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England and Wales Court of Appeal (Civil Division) Decisions |
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You are here: BAILII >> Databases >> England and Wales Court of Appeal (Civil Division) Decisions >> Sweetman v Nathan & Ors [2003] EWCA Civ 1115 (25 July 2003) URL: http://www.bailii.org/ew/cases/EWCA/Civ/2003/1115.html Cite as: [2004] PNLR 7, [2003] EWCA Civ 1115 |
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COURT OF APPEAL (CIVIL DIVISION)
ON APPEAL FROM THE HIGH COURT OF JUSTICE
QUEEN'S BENCH DIVISION (STANLEY BURNTON J)
Strand, London, WC2A 2LL |
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B e f o r e :
LORD JUSTICE WALLER
and
LORD JUSTICE DYSON
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SWEETMAN |
Claimant/ Appellant |
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- and - |
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NATHAN & ORS |
Defendants/Respondents |
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Smith Bernal Wordwave Limited, 190 Fleet Street
London EC4A 2AG
Tel No: 020 7421 4040, Fax No: 020 7831 8838
Official Shorthand Writers to the Court)
Michael Pooles QC & Matthew Jackson (instructed by Beachcroft Wansbroughs Solicitors) for the Defendants / Respondants
____________________
AS APPROVED BY THE COURT
CROWN COPYRIGHT ©
Crown Copyright ©
Lord Justice Schiemann :
Introduction
The factual background
i) a sum of £1.5M payable on completion and
ii) half of any profit made on any resale ("the Shawdale Profit Share").
i) Coutts made a loan ("the Second Loan") of £1.5M to Mr Sweetman for the purpose of buying out the Shawdale Profit Share.
ii) Ms Shawdale agreed to release her claim to the Shawdale Profit Share in return for the immediate payment of £200K
iii) Contracts for the sale of the land were exchanged. The buyer however was not Darvist but a shell company without substance which had the name of Darvis. The final T was missing.
What happened to the £1.5M provided by the Second Loan?
i) £618,325 went to him
ii) £525,000 was lent to Darvis so as to enable Darvis to pay the deposit for the purchase of the land. This money went to Nathan. According to Mr Sweetman's statement, Nathan retained £441,667. Presumably the remaining £83,333 went to Mr Sweetman.
iii) £250,000 went to Ms Shawdale
iv) £190,312.50 went to Mr Corbett
Coutts' attempts to regain the £3.1M which they had lent to Mr Sweetman
i) He required £1.5M to buy out Ms Shawdale
ii) That the purchaser was Darvist, a reputable company of substance.
Mr Sweetman's position
The Shepherds proceedings
11. Is this Re-litigation?
We return now to the facts of this case. At first sight it does look as though re-litigation is not an issue here. The claimant says that he was deceived by Roberts substituting Darvis for Darvist. In order to prove that deceit it is not necessary for him to contradict Mr Dehn's finding that the claimant obtained £1.5 million from Coutts by means of his false representation that such money was required to buy out Miss Shawdale. That was [counsel for Mr Sweetman's] starting point, . But it is unrealistic. As [Counsel for Shepherds] demonstrated in the course of his submissions, by reference to the statement of claim, all of the losses which the claimant seeks to recover by way of damages in this action can be traced back to the second Coutts loan. As Toulson J said in Standard Chartered Bank v Pakistan National Shipping Corporation No3 [1999] 1 Lloyds Rep 747 at 758 a claimant "cannot recover for a loss avoidable by reasonable action on his own part because, if he could reasonably have avoided it, it will not be regarded as caused by the wrongdoer". The point can be put in other ways but for the present purposes that will suffice. Essentially the situation here was that the claimant needed the second Coutts loan in order to proceed to exchange of contracts, and his liabilities to Ms Shawdale and others only arose when that exchange took place. So, as [Counsel for Mr Sweetman] frankly conceded at one stage in his reply, it would be very difficult for the claimant to pursue this case if he was unable to displace the Dehn finding. In our judgment that was entirely realistic. Thus the judge's reasons for finding as he did in favour of the claimant on the re-litigation issue are not, in our judgment, persuasive, but of course the question remains as to whether if this is in substance even if not in form re-litigation, it should nevertheless be permitted.
13. Should Re-litigation be permitted?
There are, as it seems to us, three points to be made in favour of allowing re-litigation. The first is that before Mr Dehn the proceedings were summary, an application for judgment under Order 14, the present claimant was unrepresented, and because he already had judgment against him he had relatively little interest in defending. Although he gave evidence briefly he was not cross-examined, and there seems to have been no oral evidence from other potential witnesses such as Brown, Nathan or Sugars. Mr Dehn's conclusion must therefore be regarded as of lesser weight than, for instance, the decision of the trial judge and the jury in Hunter v Chief Constable of West Midlands Police [1982] AC 529.
Secondly, although if properly represented the present claimant could have raised against his co-defendants in the Coutts action the claim which he now seeks to pursue, his failure to do so does seem to be attributable to his own inexperience of legal procedure rather than any deliberate holding back.
Thirdly, and perhaps most significant, the claimant is now seeking to prove that Roberts was dishonest towards him, an allegation which was not litigated at all before Mr Dehn. If it can be proved then, as Mr Davidson accepts, the defendants must accept liability under the provisions of the Partnership Act unless Mr Roberts was not acting as a partner as alleged at paragraph 2(d) of the Defence.
Turning now to the arguments against permitting re-litigation, it seems to us that they can be put under four heads - first, as we have already said, Mr Dehn, sitting as a Deputy High Court judge, was the right forum to decide whether Coutts was defrauded by the present claimant. He had the right parties before him, and gave judgment seven years ago, at a time when if oral evidence was to be called and explanations given the evidence would have been much more compelling than it will be now if this action is allowed to proceed. Furthermore, it is clear that Mr Dehn did all he could to investigate thoroughly the issues before him, and gave the present claimant every possible opportunity to put his case.
Secondly, on the information before him Mr Dehn's conclusion, which was never appealed, appears to have been correct. Despite the subsequent verdict of a jury, and the filing of affidavits, it seems to us that the present claimant will have considerable difficulty in establishing that he was not a party to at least some deceit of Coutts. As can be seen from the authorities, where there is re-litigation dishonesty is an additional factor militating in favour of a finding of abuse of process, but here it cannot be decisive because it is that very finding of dishonesty which the claimant seeks to set aside.
Thirdly, although the defendants are in law answerable for some of the acts of their former partner, the court has a duty to see that litigation is properly conducted so as to enable all defendants and insurers, and particularly those defendants who are only at risk of being held liable vicariously, to discharge their liabilities in an orderly fashion, and to get on with their lives. Here the defendants settled with Coutts many years ago, and the present claimant's three year period as a bankrupt does not seem to us to be anything like a satisfactory reason for the delay in prosecuting this claim.
Finally we are not satisfied that even now the claimant is being frank with the court. We are not told how this action is being funded, or who is to benefit and to what extent from any award of damages. There is the possibility that his case is simply an improper attempt to use the threat of expensive litigation to extract a settlement from the defendants or their insurers.
In our judgment the arguments in favour of a finding of abuse of process are powerful, but not completely overwhelming. As we remind ourselves the burden of proof is on the defendants, and the court must be assiduous not to strike out a claim which may be meritorious, even though the prospects of it being so are remote."
The present proceedings
i) Nathan negligently failed to alert Mr Sweetman to the change of name from Darvist to Darvis and to the worthlessness of the latter
ii) The defendants at all material times were Nathan's partners and liable for his breaches of obligations owed to Mr Sweetman
iii) Mr Sweetman in reliance on having a bona fide purchaser borrowed the Second Loan of £1.5M from Coutts, paid £250,000 to Miss Shawdale in order to obtain her release to her claim to the Shawdale Profit Share, and paid £190,000 to Mr Corbett as an advance in respect of the Corbett Commission
iv) Nathan knew or ought to have known that Mr Sweetman would act as set out in the preceding sub-paragraph
v) Mr Sweetman had suffered the following damage
a) interest on the Second Loan payable to Coutts
b) £75,000 arrangement fee payable to Coutts
c) £250,000 paid to Miss Shawdale
d) £190,000 paid to Mr Corbett
e) losses caused to Mr Sweetman because he was unable to discharge his indebtedness to Coutts, was thereupon made bankrupt and his assets were sold at forced sale prices
f) damage to Mr Sweetman's business caused by his bankruptcy
g) the loss of the £441,000 retained by Mr Nathan see paragraph 14 above
46. The issue under this head is whether Mr Sweetman may be entitled to re-open the finding by Mr Dehn QC that he fraudulently obtained the loan of £1.5 million from Coutts on 26 July 1991. As has been seen, all of Mr Sweetman's surviving claims relate to those moneys. Mr Hollington fairly conceded before me, as he had to the Court of Appeal in the Shepherds proceedings, that Mr Sweetman can succeed only if he can challenge that finding. To take an obvious example, if that sum was obtained by deceit, the Defendants' obligation to account was to Coutts, who had been defrauded, and not to Mr Sweetman, who had defrauded them.
47. For completeness, I mention that it is clear that the doctrine of cause of action estoppel does not apply: there has been no judgment on any cause of action as between Mr Sweetman and the present Defendants. Clearly, however, Mr Dehn QC determined the issue of Mr Sweetman's fraud, an issue crucial to the liability of the present Defendants to Mr Sweetman in proceedings to which both were parties.
48. In support of' his submission that issue estoppel applies in the present case, Mr Pooles relies on the statement in Spencer Bower, Turner & Handley, the Doctrine of Res Judicata (third edition, 1996):
"Res judicata estoppels normally operate between plaintiffs and defendants. However they may also operate between defendants. The relevant principles were developed by the Privy Council in Indian appeals. In Munni Bibi v Tirloki Nath, the Privy Council said:
"In such a case three conditions are requisite: (1) There must be a conflict of interest between the defendants concerned; (2) It must be necessary to decide the conflict in order to give the plaintiff the relief he claims and (3) The question between the defendants must have been judicially decided'."
53. In Johnson v Gore Wood, the House of Lords emphasised that issue estoppel and abuse of process are separate and distinct: see the speech of Lord Bingham of Cornhill at 31A, his citation with approval at 28 of the judgment of May LJ in Mayson v Vooght [1999] BPIR 376, and his similar citation of the following passage from the judgment of Auld LJ in Bradford and Bingley Building Society v Seddon [1999] 1 WLR 1482, 1490-1491:
"In my judgment, it is important to distinguish clearly between res judicata and abuse of process not qualifying as res judicata, a distinction delayed by the blurring of the two in the courts' subsequent application of the above dictum. The former, in its cause of action estoppel form, is an absolute bar to re-litigation, and in its issue estoppel form also, save in "special cases" or "special circumstances:" see Thoday v. Thoday [I964] P.181, 197-198. per Diplock L.J. and Arnold v. National Westminster Bank Plc. [1991] 2 A.C. 93.The latter, which may arise where there is no cause of action or issue estoppel, is not subject to the same test, the task of the court being to draw the balance between the competing claims of one party to put his case before the court and of the other not to be unjustly hounded given the earlier history of the matter(.
Thus, abuse of process may arise where there has been no earlier decision capable of amounting to res judicata (either or both because the parties or the issues are different) for example, where liability between new parties and/or determination of new issues should have been resolved in the earlier proceedings. It may also arise where there is such an inconsistency between the two that it would be unjust to permit the later one to continue."
54. I should also refer to the judgment of May LJ in Specialist Group International Ltd v Deakin [2001] EWCA Civ 777:
"22. As Aldous LJ said during the hearing, the authorities taken as a whole tend to encourage elaborate technical submissions which many percipient non-lawyers would scarcely understand. Cause of action estoppel and issue estoppel are not readily understandable phrases to a non-lawyer. It should not be necessary to have to pick for hours over the precise text of a dozen or so law reports to find out what in the end is reasonably straightforward and understandable law capable of being simply expressed. I would try to express it simply as follows.
23. If a claim has been explicitly determined in previous concluded proceedings between the same parties, that claim cannot be raised again, other than on an appeal, unless there is fraud or collusion. If a necessary element of a claim has been explicitly determined in previous concluded proceedings between the same parties, that issue cannot be raised again, if, as is likely but not inevitable, it would be an abuse to raise that issue again. This may also extend to an implicitly necessary element of the previous determination. The previous determination may include a settlement. If a claim or issue has not been determined in previous concluded proceedings between the same parties, there may nevertheless be circumstances in which, as a matter of public and private interest on a broad merits-based procedural judgment, it would be an abuse for a party to raise that claim or issue. Such circumstances may depending on the facts, exist where the litigant could and should have raised the matter in question in earlier concluded proceedings. There may in particular cases be other elements of abuse, including oppression of another party: but abuse of process is a concept which defies precise definition in the abstract. The court will only stop a claim as an abuse after most careful consideration."
56. Shepherds were not a party before Mr Dehn; the present Defendants were. This statement suggests that the position of the present Defendants in relation to issue estoppel differs from that of Shepherds. It is different: the question before me is whether an issue decided in proceedings to which both Mr Sweetman and the present Defendants were parties is binding on them, not whether Mr Sweetman should be able to raise an issue that has not previously been decided in proceedings to which they were both parties. In my judgment, the decision of the Court of Appeal in Shepherds case is not authority that the principle of issue estoppel does not apply as between Mr Sweetman and the present Defendants.
57. There is another important difference between the position of Shepherds and that of the present defendants. Mr Sweetman seeks to contest the finding of fraud against him on the basis that he informed Mr Brown, before the second loan was made, that he was buying out Ms Shawdale for much less than the sum of £1.5 million. On that basis, the misrepresentations in the faxes of 23 and 25 July 1991 were corrected before Coutts acted on them. this allegation was considered and rejected by Mr Dehn QC. The rejection of this allegation was crucial not only to the finding that Mr Sweetman was liable in deceit; its rejection was similarly vital to the finding that the present Defendants were liable to Coutts in deceit: for if Coutts had been informed of the truth before they acted on the misrepresentation, the present Defendants could not have been vicariously liable for the fraudulent misrepresentation of Mr Nathan, which on this basis was ineffective. The effectiveness of the misrepresentations in the faxes was a condition of the liability of the present Defendants as it was of Mr Sweetman: they were joint tortfeasors. Thus if Mr Sweetman had successfully appealed against the finding that his allegation raised no triable issue, and the present Defendants had also appealed, the judgment against the present Defendants would have been set aside too. Mr Sweetman did not appeal.
58. Put otherwise, the implication of Mr Sweetman's case is that the present Defendants were wrongly held liable to Coutts and should not have settled with them.
59. In my judgment, it would be wholly wrong and unjust for Mr Sweetman now to be permitted to reopen an issue decided in proceedings to which both he and the present Defendants were parties (i.e.. the proceedings before Mr Dehn QC) by repeating an allegation which, had it been decided in his favour, would equally have led to the present Defendants not having been liable to Coutts. I think that it is irrelevant that there were no claims as between the defendants before Mr Dehn. If there had been claims for contribution or indemnity or damages between the defendants in the Coutts action, it cannot be doubted that they would have been determined on the basis of Mr Dehn's judgment. Mr Sweetman would have been unable to dispute the finding of fraud against him. I cannot see that the fact that there are now different proceedings in which the liabilities of some of those defendants to one of them are in question can make any difference.
60. The position of Shepherds in this respect is fundamentally different. They were alleged to be liable to Coutts not for the misrepresentations in the faxes concerning the buyout of Ms Shawdale's rights, but for the misrepresentations concerning the identity and means of the purchaser from Mr Sweetman, Darvist/Darvis.
62. I therefore hold that Mr Sweetman is precluded from asserting or establishing that the loan of £1.5 million was not obtained by his fraud.
63. Mr Hollington [Counsel then acting for Mr Sweetman] did not suggest that there are "special circumstances" or that this is a "special case" justifying disapplication of issue estoppel. He was clearly right not to do so.
64. It follows that Mr Sweetman's claims against the present Defendants set out in paragraphs 17 to 29 of the Statement of Claim in HQ5431 cannot succeed, and his claim should therefore be struck out or dismissed as having no reasonable prospect of success.
65. In these circumstances, it is strictly unnecessary for me to consider whether the claims in those paragraphs of the Statement of Claim constitute an abuse of the process of the court. In case my decision goes further, I should say that the differences between the case of the present Defendants and that of Shepherds, summarised above, lead me to consider that a different decision from that made by the Court of Appeal in the Shepherds case is appropriate. In the first place, the considerations mentioned in paragraphs 58 and 59 support the conclusion that it would be an abuse of process for the claims in paragraphs 17 to 29 of the Statement of Claim to continue.
66. Secondly, the Court of Appeal in the Shepherds proceedings concluded that Mr Dehn's finding of fraud on the part of Mr Sweetman appeared to have been correct on the information before him. the allegation that Mr Brown knew that not all of the sum of £1.5 million to be lent by Coutts was required to buy out Ms Shawdale's interest would not necessarily constitute a defence to Coutts' claim that the loan was procured by the fraud of, at least, Mr Sweetman. In my judgment, these considerations strongly support Mr Dehn's conclusion. The question of abuse of process involves "a broad merits-based procedural judgment", which includes the merits of Mr Sweetman's case. The merits are strongly against permitting Mr Sweetman to reopen the finding of fraud on his part.
67. In other respects, the pros and cons of permitting the proceedings to continue may be taken from the judgment of the Court of Appeal in the Shepherds case. I appreciate that the effect of the decision that the proceedings are an abuse is to deprive Mr Sweetman of the possibility of proving allegations that were not litigated in front of Mr Dehn, namely the negligence of Mr Nathan in respect of the resale of Crow Knowl and his wrongful retention of the sum of £441,677 out of the second Coutts advance, for both of which the present Defendants are alleged to have been vicariously liable. However, to permit Mr Sweetman to continue with the present proceedings involves his re-opening an issue "explicitly determined in previous concluded proceedings between the same parties", in circumstances where the present Defendants have acted to their prejudice on, or otherwise been prejudiced by, that determination. The balance is overwhelmingly in favour of holding that the claims in paragraphs 17 to 29 of the statement of claim are an abuse of the process of the court.
68. In case my decision is appealed, I mention one other matter. The Court of Appeal considered that less weight should be given to the decision of Mr Dehn than a decision made after trial, on the basis that he did not have the advantage of hearing oral evidence from Mr Brown and other potential witnesses. I have come to my decision on abuse of process on this basis. However, with great respect to the Court of Appeal, I question whether this approach is appropriate. It leaves out of account the fact that Mr Dehn's decision was not simply that Mr Sweetman had defrauded Courts, but that Mr Sweetman had not raised a triable issue that he had not done so. Mr Dehn's judgment was not a default judgment, but a judgment on the merits. A decision that on the evidence he has brought forward a litigant has no arguable case, or under the CPR no reasonable prospect of success, seems to me to be as significant as a decision made on the evidence at trial where there is an arguable case or one with a reasonable prospect of success.
Submissions on behalf of the appellant
i) Issue estoppel did not arise in the present case since there had been no issue between Mr Sweetman and the present defendants in the Coutts Deceit proceedings, and
ii) Nor was there any abuse of process.
" public policy requires that the Courts will not lend their aid to a man who founds his action upon an immoral or illegal act. The action will not be founded upon an immoral or illegal act, if it can be pleaded and proved without reliance upon such an act. The fact that damage may not have resulted but for a decision to deceive is irrelevant to the cause of action when pleaded and proved."
Issue estoppel
"If a plaintiff can not get at his right without trying and deciding a case between Co-defendants the Court will try and decide that case, and the Co-defendants will be bound. But, if the relief given to the Plaintiff does not require or involve a decision of any case between Co-defendants, the Co-defendants will not be bound as between each other by any proceeding which may be necessary only to the decree the Plaintiff obtains"
Abuse of Process
But Henderson v. Henderson abuse of process, as now understood, although separate and distinct from cause of action estoppel and issue estoppel, has much in common with them. The underlying public interest is the same: that there should be finality in litigation and that a party should not be twice vexed in the same matter. This public interest is reinforced by the current emphasis on efficiency and economy in the conduct of litigation, in the interests of the parties and the public as a whole. The bringing of a claim or the raising of a defence in later proceedings may, without more, amount to abuse if the court is satisfied (the onus being on the party alleging abuse) that the claim or defence should have been raised in the earlier proceedings if it was to be raised at all. I would not accept that it is necessary, before abuse may be found, to identify any additional element such as a collateral attack on a previous decision or some dishonesty, but where those elements are present the later proceedings will be much more obviously abusive, and there will rarely be a finding of abuse unless the later proceeding involves what the court regards as unjust harassment of a party. It is, however, wrong to hold that because a matter could have been raised in earlier proceedings it should have been, so as to render the raising of it in later proceedings necessarily abusive. That is to adopt too dogmatic an approach to what should in my opinion be a broad, merits-based judgment which takes account of the public and private interests involved and also takes account of all the facts of the case, focusing attention on the crucial question whether, in all the circumstances, a party is misusing or abusing the process of the court by seeking to raise before it the issue which could have been raised before. As one cannot comprehensively list all possible forms of abuse, so one cannot formulate any hard and fast rule to determine whether, on given facts, abuse is to be found or not. Thus while I would accept that lack of funds would not ordinarily excuse a failure to raise in earlier proceedings an issue which could and should have been raised then, I would not regard it as necessarily irrelevant, particularly if it appears that the lack of funds has been caused by the party against whom it is sought to claim. While the result may often be the same, it is in my view preferable to ask whether in all the circumstances a party's conduct is an abuse than to ask whether the conduct is an abuse and then, if it is, to ask whether the abuse is excused or justified by special circumstances. Properly applied, and whatever the legitimacy of its descent, the rule has in my view a valuable part to play in protecting the interests of justice.
i) It was possible for Mr Sweetman to succeed in the present action even if it has to be accepted that he obtained the Second Loan fraudulently. If this submission was right the whole of the rest of the appeal falls away.
ii) In the Shepherds action Mr Sweetman has been permitted by this court to maintain his claim to trial at which the judge will be invited to come to the conclusion that Shepherds deceived Mr Sweetman in relation to the proposed purchaser leading him to believe that it was the wealthy Darvist as opposed to the penniless Darvis. This is very similar to the allegation made in the present case namely that Nathan negligently failed to inform Mr Sweetman that the proposed purchaser was Darvis rather than Darvist. There was no reason to distinguish between them and it would be convenient for the two cases to be tried together.
iii) The main issue in the claim brought by Mr Sweetman against the defendants was not the issue decided by Mr Dehn Q.C. namely, whether he had any prospect of defeating Coutts' assertion that the Second Loan had been obtained by his false representation that he required it to buy out Miss Shawdale but a totally different issue, namely, whether Nathan was negligent. Mr Hodge drew our attention to the observation of Lord Hobhouse of Woodborough in re Norris [2001] UKHL 34, [2001] 1 WLR 1388, at para 26 that it would be "a rare case" where litigation of an issue which had not previously been decided between the same parties or their privies would amount to an abuse of process. He also asked us to bear in mind the comment of Lord Bingham of Cornhill in the passage cited above from Johnson's case that there would "rarely be a finding of abuse unless the later proceedings involve what the court regards as unjust harassment of a party".
iv) At the time of the Coutts Deceit Proceedings Mr Sweetman had already had the Coutts Debt Judgment entered against him and he therefore had no financial interest in fighting those proceedings (whether at first instance or on any possible appeal) since even if he lost his liability to Coutts would not be increased. His only interest in fighting the proceedings was that he was the subject of a criminal investigation and manifestly to be cleared of fraud by a civil court would be of possible advantage in that context. In the event when he did fight the criminal proceedings which were eventually brought against him and Nathan, the latter was convicted whereas Mr Sweetman was acquitted.
v) Because he would suffer no financial damage even if he lost, Legal Aid was refused to Mr Sweetman in the Coutts Deceit Proceedings. In consequence he was not legally represented. If he had been, the Coutts Deceit Proceedings would have been struck out as against him on the basis that they were, in the light of the Coutts Debt Judgment already obtained against him by Coutts, pointless oppression.
vi) Mr Sweetman had made it clear in a draft affidavit before Mr Dehn Q.C. that he intended to issue proceedings against the defendants.
The claim in relation to the £441,000
Submissions on behalf of the respondents
i) The judge below came to the right conclusion for the right reasons.
ii) Mr Sweetman had already received more than £600,000 out of the Second Loan which had been obtained by the fraud of Mr Sweetman and Nathan acting together and it was absurd to suggest that he should be allowed to top this up by a further £441,000 by suing Nathan's innocent partners, the guilty Nathan having kept the proportion of the spoils which had been agreed between him and Mr Sweetman (see paragraph 5 above).
iii) All of the losses which Mr Sweetman alleged that he had suffered were caused by, or would not have been incurred without, his own deception of Coutts. The doctrine of ex turpi causa non oritur actio provided the defendants with a complete defence to the claim.
iv) Even if Mr Sweetman's case - namely that he had told Mr Brown of Coutts the truth before the loan was made was proved by him this would not avoid a finding that Mr Sweetman was a party to a deliberate deception of those superior to Mr Brown who were responsible for sanctioning the loan.
v) In the absence of any appeal by Mr Sweetman of the Dehn Judgment there had been no realistic possibility of the present defendants challenging the finding by Mr Dehn that Mr Sweetman had defrauded Coutts. They therefore settled with Coutts on the basis of that finding. It was eminently reasonable of them so to do, and it would be unjust now to allow Mr Sweetman to reopen the issue.
vi) The judgment of this court in the Shepherds proceedings, which preceded the guidance given by the House of Lords in Johnson's case and the Civil Procedure Rules, was distinguishable for a number of reasons :-
a) In the present case there was a powerful argument against permitting the claimant to challenge the findings made by Mr Dehn which was not available in Shepherds case. This was that Mr Sweetman's claim to have told Coutts' Mr Brown before the loan was made that the misrepresentations were untrue would, if true, have provided as much of a defence for the present defendants as for Mr Sweetman in the Coutts Deceit Proceedings. The facts that this allegation was advanced by Mr Sweetman, rejected by Mr Dehn and not appealed by Mr Sweetman were all irrelevant to the Shepherds proceedings and therefore could not have been relied on by the Shepherds partners.
b) Shepherds were not a party to the proceedings before Mr Dehn although they were parties to the action : everyone had agreed that Shepherds should have permission to defend.
c) The third point in favour of permitting relitigation, which was described by this court in the Shepherds proceedings as "perhaps [the] most significant" was that the claimant was seeking to prove that his solicitor Mr Roberts had been dishonest and that allegation had not been litigated before Mr Dehn. In the present proceedings the issue was whether Mr Sweetman was a knowing participant in defrauding Coutts. That was precisely the issue which Mr Dehn had decided against him.
d) It is now even longer since the Dehn Judgment and therefore relevant and credible evidence is likely to be even more difficult to produce before the court.
vii) Even carrying out the same sort of exercise as this Court had carried out in the Shepherds proceedings one was entitled to come to a different conclusion on the facts which, when before this Court in the Shepherds proceedings, were clearly seen as finely balanced. There was force in the point made by Stanley Burnton J in the last paragraph of his judgment quoted at paragraph 37 above and it was difficult to see why the refusal of Mr Dehn to permit cross-examination of Mr Sweetman should impugn the correctness of his decision that Mr Sweetman's evidence in chief was not worthy of belief.
viii) The three conditions set out in Munni Bibi (quoted by the judge below in paragraph 48 of his judgment which is in turn quoted at paragraph 38 above) were in substance fulfilled. There was a conflict of interest between the present defendants and Mr Sweetman : they could not have been represented by the same counsel. It was open to Mr Dehn to do that which Mr Sweetman himself had suggested, namely, to enter summary judgment against Mr Nathan and the present defendants but give leave to defend to Mr Sweetman. Where two defendants are both potentially liable for the same damage there could be said to be a conflict.
ix) There were no special circumstances which would entitle the court to disapply the estoppel.
x) It had been conceded on behalf of Mr Sweetman before the Judge below that his claim against the defendants could not succeed unless he could persuade the trial judge both that he should be permitted to challenge the Dehn Findings and that those findings were in fact wrong. The chances of doing the latter were exceptionally poor. Mr Sweetman should not be permitted to resile from this concession which in any event had been rightly made.
xi) The fact that Mr Sweetman had indicated prior to the hearing in front of Mr Dehn that he intended to sue the present defendants strengthened the case that to start proceedings years later doing just that was an abuse of process.
xii) A decision by a judge that in particular circumstances it was an abuse to continue to litigate was one which this court should only upset if the court was satisfied that it was plainly wrong.
xiii) So far as the First Loan was concerned no claim against the respondents was maintained any longer. Given Mr Sweetman's failure to repay any part of this sum to Coutts he would inevitably have been made bankrupt even without any failure to repay the Second Loan and therefore his claim in respect of losses flowing from his bankruptcy is unmaintainable in any event.
xiv) So far as the claim to a repayment of the £441K retained by Nathan is concerned, it had been conceded in the court below by counsel then acting for Mr Sweetman that these monies were held on trust for Coutts and not for Mr Sweetman. He should not be allowed to resile from this concession.
xv) In any event the concession was rightly made. Coutts was induced to transfer the mortgage advance to Nathan & Co's account by a fraudulent misrepresentation made to Coutts by both Mr Nathan and Mr Sweetman. In those circumstances Mr Sweetman could not at any time have had any beneficial interest in it. Had Mr Sweetman been declared bankrupt shortly after receiving the Second Loan and whilst the money was still in his account it would not have been available for distribution among the general body of creditors. On the contrary, Coutts would have been able to trace it. Coutts had sued on the basis that the monies were impressed with a constructive or resulting trust in favour of them and the firm has settled with Coutts on that basis.
xvi) If the court should decide that it was just for the claimant to proceed he should only be allowed to do so on terms that he gave security for costs.
Discussion
"In our judgment the arguments in favour of a finding of abuse of process are powerful, but not completely overwhelming. As we remind ourselves the burden of proof is on the defendants, and the court must be assiduous not to strike out a claim which may be meritorious, even though the prospects of it being so are remote. "
The Significance of a Fraud Finding
i) None of the loss which Mr Sweetman has incurred would have been incurred but for his obtaining of the Second Loan;
ii) The Second Loan was obtained by Mr Sweetman's fraud on Coutts;
iii) Therefore the action against the defendants arises out of Mr Sweetman's own fraud;
iv) Therefore as a matter of public policy the Courts will not permit Mr Sweetman to succeed.
" the courts have tended to adopt a pragmatic approach to these problems, seeking where possible to see that genuine wrongs are righted so long as the court does not thereby promote or countenance a nefarious object or bargain which it is bound to condemn. Where the plaintiff's action in truth arises directly ex turpi causa he is likely to fail Where the plaintiff has suffered a genuine wrong, to which the allegedly unlawful conduct is incidental, he is likely to succeed."
Can Mr Sweetman show loss flowing from the assumed negligence?
Disposal