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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 >> Beart v HM Prison Service [2005] EWCA Civ 467 (26 April 2005) URL: http://www.bailii.org/ew/cases/EWCA/Civ/2005/467.html Cite as: [2005] EWCA Civ 467, [2005] IRLR 568, [2005] ICR 1206 |
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COURT OF APPEAL (CIVIL DIVISION)
ON APPEAL FROM THE EMPLOYMENT APPEAL TRIBUNAL
HHJ Ansell, Lord Davies of Coity CBE, Miss S M Wilson CBE
Strand, London, WC2A 2LL |
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B e f o r e :
LORD JUSTICE WALL
and
LORD JUSTICE HOOPER
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Jacqueline Ann Beart |
Respondent/Applicant |
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- and - |
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Her Majesty's Prison Service |
Appellant/ Respondent |
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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)
Mr Antony White QC & Mr James Laddie (instructed by Disability Rights Commission) for the Respondent
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Crown Copyright ©
Lord Justice Rix:
"I do not think she will recover fully until the difficulties referred to above have been addressed…She does not feel that she will ever be able to return to HM Prison Swaleside but would consider a suitable post at another prison and I think that suitable redeployment may be the only answer to this situation."
Liability
"It seems to us that there is a substantial possibility that, if that adjustment had been made, Mrs Beart would probably still have been employed by the Prison Service and this case would not have been brought."
"The truth may well be, as Mr Underwood's submission appears to suggest, that the employer had prejudged the investigation adversely to Mrs Beart. But in fact there is no evidence as to why it was that the employer did not act on the medical advice. In any event Mrs Beart's disability and the question of her business activities are quite discrete matters."
The Employment Tribunal's remedies decision
"1. Diagnoses: We agree that Mrs Beart has had Recurrent Depressive Episodes, at worst of moderate severity, F33.1, since 1997, with onset probably around the first GP recording of low mood on 16.7.97. We agree that she probably had a first moderate depressive episode from then, resolving probably in summer 1998, with a recurrence (in Dr Jacobson's view) about October 1999, lasting some months. Dr Feeney felt that she had some depressive symptoms in April 2000, but Dr Jacobson did not think she had a recognised psychiatric disorder that year. We agree that she had a recurrence of depression in Spring 2001, lasting several months, and a further recurrence of moderate depression around January 2003, still evident in August 2003…
4. Would relocation of Mrs Beart in summer 1998 have been viable? We agree that had she been relocated, she would probably have been satisfactorily employed. Dr Feeney considers that this could probably have taken place in summer 1998. Dr Jacobson considers this could have taken place perhaps towards the end of the year or in early 1999.
5. If Mrs Beart had taken up relocation to a post in another establishment in 1998, would her underlying condition have allowed her to continue to work indefinitely in that capacity?" Dr Feeney considers that the pattern of the effect of Mrs Beart's illnesses over the previous part of her working life – only one period off work with depression in more than a decade – would indicate the likely course for the future, so that one further episode would not be unexpected over a similar timeframe This sort of episode might have necessitated a limited (weeks to three months) time off work but not be an incapacity in general. Dr Jacobson considers…Possibly she would have had further depressive episodes, with short periods of time off work and then return to work…
8. If future psychiatric illness imposes any limitation on the type of work Mrs Beart undertakes, to what degree does such limitation arise from her discrimination at the hands of the Prison Service and her dismissal? Dr Feeney considers that the depressive illness which Mrs Beart now shows is of a more severe degree and longer duration than would ever have occurred if she had not been exposed to the traumatic events that she was exposed to, especially her dismissal, and future episodes are now more likely to have more of an impact on her ability to work than they would have if things had been resolved satisfactorily, ie without discrimination and dismissal.
Dr Jacobson considers that discrimination at the hands of the Prison Service and her dismissal have probably made a material [contribution] to recurrent depressive episodes and to psychiatric ill health, through until September 2003…"
(1) The Prison Service should have relocated her by 1 November 1998.(2) If she had been relocated, she would "more probably than not have continued" in her employer's service.
(3) She would have been promoted to the substantive grade of executive officer by 1 January 2000, but not thereafter to any grade senior to that.
(4) She would have continued in employment to age 62.
(5) She would be likely to start seeking new employment from 1 January 2004, would be likely to take 12 months to find work, would start earning at half pay for part-time work on 1 January 2005, and would move up to full time work on 1 July 2005.
(6) Her starting salary would be at the rate of £11,650 pa.
(7) Her future loss of earnings would continue to be career long.
"It had been hoped that the actuary's report would have enabled the parties to reach agreement on such matters as financial loss to date, future loss, and, if problem arose, pension loss. Unfortunately, on the information available to the actuary, there were too many imponderables for this to be possible. It was agreed therefore that we, at this hearing, should find necessary facts which would enable the actuary to revise his report, so that, it is greatly to be hoped, the parties can reach agreement on these matters. If the parties cannot reach agreement, there may have to be a further hearing, but the tribunal thinks that would be extremely undesirable, and ought to be avoided if at all possible."
"27…We think that it is certainly consistent with Dr Feeney's medical evidence, and substantially consistent with the joint medical report, that the effect of the discriminatory act has been that, whereas, if Mrs Beart had been relocated, this would have resulted in a continued improvement in her condition, at least back to the pre-September 1997 level at which her depression could be controlled by medication, she has continued to suffer from depression for very nearly five years. We accept the submission of Counsel for the Applicant that the act of discrimination was a material contributory factor to the Applicant's subsequent illness, and that that is sufficient to found a liability in tort: Hotson v East Berkshire Area Health Authority [1987] AC 750. Although Dr Feeney and Dr Jacobson differ somewhat in their estimate of the effects of Mrs Beart's illness on her, the significant finding in the joint medical report…is that:
"Dr Jacobson considers that discrimination at the hands of the [Prison Service] and her dismissal have probably made a material [contribution] to recurrent depressive episodes and to psychiatric ill health through until September 2003."
"30. Despite what may seem to those of us who happily do not suffer from Mrs Beart's symptoms to be the severe nature of those symptoms, both doctors agree in describing her depression as being of "moderate severity". What impresses us – we accept [Mrs Beart's Counsel's] submissions on this point – is the length of time over which Mrs Beart's symptoms have lasted…
32. [Mrs Beart] contends for an award of £30,000. The [Prison Service] contends that the contribution to post-July 1997 depression made by the failure to relocate is no more than one-third, though no figure is set out. But it seems to us that that approach is not consistent with Hotson's case.
33. We think that the findings of the doctors constrain us, despite the severity and prolongation of the symptoms from which Mrs Beart suffers, to regard this as a moderately severe injury, and we bear in mind that what we are compensating is in effect the exacerbation of a pre-existing condition. Taking all these matters into account, and doing the best we can, we think that the right figure for an award for damages for personal injuries is £22,000."
The Employment Tribunal's clarification
"It follows that the only consequences to be compensated for are those flowing from unfair dismissal. They obviously do not include injury to feelings or psychiatric damage, let alone aggravated damages. They are of course capped."
"(b) Would Mrs Beart have remained in employment by the Respondents if she had been relocated?
13. In our view, the answer to this question is "Yes": we rely on the first sentence of paragraph 4 of the joint medical report. We note that it was Dr Jacobson's opinion that it was likely that Mrs Beart would have further attacks of depression, perhaps with resulting periods away from work, but not so as to interfere significantly with her prospects of remaining in employment."
The Tribunal also summed up at para 24(2): "If she had been relocated, we think that she would more probably than not have continued in the [Prison Service's] employment."
"10. The Tribunal apparently forgot to deal with the issue. Its finding that Mrs Beart would probably have remained employed if relocated is at paragraph 13, and again at paragraph 24(2). But its reasoning in paragraph 13 shows that it was only addressing its mind to the different argument that, had another job been offered, her illness would have prevented her taking it up and continuing in it. If it did deal with the issue it wholly failed to give any reasons."
"2. We deal first with the argument in paragraph 10 of the Notice of Appeal that we forgot to deal with the submission that, had Mrs Beart been relocated, she would still have been dismissed. We accept that paragraph 13 of our Remedy Decision does not deal with that issue in terms, but it is, we submit, implicit in our decision that Mrs Beart would have remained in employment, and that we did not accept the [Prison Service's] submissions for the following reasons:-
i. If relocation had taken place, it would have meant that the [Prison Service] would have been adopting a different, and more reasonable, mindset towards Mrs Beart and, indeed, would not have been discriminating against her. With that difference in background, we are not prepared to assume that the result of the disciplinary hearing would necessarily have been dismissal, let alone the unfair dismissal which occurred.
ii. But if that charitable view is wrong, and the [Prison Service] would still have unfairly dismissed Mrs Beart even if she had been relocated, then we accept [Mrs Beart's] argument put forward at the hearing that the [Prison Service] should not be allowed to profit from what would have been their own unlawful conduct. In our view it would have been unconscionable if they were allowed to do so. If the [Prison Service] were, by unfairly dismissing Mrs Beart, to escape or partly escape the consequences of having discriminated against her, it would, in our view, severely damage the protection given to employees by the Disability Discrimination Act, or, for that matter, other provisions against, eg race or sex discrimination.
iii. We refer to the comment in paragraph 9 of the Notice of Appeal that the dismissal was made "in the genuine belief" that Mrs Beart was guilty of misconduct. It is true that in paragraph 79 of our original decision we did indeed say that Mrs West had such a genuine belief, but we went on to find the dismissal unfair for, among other reasons, lack of evidence and lack of proper investigation. It is clear from paragraph 71 of the Court of Appeal that they accepted the arguments of [Mrs Beart's] Counsel that Mrs West's belief was, in the circumstances, unreasonable."
Dismissal as a break in the chain of causation
"The essence of the Appellant's argument, before the Tribunal and before us, is that the fact of dismissal, albeit unfair, terminates its liability for the earlier wrong of disability discrimination and that all further losses have to be assessed under the unfair dismissal regime with its restrictive statutory cap, as opposed to the substantial sums (in excess of six figures) being paid under disability discrimination compensation."
"40. There was the clearest evidence in this case that the psychiatric harm caused by the act of discrimination and its impact on the Respondent's ability to work continued far beyond the date of the unfair dismissal and in the absence of a fair dismissal we see no reason why the chain of compensation should be broken at that date."
"42. Can Coudert rely on the anti-monopoly point at all? If the limitation period had not expired, this point would not arise. There cannot be any doubt that in any ordinary case, where there are competing causes of damage to a plaintiff, a defendant will gain nothing from relying on a factor which would provide a separate cause of the damage, if that cause is due to the defendant's own negligence. In such a case, the claimant could have made the separate cause part of the claim against the defendant. In this case, IML could have relied on the 3-5 year point, and the failure to obtain permission, although the net effect of so doing would not be to increase their damages. The case would still remain that Coudert failed to provide the chance by amending the agreements, and that chance is still the same chance that they would have failed to provide by not obtaining anti-monopoly permission.
43. IML deliberately claimed on the basis of the loss of a chance simply by reference to the 3-5 year point. They did not want to continue with the claim based on the failure of the anti-monopoly permission, and since their Russian law experts were going to say that the permission was not in fact required, that may be the reason.
44. The question is whether, if IML can establish that Coudert should have provided them with the chance by reference to the 3 to 5 year point, Coudert can say in relation to the assessment of that chance, that it should be reduced by virtue of an "intervening" act of negligence by Coudert, because the "intervening act" gives rise to a separate cause of action in respect of which the limitation period has expired.
45. There is very little authority which assists. It is of interest that when one examines the index of Mayne & McGregor 17th Edition on Causation whether in Contract or in tort, there are constant references to "intervening acts of the claimant" or "intervening acts of third parties" but no reference at all to "intervening acts of defendants". Mr Leggatt was however able to point to a passage in the speech of Lord Browne-Wilkinson in Bolitho where he said at 240:-
"However in the present case the answer to the question "What would have happened?" is not determinative of the issue of causation. At the trial the defendants accepted that if the professional standard of care required any doctor who attended to intubate Patrick, Patrick's claim must succeed. Dr. Horn could not escape liability by proving that she would have failed to take the course which any competent doctor would have adopted. A defendant cannot escape liability by saying that the damage would have occurred in any event because he would have committed some other breach of duty thereafter. I have no doubt that this concession was rightly made by defendants. But there is some difficulty in analysing why it was correct. I adopt the analysis of Hobhouse LJ in Joyce v. Merton, Sutton and Wandsworth Health Authority [1966] 7 Med LR 1. In commenting on the decision of the Court of Appeal in the present case, he said, at p.20:
Thus a plaintiff can discharge the burden of proof on causation by satisfying the court either that the relevant person would in fact have taken the requisite action (although she would not have been at fault if she had not) or that the proper discharge of the relevant person's duty towards the plaintiff required that she take that action. The former alternative calls for no explanation since it is simply the factual proof of the causative effect of the original fault. The latter is slightly more sophisticated: it involves the factual situation that the original fault did not itself cause the injury but that this was because there would have been some further fault on the part of the defendants; the plaintiff proves his case by proving that his injuries would have been avoided if proper care had continued to be taken. In the Bolitho case the plaintiff had to prove that the continuing exercise of proper care would have resulted in his being intubated."
46. The Bolitho case could be said to be rather different from the instant case. I have quoted the passage to include the quotation from Hobhouse LJ because it would appear that what was being said in that case was, the plaintiff can prove the injury, if the plaintiff established, either that the baby would have been intubated as a fact, or (if he cannot show that) that it would have been negligent not to intubate. It would thus seem to have been part of the plaintiff's case to prove causation, that it would have been negligent not to intubate. In the loss of a chance case, such as the one we are dealing with, the failure to produce the agreements relating to the 3-5 year point has caused a loss of a chance. IML does not need to rely, and indeed does not seek to rely, on the failure to obtain permission, to establish the chain of causation of that loss of a chance. It is Coudert who want to reduce the value of the chance, by asserting they failed to do something which would have lowered the chance. Is there a principle which disallows a defendant from relying on a wrong which he has committed in order to reduce the damages that would otherwise flow from a tort or breach of contract? It seems to me that there should be such a principle, and that is what Lord Brown Wilkinson was recognising. It is quite difficult to say why it should be so, other than that it flows from public policy where it is a principle that a person should not be entitled to rely on their own wrong in order to secure a benefit. It is furthermore not unfair to apply such a principle. Damages would flow from the original act of negligence; why should Coudert be allowed to rely on a further act of negligence to reduce that damage?"
"64. First, although I entertained considerable doubts about the matter while the case was being argued, I have reached the clear conclusion that in principle a defendant should not be allowed to rely on a wrong perpetrated by himself in order (in whole or part) to break the chain of causation put forward by the claimant to establish and quantify the damage sustained by him by reason of the defendant's breach of contract or tort. This may be seen (as Waller LJ expresses it: paragraph 46) as an application of the general rule of the common law that a party may not rely on his own wrong to secure a benefit, and I agree that some support is to be found for that approach in the speech of Lord Browne-Wilkinson in Bolitho. But I think it is also consonant with modern ideas of causation now being developed in the cases. Authority supports the proposition that the resolution of causation issues, certainly in the law of tort, is by no means merely a fact-finding exercise; in many instances it is an evaluative judgment, concerned to establish the extent to which a defendant should justly be held responsible for what has befallen the claimant. This seems to me to be vouchsafed in particular by the opinions of Lord Bingham and Lord Hoffmann in Fairchild [2002] 3 WLR 89 at paragraphs 10 – 12 and 52 – 54 respectively; to which may be compared, in the context of damages for loss of a chance, the observations of Kirby J in the High Court of Australia in Chappel v Hart [1999] Lloyd's Law Reports: Med 223 at 245, 246, cited by Latham LJ in this court in Gregg v Scott [2002] EWCA Civ 1471."
Would Mrs Beart have been dismissed, if relocated?
A "new contention"?
Conclusion
Lord Justice Wall:
Lord Justice Hooper: