom statutes are not
reviewable in the courts as to their validity. This is in accordance with what
is essentially the nineteenth century doctrine of the sovereignty of Parliament
(Dicey - The Law of the Constitution (10th Edition) - in
effect adopted as applicable in Scotland: Mortensen v Peters
(1906) 8 F 93, per Lord Justice
General Dunedin at pp 100-1). In R (Jackson) v Attorney
General [2005] UKHL 56; [2006] 1 AC 262 Lord Steyn said at paragraph 102:
"The classic account given by Dicey of the doctrine of the supremacy of Parliament, pure and absolute as it was, can now be seen to be out of place in the modern United Kingdom. Nevertheless, the supremacy of Parliament is still the general principle of our constitution. It is a construct of the common law. The judges created this principle. If that is so, it is not unthinkable that circumstances could arise where the courts may have to qualify a principle established on a different hypothesis of constitutionalism. In exceptional circumstances involving an attempt to abolish judicial review or the ordinary role of the courts, the Appellate Committee of the House of Lords or a new Supreme Court may have to consider whether this is constitutional fundamental which even a sovereign Parliament acting at the behest of a complaisant House of Commons cannot abolish. It is not necessary to explore the ramifications of this question in this opinion."
[63] These observations were obiter.
However, Lord
Hope of Craighead said:
"104. My Lords, I start where my learned friend, Lord Steyn has just ended. Our constitution is dominated by the sovereignty of Parliament. But parliamentary sovereignty is no longer, if it ever was, absolute. It is not uncontrolled in the sense referred to by Lord Birkenhead LC in McCawley v The King [1920] AC 691, 720. It is no longer right to say that its freedom to legislate admits of no qualification whatsoever. Step by step, gradually but surely, the English principle of the absolute legislative sovereignty of Parliament which Dicey derived from Coke and Blackstone is being qualified."
He then referred to the effects of the European Communities Act 1972 and the Human Rights Act 1998 and continued:
"106. It has been suggested that some of the provisions of the Acts of Union of 1707 (6 Anne c11)(Scot c7) are so fundamental that they lie beyond Parliament's power to legislate. Lord President Cooper in MacCormick v Lord Advocate 1953 SC 396, 411, 412 reserved his opinion on the question of whether the provisions in article XIX of the Treaty of Union which purport to preserve the Court of Session and the laws relating to private right which are administered in Scotland are fundamental law which Parliament is not free to alter. Nevertheless by expressing himself as he did he went further than Dicey, The Law of the Constitution, 10th ed. (1959), p. 82 was prepared to go when he said simply that it would be rash of Parliament to abolish Scots law courts and assimilate the law of Scotland to that of England. In Gibson v Lord Advocate 1975 SC 136, 144, Lord Keith too reserved his opinion on this question and as to the justiciability of legislation purporting to abolish the Church of Scotland. In Pringle, Petitioner 1991 SLT 330, the First Division of the Court of Session again reserved its position on the effect of the Treaty of Union in a case which had been brought to challenge legislation which introduced the community charge in Scotland before it was introduced in England. But even Dicey himself was prepared to recognise that the statesmen of 1707 believed in the possibility of creating an absolutely sovereign legislature which should yet be bound by unalterable laws: Thoughts on the Scottish Union, pp. 252-253, quoted by Lord President Cooper in MacCormick's case 1953 SC 396, 412. So here too it may be said that a concept of a Parliament that is absolutely sovereign is not entirely in accord with the reality."
[64] Baroness Hale of Richmond observed at paragraph 159:
"The concept of parliamentary sovereignty which has been fundamental to the constitution of England and Wales since the 17th century (I appreciate that Scotland may have taken a different view) means that Parliament can do anything. The courts will, of course, decline to hold that Parliament has interfered with fundamental rights unless it has made its intentions crystal clear. The courts will treat with particular suspicion (and might even reject) any attempt to subvert the rule of law by removing governmental action affecting the rights of the individual from all judicial scrutiny."
[65] On the other hand Lord Carswell said at paragraph 168:
"Your Lordships have referred to two of those [constitutional] fundamental principles, the sovereignty or supremacy of Parliament and the conclusiveness of the Parliamentary role or the Speaker's certificate. The first is one of the pillars of the modern constitution of this country and has been so fully accepted by the courts and described by so many writers on the constitution from Dicey onwards that it needs no further elaboration. Both this principle and the second ... are judicial products of that carefully observed mutual respect which has long existed between the legislature and the courts. As a judge I am very conscious of the proper reluctance of the courts to intervene in issues of the validity of Acts of Parliament. I should be most unwilling to decide this or any other case in a way which would endanger that tradition of mutual respect. I do not, and I have no doubt your Lordships do not, have any wish to expand the role of the judiciary at the expense of any other organ of the state or to seek to frustrate the properly expressed wish of Parliament as contained in legislation."
[66] None of Lord Nicholls of Birkenhead, Lord Rodger of
Earlsferry, Lord Walker of Gestingthorpe, or Lord Brown of
Eaton-under-Heywood expressed views on this topic. Lord Bingham of Cornhill
confined himself to saying, at paragraph 27: "The authority of Pickin v
British Railways Board [1974] AC 765 is unquestioned, and it was there
very clearly decided that 'the courts in this country have no power to declare
enacted law to be invalid' (per Lord Simon of Glaisdale, at p 798)."; his
views on the sovereignty of Parliament have been trenchantly expressed
extra-judicially - Bingham, The Rule of Law, Chapter 12.
[67] There can accordingly be seen to be an as
yet unresolved issue at the highest judicial level as to whether an Act of the
United Kingdom Parliament could, in any circumstances, be open to challenge in
the courts. It is clear, however, that even Lord Steyn would entertain
such a challenge only in exceptional constitutional circumstances. There can
by no question of reviewing such an instrument on "ordinary" judicial review
grounds - such as those identified in Associated Provincial Picture Houses
Limited v Wednesbury Corporation [1948] 1 KB 223 and in Council
of Civil Service Unions v Minister for the Civil Service [1985] AC 374. Had the present case involved a challenge to a United Kingdom statute on such grounds,
it would, in our view, have been bound to fail.
The nature and powers of
the Scottish Parliament
[68] The
nature and powers of the Scottish Parliament are to be ascertained from the
terms of the Scotland Act 1998. Under section 28 that Parliament is
empowered, subject to section 29, to "make laws" (subsection (1))
which are to receive Royal Assent (subsection (2)). The validity of an
Act is not affected by any invalidity in the proceedings of the Parliament
leading to its enactment (subsection (5)) and every Act is to be
judicially noticed (subsection (6)). The competence of the Scottish Parliament
to make laws is restricted by section 29, an Act of that Parliament not
being law so far as any provision of it is outside the legislative competence
of the Parliament. Subsection (2) of section 29 provides for what is
outside that competence. Of the five sub-paragraphs of that subsection two are
for present purposes of particular significance, namely -
"(b) It relates to reserved matters"
and
"(d) It is incompatible with any of the Convention rights or with Community law".
[69] The provisions of section 28 have the
hallmarks of primary legislation: the powers to make "laws" (not rules,
regulations, orders or by-laws); each Act is to receive the Royal Assent; and
subsection (5) (validity of an Act not affected by any invalidity in the
proceedings) is an echo of what applies in respect of Westminster legislation,
though this is an immunity conferred by the United Kingdom Parliament after
debate. Subsection (6) is also a provision which required United Kingdom legislation; it is the
equivalent of section 3 of the Interpretation Act 1978.
The argument for exclusion
of all common law review grounds
[70] The
contention for the Lord Advocate (adopted and elaborated by the third to tenth
respondents) is, in summary, that the law-making power or competence of the
Scottish Parliament is constrained only by section 29, which is exhaustive
of matters outside competence. There is, so runs the argument, no room for any
challenge at common law. This contention requires careful consideration.
[71] The Scottish Parliament is a statutory body
introduced, as we have said, into the Scottish legal landscape by an Act of the
Parliament at Westminster. In West v Secretary
of State for Scotland the Lord President (Hope), in delivering the Opinion
of the Court, formulated at pages 412-3 certain propositions respecting the
supervisory jurisdiction of the Court of Session. These included:
"1. The Court of Session has power, in the exercise of its supervisory jurisdiction, to regulate the process by which decisions are taken by any person or body to whom a jurisdiction, power or authority has been delegated or entrusted by statute, agreement or any other instrument.
2. The sole purpose for which the supervisory jurisdiction may be exercised is to ensure that the person or body does not exceed or abuse that jurisdiction, power or authority or fail to do what the jurisdiction, power or authority requires."
While the case was concerned with a decision by an agency of executive government (the Scottish Prison Service), the propositions were clearly formulated to deal generally with the scope of the Court's jurisdiction. There is no restriction on the nature of the body whose Acts may be subject to review. The width of the jurisdiction is reflected in the opening words of Clyde & Edwards, Judicial Review where it is said that the work -
"is concerned with the power of a Supreme Court to ensure that all those vested with a legal authority exercise that authority lawfully and properly. Historically, the supervisory jurisdiction of the Court of Session has been the means by which the supreme court in Scotland has achieved this objective." (paragraph 1.01).
At paragraph 7.23 the learned authors say:
"While the 'devolution issue' identified by Schedule 6, para 1(a) [to the Scotland Act 1998] concerns the competence of the Parliament to pass Acts, it may be that grounds other than strict illegality will be available as grounds on which Acts of the Scottish Parliament are challengeable. It may be thought that the statutory source of the Parliament's authority means that the fairness or irrationality (or proportionality) of a measure might be open to question. But it is likely that occasion to resort to most other grounds of review will be rare. At least in regard to assessing the irrationality of Acts of the Scottish Parliament, respect will require to be given to the fact of their having been considered by the Scottish Parliament in a way corresponding to the approach which the courts take in relation to judicial review of subordinate legislation which has passed before the UK Parliament."
Reference is made in a footnote to Edinburgh District Council v Secretary of State for Scotland 1985 SC 261 and Nottinghamshire County Council v Secretary of State for the Environment [1986] AC 240. The views expressed in paragraph 7.23 are expressed tentatively. But they at least contemplate the possibility that common law bases for challenge of the Acts of the Scottish Parliament may exist.
[72] In Whaley v Lord Watson 2000 SC 340 the Lord President (Rodger) at p 348 observed:
"The Lord Ordinary gives insufficient weight to the fundamental character of the Parliament as a body which - however important its role - has been created by statute and derives its powers from statute. As such, it is a body which, like any other statutory body, must work within the scope of those powers. If it does not do so, then in an appropriate case the court may be asked to intervene and will require to do so, in a manner permitted by the legislation. In principle, therefore, the Parliament like any other body set up by law is subject to the law and to the courts which exist to uphold that law."
Lord Prosser at pp 357-8 observed:
"The contention that the court did not have jurisdiction to deal with the issues raised in this case was one I found hard to grasp. As I understood the submissions, the argument seemed to rest upon some broad view that since the Scottish Parliament was a parliament, rather than for example a local authority, the jurisdiction of the courts must be seen as excluded, as an unacceptable intrusion upon the legislative function which belonged to Parliament alone. A variant of this argument appeared to be that if the court's jurisdiction was not actually excluded as a matter of law, the court should nonetheless be slow or hesitant or reluctant or unwilling to use the jurisdiction which it had, in order to avoid an undesirable intrusion on Parliament's freedom in relation to legislation. Both forms of argument appear to me to be entirely without foundation. If and in so far as a parliament may have powers which are not limited by any kind of legal definition, there is no doubt scope for concepts of 'sovereignty', with the courts unable to enforce boundaries which do not exist. But if and in so far as a parliament and its powers have been defined, and thus limited, by law, it is in my opinion self-evident that the courts have jurisdiction in relation to these legal definitions and limits, just as they would have for any other body created by law. If anything, the need for such a jurisdiction is in my opinion all the greater where a body has very wide powers, as the Scottish Parliament has: the greater the powers, the greater the need to ensure that they are not exceeded. But the jurisdiction of the courts and the legal definition of the body seem to me to be merely two sides of the same coin. Faced with the suggestion that the courts might abstain from exercising a jurisdiction which they have, allowing the Parliament perhaps to exercise power beyond its legal limits, from a fear that enforcement of those limits might be seen as stopping Parliament from doing what it wanted to do, I am baffled: a defined parliament is there to do whatever it wants, but only what the law has empowered it to do. In the odd, and perhaps unsatisfactory context of 'sovereign' or undefined powers, the court may be faced with problems; but these are very precisely problems of a kind which do not arise, and can afford no guidance, where the issue is one of law, and jurisdiction is its inevitable counterpart. The nature and function of the Parliament, and of any particular provisions, will of course be matters which must be taken into account, whenever the courts in exercising their jurisdiction require to interpret and apply the provisions which the law has made in relation to the Parliament. But that is a quite different matter."
[73] These observations were made in relation to
a determination by the standards committee of the Scottish Parliament that a
member of that Parliament had not breached article 6 of the Scotland Act
1998 (Transitory and Transitional Provisions) (Members' Interests) Order 1999,
made by the United Kingdom Parliament under section 129(1) of the Scotland
Act 1998. While it was thus concerned with the justiciability of issues
arising procedurally in Parliament, rather than with the validity of its
enactments, these dicta emphasise that the Scottish Parliament, like any
other body in Scotland, is subject to the
general law. They are not inconsistent with a proposition that Acts of the
Scottish Parliament are, in principle, amenable to the supervisory jurisdiction
of the Court of Session.
[74] Counsel for the third to tenth respondents
emphasised that the Court itself was subject to law; it should not arrogate to
itself powers which it did not have under law. The courts in this country
have, of course, always been cautious in their relationship with the
legislature, being anxious not to stray beyond their legitimate bounds. This
is not, as Mr O'Neill reminded us, a "juristocracy". But, as
Lord Steyn said in R (Jackson) v Attorney General at paragraph 102
in relation to the supremacy of the United Kingdom Parliament, that concept "is
a construct of the common law. The judges created this principle". The scope
of the supervisory jurisdiction of the Court of Session, and in particular
whether it extends to the review of Acts of the (statutory) Scottish Parliament
is likewise a matter, subject to any express or clearly implied provision to
the contrary, for the courts of law, using due restraint, to decide. There is,
at least, no express statutory provision which altogether excludes such
review.
[75] We appreciate that there is an issue as to
where, as it were, one starts; or what question one asks. Does one, taking
the Scotland Act 1998 as a "constitutional" statute, simply ask what
limitations that statute places on legislative competence, so that, unless
restrictions based on the common law are expressly or by implication provided
for, there are no such restrictions; or does one start with the Court of
Session as a Supreme Court charged with a privative supervisory jurisdiction
over public and other bodies (including statutory bodies) in Scotland and ask
the question whether there is anything in the Scotland Act 1998, a statute establishing a
particular statutory body, which renders the body so established immune from
that jurisdiction?
[76] One might have thought that guidance on this
question could be obtained from experience with other legislatures established
by the Westminster Parliament. Counsel for the Lord Advocate indeed referred
us in his written argument to a number of cases in which observations had been
made in the Privy Council on statutes of that Parliament conferring powers on
legislatures in what is now the Commonwealth. These were The Queen v Burah
(1878) 3 App Cas. 889 at pp 904-5, Hodge v The Queen (1883) 9 App Cas. 117 at p 132, Union Colliery Company of British
Columbia v Bryden [1899] AC 580, per Lord Watson at p 585 and Thakur
Jagannath Baksh Singh v The United Provinces [1946] AC 327 at
p 337. But in none of these cases, which all in any event precede modern
developments in judicial review, was any issue raised of striking down
legislation on common law grounds. Like the Lord Ordinary we find these
unhelpful. Nor do we consider it of assistance to learn that there is no prior
record of any such attempt having been made.
[77] The Lord Ordinary approached the issue as
being one of whether the traditional common law ground of rationality was
excluded (paragraphs [125] - [141]). He concluded that such a ground of
challenge was not excluded. In that respect he differed from the opinion
expressed by Lord
Nimmo Smith
in Adams v Advocate General,
especially at paragraph [63]. (The challenge at common law in Adams v Advocate General was
not pursued in the Inner House - see 2004 SC 665.) The submission of counsel
for the Advocate General was that the approach of the Lord Ordinary in the
present case was correct.
[78] The Lord Ordinary found support for his
approach in the reasoning of Lord Hope in Somerville v Scottish
Ministers [2007] UKHL 44; 2008 SC (HL) 45. At paragraphs [17], [18]
and [28] his Lordship proceeded on the basis that remedies would be available
in domestic law to deal with Acts outside competence - and so these remedies
did not require to be spelt out in the statute. The Court had existing
powers; it was a given that they were available for exercise where
appropriate. But these passages are consistent with his Lordship having in
mind remedies available for breach of the restrictions imposed by
section 29. They do not, in our view, significantly assist in resolution
of the present issue. And, although Lord Scott of Foscote, at paragraph [77],
speaks of a challenge "on the ground that it was outside devolved competence or
otherwise ultra vires" (emphasis added), that is consistent with
his Lordship having in mind acts by a member of the Scottish Executive or
subordinate legislation and not necessarily enactments of the Parliament. Nor
are we persuaded that assistance is to be found in section 54 of the
Scotland Act or in Lord Hope's treatment of it in paragraph [14] of Somerville v Scottish Ministers.
The fact that "devolved competence" is defined identically for legislation and
for executive acts does not, in our view, mean that both are challengeable on
the same grounds.
[79] We were referred to a number of authorities
in which consideration had been given to executive instruments which had been
placed before the Westminster Parliament. In Nottinghamshire County Council
v Secretary of State for the Environment the House of Lords had to
consider the basis on which a court could subject to judicial review a report
(giving certain guidance on local authority finance) laid before the House of
Commons by the Secretary of State pursuant to the Local Government, Planning
and Land Act 1980. The local authorities bringing the proceedings contended
that the result which the guidance imposed on them was so disproportionately
disadvantageous when compared with its effects on other local authorities that
it was a perversely unreasonable exercise of the power conferred by the statute
upon the Secretary of State. Reliance was placed by them on the judgment of
Lord Greene in Associated Provincial Picture Houses Limited v Wednesbury
Corporation. At p 247 Lord Scarman observed:
"For myself, I refuse in this case to examine the detail of the guidance or its consequences. My reasons are these. Such an examination by a court would be justified only if a prima facie case were to be shown for holding that the Secretary of State had acted in bad faith, or for an improper motive, or that the consequences of his guidance were so absurd that he must have taken leave of
his senses. The evidence comes nowhere near establishing any of these propositions."
At p 248 he continued:
"If, as your Lordships are holding, the guidance was based on principles applicable to all authorities, the principles would have to be either a pattern of perversity or an absurdity of such proportions that the guidance could not have been framed by a bona fide exercise of political judgment on the part of the Secretary of State. And it would be necessary to find as a fact that the House of Commons had been misled: for their approval was necessary and was obtained to the action that he proposed to take to implement the guidance.
In my judgment, therefore, the courts below acted with constitutional propriety in rejecting the so called 'Wednesbury unreasonableness' argument in this case."
At pp 250-1 he added:
"The courts can properly rule that a minister has acted unlawfully if he has erred in law as to the limits of his power even when his action has the approval of the House of Commons, itself acting not legislatively but within the limits set by a statute. But, if a statute, as in this case, requires the House of Commons to approve a minister's decision before he can lawfully enforce it, and if the action proposed complies with the terms of the statute (as your Lordships, I understand, are convinced that it does in the present case), it is not for the judges to say that the action has such unreasonable consequences that the guidance upon which the action is based and of which the House of Commons had notice was perverse and must be set aside. For that is a question of policy for the minister and the Commons, unless there has been bad faith or misconduct by the minister. Where Parliament has legislated that the action to be taken by the Secretary of State must, before it is taken, be approved by the House of Commons, it is no part of the judges' role to declare that the action proposed is unfair, unless it constitutes an abuse of power in the sense which I have explained; for Parliament has enacted that one of its Houses is responsible. Judicial review is a great weapon in the hands of the judges: but the judges must observe the constitutional limits set by our parliamentary system upon their exercise of this beneficent power."
The other members of the Appellate Committee agreed.
[80] In R v Environment Secretary, ex
parte Hammersmith London Borough Council [1991] 1 AC 521 the House of Lords
was again concerned with a report (in relation to the capping of local
authority expenditure) formulated by the Secretary of State, submitted to the
House of Commons and approved by it. Lord Bridge of Harwich, who gave the
leading speech, cited at length from Lord Scarman's speech in Nottinghamshire
County Council. At page 597 he added:
"The restriction which the Nottinghamshire case [1986] AC 240 imposes on the scope of judicial review operates only when the court has first determined that the ministerial action in question does not contravene the requirements of the statute, whether express or implied, and only then declares that, since the statute has conferred a power on the Secretary of State which involves the formulation and the implementation of national economic policy, and which can only take effect with the approval of the House of Commons, it is not open to challenge on the grounds of irrationality short of the extremes of bad faith, improper motive or manifest absurdity. Both the constitutional propriety and the good sense of this restriction seem to me to be clear enough. The formulation and the implementation of national economic policy are matters depending essentially on political judgment. The decisions which shape them are for politicians to take and it is in the political forum of the House of Commons that they are properly to be debated and approved or disapproved on their merits. If the decisions have been taken in good faith within the four corners of the Act, the merits of the policy underlying the decisions are not susceptible to review by the courts and the courts would be exceeding their proper function if they presumed to condemn the policy as unreasonable."
The other members of the Appellate Committee (which included Lord Jauncey of Tullichettle) agreed.
[81] Lord Jauncey had earlier as a Lord Ordinary
in the Court of Session dealt with a similar issue in Edinburgh District
Council v Secretary of State for Scotland. There the Secretary of
State had in furtherance of statutory powers made an order (again in relation
to local government finance) which had been laid before Parliament. It was
debated in the House of Commons but a prayer to annul it was not moved. Lord
Jauncey, having considered arguments on Wednesbury principles, said at
p 275:
"Parliament, however, is well able to determine whether a Minister's decision has been taken fairly or rationally. In these circumstances I conclude that the courts can only hold to be ultra vires a statutory instrument which has been laid before and considered by Parliament where that instrument is patently defective in that it purports to do what is not authorised by the enabling statute or where the procedure followed in making that instrument departed from the requirements of the enabling statute."
On advising the reclaiming motion the Lord Justice Clerk (Wheatley) said at p 280:
"The Lord Ordinary proceeded on the basis that the court could only hold to be ultra vires a statutory instrument which had been laid before and considered by Parliament when the statutory instrument was patently defective, which this one was not. In my opinion the Lord Ordinary was perfectly entitled to proceed on that basis and reach that result in the circumstances here present."
Lord Robertson said at p 284:
"I agree with the Lord Ordinary that the courts can only hold to be ultra vires a statutory instrument which has been laid before and considered and ratified by Parliament where that instrument is patently defective in that it purports to do what is not authorised by the enabling statute or where the procedure followed in making that instrument departed from the requirements of the enabling statute. Illegality in that sense, as I have already mentioned, has not been shown in this case, and that argument fails."
At p 285 he referred to a passage in the speech of Lord Diplock in Council of Civil Service Unions v Minister for the Civil Service at p 411, in which his Lordship had found it difficult to envisage a decision under the royal prerogative that could be open to attack on the ground of Wednesbury unreasonableness and added:
"In my opinion this is a fortiori in a policy decision (such as is in the present case) which has been affirmed by statutory instrument ratified by Parliament."
Lord Dunpark appears to have dealt with the "irrationality" argument on its merits without reference to the parliamentary procedure.
[82] It may be noted that the test formulated in Edinburgh
District Council v Secretary of State for Scotland has not been followed in
England - see Howker v Secretary of State for Work and Pensions [2003] ICR 405, especially per Peter Gibson LJ at paragraph 34.
[83] None of these authorities is directly in
point. The English cases in the House of Lords were concerned with reports
which were approved by the Westminster Parliament, the Scottish case with a
statutory instrument which had been laid before that Parliament and debated by
it without any annulment motion being made. Although the English cases would
admit judicial review on very limited grounds, the Lord Ordinary and the
majority of the members of the Second Division in the Edinburgh District
Council case would admit it even more narrowly. Lord Jauncey's
subsequent concurrence in Hammersmith may suggest a modification of his
view. His earlier view is not based on any cited authority. However that may
be, all were concerned with cases in which the imprimatur of the
sovereign Westminster Parliament had been given to the instrument in question.
The speeches delivered in the Nottinghamshire and Hammersmith cases
are, however, interesting in that they signal, for instruments of the kind there
discussed, a stricter test than would be appropriate for review if the
instrument had not had Westminster endorsement. Where, as in the case of the Holyrood
Parliament, the legislature is not sovereign but the instrument in question is
primary legislation by it, that stricter test may provide some guidance to the
appropriate approach.
[84] Mention must be made in this connection of R
(Javed) v Home Secretary [2001] EWCA Civ 789; [2002] QB 129. The
issue in that case involved the designation by the Home Secretary (under asylum
legislation) of Pakistan as a country in respect of which there was "in general
no serious risk of persecution". The draft order had been subject to short
debates in both Houses of Parliament and approved by both Houses by the affirmative
resolution procedure. In the Court of Appeal counsel for the Home Secretary
argued that the scope of review by the courts was subject to the same
restrictions as had been referred to in the Nottinghamshire and Hammersmith
cases. The Master of the Rolls (Lord Phillips of Worth Matravers) cited with
approval judicial dicta in two other cases. The first (at paragraph 47) was by
Mustill LJ in R v Secretary of State for the Environment, ex
parte Greater London Council, 3 April 1985 (unreported), where his Lordship had, in relation to Wednesbury
unreasonableness, said, apparently delivering the opinion of the court:
"In this rather uncertain state of affairs, we think it preferable to tackle the problem from another angle, by asking this question: can it be inferred that Parliament, by making an affirmative resolution a condition precedent to the exercise of the power, has intended to make the House of Commons the sole judge of whether the decision expressed in the draft order is too unreasonable to be allowed to stand? After careful consideration, we have come to the conclusion that the answer, in theory, is No. In our judgment, the right of veto created by section 4(5) is a safeguard addition to and not a substitution for the power to judicial review. The debate in the House on affirmative resolution and the investigation by the court of a Wednesbury complaint are of a quite different character and are directed towards different ends; the two are complementary. Having stated this answer in point of theory, we continue at once to say that in practice the grant of judicial review on the grounds of unreasonableness is likely to be rare, and probably very rare, when the decision is subject to affirmative resolution, particularly in a field such as the present, where the decision is a matter of judgment and not of mechanical reasoning and is founded on political and economic premises which are implicit in the enabling legislation. Nevertheless, we do not find it possible to say that every application for such relief must be dismissed out of hand for want of jurisdiction."
The other dictum to which the Master of the Rolls gave his approval (at paragraph 50) was by Auld LJ in O'Connor v Chief Adjudication Officer [1999] ELR 209 at pp 220-1 where his Lordship said:
"Irrationality is a separate ground for challenging subsidiary legislation and is not characterised by or confined to a minister's deceit of Parliament or having otherwise acted in bad faith. That means irrationality in the Wednesbury sense. Counsel have referred to the difficult notion of 'extreme' irrationality sometimes suggested as necessary before a court can strike down subsidiary legislation subject to parliamentary scrutiny, citing Lord Scarman [in the Nottinghamshire case]. He spoke at page 247G of ".... the consequences ... [being] so absurd that ... [the Secretary of State] must have taken leave of his senses", a form of words which the other members of the Appellate Committee agreed. They also referred to Lord Bridge's reference [in the Hammersmith case], to 'manifest absurdity'. It is wrong to deduce from those dicta a notion of "extreme" irrationality. Good old Wednesbury irrationality is about as extreme a form of irrationality as there is. Perhaps the thinking prompting the notion is that in cases where the minister has acted after reference to Parliament, usually by way of affirmative or negative resolution procedure, there is a heavy evidential onus on a claimant for judicial review to establish the irrationality of a decision which may owe much to political, social and economic considerations in the underlying enabling legislation. Often the claimant will not be in a position to put before the court all the relevant material bearing on legislative and executive policy behind an instrument which would enable it with confidence to stigmatise the policy as irrational. Often too, the court, however well informed in a factual way, may be reluctant to form a view on the rationality of a policy based on political, social and/or economic considerations outside its normal competence. That seems to the approach of Mustill LJ [in R v Secretary of State for the Environment, ex p Greater London Council, 3 April 1985]."
[85] The Court of Appeal in Javed
distinguished the Nottinghamshire and Hammersmith cases on the
ground that in those cases Lords Scarman and Bridge were respectively focussing
upon a question of justiciability rather than jurisdiction (paragraph 49).
It also held that, on analysis, the challenge made in the case before it was as
to the legality of the order rather than to its rationality (paragraph 57).
Neither House of Parliament had been required to rule upon that issue of
legality (paragraph 58). In the event it held that the Secretary of
State's decision was irrational.
[86] At paragraph 49 the Master of the Rolls
noted that the subject matter of the legislation and the power in both the Nottinghamshire
and Hammersmith cases was "at an extreme end of the spectrum". He
added:
"In each case the decisions on how to exercise the statutory power turned on political and economic considerations to be evaluated by the minister and Parliament, whose rationality could not be measured by any yardstick available to the court. In such circumstances the statement that there was no scope for an attack on the exercise of the Secretary of State's powers on grounds of rationality in the absence of bad faith or manifest absurdity was no more than a statement of practical reality. It cannot be treated as a proposition of law applicable to any order subject to affirmative resolution."
Acts of the Scottish Parliament - legislation
sui
generis?
[87] We,
like the Lord Ordinary (paragraph [142]), are inclined to agree with Lord Nimmo Smith's description - at
paragraph [62] of his Opinion in Adams v Advocate General - of
legislation enacted by the Scottish Parliament as sui generis.
Notwithstanding its classification for the purposes of the Human Rights Act
1998 as "subordinate legislation" (section 21(1)), it is "law" essentially
of a primary nature. The processes which lead to its enactment include
parliamentary procedure which involves scrutiny at various stages by
democratically elected representatives who ultimately vote on whether the Bill
in question should be enacted and, if so, in what terms. Having passed through
these stages the Bill then receives the Royal Assent. These procedures, taken
together, distinguish legislation so enacted from acts or instruments subject
to judicial review on traditional grounds, including from executive acts of the
Scottish Ministers and from subordinate legislation - even subordinate
legislation or other instruments which have been approved by the Westminster
Parliament. They are much more proximate to Acts passed at Westminster. Other features of the
Scotland Act support that proximity: the exclusion of procedural challenge
(section 28(5)) and the provision for judicial notice
(section 28(6)). On the other hand, there is nothing, in our view, either
expressly or impliedly in the Scotland Act which gives to enactments of the
Scottish Parliament the status of Acts of the Parliament of the United Kingdom. That is not to ignore
the significance of the Scotland Act as of real constitutional importance. But
it is to recognise that, however wide-ranging the powers conferred on the
Scottish Parliament, its establishment did not involve the ceding to it of
"sovereignty" (whatever precisely that may mean) even within its restricted
statutory field of competence: its legislation is open to abrogation or supersession
by Acts of the Westminster Parliament (section 28(7)).
[88] The recognition that Acts of the Scottish
Parliament are sui generis calls, in our view, for a new approach to
these novel instruments. The traditional grounds of common law judicial review
are not, without modification, apt for them. It is acknowledged that, while
they are open to review on the grounds of "illegality" (by reason of
infringement of the restrictions imposed by section 29), they are not apt
for review on the ground of "procedural irregularity" (section 28(5)).
The notion of "irrationality", even in the extreme sense of being "so absurd
that [the legislature] must have taken leave of [its] senses" is not, in our
view, apt - at least in the context of the legislation here under discussion.
The Dean of Faculty maintained, among other arguments, that the 2009 Act was
irrational because it involved the "giving of money to individuals with a
benign and asymptomatic condition" and "the placing of responsibility for
paying such compensation" partly on private parties (the insurers of certain
employers of affected individuals) and partly on public funds (local
authorities and government departments). But decisions of that kind - the
conferring of benefits on those who are perceived to be deserving and the
manner of funding of such benefits - are essentially political questions which,
absent any infringement of a Convention right, a court cannot and should not
enter upon. If they are ill-conceived, it is for the Parliament to think again
- or conceivably for the United Kingdom Parliament to trump.
[89] That does not mean, in our view, that there
are no circumstances in which the Court of Session could strike down on common
law grounds legislation of the Scottish Parliament. The three categories
identified by Lord Diplock in Council of the Civil Service Unions v Minister
for the Civil Service (essentially for review of administrative action) are
not exhaustive. A fourth category ("proportionality") was contemplated. In the
Nottinghamshire case Lord Scarman spoke also of "bad faith" and
"improper motive". These latter grounds are not, in our view, truly aspects of
irrationality but of deliberate misuse of power. The restriction which Lord
Scarman formulated (and in which all the other members of the Appellate
Committee concurred) was endorsed by Lord Bridge
(and all his colleagues) in Hammersmith. If a case were to be made out
on such grounds the court might well hold itself entitled to intervene.
Likewise, if the Scottish Parliament were to take an exceptional measure of the
kind contemplated by Lord Steyn in R (Jackson) - such as a purported
abrogation of the citizen's right to challenge unlawful executive action by
judicial review - we do not exclude the possibility that any such enactment
would be challengeable at common law. We do not construe Lord Hope's
observations in Whaley v Lord Advocate [2007] UKHL 53; 2008 SC (HL) 107 at paragraphs [6] and [7], when read in the context of the
international obligations there under discussion, as negativing such a
possibility. The circumstance that any such enactment might also be
challengeable on Convention grounds does not exclude that possibility.
The common law challenge
in the present petition
[90] No
such exceptional case, however, is made here. Something was sought to be made
of the letter dated 28 November 2008 from Mr Paul Allen, an official in the
Constitution, Law and Courts Directorate, to Thompsons, the full text of which
was set out earlier in this Opinion (at para [22]). This was a response
to a proposal by Thompsons that certain amendments be made to the Bill then
before Parliament. The letter suggested that these amendments "could place a
significant barrier in the way of many potential claimants" because they might
give rise to an argument that, while an employer might be liable, the claim
would not be covered by his insurance policy. The letter went on to suggest
that it had been unfortunate that a meeting (between officials and
representatives of Thompsons) could not take place before the relative
amendments were lodged "especially as the process of disclosing our concerns to
the Committee may also result in those concessions being drawn to the attention
of those who may wish to utilise them in opposing claims for compensation,
contrary to our intention and yours". In the event the amendments were aired
before the Committee (by Mr Bill Butler, MSP) but in the end, after an
explanation by the Minister, Fergus Ewing, MSP, not moved. What Thompsons and
the officials were anxious to ensure was that the legislation as enacted was
such as would give to affected individuals an effective remedy; this,
particularly in a situation where many relative employers had over the years
gone out of business, meant ensuring that their insurers would meet these
claims. That the intention of the legislation was to provide an effective
remedy, including a remedy where appropriate against the insurer of an
employer, was manifest from the outset and throughout the Parliamentary
process. It was why insurers and their representatives were invited to give
evidence to the Committee and why they did so. While Mr Allen was no
doubt reluctant about hostages being given to fortune, there is no basis for
any contention that the Parliament was at any stage misled or misinformed about
the intendment of the legislative proposals. Section 4(2) of the 2009 Act
(the provision which particularly caught the insurers) was in identical terms
to section 4(2) of the Bill as presented.
[91] We have already adverted (para [84]) to
the argument advanced by the Dean of Faculty to the effect that the policy
underlying the 2009 Act was irrational. But in addition to what we said
earlier, something must be said about the legal context in which Parliament
sought fit to impose upon the insurers of negligent employers liability to make
compensation for pleural plaques. In Rothwell at paragraphs [3] to
[6] Lord Hoffmann sets out the earlier rulings in the English courts: Church
v Ministry of Defence (1984) 134 NLJ 623, Sykes v Ministry of
Defence (1984) 134 NLJ 783 and Patterson v Ministry of Defence
(29 July 1986, unreported). All were at first instance in the High Court, the
first being by Peter Pain J, the second by Otton J and the last by Simon
Brown J (as he then was). In each of these cases the judge, having heard
submissions that there was no compensatable damage, rejected these submissions
and awarded damages - £1,500 in each of Church and Sykes and
£1,250 (as provisional damages) in Patterson. In that last case
reference was made to an obiter observation by Rose J in Morrison v
Central Electricity Board (unreported) where the judge had opined that
there was no damage which could attract compensation. In Patterson
Simon Brown J held that the material damage consisted of "the symptom-free
pleural plaques, the risk of the pleural thickening deteriorating with the
consequences that I have mentioned [breathlessness and reduced lung function],
the risk of mesothelioma developing, and the understandable worry attendant
upon these various matter(s)". None of these cases was appealed. As Lord
Hoffmann observed in Rothwell at paragraph [6], following upon these
three successful actions claims by those with pleural plaques were regularly
settled on the basis that pleural plaques were actionable injury. That
remained the case until Rothwell.
[92] The issue of whether pleural plaques were
actionable injury was never litigated to a conclusion in Scotland. Shortly after judgment
was given in the House of Lords in Rothwell Lord Uist followed it in Wright v Stoddart
International plc (No.2). As the Lord Ordinary finds at paragraph [9] of
his Opinion, following their (for them adverse) experience in those three
English cases in the mid-1980s insurance companies throughout the United
Kingdom had in practice conceded liability to pay damages in pleural plaques claims.
In a number of reported decisions in Scotland part of the complaint made by the pursuer was that he
had developed pleural plaques. The first of these was Shuttleton v Duncan
Stewart & Co Ltd 1996 SLT 517 (decided in August 1995), where the Lord Ordinary (Prosser),
having held that the pursuer's claim was not time barred, made certain
observations about the legal significance of "separate diseases or impairments
of physical condition", one of which was arguably pleural plaques. He stated
"... it appears to me upon the evidence that the plaques, if to be regarded as a
disease or impairment at all, are sufficiently distinct from either pleural
thickening or asbestosis as to qualify as a 'separate' disease or impairment".
In Gibson v McAndrew Wormald & Co 1998 SLT 562 the pursuer claimed
damages for (1) as yet symptomless pleural plaques, (2) the risk of developing
mesothelioma and (3) anxiety and depression by a realisation of the prospect
that he might develop a fatal disease of his lungs. Liability was admitted by
the defenders, the only issue being whether the quantum of damages should be
tried before a jury or before a judge sitting alone. A number of arguments
were presented for withholding the case from jury trial but it is not clear
from these arguments or otherwise from the report on what basis liability was
admitted. The Lord Ordinary (MacLean) made reference in his Opinion to Sykes
v Ministry of Defence and it may be that the admission of liability
proceeded on the "aggregation" theory which formed the basis of the decision in
that case. Liability was also admitted, perhaps on the same basis, in Nicol
v Scottish Power 1998 SLT 822, a
decision of Lord
Nimmo Smith.
In McKenzie v Barclay Curle Ltd 2002 SLT 649 Lady Paton awarded damages, liability having
been admitted for pleural plaques, which it was noted "made some contribution
towards loss of lung function"(paragraph [47]) - , pleural thickening and
asbestosis together with real risks of developing mesothelioma or cancer and
depression and fear brought about by the asbestos-related conditions. In Lambie
v Toffolo Jackson Ltd (in liquidation) 2003 SLT 1415 the issue before the First
Division was whether the Lord Ordinary (McEwan) had been correct to dismiss the
action on the ground of limitation. The pursuer sought primarily provisional
damages on the basis that as a result of exposure to asbestos in the employment
of the defenders he had developed bilateral pleural plaques. He also averred
that there was a risk of serious deterioration of his health through the
contraction of asbestosis, diffuse bilateral pleural thickening,
asbestos-related lung disease or mesothelioma. The matter is somewhat complicated
by the circumstance that at one stage a radiological report suggested that the
pursuer had a small amount of pleural thickening; but the whole discussion on
limitation proceeded on the basis that the development of pleural plaques
constituted damage for which compensation might be awarded. The defenders did
not resist the claim on the basis that they did not constitute damage for which
compensation might be payable.
[93] Accordingly, although at no stage was the
issue of whether the development of pleural plaques, with or without other
factors such as the risk of the development of more serious asbestos-related
conditions or anxiety about the risk of such development, tested in the
Scottish courts, defenders (and presumably their insurers) proceeded for at
least a decade - and possibly considerably longer - on the basis that pleural
plaques were a condition which called for compensation. No doubt that attitude
was influenced by their experience in the High Court in England in the mid-1980s. It may
also have been influenced by commercial considerations - if, as the Dean of
Faculty informed us, without contradiction, the number of such claims in
earlier years was small and the claims were relatively low in value. It seems
clear that the Scottish Parliament, in determining to pass the 2009 Act, took
into account that for a significant period of time employers - in reality their
insurers - had accepted that the development of pleural plaques was a condition
for which compensation was payable and that what it was seeking to do by the
enactment was to ensure that, in Scotland, compensation would continue to be
paid. The Dean of Faculty described this as a "myth of continuity" but in the
real world there was nothing mythological about it. The theory of the law is
that the decision of the House of Lords in Rothwell authoritatively
established that pleural plaques, even on the basis of the "aggregation"
theory, were not and never had been compensatable in England and Wales. Having regard to the common
principles of the law of reparation for personal injuries in that and in this
jurisdiction, it can be said with confidence that it is highly likely that, if
the matter were to be tested in a Scottish case in identical circumstances, the
same determination would at common law result. But in practical terms there
was, for claimants and for insurers alike, a quite different regime at common
law before and after Rothwell. In deciding that, notwithstanding Rothwell,
in Scotland pleural plaques should be, and have always been, a condition
for which compensation should be paid and that, in effect, the insurers of
negligent employers would be liable to meet claims for that compensation, the
Scottish Parliament was, as a matter of political judgment, entitled to take
into account that such insurers had for a significant period accepted such
liability. In contracting with employers to indemnify them against claims by
their employees, and in accepting premiums as consideration, the insurers took
the risk that the law would develop, or even change, with a consequence that
their exposure was greater (or less) than might have been envisaged when the
risks were placed. Although the House of Lords was unanimous in Rothwell,
there had been a dissent in the Court of Appeal and the judge at first instance
had been in the claimants' favour. That was all against the background of the
first instance cases in the mid-1980s. Although the reasoning of the House of
Lords may, in retrospect at least, seem compelling, it is not inconceivable
that the decision might have gone the other way.
[94] Even if irrationality were a sufficient
basis on which to challenge the validity of an enactment of the Scottish
Parliament (which, in our view, for the reasons already given, it is not), we
consider that, in particular against the background to which we have just
referred, it has not been demonstrated that the 2009 Act was irrational.
The Government of Wales Act 2006
[95] We
were favoured with a Written Submission by the Counsel General to the Welsh
Assembly Government, as intervener. The submission was directed largely to the
Government of Wales Act 2006, the relevant provisions of which are not yet in
force, but which, if brought into force, will supersede to a significant extent
the Government of Wales Act 1998. Part 4 of the 2006 Act provides for "Acts of
the Assembly". Section 107 provides:
"(1) The Assembly may make laws, to be known as Acts of the National Assembly for Wales ... (referred to in this Act as 'Acts of the Assembly').
(2) Proposed Acts of the Assembly are to be known as Bills; and a Bill becomes an Act of the Assembly when it has been passed by the Assembly and has received Royal Assent.
...
(5) This Part does not affect the power of the Parliament of the United Kingdom to make laws for Wales."
Section 108 provides:
"(1) Subject to the provisions of this Part, an Act of the Assembly may make any provision that could be made by an Act of Parliament.
(2) An Act of the Assembly is not law so far as any provision of the Act is outside the Assembly's legislative competence."
[96] There are certain parallels between these
provisions and sections 28 and 29 of the Scotland Act 1998 - although
there is no equivalent in that Act to section 108(1) of the 2006 Act. The
detailed observations by the Counsel General on the 2006 Act reflect many of
the submissions made by Mr Dewar and Mr O'Neill on the parallel provisions in
the Scotland Act.
[97] It is not for this court to offer any
definitive interpretation of the meaning and effect of the 2006 Act. That is
for the High Court of England and Wales in the event of there being any challenge at common law to
any Act passed by the National Assembly of Wales. Any such determination will
require to be made not only having regard to the terms of the 2006 Act but also
to the jurisdiction of the High Court in matters of judicial review. We intend
no discourtesy to the detailed and careful observations made by the Counsel
General if we do not set out these observations in details. Their burden is that
the 2006 Act sets out comprehensively the area of the Assembly's legislative
competence, leaving no scope for the imposition of additional limitations on
the exercise of its legislative power derived from any common law concepts;
the 2006 Act provides "a self-contained code governing the scope of the
judicial review of the exercise of the Assembly's legislative powers".
Significant emphasis is placed in that respect on section 108(1) of the
2006 Act. It may be that the express empowering of the Assembly to "make any
provision that could be made by an Act of Parliament" tends to equiparate the
Assembly, subject to express statutory restrictions, to the Westminster
Parliament. We express no concluded view on this point, though if it tends to
support the proposition that the 2006 Act provides a "self-contained code",
there is no equivalent in the Scotland Act to that provision. Nor was there in
the devolution settlement made for Wales in 1998.
[98] While we found the Counsel General's
observations to be interesting and helpful, it did not persuade us that Acts of
the Scottish Parliament are in all circumstances free from challenge in common
law grounds in the Court of Session. But, as we have said, the possible
grounds of challenge are, in our view, exceptionally limited.
ECHR - Article 1 Protocol 1
Introduction
[98] We
turn now to consider the other basis upon which the reclaimers' challenge the
validity of the 2009 Act, namely the contention that it infringes their rights
under A1P1 (i.e. Article 1 of Protocol 1 to the European Convention
on Human Rights). For ease of reference we set out again the terms of that
article:
"Protection of property
Every natural or legal person is entitled to the peaceful enjoyment of his possessions. No one shall be deprived of his possessions except in the public interest and subject to the conditions provided for by law and by the general principles of international law.
The preceding provisions shall not, however, in any way impair the right of a State to enforce such laws as it deems necessary to control the use of property in accordance with the general interest or to secure the payment of taxes or other contributions or penalties."
General
observations
[99] It
is convenient to begin with certain general observations on A1P1. It was not
disputed that in its interpretation of those provisions the ECtHR has stated
that it contains three rules; the first sentence enunciates a general rule for
the protection of property, whereas the remaining provisions address more specifically
(a) deprivation of ownership of property and (b) controls upon the use of
property. Thus in paragraph 61 of its judgment in Sporrong and
Lönnroth v Sweden (1982) 5 EHRR 35 the ECtHR said:
"That Article [scilicet A1P1] comprises three distinct rules. The first rule, which is of a general nature, enounces the principle of peaceful enjoyment of property; it is set out in the first sentence of the first paragraph. The second rule covers deprivation of possessions and subjects it to certain conditions; it appears in the second sentence of the same paragraph. The third rule recognises that States are entitled, amongst other things, to control the use of property in accordance with the general interest, by enforcing such laws as they deem necessary for the purpose; it is contained in the second paragraph."
That analysis of the text has been re-iterated in subsequent cases, such as James v United Kingdom in which the ECtHR stated at paragraph 37 of its judgment that:
"[A1P1] in substance guarantees the right of property. In its judgment of 23 September 1982 in the case of Sporrong and Lönnroth the Court analysed Article 1 as comprising 'three distinct rules': the first rule set out in the first sentence of the first paragraph, is of a general nature and enunciates the principle of the peaceful enjoyment of property; the second rule, contained in the second sentence of the first paragraph, covers deprivation of possessions and subjects it to certain conditions; the third rule, stated in the second paragraph, recognises that Contracting States are entitled, amongst other things, to control the use of property in accordance with the general interest. The Court further observed that, before enquiring whether the first general rule has been complied with, it must determine whether the last two are applicable. The three rules are not, however, 'distinct' in the sense of being unconnected. The second and third rules are concerned with particular instances of interference with the right to peaceful enjoyment of property and should therefore be construed in light of the general principle enunciated in the first rule."
Given the generality of the protection set out in the first sentence of the article it is, as the Dean of Faculty submitted, not an essential requirement of an infraction of A1P1 that the measure of which complaint is made be categorised either as a deprivation of ownership or as a control on the use or enjoyment of property.
[100] The decision of
the ECtHR in James v United Kingdom also makes clear that it is
not necessary for a successful claim of breach of the protection of the right
of property that the measure which impinges upon the complainer's property
rights be a measure conceived directly in the property or financial interests
of the State. A measure adopted by the State and intended to effect a
transfer of property rights from one citizen (or class of citizens) in favour
of another citizen (or class of citizen) may amount to an infringement of
A1P1. Put in other words, A1P1 is not concerned only with measures
confiscating or transferring assets in favour of the State itself; it also
applies where the State deploys measures depriving one citizen of his property
by transfer to another.
"Possessions"
[101] Further,
it may be observed that the term "possessions" (in French "biens") in the first
sentence of A1P1 has been given a wide interpretation. It is plainly not
confined to corporeal items of property, but encompasses incorporeal property,
including personal contractual claims. An entitlement to a claim for damages
resulting from negligence is within A1P1 protection. Thus in Pressos
Compania Naviera SA and Others v Belgium (1995) 21 EHRR 301
retroactive legislation removing shipowners' entitlement to damages for the
consequences to their ships of collisions caused by the negligence of the pilots
whom they were bound to employ constituted a violation of A1P1. We were
referred in the written and oral arguments to a number of other cases in which
such incorporeal assets were seen as constituting "possessions". The most
recent pronouncement with which we were provided is the judgment of the ECtHR
of 11 February 2010 in
Application No.33704/04 Affaire Sud Parisienne de Construction v France,
concerning legislation in the field of public procurement building contracts
which retroactively deprived the complainer, a sub-contractor, of its
contractual entitlement to interest at a particularly favourable rate for late
payment of sums due to it. At paragraph 30 of its judgment the ECtHR
said:
"Compte tenu de ce qui précède, la Cour considère que la requérante bénéficiait en l'espèce d'un intérêt patrimonial constitué, d'une part, de la créance en principal d'un montant de 1 346 952,57 francs et, d'autre part, des intérêts moratoires contractuels y relatifs. S'agissant des intérêts moratoires, la Cour constate que la modification de leur mode de calcul intervint juste avant que l'arrêt du 3 juin 1997 soit rendu. Partant, la requérante a donc un " bien ", au sens de la première phrase de l'article 1 du Protocole no 1, lequel s'applique dès lors en l'espèce (Lecarpentier et autre c. France, no 67847/01, § 40, 14 février 2006; S.A. Dangeville c. France, no 36677/97, § 48, CEDH 2002)."
[102] We consider therefore that, in light of the
interpretation of the ECtHR of the term "possessions" it may now be said that
the general protection afforded by A1P1 extends to what might be said properly
to constitute the patrimony of the person concerned, whether that person be
natural or juristic. There may of course be a question whether a particular
claim, whether contractual or non-contractual, has a sufficient prima facie
legal and factual basis to be regarded as an asset within the patrimony of the
person concerned. Counsel for the Lord Advocate referred in that connection to
Kopecky v Slovakia (2005) 41 EHRR 43. But for reasons which will become apparent we do not
consider that any such question really arises in the present case.
[103] In the opening sentences of paragraph [189]
of his Opinion the Lord Ordinary accepts as being obvious that the petitioners'
substantial capital resources must qualify as being "possessions". In his
submission to us, counsel for the Lord Advocate accepted, in our view
correctly, that such was the case. There then follows in the Opinion delivered
by the Lord Ordinary a discussion of whether the Rothwell decision
created an immunity and whether an immunity could constitute a "possession". At
paragraph [191] of his Opinion the Lord Ordinary states that he was unable
to accept that an immunity from claims is sufficient to bring A1P1 into play.
In his submissions to us the Dean of Faculty indicated that, while there had
been some protracted discussion before the Lord Ordinary as to whether the Rothwell
decision created an immunity from pleural plaque claims and, if so, whether
that immunity could be a "possession", the discussion was essentially provoked
by the respondents' approach to the Rothwell decision. It was not, the
Dean of Faculty stressed, part of the petitioners' case that Rothwell
created an immunity and that such an immunity was a "possession" of the
petitioners. The "possessions" of the petitioners with which it was contended
that the 2009 Act interfered were their assets and capital resources generally.
[104] In these circumstances the argument before us
was not concerned to any large extent on the interpretation of the notion of
"possessions" but was focused rather, in the first place, on whether the 2009
Act constituted an interference by the State with the petitioners' property.
Interference
[105] The
argument for the petitioners on that aspect proceeded on a number of
propositions which, we think, may be summarised as follows:
(i) As employer's liability insurers, the petitioners' liability is confined to indemnity for claims of personal injury or disease for which, as a result of events during the currency of the policy, the employer incurred legal liability;
(ii) an employer does not incur any liability unless his acts or omissions have caused actionable, i.e. actual harm;
(iii) the decision of the House of Lords in Rothwell simply stated that fundamental principle, which applies equally in both Scottish and English law, as being and having always been, the law. It dismissed the aggregation theory developed in a few English first instance cases (para [87]) as erroneous. Accordingly Rothwell made clear that in the case of asymptomatic pleural plaques no cause of action existed;
(iv) hence, but for the advent of the 2009 Act, the petitioners have no liability under the policies which they had underwritten as respects claims for asymptomatic pleural plaques;
(v) the 2009 Act innovated retroactively by creating a liability on employers for their acts or omissions in the past when those acts or omissions would not give rise to any liability in the absence of the provisions of the 2009 Act; and
(vi) the 2009 Act was not restricted to placing a retroactive legal responsibility on the employer since the terms of section 4(2) of the 2009 Act were intended to ensure that the retroactively created liability on the employer was passed to his insurer, employer's liability insurance being obligatory.
[106] We have little difficulty with the
proposition that the decision of the House of Lords in Rothwell
re-stated the fundamental common law requirement in both English and Scots law
of the existence of actual actionable harm as a prerequisite for an action of
damages for personal injury. Counsel for the respondents did not advance any
submission to the contrary. We also accept that in so far as there may have
developed some "aggregation" theory in some first instance decisions in
England, that development was dismissed by the House of Lords in Rothwell
as being erroneous. Since the Rothwell decision thus confirmed the
common law as it was always to have been understood, it is in our view
impossible to avoid the conclusion that the 2009 Act (cf in particular
section 4) involved retroactive legislation imposing a liability on
employers which did not otherwise exist and hence imposed a liability to
provide indemnity for such claims on their respective employer's liability
insurers.
[107] Although it appears that before the Lord
Ordinary it was not disputed that the provisions of the 2009 Act were capable
of constituting an interference with the reclaimers' capital resources, in the
argument before us there was canvassed the question whether, as the petitioners
contend, the imposition by the State on a citizen of a liability to pay money
(whether to the State or to another citizen or class of citizen) constitutes,
or may constitute, an interference with the citizen's property. It was
submitted on behalf of the reclaimers that it did. While the contrary was not
strongly pressed by counsel for the Lord Advocate, he was unwilling to concede
the proposition. It is thus necessary that we examine the matter.
[108] First, it may be noted that the concluding
words of the second paragraph of A1P1, preserving the right of a State to
secure the payment of taxes would indicate that the enforcement of a liability
to pay taxes would be an interference - but an easily justified interference -
with the patrimonial interests of the taxpayer. If measures to enforce a
fiscal liability constitute an interference, it is hard to see why the imposition
of the fiscal liability in the first place, a necessary precursor to
enforcement, should not equally be an interference, but equally an easily
justifiable interference, with the patrimony of the citizen concerned. In Burden
v United
Kingdom
the complainers' grievance was that, as sisters living together, on the death
of one of them (the first to die) the deceased sister's estate would be liable
to pay inheritance tax whereas an estate passing to a surviving spouse or civil
partner would not be subject to that taxation liability. This complaint was
framed as a breach of A1P1 read with Article 14 of the ECtHR (prohibition
of discrimination) because the State placed on the estate of the pre-deceasing
sibling a financial liability which was not placed on the estate of a
pre-deceasing spouse or civil partner. In its judgment the Grand Chamber
stated at paragraph 59:
"Taxation is in principle an interference with the right guaranteed by the first paragraph of Art. 1 of Protocol No.1, since it deprives the person concerned of a possession, namely the amount of money which must be paid. While the interference is generally justified under the second paragraph of this Article, which expressly provides for an exception as regards the payment of taxes or other contributions, the issue is nonetheless within the Court's control, since the correct application of Art.1 of Protocol No.1 is subject to its supervision. Since the applicants' complaint concerns the requirement for the survivor to pay tax on property inherited from the first to die, the Grand Chamber considers that the complaint falls within the scope of Art.1 of Protocol No.1 and that Art. 14 is thus applicable."
[109] Given that the imposition by the State of a
liability to pay money to the State by way of taxation is thus "... in principle
an interference with the right guaranteed by the first paragraph of [A1P1],
since it deprives the person concerned of a possession, namely the amount of
money which must be paid...", it is in our view difficult to see any good reason
for which the imposition by the State, at least retroactively, of a liability
on one citizen (or class of citizen) to make payment to another citizen (or
class of citizen) should not equally constitute an interference with the
former's patrimony for the purposes of A1P1. As already mentioned, in its
judgment in James v United Kingdom the ECtHR settled that the protection
of A1P1 is not confined to an interference with property directed in favour of
the State or other public bodies.
[110] Other decisions of the ECtHR to which our
notice was brought may also be analysed consistently with that view. In Lecarpentier
and Another v France, Application No. 67847/01, 14 February 2006, and also in an
effectively parallel case, Achache v France, Application No. 16043/03,
3 October
2006, the
essential facts were that the applicants before the ECtHR had taken out loans
from financial institutions for the purchase of immoveable property. The loan
transactions were governed by certain legislative or regulatory provisions
respecting the information to be provided to the borrower, which requirements
had not been satisfied in the cases of the respective complainers. Some years
after the applicants had been repaying interest on the loans which they had taken
out, the Cour de Cassation declared, in a judgment interpreting those
regulatory requirements, that an omission by the lender to observe the
regulatory requirements rendered recovery of interest on the loans
unenforceable ab initio. The applicants thereafter sued for a
declaration that the financial institution in question had forfeited its right
to interest and for repetition of the interest which they had paid to the
lender. The legislature then intervened to reverse retroactively the decision
of the Cour de Cassation. While the violation of A1P1 resulting from that
legislative intervention was largely conceived as being an interference with
the claim for repetition of the interest paid, which claim might thus be seen
as an asset, on a closer jurisprudential analysis, the disallowance by the
legislature of the claim for repetition was brought about simply by imposing a
retroactive liability to make payment of interest for the payment of which the
Cour de Cassation had held that liability did not exist.
[111] In these circumstances, we consider that, at
least where retroactive, the imposition by the State of a liability to make
payment of money, whether to the State or to another citizen, may constitute an
interference with the right of property protected by A1P1.
[112] As already mentioned, counsel for the Lord
Advocate accepted that the petitioners' assets and reserves constituted
property for the purposes of A1P1 and, as we understood him, he did not
strongly dispute that the imposition by the State of a financial liability on a
citizen could constitute interference with the property of that citizen.
Rather, the contention for the Lord Advocate was that nonetheless the
petitioners had failed to demonstrate interference, properly understood, with
their property.
[113] On considering the argument advanced by
counsel for the Lord Advocate in respect of that contention, we discern that it
involved two branches or lines of argument, although to an extent they were
somewhat intermingled in his submissions. Both lines found favour with the
Lord Ordinary. Briefly, the first line consisted of the general proposition
that since the 2009 Act was primarily directed to imposing liability on the
negligent employer, the liability of the petitioners as insurers to indemnity
the employer was secondary or derivative; the liability attaching to the
petitioners were thus not a direct consequence of the 2009 Act and was hence
too remote. The second branch or line of argument was more of a procedural or
evidential nature. The contention was that it was not yet known whether in
fact the petitioners would require to make any payment; this required to be
resolved in the light of the actual claims pursued and on a consideration of
the terms of the particular employer's liability policy in issue in any given
case; and so, assuming the first branch to be answered favourably to the
petitioners, the bringing of this petition was, in essence, premature and
procedurally inept.
[114] It is convenient first to consider the more
general branch of the respondents' argument to the effect that the economic
consequences for the petitioners were only secondary or derivative to the
primary purpose of the Act, namely that of establishing liability upon the
employer, and were thus too remote to constitute any interference for the
purposes of A1P1.
[115] In response to this line of argument the Dean
of Faculty, among other things, stressed the matters set out by the Lord
Ordinary in his discussion of the petitioners' entitlement to claim victim status
in respect of A1P1. In dismissing the respondents' challenge to the
petitioners' locus standi the Lord Ordinary, it was submitted rightly,
rejected the notion that the petitioners lacked interest by reason of their
status as insurers (cf paragraph [62] ff of the Lord Ordinary's Opinion).
The plain reality was that the employer's liability insurers were the party who
would have to "foot the bill" for claims relying on the 2009 Act. That was
manifestly the contemplation of the Scottish Parliament when it enacted the
legislation. It was difficult to see how, given the Lord Ordinary's acceptance
of the intention in the legislation to ensure that in reality and in law the
employer's liability insurers should meet pleural plaque claims as giving rise to
victim status, the Lord Ordinary could thereafter properly hold, on a similar
factual and legal basis, that there was nonetheless no "interference" in terms
of A1P1 because the insurers' liability was derivative. The Dean of Faculty
further stressed that the 2009 Act had been deliberately drafted and framed -
particularly by reason of section 4(2) which deemed actionability of
benign pleural plaques to have existed at all times and for all purposes - so
as to ensure that the employers' liability policies were engaged.
[116] In approaching the competing contentions
respecting the issue whether the secondary nature of the petitioners' liability
as employer's liability insurers entails that the 2009 Act does not constitute
an interference with their patrimony, we would mention first a point made by
the respondents respecting the Lord Ordinary's rejection of the petitioners'
challenge to the legislation based on a breach of Article 6 ECHR. That
challenge was in essence based on decisions of the ECtHR to the effect that a
legislative act interfering with the judicial determination of an ongoing
litigation might constitute a violation of Article 6 - in essence a
legislative interference in the independence of the judiciary to determine a
dispute of which it was already seized (cf the Opinion of the Lord Ordinary, paragraphs [146]
and [147]). In the course of dealing with that aspect of the case - which
could only affect pleural plaque actions which had been raised and were pending
at the time when the 2009 Act came into force - the Lord Ordinary said at paragraph
[165] of his Opinion:
"However close the involvement of insurers in pleural plaques litigation, the fact remains that it is only former employers charged with negligence who enjoy party status. It is only the delictual rights and obligations of such employers, in a question with former employees, which may be decisively determined in these proceedings. The contractual rights and obligations of the petitioners, in a question with their insured, are not in issue. No dispute or 'contestation' is pending on such matters. Should any such dispute or 'contestation' arise in the future (which would seem highly unlikely if the petitioners were to maintain their position on 'reconfiguration' of past policies), the assertion and enforcement of contractual indemnity obligations would have to be pursued in separate proceedings at the instance of an insured employer or alternatively a successful pursuer under the Third Parties (Rights against Insurers) Act 1930. In this context I regard it as significant that while the learned Dean of Faculty bore to concede, '...for present purposes', that the 2009 Act had had the desired effect of 'reconfiguring' past insurance obligations, he did not seek to vouch that apparent concession with reference to any particular policy or policies and was reticent as to what might be argued in any different legal context. For their part, the respondents were sceptical of an unvouched concession which did not relate to any argument advanced by them, and in all the circumstances (and as further discussed at paragraphs [195], [243] and [244] below) I do not feel able to reach any conclusion as to how far, if at all, the application of particular policies may in due course be affected by the provisions of the 2009 Act."
[117] In addressing, under the A1P1 issues, the
question of interference, the Lord Ordinary said at paragraph [194] of his
Opinion:
"On the question whether the impact of the legislation on the petitioners' capital resources should be deemed an interference sufficient to engage A1P1, I am again conscious of the difficulties which in my view made it impossible for the petitioners to rely on article 6 and the Zielinsk (sic) [Zielinski v France (2001) 31 EHHR 19] principle in this case. Where legislative interference is in issue, Zielinski has sometimes been applied in the context of A1P1 claims as well as claims under article 6. The cases of Maurice [Maurice v France (2006) 42 EHRR 42], Achache and Lecarpentier are convenient examples where, on essentially the same factual basis, a favourable ruling under A1P1 rendered it unnecessary for the Court to reach a formal decision under article 6. As previously discussed, the petitioners' problems in that context are (i) that they cannot be regarded as parties to any affected proceedings; (ii) that pleural plaques litigation cannot be thought decisive of their own civil rights and obligations; and (iii) that there is nothing to indicate that the Act was designed to influence the outcome of pending pleural plaques actions anyway."
[118] In light perhaps of those passages of the
Lord Ordinary's Opinion, counsel for the respondents (other than the Advocate
General) submitted in the course of the discussion that the petitioners'
decision not to pursue their argument in terms of Article 6 in this
reclaiming motion disabled them from arguing under A1P1 that the 2009 Act
constituted an interference with their property, or at least pointed to that
argument being flawed.
[119] For our part, while we can see some force in
the difficulty identified by the Lord Ordinary as respects the Article 6
challenge in the respect that the insurers were not parties to the sisted
actions, we do not consider that the reclaimers' decision not to pursue that
challenge in this reclaiming motion can properly be construed as an acceptance
that the same difficulty must apply respecting the argument under A1P1. The
Article 6 challenge related, and could only relate, to the pending pleural
plaque actions and was thus of limited practical value to the reclaimers. But
that apart and more importantly, the protections given by Article 6 relate
to the procedural fairness of court proceedings and the independence and
impartiality of the tribunal. The nature of the protection afforded by A1P1 is
very different. Those protections are not concerned with procedural questions
or interference with judicial independence but with the protection of a
person's property rights from legislative or other measures adopted by the
State which interfere with those patrimonial rights.
[120] From the background materials and the
parliamentary debates it is, in our view, clear that the intention of the
legislature was not only to give to those who had benign pleural plaques a
claim for compensation, but also to ensure that such a claim would be
financially effective through its being met by the relevant employer's
liability insurer. While it may be that such a result follows without more
from the terms of section 1 or section 2 of the 2009 Act, one finds
in section 4(2) the words, stressed by the Dean of Faculty, that those
sections are to be treated "for all purposes" as having unlimited retroactive
effect. The 2009 Act must also be seen against the fact that the provision of
insurance to cover personal injury claims by employees was made mandatory by
the Employers Liability (Compulsory Insurance) Act 1969. Thus the legislative
landscape into which the 2009 Act was inserted contained the known feature of
obligatory insurance arrangements. The existence of employer's liability
insurance arrangements was thus something contemplated by the existing
legislation which, while not going so far as to enable a personal injury action
by an employee to be directed immediately against the insurer as the defender,
nonetheless structured a system in which an insurer would be present to meet
the claim.
[121] Further, as was noted in the discussion
before us, the ECtHR has on many occasions expressed the view that the
protections conferred by the ECHR must be real and effective. Where, as here,
the whole intention of the legislature in enacting the 2009 Act is that pleural
plaque claims be met by insurers, to hold that the insurers' derivative
liability is too remote to engage A1P1 would in effect be to deny to the
persons whose patrimony is truly, and intentionally, affected by the Act such
real and effective protection. We also think that there is much force in the
submission for the reclaimers that the insurers' derivative or secondary
liability having been, correctly, seen as no obstacle to their title to
complain, it should not then be seen as an obstacle in the actual advancement
of their complaint.
[122] In these circumstances, in which, in its
legal and factual matrix, the intention and effect of the 2009 Act is to impose
retroactively pecuniary liabilities on the insurer, we have come to the
conclusion that the more general contention advanced by the respondents to the
effect that the liability of the insurer, being derivative, is too remote to
amount to an interference with the insurers' patrimony under A1P1, is not well
founded.
[123] We turn next to the contention advanced by
the respondents (other than the Advocate General) that this Court should not
determine whether the 2009 Act constitutes any interference with the reclaimers'
property in the current judicial review proceedings (or at very least at this
stage in the petition procedure, there having been no second hearing).
Instead, the issue required to be decided only in the context of each singular,
particular pleural plaque claim dependent on terms of the particular employer's
liability policy. Counsel for the Lord Advocate submitted that in the absence
of an actual case, the court could not be satisfied that the reclaimers would
indeed incur any liability; and therefore the crave for declarator fell to be
rejected. While he accepted that the clear governmental and parliamentary
intention had been to make insurers liable for pleural plaque claims, counsel
for the Lord Advocate postulated that it might be that accomplishment of that
aim had not been achieved in the legislation in question.
[124] Various materials before the Lord Ordinary
and before us give this submission for the respondents an air of unreality.
Those materials include communications from Thompsons to the Scottish
Government, as part of their lobbying for promotion of the Bill, giving details
of claims currently before the Court of Session and of the insurers responsible
respectively for dealing with those claims - which insurers include all the
current petitioners. For their part, the reclaimers lodged specimens of actual
policies together with schedules (updated for the reclaiming motion) of the
claims with which each of them was currently dealing. As was pointed out by
the Court during the course of the debate, one of the specimen policies was
with John Laing & Company Limited and linked to the list of claims by John
Laing employees in those schedules. There was plainly never any doubt that,
were the 2009 Act to come into effect, its intendment was that employer's
liability insurers would be bound by it and would require to meet the claims of
those having benign pleural plaques.
[125] Viewing matters pragmatically there is thus
everything to be said for now grasping the nettle and reaching a decision on
the validity of the 2009 Act in light of the challenge made to it in these
proceedings, rather than postponing matters to a later point at which either an
employer seeks indemnity or, the employer being insolvent, a claim is made
under Third Parties (Rights against Insurers) Act 1930, and the same questions
of principle are sought again to be advanced. There are also the procedural
difficulties in raising the issues which we discussed earlier - see paragraph [32].
It may be noted further that the ECtHR has recognised that, while it does not
decide matters which are truly academic or in the abstract, it is sufficient
that a complainer runs a clear risk of being directly affected by the
legislation complained of without the legislation being directly applied at the
time of the complaint - see, for example, Marckx v Belgium (1979) 2 EHRR 330.
[126] The argument before us did not extend to any
detailed examination of the scope of the Court's powers, prior to the Scotland
Act 1998, to make declaratory and reductive orders, or how those powers might
be appropriately applied, or shaped, in light of that Act. It appears to us
however that the basic jurisprudential issue is whether this Court has power
when faced with a challenge to the validity of a legislative measure - in
casu invalidity in terms of section 29 of the Scotland Act 1998 - to
grant a declarator of invalidity in advance of any concrete case which requires
actual decision. A secondary issue may be whether, assuming the existence of
the power, it should be exercised in advance of the arising of a particular
case calling for that practical decision.
[127] It appears that in England and Wales the
court regards its power (conferred by statute) to make a declaratory order as
extending to the making of anticipatory declaratory relief enabling the
validity of a measure to be challenged in advance of its actual application.
Reference may be made to the discussion of this topic by Professor Maurice
Sunkin in English Public Law (2nd ed. 2009) [in the series of
Oxford Principles of English Law] edited by Professor Feltman at paragraphs 18.32
to 18.37 inclusive. Examples of the use of such anticipatory declaratory
orders may extend so far as to include challenges to steps merely proposed to
be taken to implement European Directives - see case C-491/01 British
American Tobacco [2002] ECR I-11453. Adverting to Scots sources, the
discussion of "declarator ab ante" at page 113 by Walker on
Civil Remedies notes in particular the observations of Lord Fullerton in Edinburgh
and Glasgow Railway Company v Meek (1849) 12 D 153 at page 159
respecting assessment to poor relief:
"... it may be inexpedient to raise questions by anticipation and in many of the minor details of assessment and distribution the proper course would be to wait until the wrong were actually done. But if the point in dispute involve large and general principles on which the assessment of a particular rate-payer or class of rate-payers ought to be laid on, and if the Board have on former occasions taken what is conceived to be an erroneous view of those principles, I really see neither incompetency nor inexpediency in the party aggrieved resorting to the ordinary remedy of ascertaining and fixing, in the form of declarator, what these principles truly are, and how, consistently with them, the assessment ought to be made."
The further discussion which follows in Walker's work indicates, admittedly in the field of private law issues, a willingness of the court to entertain anticipatory declarators which are not truly academic but are simply reflective of a situation which it is likely will arise. The action of declarator is, of course, a common law remedy and in North British Railway Co v Birrell's Trustees 1918 SC (HL) 33 Lord Dunedin observed, at p 47, that one great merit of that form of action was its elasticity.
[128] In these circumstances we are of the view
that it is not incompetent for this Court to grant an anticipatory declarator
in appropriate circumstances. And for the reasons of pragmatism already
indicated we are not persuaded that it is inappropriate for us at this stage to
consider whether the 2009 Act constitutes an interference with the petitioners'
patrimony.
[129] Accordingly, we consider that the contention
advanced by the respondents, to the effect that the reclaimers have failed (as
respects both lines of argument) to demonstrate that the liability to meet
claims for benign pleural plaques constitutes interference with their
possessions for the purposes of A1P1, must be regarded as unsound. For the
reasons already indicated, we have come to the conclusion that the 2009 Act
does amount to an interference with the property of the reclaimers; the
important question which then arises is whether that interference may be
justified in the public interest.
Justification
[130] In
light of the Strasbourg jurisprudence it was accepted by the reclaimers that a
measure adopted by a State which constituted an interference with the property
of a citizen would nevertheless not constitute a breach of A1P1 if the State
could justify its adoption by showing that the measure served a legitimate aim
in the public interest and that the measure was proportionate, in the sense of
striking a fair balance between the rights of the citizen concerned and the
public interest. Although in the argument for the respondents, particularly
the Lord Advocate, the elements of legitimate aim and proportionality of the
measure were sometimes merged, we did not understand it to be disputed that on
a proper analysis the justifying of the measure involved the two-stage exercise
of (a) identifying the aim of the legislative measure and the legitimacy of
that aim as one serving the public interest and (b) assessing its
proportionality in the light of that aim.
[131] In summary, the argument on this aspect of
the reclaiming motion advanced by the reclaimers in their written submissions
and orally by the Dean of Faculty, was as follows. While the aim of the 2009
Act was relatively clear, namely the provision of payment of money to those
having benign pleural plaques as a result of negligent exposure to asbestos,
that aim did not, in itself, provide its own justification. The respondents,
particularly the Lord Advocate, had failed to identify in what manner that aim
served a legitimate public interest. There was no evident public interest in
making payments to persons who had not suffered any harm or disability.
Essentially, those diagnosed with benign pleural plaques were in no different
situation from those otherwise exposed to asbestos but who had not developed
any malign condition in consequence; those so exposed would have similar health
worries. The 2009 Act contravened fundamental principles of law relating to
delict as stated in Rothwell. Damages should not be given to the
"worried well". Experience elsewhere, particularly in the United States of America and Australia, showed the lack of
wisdom in adopting such a course. In practical terms, in Scotland, in light of
the decision in Aitchison v Glasgow City Council [2010] CSIH 9;
2010 SC 411 every pleural plaques claim would require to be litigated to
preserve matters lest the claimant were subsequently to develop malign
conditions such as mesothelioma or asbestosis; that was not in the public
interest
[132] If, contrary to the foregoing argument, it
were thought that making payments to those having benign, asymptomatic pleural
plaques did have some - unclearly defined - general public interest, then the
question arose, under the second limb, whether legislation imposing liability
for funding that public interest consideration on insurers such as the
reclaimers was proportionate. It was no doubt open to the legislature in its
conception of the public interest to adopt a generous approach to a class of
persons, but that did not entail that the burden of that generosity should be
shouldered by private parties such as the reclaimers. They had contracted on a
particular basis, now to be "reconfigured" by the 2009 Act. Nothing had been
advanced to explain why the generosity of the State in giving monetary awards
to those who had benign asbestos related conditions, not giving rise to any
harm, should be placed on a particular class, namely those providing insurance
for liabilities on contractual terms which did not include liability for
benign, non-actionable conditions. The likely costs were heavy; and would
entail the insurers having to maintain substantial, sterilised reserves to make
future liabilities for such claims. Save in exceptional circumstances, a fair
balance called for the provision of compensation to the person whose property
was subject to the interference.
[133] In this context also the Dean of Faculty
advanced the submission that in so far as the respondents asserted that the
2009 Act provided for continuity of a right of action for benign pleural
plaques after Rothwell on the view that such a condition was actionable,
that assertion was erroneous. The decisions in England in actions brought against the
Ministry of Defence, namely Church v Ministry of Defence; Sykes
v Ministry of Defence and Paterson v Ministry of Defence
all proceeded upon the aggregation theory and against a background of a
lingering belief that pleural plaques might be symptomatic. None of the
reported cases in Scotland (being the cases which we have discussed in paragraph [92] above)
established that asymptomatic pleural plaques constituted actionable harm. There
was no established case law in Scotland to the effect the pleural plaques were regarded as
non-negligible personal injury.
[134] Examination of proportionality required a
structured analysis of the various considerations and the balance struck
between the public interest identified and its consequences for the person
adversely affected. Reference was made to De Freitas v Permanent
Secretary of the Ministry of Agriculture, Fisheries, Lands and Housing
[1999] 1 AC 69 per Lord Clyde at
page 79-80; R (Daly) v Secretary of State for the Home
Department [2001] 2 AC 532, particularly in the Opinion delivered by Lord Steyn.
Deference to an elected legislature did not exclude or excuse review of the
proportionality of the measure - A v Secretary of State for the Home
Department [2004] UKHL 56; [2005] 2 AC 68 per Lord Bingham, at paragraphs 37-42.
Since the Lord Advocate had not demonstrated any legitimate aim in the general
interest or identified any real social benefit in making payments in respect of
asymptomatic pleural plaques, and since she had failed to show why, if such
payments were to be made, it was proper to place that heavy burden on insurers
such as the reclaimers, rather than taxpayers, the Lord Advocate had not
discharged the task of showing that the 2009 Act was proportionate and struck
the appropriate balance.
[135] The contrary argument for the Lord Advocate
may be summarised as follows. The Scottish Parliament saw the Rothwell
decision as productive of social injustice for those who had benign pleural
plaques. The material before the Parliament demonstrated that such plaques
constituted physiological changes in the lung and a person who was aware of
having them was very likely to suffer considerable anxiety from knowing that
asbestos had penetrated his body and that he was at greater risk of developing
mesothelioma or asbestosis. The Parliament was therefore entitled to recognise
a social need for those who had been negligently exposed to asbestos and had
developed pleural plaques to be able to claim damages for that fact and the
ensuing anxiety. Meeting the social needs of a category of people in society
could constitute a legitimate aim in the public interest. Reference was made
to James v United Kingdom. Further, the historical context was important.
Between 1984 and the decision in Rothwell, law and practice had
recognised pleural plaques as giving rise to an entitlement to damages; and
that recognition also applied as between employers and their insurers. It was
legitimate for the Parliament to preserve that position. At the time of
enactment of the 2009 Act the Rothwell decision had not been accepted
as Scots law (the remarks of the Lord Ordinary in Wright v Stoddard
International plc (No.2) [2008] Rep LR 37 being obiter) and settling
the law for the future was important. The 2009 Act did not seek to enact the
aggregation theory generally - which would have had wider implications.
Instead the Act confined itself to the particular social injustice of the
sufferer of pleural plaques and other benign asbestos related conditions. It
was thus proportionate, as going no wider than necessary to meet that
particular social need.
[136] As respects funding, counsel observed that
the level of awards in pleural plaques were generally low. No individual
company was "targeted"; a variety of insurers were involved and the State was
the defending party in the case of employees in the public sector, particularly
the Ministry of Defence. In the past insurers had proceeded on the basis that
pleural plaques were actionable; and could be presumed to have calculated
insurance premia and otherwise conducted their financial affairs on that
basis. An insurance company necessarily took the risk of the law developing in
a way adverse to its interest, whether that development was by judicial
decision or by statute. It was accordingly not disproportionate to place a
financial cost on the negligent employer's insurer. The 2009 Act thus served a
legitimate public interest and the means adopted to achieve realisation of that
legitimate aim were proportionate.
[137] In approaching the submissions on
justification we, of course, recognise that, as expounded by Lord Bingham in A
v Secretary of State for the Home Department in the passage to which
we were referred by the Dean of Faculty, deference to the elected legislature
does not remove the need for a court, when considering a claim that a
fundamental right has been breached, to consider whether the measure serves a
legitimate aim and is proportionate. Equally, it is also necessary for a
court, when embarking on that task, to respect the width of the area of judgment
or policy discretion enjoyed by the legislature. The ECtHR put the matter this
way at paragraph 46 of its judgment in James v United Kingdom:
"46 Because of their direct knowledge of their society and its needs, the national authorities are in principle better placed than the international judge to appreciate what is 'in the public interest'. Under the system of protection established by the Convention, it is thus for the national authorities to make the initial assessment both of the existence of a problem of public concern warranting measures of deprivation of property and of the remedial action to be taken. Here, as in other fields to which the safeguards of the Convention extend, the national authorities accordingly enjoy a certain margin of appreciation.
Furthermore, the notion of 'public interest' is necessarily extensive. In particular, as the Commission noted, the decision to enact laws expropriating property will commonly involve consideration of political, economic and social issues on which opinions within a democratic society may reasonably differ widely. The Court, finding it natural that the margin of appreciation available to the legislature in implementing social and economic policies should be a wide one, will respect the legislature's judgment as to what is 'in the public interest' unless that judgment be manifestly without reasonable foundation. ...".
We did not understand the argument for the reclaimers to contend that the approach of this Court towards the area of discretion enjoyed by the legislature should be materially different.
[138] In the succeeding paragraph of its judgment
the ECtHR goes on to note that:
"Eliminating what are judged to be social injustices is an example of the functions of a democratic legislature. ... The margin of appreciation is wide enough to cover legislation aimed at securing greater social justice ..., even where such legislation interferes with existing contractual relations between private parties and confers no direct benefit on the State or the community at large."
[139] It is clear to us that the Scottish
Government and the Parliament saw the Rothwell decision as amounting to
a social injustice in the case of those diagnosed as having pleural plaques and
other benign asbestosis related conditions. Criticisms may no doubt be made of
that decision. But the existence of grounds of criticism of their approach
does not, of course, render the legislators' decision invalid. Assessing the
validity and weight of such criticisms is essentially a matter of governmental
and political judgment. Recognising that area of discretion or judgment and the
test which a Court has to apply in review we, for our part, have come to the
conclusion that it cannot be held that the view formed by the Scottish
Government and the Parliament that the judgment of the House of Lords in Rothwell
produced some injustice was a view which those bodies were not entitled to
reach. Generally, a person who knows that he has pleural plaques also knows
that as a result of exposure to asbestos his body has undergone physiological
change, even if asymptomatic. He also knows that asbestos has entered his
body. And it is entirely understandable that, on that account, he may suffer
heightened levels of considerable anxiety about his risk of developing
mesothelioma or asbestosis in later life, even as compared to the person who
has been exposed to asbestos but has not developed pleural plaques. In other
contexts, such as the legislation on harassment to which the Lord Ordinary
refers, the legislature has resolved that anxiety may constitute a matter
worthy of monetary compensation. Further it may also be noted that in their
Opinions in Rothwell, certain of the members of the Judicial Committee
of the House of Lords expressed regret or concern that a person with pleural
plaques might be without a remedy - see Lord Hope at paragraph 59; Lord
Scott at paragraph 74; and Lord Mance at paragraph 105.
[140] The rectification of what the legislature
conceives as being a social injustice for a category of people in society can
be seen as a measure in the general or public interest. This was recognised by
the ECtHR in its judgment in James v United Kingdom. At paragraph 41
the court said:
"41 Neither can it be read into the English expression 'in the public interest' that the transferred property should be put into use for the general public or that the community generally or even a substantial proportion of it, should directly benefit from the taking. The taking of property in pursuance of a policy calculated to enhance social justice within the community can properly be described as being 'in the public interest'. In particular, the fairness of a system of law governing the contractual or property rights of private parties is a matter of public concern and therefore legislative measures intended to bring about such fairness are capable of being 'in the public interest' even if they involve the compulsory transfer of property from one individual to another."
[141] As part of his criticism of the justification
advanced for the 2009 Act, the Dean of Faculty submitted that the Scottish
Government and the Parliament had proceeded on what he described as" the myth
of continuity"; and accordingly their approach proceeded on an erroneous
basis. It is no doubt the case that in presenting its proposals to the
Parliament the Scottish Government placed stress on the notion of continuity
and that the submissions for the Lord Advocate also placed stress on that
notion. It is also no doubt correct that in none of the reported Scottish
cases was the issue whether pleural plaques constituted actionable harm ever
properly litigated or decided. But as we have already indicated in paragraph
[93] above, in our view, those reported cases reflect what was widely
accepted law and practice for a considerable period of time. We therefore
consider that it cannot be said that there was no basis upon which the
legislature could proceed on the consideration, among others, that it was
endeavouring to secure continuity of law and practice as it existed prior to Rothwell.
The weight which the legislator might place on that notion is plainly a matter
for the legislator, but we are not persuaded that it was mythical and hence an
irrelevant consideration.
[142] In these circumstances we are of the view
that we cannot hold that the 2009 Act does not pursue a legitimate aim in the
public interest.
[143] Given that the aim of the legislation -
namely the payment of damages to those who have developed pleural plaques
through negligent exposure to asbestos - can be seen as a legitimate aim in the
public interest, the question then becomes whether the means adopted to achieve
that aim is proportionate or, in other words, whether a proper balance has been
struck between the public interest and the reclaimers' private interests.
Essentially, the issue is whether the legislature's decision to frame the
legislative text in such a way as to ensure the employer's liability insurer -
as opposed to some other source such as public funds - would be liable for the
claims lacks any reasonable basis.
[144] In our view, the Scottish Government and the
Parliament were entitled to take into account that the insurance industry had
proceeded since 1984 on the basis that their insured were liable to meet
pleural plaques claims and hence that premia charged would, in general, be
reflective of that belief and understanding. Further, costs to insurers in
future could also be more widely diffused to employers through the level of
premia charged. It is also relevant, in our view, to the assessment by the
Scottish Government and the Parliament of the proportionality of what they
proposed that any claim relying on the 2009 Act requires that the exposure to
asbestos be shown to have occurred through fault on the part of the insured
employer. At least in that respect, the insurer takes the risk that the law
may develop in a way which results in the insured employer having a liability
in circumstances which at the time of concluding the contract of insurance may
not have been envisaged as giving rise to such a liability. As was observed by
counsel for the respondents, it is by no means inconceivable that the Rothwell
case might have been decided differently had the Judicial Committee endorsed
the aggregation theory which had been developed in the lower courts in England and Wales.
[145] As already mentioned, the policy followed by
the Scottish Government and the Parliament of making provision for compensation
to those with benign pleural plaques is, of course, open to legitimate
criticism. Similarly, the decision to place the burden on the employer's
liability insurer. No doubt other possibilities would have been open, such as
the notion of providing for a sum payable out of public funds, were it thought
that some measure of compensation were necessary. However, as already
mentioned, the existence of such possible criticism does not entail that the
course followed by the Parliament has no reasonable foundation. Among others,
the considerations just mentioned in the preceding paragraph set out a basis
for its decision.
[146] That said, we are naturally conscious that in
a number of its decisions the ECtHR has stated that deprivation of property
without compensation will generally be unjustified and thus constitute a
violation of A1P1. We mention by way of example Pressos Compania Naviera
S.A. and Others v Belgium, at paragraph 38 of the judgment of the ECtHR. In cases in
which the deprivation of property is in favour of the State one can readily see
that the individual who is required to surrender his property should be
compensated. That accords with the principle that an individual or individuals
should not unfairly bear the cost of meeting expenditure on a public or
collective purpose - in French administrative law sometimes expressed as "le
principe d'égalité devant les charges publiques". However, in a case in which
the State is concerned to rectify what it legitimately sees as a social
injustice as between categories of its citizen, we have difficulty in seeing
that such a rule, requiring compensation, should always apply. It may be noted
that in James v United Kingdom, which in some respects at least is analogous to the
present case since it involved a measure transferring property from one class
of citizen to another class with a view to remedying a perceived social
injustice, the absence of full compensation did not make the measure
disproportionate. The matter is dealt with at paragraph 54:
"Like the Commission, the Court observes that under the legal systems of the Contracting States, the taking of property in the public interest without payment of compensation is treated as justifiable only in exceptional circumstances not relevant for present purposes. As far as Article 1 is concerned, the protection of the right of property it affords would be largely illusory and ineffective in the absence of any equivalent principle. Clearly, compensation terms are material to the assessment whether the contested legislation respects a fair balance between the various interests at stake and, notably, whether it does not impose a disproportionate burden on the applicant.
The Court further accepts the Commission's conclusion as to the standard of compensation: the taking of property without payment of an amount reasonably related to its value would normally constitute a disproportionate interference which could not be considered justifiable under Article 1. Article 1 does not, however, guarantee a right to full compensation in all circumstances. Legitimate objectives of 'public interest', such as pursued in measures of economic reform or measures designed to achieve greater social justice, may call for less than reimbursement of full market value. Furthermore, the Court's power of review is limited to ascertaining whether the choice of compensation terms falls outside the State's wide margin of appreciation in this domain."
[147] It accordingly appears to us from James v
United Kingdom that the notion that property should not be taken without
compensation is not an absolute one in the jurisprudence of the ECtHR and that
the extent, if any, to which compensation may be provided is a matter within
"the State's wide margin of appreciation in this domain" Counsel for the
respondents also pointed to the fact that in cases in which the interference
was not characterised as a clear deprivation of possessions under the second
sentence of A1P1, payment of compensation from public funds was not seen as
being essential (other than in exceptional circumstances) to the striking of a
fair balance. In that connexion we note the decision, to which we were
referred, of the ECtHR in J A Pye (Oxford) Ltd v United Kingdom (2008) 46 EHRR 45. That
case was concerned with the English legal doctrine of adverse possession and
the law of limitation of actions, which had the consequence in that case of
effecting the transfer of the ownership of land from the party registered in
the Land Register as the owner to the possessor. The ECtHR held that the
operation of the law which effected that transfer constituted an interference
with the property rights of the registered proprietor but characterised it
essentially as an infringement of the more general principle of protection of
property and equivalent to a control on the use of property. The Court stated at
paragraph 79 that in such cases "the case law on deprivations is not directly
applicable". Earlier in its judgment in that case, at paragraph 64, the Court
noted a series of decisions in which a loss of ownership of possessions was not
seen as a "deprivation" in terms of the second sentence of the first paragraph
of A1P1, but was seen as involving an infraction of the general principle
enunciated in the first sentence of A1P1. Counsel for the respondents,
invoking J A Pye (Oxford) Ltd v United Kingdom, submitted that the present case was not one of
"deprivation" but one of a restriction or control of the use of the
petitioners' funds. While we are not persuaded that the contention that the
consequences of the 2009 Act for the reclaimers' property constitute only a
"restriction on use" is free from difficulty, we note nonetheless that the
applicants in J A Pye (Oxford) Ltd had suffered loss of their valuable property to
the possessor without compensation. We are therefore fortified in the view
which we take from James v United Kingdom expressed in the opening
sentences of the preceding paragraph of this Opinion. We therefore approach
matters on the view that the Strasbourg jurisprudence is as just discussed.
[148] The absence of any provision for compensation
from public funds is of course inherently part of the decision of the Scottish
Government and the Parliament that the legislation be framed in such a way as
to make pleural plaques claims financially realistic from the standpoint of the
claimant by ensuring that liability of the negligent employer would be passed
to the insurer. As already indicated, that decision is within the area of
their wide political judgment and discretion. We are not persuaded that in the
context of seeking a balance between different interests in society and
adjusting their respective economic interests, dicta relating
essentially to compensation in cases of appropriation in the direct interests
of the State are of compelling relevance. In these circumstances, while we
have not found these matter free of difficulty, we have come to the conclusion
that particularly in light of the considerations to which we referred in paragraph [144]
above, it cannot be said that the decision to place financial responsibility on
the insurers was one which lay outside the margin of appreciation which the
legislature enjoys in this sphere.
[149] In the whole circumstances, it is our opinion
therefore that the 2009 Act does not amount to an infringement of A1P1.
Disposal
[150] We
shall accordingly allow the reclaiming motion to the extent of sustaining the
petitioners' ninth plea-in-law and repelling the answers of the third to tenth
respondents; quoad ultra the reclaiming motion will be refused.