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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 >> Thomas v Farr Plc & Anor [2007] EWCA Civ 118 (20 February 2007) URL: http://www.bailii.org/ew/cases/EWCA/Civ/2007/118.html Cite as: [2007] IRLR 419, [2007] EWCA Civ 118, [2007] ICR 932 |
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A2/2006/2323 |
COURT OF APPEAL (CIVIL
DIVISION)
ON APPEAL FROM THE HIGH COURT QUEEN'S BENCH DIVISION
Ramsey
J
HQ06XD1766
Royal Courts of Justice Strand, London, WC2A 2LL | ||
B e f o r e :
LORD JUSTICE SCOTT BAKER
and
LORD
JUSTICE
TOULSON
____________________
MR HUW JOHN PHILLIP
THOMAS |
Appellant | |
- and - |
||
FARR PLC HANOVER PARK COMMERCIAL LIMITED |
Respondents |
____________________
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Shorthand Writers to the Court)
Mr Selwyn Bloch QC and Stuart Ritchie (instructed by Herbert Smith
LLP) for the Respondents
Hearing date: 5 February 2007
____________________
Crown Copyright ©
Lord Justice Toulson:
The Parties
"As managing director of Farr my role was to develop and deliver Farr's strategic plan and to ensure Farr's objectives were met within its budget. I provided leadership and direction to Farr's employees, particularly those in management positions, and chaired the various management meetings. In respect of third parties, I was ultimately responsible for relations with Farr's housing association clients and with insurer suppliers with whom Farr was placing its insurance…
Farr did not hold formal board meetings as such, but there was a monthly meeting between Farr and Erinaceous…
The day-to-day management of Farr was the responsibility of a management board which consisted of…and me. The management board met monthly, normally a day of two before the Farr and Erinaceous meeting. All the detailed work in the business was overseen by the management board…and I directed and supported them in that work…
There was in place a formal process of reporting to the management board and these same reports were also presented to the main board. These reports were first presented to me for comment and input and were a formal means by which I could receive feedback from the key areas of the business…These reports covered many different areas and typically I would have sessions with each individual to go through the reports and to ensure that I understood all the key issues. I would provide guidance when necessary or give authorisation for actions where required.
For many years, I have not been involved in the detail of client management, negotiating individual cases with insurers, assessing appropriate levels of income on individual cases or rating individual policies using delegated rates from the insurers. Even where there were problems in such areas, they would be resolved by the relevant member of the management team.
Farr has three main insurer suppliers, all of whom were needed by Farr to ensure it was able to provide clients with competitive quotations. Each insurer was anxious to grow their premium income and it was a delicate balancing act to keep each satisfied. It was essential that business was retained with each insurer and not moved unless absolutely necessary and that new business was shared as equitably as possible. Lost business had to be replaced with new business but at the same time it was crucial that the best possible terms were obtained for the client. I was the logical person to coordinate placements between existing and new business teams at Farr and the insurers themselves. I spent a lot of time with client managers of Farr and with the insurers insuring that everyone was happy and that insurers' and Farr's objectives were being achieved."
The Contract
"The Executive accordingly covenants with the Company that…he will not (other than for and on behalf of the Company or any company in the Group) without the prior written consent of the Board (such consent to be withheld only so far as may be reasonably necessary to protect the legitimate interests of the Group) directly or indirectly: -
3.1 At any time during the Restriction Period:-
3.1.1 (Except as the holder, by way of bona fide investment only, of shares or securities listed dealt in or traded on a recognised stock exchange not exceeding 3% in nominal value of the securities of that class) be engaged or concerned or interested or participate in any business which is the same as or in competition with the Business or relevant part thereof anywhere in any Restricted Territory provided always that this paragraph shall not restrain the Executive from being engaged or concerned in any business concern in so far as the Executive's duties or work shall relate solely to:-
(a) geographical areas where the business concern is not in competition with the Business; or
(b) services or activities with which the Executive was not concerned to a material extent during the 12 months prior to the Termination Date (or, if earlier, the start of any Garden Leave Period). "
"any geographic area in which any company in the Group conducts the Business or part thereof and for which the Executive was responsible or to which he rendered services in the 12 months preceding the Termination Date"."
"The business of providing the Specified Services or any part thereof carried on by the Company as at the termination date and during the 12 months prior thereto….and any other business carried on by the Company or any company in the Group at the Termination Date to which the Executive has rendered Material Services or about which he has acquired Confidential Information or by which he has been engaged at anytime during the period of 12 months prior to the Termination Date."
"1.1.5.1 Any trade secrets, customer lists, trading details or other information of a confidential nature relating to the good will and secrets of any company in the Group (including, without limitation, details of the activities, businesses, forward planning programmes or finances of any such company and details of a confidential nature of the requirements terms of trade and identity of its suppliers and customers); and
1.1.5.2 any other information specifically designated by any company in the Group as confidential; and
1.1.5.3 any information in relation to which any company in the Group owes a duty of confidentiality to any third party."
"canvass solicit or approach or cause to be canvassed solicited or approached in relation to any business which may in any way be in competition with the Business the custom of any person who at the date hereof or at any time during the period of 12 months prior to the Termination Date (or, if earlier, the start of any Garden Leave Period) shall have been a client or customer of the Company or any company in the Group and with whom the Executive shall have had contact or dealings or for whose relationship with the Company or any company in the Group the Executive shall have had responsibility during such period."
"disclose to any person (except as required by law) or any regularity authority or used to the detriment of the Company or any company in the Group any Confidential Information which he has acquired before the Termination Date provided always that this obligation shall not extend to any matter which is or shall be in the public domain otherwise than through the default of the Executive."
The Judge's Findings
"I accept that, as Farr submits, the claimant was privy to all major and strategic operational decisions made by Farr and in his role as Operations and later Managing Director he had overall responsibility for all of Farr's existing business. In that position, he would have seen, read and discussed many matters relating to the operation of Farr. Whilst he will obviously not recall every detail from the documents, [from] the evidence of Farr's witnesses and my observation of the Claimant, he clearly has and will continue to have a recollection of major matters to a considerable level of detail. In this context, similar considerations apply to those in Commercial Plastics [1965] 1 QB 623 where at 642 Pearson LJ cited a passage from the judgment of Widgery J: "the defendant would be likely, when the need arose, to dredge up from the recesses of his memory" the particular item of information." "
"if it can properly be classed as a trade secret or is material which, while not properly to be described as a trade secret, is in all the circumstances of such a highly confidential nature as to require the same protection as a trade secret eo nomine."
"precisely the type of confidential information which in an highly competitive area of the insurance industry is likely to fall within the…category which can properly be protected by an express covenant."
"…it is common ground that the question of enforceability has to be determined at the date of the relevant agreement. However, both parties have accepted that the evidence of the actual information to which the Claimant was exposed is relevant. In particular, in relation to most items of information, it is not contended that the later exposure to any of that information was not reasonably foreseeable at the time of the relevant agreement."
(1) business development through the use of a captive insurer,
(2) exploitation of new areas of business within social housing,
(3) exploitation of new geographical markets,
(4) business development through acquisition of other businesses, and
(5) pricing and financial information relating to clients and insurers.
Grounds of Appeal
1. The judge erred in law in finding that Farr had adduced sufficiently clear and cogent evidence to establish that Mr Thomas ever had, or was likely to have, any information which Farr could require to be treated as confidential after the termination of Mr Thomas' employment.
2. If and in so far as he was wrong on his main ground, Farr was adequately protected by the non-solicitation and confidentiality clauses, and the non-competition clause was accordingly unreasonable.
3. The non-competition clause was too wide.
4. The period of any non-competition clause should not have been longer than six months.
Ground 1
1. It was necessary for Farr to identify the supposedly confidential information which it relied upon to justify the non-competition clause with the same degree of particularity as would be required in a claim to enforce a contractual or equitable obligation of confidentiality, and the judge failed to apply a sufficiently strict test when examining the evidence advanced by Farr to justify the clause.
2. If the correct test was applied, Farr failed to satisfy it because the information on which it relied was too vague and general to enable the court to identify any specific information which could fairly be regarded as a separate part of Mr Thomas' stock of knowledge confidential to Farr.
3. Most of the examples of confidential information relied on by Farr related to matters which could not have reasonably been foreseen at the time of Mr Thomas' appointment as managing director.
"The employer's claim for protection must be based upon the identification of some advantage or asset inherent in the business which can properly be regarded as, in a general sense, his property, and which it would be unjust to allow the employee to appropriate for his own purposes, even though he, the employee, may have contributed to its creation."
"In cases where a restrictive covenant is sought to be enforced, the confidential information must be particularised sufficiently to enable the court to be satisfied that the plaintiff has a legitimate interest to protect. That requires an enquiry as to whether the plaintiff is in possession of confidential information which it is entitled to protect. (See Littlewoods Organisation v Harris [1977] 1 WLR 1472 at 1479F). Sufficient detail must be given to enable that to be decided but no more is necessary."
Ground 2
Ground 3
Ground 4
Lord Justice Scott Baker:
Lord Justice Chadwick: