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You are here: BAILII >> Databases >> United Kingdom Journals >> Recovering Lost Legacies : <I>White</I> v. <I>Jones</I> in the Lords URL: http://www.bailii.org/uk/other/journals/WebJCLI/1995/issue1/hedley1.html Cite as: Recovering Lost Legacies : <I>White</I> v <I>Jones</I> in the Lords |
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Copyright © 1995 Steve Hedley. First published in Web Journal of Current Legal Issues in association with Blackstone Press Ltd.
White v Jones, [1995] 1 All ER 691, HL holds that a solicitor retained to draw up a will, but who fails to do so before the testator's sudden death, may owe a duty in tort to disappointed beneficiaries, with the result that they can claim the value of their lost legacies from the solicitor if they can establish fault. This result is significant for what it says about current judicial attitudes to liability in negligence. The points that the claim is for pure economic loss, or involves a tort liability in a sphere where contractual claims would be more usual, or that the precedents for the claim are poorly-argued or even non- existent, are today of no substantial weight, being mentioned by the lords only to dismiss them contemptuously. The question is no longer whether the courts are prepared to countenance novel claims of pure economic loss, but rather of how rapidly they are prepared to extend the class of plaintiffs.
How to handle this dilemma ? The slow steady increments of the tort of negligence in the 1960s and 1970s culminated in the path-breaking decisions of Anns v. Merton LBC [1978] AC 728, HL and Junior Books v. Vietchi Co [1983] 1 AC 520, HL. But these cases were too much for some tastes, and over the 1980s they were slowly whittled away. This development culminated in the overruling of the Anns decision in Murphy v. Brentwood DC [1991] 1 AC 398, HL. Reaction to Murphy v. Brentwood is now setting in. The tone of debate has changed out of all recognition; as Lord Goff put it, "No problem arises by reason of the loss being of a purely economic character" ([1995] 1 All ER 711a). Even the dissenting lords seemed to accept that the question is not whether the tort of negligence will be permitted to expand, but how fast and on what terms. But equally, the past has left its mark. The analysis in Anns and Junior Books is too sloppy for modern tastes; so while the issue in this case had come up before, in Ross v. Caunters [1980] Ch 297, ChD, it was accepted that Megarry VC's analysis of the issues (very full by the standards of his time) did not reach the really important questions. "It is better to start again" (Lord Mustill, [1995] 1 All ER 725a).
It is fair to say that the quality varies. Lord Nolan's speech glosses over many of the problems, and adds little or nothing to the other majority judgements; while Lord Keith's dissent, a stout defence of acting only on principled analogy to existing law, has a rather futile air about it, as if he were running up the white flag. The juggernaut of Lords Goff and Browne-Wilkinson will not be delayed by considerations of this nature. It may however be slowed or even stopped by arguments of the type deployed by Lord Mustill. And it is in these three speeches that the meat of the reasoning will be found. Whether the difference between these three lords turns out to be of fundamental legal importance is at present an open question. Lord Mustill himself was quite open about the core reason for the disagreement here : Goff and Browne- Wilkinson thought the facts of the case cried out for a remedy, but he did not. This question of fairness, and the assumptions on which it is based "dominate the landscape within which the whole enquiry takes place" ([1995] 1 All ER 719b).
Moreover, we cannot view the case alone. To compare it with Henderson v. Merrett Syndicates [1994] 3 All ER 506, HL, is no mere exercise in abstract analysis. Henderson was argued before the same panel of law lords, slightly after the argument in White v. Jones. Judgement in Henderson was however delivered considerably earlier, perhaps because (as was rumoured in the legal press) the lords could not agree on the result of White v. Jones, whereas they were unanimous in Henderson.
The facts in Henderson are remote from those in White v. Jones: essentially, the question was whether Lloyds' "names" could sue the firms that had managed their assets, even though many of those agents were not directly liable to the "names" in contract, but only indirectly down a chain of contracts. But similar legal issues bubble under the surface of that case, and the ominous stillness of the unanimous judgement in favour of the "names" turns out to conceal major differences. Lord Goff gave the main judgement, finding liability in tort; Lord Browne-Wilkinson concurred, adding a brief explanation of why action also lay in equity; and the other three members of the court simply concur without further comment.
This particular bird has come home to roost with alarming rapidity. In White v. Jones, Lords Goff and Browne-Wilkinson repeat their double- act, though here it is even harder to see how the two routes to liability - Goff's route via negligence and contract, Browne-Wilkinson's via the law of fiduciaries - can both be right. And Lords Mustill and Keith, while distinguishing Henderson rather than dissenting from it, do so on grounds which suggest that they disapprove of most of what was said in the speeches in that case. This means war. A House of Lords that can disagree so radically over what they themselves decided six months previously are quite capable of re-writing the entire law of negligence within a decade - but are more likely to leave it a heap of rubble.
All this was powerfully disputed by Lord Mustill. It was not enough, he said, simply to lay at the door of the defendants "what is called 'fault'", a lazy phrase that obscured the question whether the plaintiffs had a right to complain about the quality of the services the defendant supplied to their father. "[L]egal fault cannot exist in a vacuum; the person who complains of it must do so by virtue of a legal right" ([1995] 1 All ER 720a).
In fact, there had been considerable contact between the daughters and the solicitors, and Lord Nolan at least was prepared to rely on this to rebut the argument that there was insufficient proximity ([1995] 1 All ER 736eg). But for the rest of the court, and certainly for the true defendants, the Solicitors' Indemnity Fund, the issue was of more general import. "The case has been conducted throughout on the basis of a stark choice between a duty of general application or no duty at all, and it cannot I believe be right to admit of an intermediate solution which has never been investigated on either the facts or the law" (Lord Mustill, [1995] 1 All ER 733gh).
A large amount of space is devoted in the speeches of their lordships to the law of contract, which is surprising given that the plaintiffs had not relied on contract. Yet valuable points emerge from this. For Lord Mustill, if the claim was good at all it had to be contractual; after all, the solicitor had only become involved in the matter at all as a result of his contract, and no-one had argued that he was bound to do anything beyond what his contract specified ([1995] 1 All ER 721j). Lord Goff, noting that German law gives a remedy to such plaintiffs via a contractual route, noted that nonetheless in English law this route was firmly blocked by the common law notions of consideration and privity. "Attractive though this [contractual] solution is .. I myself do not consider that the present case provides a suitable occasion for reconsideration of doctrines so fundamental as these" ([1995] 1 All ER 708fh).
This sounds very unlike whole-hearted acceptance of these common law notions, and suspiciously like a covert declaration of war, induced by a prudent need to gather allies and resources against the day when the declaration can safely be made publicly. It is too often forgotten that in such a doctrinal battle a judge needs allies not simply on the bench but also from the bar; whether this coded plea for support bears fruit remains to be seen.
Lord Goff conceded that the transferred loss claim in Leigh and Sillavan had failed, the lords so deciding contrary to Goff's own judgement in the Court of Appeal (at [1985] QB 350, 382). But then what had happened ? Legislative action was taken to correct the law; the newly-ennobled Lord Goff had the honour of introducing to the (legislative) House of Lords the bill which became the Carriage of Goods by Sea Act 1992. The consequence of the (judicial) lords' refusal to recognise the action, therefore, was merely that the lacuna in the law was filled by statute rather than common law ([1995] 1 All ER 707d). This obviously wasteful process of deciding wrongly and then having the legislature intervene, he seems to be saying, should be cut short. So while this case was not quite one of transferred loss, nor quite like The Albazero, nonetheless it was closely analogous, and the claims of justice were compelling.
Lord Browne-Wilkinson placed more emphasis on equitable aspects. The Hedley Byrne case, he claimed, could not be understood without realising that it concerned only one of two categories of "special relationship" giving rise to a duty of care; the other being the category of fiduciary duties. And it could not be said that duties were only owed to people you knew or had contact with, for many fiduciary duties are not so restricted - fiduciaries can owe duties to people who do not yet even exist, as where a trustee holds property for the children of X, who is so far childless. The true rule, said Browne-Wilkinson, is that where a duty exists, it is a duty to do a particular job, so a finding of liability here involved no great extension of the authorities. The defendants had assumed a duty to write Arthur Barratt's will, in the knowledge that the plaintiffs' economic well-being was under threat if they did not; and that was enough.
This is no narrow semantic point. It cuts straight to the crucial issue : Does tort have a role in defining and policing the duties that professionals owe ? Or should this be left to be hammered out between individuals firms, their clients, and the relevant professional bodies ? Lord Mustill plainly thinks the latter. "The purpose of the courts [is] not to act as second-line disciplinary tribunals imposing punishment in the shape of damages" ([1995] 1 All ER 720d). Whereas Lord Goff called attention to the considerable numbers of claims of this type, and emphasised the class of practice they seemed to affect : the typical case involved a relatively small amount of money, being claimed from a relatively small firm. So clients at the poorer end of the market are effectively being denied an effective means of leaving their property by will, and if solicitors wish to retain their high professional status in contemporary society, they should regard a willingness to compensate this class of plaintiffs as part of the price they have to pay for this status ([1995] 1 All ER 702eh). No-one seems to have thought it worth-while to argue that the less the clients pay, the lower the quality of service to which they are entitled. This is perfectly good contract law, but it is hardly a point that a dignified profession cares to emphasise, and on the facts it did not arise. Nonetheless, Lord Goff seems to be involved in a campaign to limit the damage such an argument might do.
Secondly, the step-by-step approach is being combined with a relatively sophisticated enquiry into the consequences of the particular step in issue, but with little thought for the broader picture. This is good in the limited sense that each new extension of the law will receive careful consideration. But a further, almost inevitable consequence will be the appearance of turmoil, as the lords constantly reminded themselves that what makes sense in one context may make none in others.
The treatment of Henderson v. Merrett, I suggest, is a fair sample of what is to come. Within only a few months of the original decision, we find the very same panel of judges taking it to stand for very different propositions; and Lords Keith and Mustill, happy at the time simply to concur in the result, now seek to "explain" the case on grounds bearing little resemblance to those appearing in the law report.
There is nothing intrinsically wrong with this. But it makes a nonsense of the "principled" way in which the subject is expounded most of the time, and indeed makes the house of lords come to resemble a mini- Law Commission, reconsidering micro-portions of the common law and re-writing them to accord with current feeling - and all this without seeking Parliament's approval. Whether that is good or bad is rather a large question. But it is not at all what our language, our legal rhetoric and our law books say is going on.
And whatever one thinks of the result, Lord Mustill certainly hit the nail on the head by calling attention to the position in property law ([1995] 1 All ER 720e) : if we are truly convinced that the will admitted to probate does not reflect Arthur Barratt's wishes at the time of his death, why admit it to probate at all? And as Lord Nolan mischievously noted, no-one quite knows what Arthur Barratt's will would have contained had he been disposing of not only his own assets, but also a further stlg.18,000 free of inheritance tax, courtesy of the Solicitors' Indemnity Fund ([1995] 1 All ER 734j).
That being so, the grounds so often urged against the decisions in Anns and Junior Books, and which have led to their currently low status, now seem rather tired and feeble. What could be said against either result that could not equally be said of Henderson, or of White? Or is the true view that solicitors have a higher status in society than do builders, and must accordingly be prepared to compensate a wider range of plaintiffs ? This question will no doubt be re-posed to their lordships in the not-too- distant future.