BAILII is celebrating 24 years of free online access to the law! Would you consider making a contribution?
No donation is too small. If every visitor before 31 December gives just £1, it will have a significant impact on BAILII's ability to continue providing free access to the law.
Thank you very much for your support!
[Home] [Databases] [World Law] [Multidatabase Search] [Help] [Feedback] | ||
The Judicial Committee of the Privy Council Decisions |
||
You are here: BAILII >> Databases >> The Judicial Committee of the Privy Council Decisions >> McMorris v. Claude Brown and Others (Jamaica) [1998] UKPC 34 (30th July, 1998) URL: http://www.bailii.org/uk/cases/UKPC/1998/34.html Cite as: [1999] 1 AC 142, [1999] AC 142, [1998] 3 WLR 971, [1998] UKPC 34 |
[New search] [Buy ICLR report: [1999] 1 AC 142] [Buy ICLR report: [1998] 3 WLR 971] [Buy ICLR report: [1999] AC 142] [Help]
Privy Council Appeal No. 9
of 1998
Vayden
McMorris Appellant
v.
(1) Claude Brown and
(2) Burlett
Brown Respondents
FROM
THE COURT OF APPEAL OF JAMAICA
---------------
REASONS
FOR REPORT OF
THE LORDS
OF THE JUDICIAL
COMMITTEE OF THE
PRIVY COUNCIL
OF THE 27th July 1998,
Delivered the
30th July 1998
------------------
Present at the hearing:-
Lord Hoffmann
Lord Mustill
Lord Cooke of
Thorndon
Lord Hutton
Sir John Balcombe
·[Delivered by Lord Cooke
of Thorndon]
------------------
1. On
27th July 1998 their Lordships indicated that they would humbly advise Her
Majesty that the appeal should be allowed and the judgment of Chester Orr J.
dismissing the application restored; that the respondents must pay the
appellant’s costs before the Board and in the courts below; and that they would
deliver their reasons later, as they now do.
2. In
this appeal from Jamaica the parties own and have their homes on adjoining
properties, each of about three-quarters of an acre, in Forest Hills, a
residential area of almost 600 acres in the suburbs of the City of
Kingston. The properties are two of six
lots together making up a block within which the registered titles are subject
to and enjoy the benefit of a number of restrictive covenants. Two of these covenants are directly relevant
to the present case, namely:-
“1.There
shall be no subdivision of the said land.
2.No building of any kind other than a
private dwelling house with appropriate outbuildings appurtenant thereto and to
be occupied therewith shall be erected on the said land and the value of such
private dwelling house and outbuildings shall in the aggregate not be less than
One Thousand Pounds.”
3. The
present respondents, Mr and Mrs. Brown (the applicants), own lot 12. They wished to subdivide it into two lots of
about 15,000 and 16,000 square feet respectively, and to build on the second
lot so created a three-storey, five-bedroom, four-bathroom house, with the
result that on the land being hitherto lot 12 there would be two substantial
houses. In fact the second house has
now been built, in the circumstances hereinafter explained, and what is in
issue is whether the first covenant should be modified to permit the
subdivision. Having obtained the
necessary town planning approval, the applicants applied to the Supreme Court
for modification of that covenant. The
application came to be opposed by the present appellant, Mr. McMorris (the
objector), whose land is lot 12A.
4. In
a judgment delivered on 29th July 1994 Chester Orr J. dismissed the
application, but in judgments delivered on 20th December 1995 the Court of
Appeal (Carey, Forte and Gordon JJ.A.) allowed an appeal by the applicants,
ordering that the first covenant be modified to read as follows:-
“There
shall be no subdivision of the said land … SAVE and EXCEPT into two lots for
residential purposes.”
5. By
leave of the Court of Appeal, the objector now appeals to Her Majesty in
Council, seeking restoration of the Supreme Court decision.
6. The
jurisdiction to modify such covenants is conferred in Jamaica by section 3(1)
of the Restrictive Covenants (Discharge and Modification) Act (No. 2 of 1960)
which provides:-
“3.-(1) A Judge in Chambers shall have power, from
time to time on the application of the Town and Country Planning Authority or
of any person interested in any freehold land affected by any restriction
arising under covenant or otherwise as to the user thereof or the building
thereon, by order wholly or partially to discharge or modify any such
restriction (subject or not to the payment by the applicant of compensation to
any person suffering loss in consequence of the order) on being satisfied –
(a)that
by reason of changes in the character of the property or the neighbourhood or
other circumstances of the case which the Judge may think material, the
restriction ought to be deemed obsolete; or
(b)that
the continued existence of such restriction or the continued existence thereof
without modification would impede the reasonable user of the land for public or
private purposes without securing to any person practical benefits sufficient
in nature or extent to justify the continued existence of such restriction, or,
as the case may be, the continued existence thereof without modification; or
(c)that
the persons of full age and capacity for the time being or from time to time
entitled to the benefit of the restriction whether in respect of estates in fee
simple or any lesser estates or interests in the property to which the benefit
of the restriction is annexed, have agreed, either expressly or by implication,
by their acts or omissions, to the same being discharged or modified; or
(d)that
the proposed discharge or modification will not injure the persons entitled to
the benefit of the restriction:
7. Provided
that no compensation shall be payable in respect of the discharge or
modification of a restriction by reason of any advantage thereby accruing to
the owner of the land affected by the restriction, unless the person entitled
to the benefit of the restriction also suffers loss in consequence of the
discharge or modification, nor shall any compensation be payable in excess of
such loss.”
8. This
section is modelled on section 84(1) of the Law of Property Act 1925 (U.K.) as
that subsection stood until amended and recast in 1969. One of the changes made in England in 1969
was a liberalisation of the ground corresponding to the Jamaican ground
(b). For “the reasonable user” there
was substituted in England “some reasonable user”.
9. The
Jamaican provisions were considered by their Lordships’ Board in Stannard v.
Issa [1987] AC 175 in a judgment delivered by Lord Oliver of Aylmerton,
where it was accepted that under the Jamaican (b) as it stood then and still
stands the applicant has the burden of showing that the user permitted by the
covenant is no longer reasonable and that another user which would be
reasonable is impeded. In that case
there was no evidence of any difficulty in developing the land or disposing of
it for development within the framework of the existing restrictions. Thus they did not sterilise the land. It was not enough that the applicant’s
proposal was one which would lead to a reasonable user of the land, having
regard to current pressures of population and current notions of optimum
density.
10. To
see the present case in perspective it is important to remember that (b)
remains unamended in Jamaica. One
consequence of this statutory position is that some of the statements in the
applicants’ affidavits have little relevance to the exercise of the
jurisdiction - such as averments that there is a severe shortage of prime land
for residential purposes in the area; that approximately half an acre at the rear
of their land is under-utilised; and that to subdivide the land will make it
more useful and assist their family in overcoming the hardships occasioned by
the housing shortage and high land and housing costs. The Jamaican legislature has not seen fit to make considerations
of that kind a ground for discharge or modification of covenants under the
statute, although no doubt they will rightly encourage the exercise of the
discretion once a ground is made out. Their relevance to the prescribed grounds
is at best limited. As to any
suggestion that they might be relevant under (a), a restriction tending to
preserve the quality of a particular environment is clearly not to be deemed
obsolete because it frustrates proposals which, were it not for the covenant, would
seem entirely reasonable.
11. So
it is not surprising that, faced with an omnibus application invoking all four
grounds, the four judges in Jamaica who have sat in the case were unanimous in
rejecting (b) and three of them rejected (a) also. The exception was Gordon J.A., who considered that “the
neighbourhood” for the purposes of the Act extended to the nearby development
known as Shaker Heights. He said that,
since the deposit of the subdivision plan of Forest Hills in 1949, the
neighbourhood as defined by him, while consisting predominantly of single
dwelling houses, had changed in character because many of those in Shaker
Heights were on much smaller plots than originally provided: instead of a house
to an acre, there were in parts four to an acre.
12. Their
Lordships find it unnecessary to determine the precise boundaries of “the
neighbourhood”. Whether or not it
extends to the whole of Shaker Heights, or at least to certain properties there
(as the judge at first instance thought), the salient fact remains that within
the block where the parties have their properties the integrity of the
covenants has been intact. Their
Lordships do not doubt that, as held by the majority of the Jamaican judges,
changes in the character of the neighbourhood have not rendered the
restrictions in the block obsolete.
Indeed Mr. Morrison Q.C. for the respondents did not argue otherwise on
the present appeal. The argument on the
appeal turned on grounds (c) and (d).
13. In
order to deal with these grounds it is necessary to recount some history. In 1990 Mr. Brown told Mr. McMorris that he
intended to subdivide his land. As to
the reaction of Mr. McMorris the affidavits are in conflict. According to him, he expressed total
disagreement. According to Mr. Brown,
Mr. McMorris indicated that he had no objection as long as Mr. Brown
constructed a bungalow on the land, and even gave Mr. Brown the names of an
architect and of a building society as a suggested source of finance. While this conflict cannot now be resolved,
it is to be noted that the house later constructed is much more than a
bungalow.
14. In
February 1990 Mr. Brown applied to the Government Town Planner for permission
to subdivide in accordance with plans submitted. Permission was granted on 6th June 1990. It is not suggested that at the time Mr.
McMorris was given notice of that application or the permission. On or about 17th November 1990 a surveyor’s
notice was hand-delivered to the residence of Mr. McMorris indicating that a
survey of Mr. Brown’s land was to be carried out. Mr. McMorris says that he instructed a firm of land surveyors to
be present to protect his interest, and that he awaited notice of the
subdivision. Again, however, he was not
served, either personally or otherwise, with any application for modifying the
covenant against subdivision.
15. But
in November 1990 the applicants also applied to the Supreme Court for
modification of the first covenant. On 7th December 1990 an Acting Master
ordered that notice be served on four registered proprietors identified by the
applicants as entitled to the benefit of the restriction, including Mr.
McMorris. Unfortunately the notice for
Mr. McMorris was sent by registered mail addressed to him at an incorrectly
numbered Kingston post office. During
the argument of the present appeal it was said, too, that he should have been
served personally, no order having been made for substituted service. Be that as it may, it is not in dispute that
Mr. McMorris did not in fact receive notice of the proceeding. On 8th March 1991 the Acting Master, having
heard only counsel for the applicants, ordered that the covenant be modified to
allow subdivision into two lots for residential purposes.
16. On
25th April 1992 Mr. McMorris, whose land is on a higher level than that of the
applicants, saw that construction of a building on their land had started.
There is no evidence of any direct communication between the parties after
that, nor any explanation of the apparent and perhaps surprising lack of direct
communication. But on 28th April 1992
Mr. McMorris wrote to the Government Town Planner enquiring whether Mr. Brown
had permission to subdivide and, if so, whether notice of the town planning
application should not have been given to Mr. McMorris. He emphasised that the matter was serious
and urgent. Receiving nevertheless no
reply, he wrote again on 19th May 1992.
The letter indicates that he had in the meantime learnt from the Town
Planning office in a telephone conversation that planning approval had been
granted on the understanding that Mr. Brown would take the necessary steps to
have the covenant removed. Again in his
second letter Mr. McMorris stressed the need for an early reply, as Mr. Brown
was “proceeding vigorously with his construction programme”.
17. About
this time Mr. McMorris also consulted his attorneys, who reported to him on 1st
June 1992 that the title of the applicants had been modified in 1991 to allow
for the subdivision, and that a new certificate of title had been issued for
the second lot. On his instructions the
attorneys then searched the court file, discovering the order for service and
an affidavit of service by registered mail; but, as already mentioned, the
address had been wrong. On 19th August
1992 Mr. McMorris by his attorneys filed an application in the Supreme Court
for orders that he be joined as a defendant in the earlier proceeding and that
the order of 8th March 1991 be set aside on the ground that it was irregularly
and/or fraudulently obtained. In
justice to the applicants it should be recorded that no suggestion of fraud has
been pursued. There is every reason to
accept that they proceeded in good faith on the assumption that Mr. McMorris
had been properly served.
18. There
is no need to detail much of the subsequent prolonged history of the case,
since it has not been suggested that there was any want of due diligence on the
part of Mr. McMorris after the filing of his setting aside application. Suffice it that on 2nd October 1992 after a
contested hearing the Master did order that the order of 8th March 1991 be set
aside. Subsequently further affidavits
were filed on both sides, including on the applicants’ side affidavits from
three other neighbouring registered proprietors confirming that they consented
to the application. Eventually Chester
Orr J. dismissed the application, finding none of the statutory grounds
established. On 2nd September 1992 and 26th
April 1993 Mr. McMorris had obtained interim injunctions restraining the continued
construction of the building. Whether
any construction was carried out in breach of either injunction was not
explored before their Lordships, and it is to be noted that already by October
1992 the building had reached roof height and a substantial part of the roof
had been completed. What is clear is
that after they were served with the application of 19th August 1992 the
applicants completed the construction at their own risk, in the knowledge that
Mr. McMorris was pursuing an objection to the subdivision.
19. The
appeal of the applicants to the Court of Appeal was heard on 6th, 7th and 8th
March 1995 and continued on 2nd, 3rd, 4th and 5th October and 20th December
1995. On the resumption of the hearing
on 2nd October there was before the court affidavit evidence from the
applicants that in the meantime Mr. McMorris had caused a certain building to
be added to his own property. In part
evidently a conversion of an existing outbuilding, it is a comparatively modest
two-storey structure, consisting of a bedroom, bathroom, living room and powder
room. Mr. McMorris deposed in reply
that it is merely an extension of his dwelling house, to which it is connected
by a tiled patio. It is occupied by his son and possibly the
latter’s partner. Mr. McMorris said
that he was advised by his attorneys that it was not a breach of the
restrictive covenants; and that he did not intend to apply for a subdivision of
his title.
20. Photographs
of this building are in evidence. In
size it is certainly in no way comparable with the large second house on the
applicants’ land. Carey J.A. likened it
to a lodge appurtenant to the main dwelling house. The analogy of a “granny flat” might also be suggested. Whether
it could lead to an approved subdivision of the objector’s land appears highly
doubtful. Conduct by an objector can
show that his objection is frivolous or vexatious - that is to say, the kind of
objection which in Ridley v. Taylor [1965] 1 W.L.R. 611, 622, Russell
L.J. regarded the provision which is ground (d) in Jamaica as intended to
cover. Or, no doubt, it could otherwise
disqualify an objector from maintaining that a statutory ground of application
is not made out. But their Lordships do
not see the conduct of this objector in that light. They are far from satisfied that this structure is more than a
permissible outbuilding. Its effect on
the character of the neighbourhood would seem negligible. For these reasons it
cannot be a significant factor in the determination of the present appeal.
21. Their
Lordships were given to understand by counsel, however, that on the resumption
of the appeal hearing on 2nd October 1995 the judges of the Court of Appeal
indicated that they were unfavourably impressed with the conduct of the
objector in adding this building. Such
was the prevailing curial atmosphere in which counsel for the objector, Mr.
Hylton Q.C., made a concession which came to play no small part in the Court of
Appeal’s decision. The tenor of the
concession was that Mr. McMorris was objecting, not to the applicants’ new
house, but to the subdivision. It seems
that the precise words of the concession were not recorded in any note that
could be made available by counsel to their Lordships. Counsel’s recollections differ. Mr. Hylton himself says that he meant to
convey only that, because the new house was now a fait accompli, the
objector realistically recognised that he would have no prospect of obtaining
an order for its demolition. Mr.
Wright, who led for the applicants before the Court of Appeal, says that he
understood Mr. Hylton to have intimated that the objector never had any
objection to the second house, only to the subdivision. It is agreed, though, that the reference in
one of the Court of Appeal judgments to Mr. McMorris being “not troubled” by
the second house does not reproduce Mr. Hylton’s actual language. Possibly the objector’s position is best
summarised in the paraphrase of Gordon J.A. - “I can accept and live with 2
houses on an undivided lot, I object to modification of the covenant [not] to
subdivide the lot”.
22. At
all events the concession had much influence in the Court of Appeal. Carey J.A. said that but for it he would
have had little hesitation in dismissing the appeal. He thought that it
destroyed all arguments that modification of the first covenant as sought would
injure the objector. He rejected all
the other grounds relied on by the applicants, holding that the application
should succeed under (d) only. The
judgments of Forte J.A. and Gordon J.A. were more widely reasoned. Both upheld (d), treating the concession and
the building by the objector himself as relevant. In addition Forte J.A., although ultimately basing his conclusion
on (d), held that the objector, whom he described as having “remained dormant
for over 12 months”, had impliedly consented to the modification, at least
until he applied to have it annulled.
Gordon J.A., as well as holding the restrictions obsolete, expressly
found that the objector by his laches had impliedly consented to the
modification, on which view ground (c) was also established. The question becomes whether these somewhat
various ways of establishing jurisdiction to grant the application are correct.
23. With
great respect to the Court of Appeal’s sense of the merits of the case, their
Lordships are unable to agree with their conclusion. The subject of acquiescence by delay appears to have played no
part in the oral argument before Chester Orr J., as distinct from being
possibly covered by the formal and general terms of the application and a
supporting affidavit. On such evidence
as is before the courts, the objector had no reason to suspect anything amiss
until the building work on the applicants’ land began in late April 1992. He did not learn of the application to
modify the covenant against subdivision and its success until early June
1992. He applied to the Supreme Court
on 19th August 1992. At the worst his
delay was of the order of four months, and he was by no means inactive during
that period. An objector who sees
building going on apace next door in apparent breach of covenant is of course
well advised to move with expedition.
Otherwise, in terms of (c), his omission exposes him to a risk of a
finding of implied consent. But
everything turns on the particular facts.
24. Here
it is perhaps arguable that, as far as the building itself was concerned, four
months was unreasonable in the circumstances.
Yet, even if that were so, it would be relevant primarily to whether the
objector could still seek to uphold the covenant against building more than one
dwelling house. The applicants have
never sought to have that covenant modified, presumably being content that it
should apply in future to each of their proposed new lots. As was made clear by the concession, the
objector is not complaining of the new house as such, merely of the
subdivision. In the light of the
history their Lordships consider that it would be over-strict to impute to him
implied consent to the subdivision.
Ground (c) is therefore not established.
25. As
to ground (d), the question is whether it has been shown that the proposed
modification will not injure the persons entitled to the benefit of the
restriction. The consents of other
owners do not affect the objector’s right to contest this ground. A familiar and at times legitimate argument
in this branch of the law is known as the thin end of the wedge argument. Other expressions are sometimes coupled with
it, such as “the first is the worst”.
It is an argument which has prevailed in Jamaica in earlier cases, notably
Stephenson v. Liverant (1972) 18 W.I.R. 323, 337, per Smith J.A. and Earl
v. Spence (unreported, 22nd June 1992; Court of Appeal of Jamaica (Supreme
Court Civil Appeal No. 69/1989)), pages 6 to 8, per Rowe P. These decisions have accepted that cases may
arise in which it is very difficult to say that the particular thing which the
applicant wishes to do will of itself cause anyone any harm; but that harm may
still come to the persons entitled to the benefit of the restriction if it were
to become generally allowable to do similar things. Or such harm may flow from the very existence of the order making
the modification through the implication that the restriction is vulnerable to
the action of the Lands Tribunal in England or the Supreme Court in Jamaica. The Jamaican judges have cited to that
effect a passage in Preston and Newsom on Restrictive Covenants Affecting
Freehold Land, fourth edition (1967) page 185. That passage has not been carried through to the latest edition
of that work - the eighth edition (1991) - but there is a passage to the like
effect at page 282 of this edition, based on Re Teagle’s and Sparkes’
Application (1962) 14 P. & C.R. 68, 73.
26. Their
Lordships find more recent decisions of the Lands Tribunal in England in the
same line of cases collected in Maudsley and Burn’s Land Law: Cases and
Materials, seventh edition (1998) page 926. It appears that, while occasionally the Tribunal has been content
to leave future issues until they actually arise, the prevailing approach is as
indicated in Re Snaith and Dolding’s Application (1995) 71 P. & C.R.
104, 118. That case has some similarity
to the present on the facts, although there the applicants were seeking
modification of a covenant against the erection of more than one house on a
lot. It was described in the decision
at page 117 as being in “a well-laid out and opulently spacious residential
estate”. The applicants wished to build
a second house on their two-acre plot.
Houses nearby had already been built to a similar density, but Judge
Bernard Marder Q.C., President, observed at page 118 that this rendered it more
rather than less important to preserve the character of the stretch of land in
which the properties of the applicants and the objectors were situated. He continued:-
“The
position of the Tribunal is clear. Any application under section 84(1) must be
determined upon the facts and merits of the particular case, and the Tribunal
is unable to bind itself to a particular course of action in the future in a
case which is not before it: see Re Ghey & Galton [1957] 2 Q.B. 650;
9 P. & C.R. 1 and Re Farmiloe
(1983) 48 P. & C.R. 317. It is
however legitimate in considering a particular application to have regard to
the scheme of covenants as a whole and to assess the importance to the
beneficiaries of maintaining the integrity of the scheme. The Tribunal has frequently adopted this
approach. See for example Re Henman
(1972) 23 P. & C.R. 102; Re Saviker (No. 2) (1973) 26 P. & C.R.
441; and Re Sheehy (1992) 63 P. & C.R. 95.
27. Insofar
as this application would have the effect if granted of opening a breach in a
carefully maintained and outstandingly successful scheme of development, to
grant the application would in my view deprive the objectors of a substantial
practical benefit, namely the assurance of the integrity of the building
scheme. Furthermore I see the force of the argument that erection of this house
could materially alter the context in which possible future applications would
be considered.”
28. Their
Lordships adopt that approach as correct in principle under the English and the
Jamaican statutes alike.
29. On
that approach, notwithstanding that the present objector is content to put up
with the second house on the applicants’ land, he is entitled to preserve the
integrity of the covenant against a subdivision which would create separately
saleable registered titles. The onus is
on the applicants to show that a first relaxation of that covenant would not
constitute a real risk as a precedent, so disturbing the pattern of a block of
family homes in exceptionally extensive grounds. Bearing in mind the subdivisional
tendencies and pressures for housing sites in Forest Hills generally, their
Lordships cannot treat the onus as discharged.
Indeed the judgment of Gordon J.A., with its emphasis on changes in a
wider neighbourhood (including modifications of covenants applying to 17 lots),
underlines the risk. As a matter of
private property law, the objector cannot be said to be unjustified in the
stand that he has chosen to take to protect this comparatively small and
unusually spacious enclave from any fragmentation of titles. Ground (d) is therefore not established
either. The covenant will stand
unmodified.
© CROWN COPYRIGHT as at the date of judgment.