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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 >> Caterpillar Logistics Services (UK) Ltd v de Crean [2012] EWCA Civ 156 (21 February 2012) URL: http://www.bailii.org/ew/cases/EWCA/Civ/2012/156.html Cite as: [2012] FSR 33, [2012] CP Rep 22, [2012] WLR(D) 40, [2012] 3 All ER 129, [2012] EWCA Civ 156, [2012] ICR 981 |
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ON APPEAL FROM THE HIGH COURT OF JUSTICE
QUEENS BENCH DIVISION
MR JUSTICE TUGENDHAT
Strand, London, WC2A 2LL |
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B e f o r e :
LORD JUSTICE STANLEY BURNTON
and
LORD JUSTICE LEWISON
____________________
CATERPILLAR LOGISTICS SERVICES (UK) LIMITED |
Appellant |
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- and - |
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PAULA HUESCA de CREAN |
Respondent |
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WordWave International Limited
A Merrill Communications Company
165 Fleet Street, London EC4A 2DY
Tel No: 020 7404 1400, Fax No: 020 7404 1424
Official Shorthand Writers to the Court)
Edward Pepperall (instructed by Keelys) for the Respondent
Hearing date: 31 January 2012
____________________
Crown Copyright ©
Lord Justice Stanley Burnton:
Introduction
The facts
"As a result of my employment by [CLS], I may develop obtain or learn about trade secrets or confidential information which is the property of [CLS] or others that [CLS] has contact with. I will not use any of such trade secrets of [sic] confidential information for myself or others, or divulge them to others, either during or after my employment. The terms 'trade secrets' and 'confidential information' include processes, methods, techniques, systems, formulae, drawings, photographs, machine readable records, patterns, models, devices, compilations, customer and dealer data, internal financial information or any information of whatever nature which gives [CLS] an opportunity to gain an advantage over its competitors who do not know or use it; but I understand the terms do not include knowledge, skills, or information common to my trade or profession."
These proceedings
"14 As you must realise, your appointment by Klarius appears to be an attempt by it to secure the same confidential information which CLS has refused to grant Klarius voluntarily…
21 … In effect you will be carrying out a 'mirror image' role in relation to the LSA and or Klarius/CLS relationship and will have put yourself on the opposite side of many of the issues you have previously been dealing with for CLS, presumably even in relation to commercial negotiations…
22 By accepting this role you have already put yourself in a position which directly conflicts with your fiduciary duties to CLS, in that there is an extremely strong likelihood (if not an inevitability) that you will use (even if not disclose) CLS's confidential information to Klarius/[QH]."
"19.1 full and detailed understanding of all current and historic costs for CLS under the LSA including details of revenue and margin, warehouse lease/utilities rates, indirect material rates, transport rates, salary headcount information/systems information…
19.3 privileged legal advice received from CLS' in house legal team and external legal counsel in relation to the LSA and disputes arising out of it, having attended a legal review meeting as recently as June 2011…"
"22. By accepting this role, you have already put yourself in a position which directly conflicts with your fiduciary duties to CLS, in that there is an extremely strong likelihood (if not an inevitability) that you will use (even if not disclose) CLS confidential information to Klarius/Quinton Hazell, in particular in relation to the categories referred to at paragraph 15 above
23. Any breach by you of your confidentiality obligation may be inadvertent rather than deliberate but regardless of intent it seems inevitable that, in dealing with issues relating to CLS for Klarius, you will have in mind and use confidential information acquired during your employment with CLS. For example CLS cannot conceive of credible situation in which you could have any role in relation to the assumptions review for Klarius/Quinton Hazell without using CLS' confidential information. In saying this, we have regard to the fact that you were not only aware of, but prepared CLS' response to Klarius' demand for an assumption review."
"28. CLS intends to issue legal proceedings against you and apply for an interim injunction restraining you from (mis) using and/or disclosing its confidential information. Any such injunction would be effective until trial of CLS' claim or any further order made by the Court
29. In the event that you wish to avoid the time and costs of the hearing of an interim injunction application then CLS will accept your undertakings given by you to the Court in the form set out at paragraphs 5-6 of the enclosed draft order. In summary, such undertakings require you to agree that you will not:
29.1 Use any confidential information (as defined in the undertakings) belonging to CLS;
29.2 Disclose any confidential information (as defined in the undertakings) belonging to CLS to any other party, including Klarius/Quinton Hazell; and
29.3 Undertake any tasks for Klarius/Quinton Hazell (or any associated company) in which you are directly dealing with CLS or the LSA including certain defined prohibited tasks (as defined in the undertakings)
30. In you are willing to give undertakings to the Court in these terms then you should let us know by 4pm on Friday 2nd September 2011. In order for the court to accept your undertakings it will be necessary for you to obtain independent legal advice. If by this deadline you have not confirmed your willingness to give undertakings to the court in the terms attached then we are instructed to arrange the earliest hearing date thereafter (subject to giving you at least three business days notice) for our client's injunction application.
31. In the alternative, CLS would be prepared to grant you until 4pm on the 7th September 2011 to consider the draft undertakings and take legal advice regarding your position on the basis that you undertake to us in writing within 48 hours of service of this letter that you will not commence employment with Klarius/Quinton Hazell until 19 September 2011."
"I absolutely refute the suggestion that my appointment with [QH] is an attempt to obtain confidential information and my appointment has followed a competitive selection process and I have been appointed on the merits of my experience and capability. As I have said, the role of General Manager is much wider than the Logistics Centre Manager and represents a real promotion for me. The idea that I took the job to enable [QH]/Klarius to obtain financial information is utterly ludicrous."
"The General Manager role I will be undertaking with [QH] is wide ranging and includes the management of customers and over 200 suppliers, CLS being just one of these. I entirely refute that even if I had any fiduciary duty to CLS, I have breached such duty … my role … will not involve me carrying out a 'mirror image' role. Dealing with the LSA is something that is only a minor part of the role and there is not a strong likelihood, never mind an inevitability, that I will use or disclose confidential information in the role."
"1. I will not breach the terms of the Confidentiality Agreement.
2. I will not be involved (directly or indirectly) on behalf of Klarius or [QH] with agreeing the current ongoing assumptions review pursuant to the LSA; and
3. I will not be involved within the next 12 months (directly or indirectly) in any formal dispute resolution (including any litigation or arbitration) on behalf of Klarius or [QH] against CLS."
(1) an injunction restraining Mrs Huesca de Crean from using or disclosing confidential information;(2) an order that Mrs Huesca de Crean be prohibited, during the course of her employment with QH from undertaking any task or having any dealing in relation to the LSA or the commercial relationship between CLS, on the one hand, and QH and Klarius, on the other;
(3) delivery up of all documents in whatever form in Mrs Huesca de Crean's possession which belong to CLS or contain confidential information belonging to CLS;
(4) ancillary relief, most notably in the form of an affidavit verifying compliance with the delivery up order and requiring Mrs Huesca de Crean to give certain information as to any use or disclosure of the Confidential Information which she had made, and as to any documents belonging to CLS which she retained.
An injunction of the kind referred to in subparagraph (2) has been referred to as barring-out relief, and I shall so refer to it.
"not in the course of her employment with Klarius/[QH] to undertake any tasks or have any dealings (or supervise others in carrying out such task or dealings) on behalf of Klarius/[QH] in relation to the [LSA] or the commercial relationship between Klarius/[QH] including but not limited to the Prohibited Tasks."
"Confidential information means (without limitation) all and any confidential information required by the Respondent during her employment with [CLS] in whatever format (whether hard copy or digital) and including but not limited to processes, methods, techniques, systems, formulae, drawings, photographs, machine readable records, patterns, models, devices, compilations, customer and dealer data, internal financial information, legal opinions or advice, performance data, financial information regarding [CLS]'s costs or profit and loss, strategic corporate date, management reports or any information of whatever nature which gives [CLS] an opportunity to obtain an advantage over its competitors who do not know or use it".
"Prohibited Tasks – means any tasks carried out by the Defendant for or on behalf of Klarius or Quinton Hazell whether as employee, consultant, agent or otherwise howsoever relating to the management of the [LSA] or the commercial relationship between Klarius/Quinton Hazell and the Claimant and including (but not limited to) dealing with matters relating to the performance of the Claimant under the [LSA], the legal position in relation to any dispute between the Claimant and Klarius/Quinton Hazell regarding the [LSA], any negotiation relating to an assumptions review between the Applicant and Klarius/Quinton Hazell pursuant to the [LSA], any claim for breach of contract by Klarius/ Quinton Hazell against the Clamant, the review and/or approval of any invoices submitted by CLS pursuant to the [LSA] and any negotiations regarding the payment of CLS's charges, the negotiation of revised commercial terms between the parties and/or the commercial strategy for Klarius/Quinton Hazell in relation to its dealings with the Claimant."
(1) it did not specify the information that was alleged to be confidential;(2) the order would prevent the respondent from carrying out the work for her new employer referred to as the Prohibited Tasks (what Mr Bloch referred to as a "barring-out order") without a contractual basis for doing so.
(3) there was no time limit specified for either prohibition.
"1. Information concerning the current and historic costs for the CLS under the LSA including, details of, a) warehouse/lease utilities rates and space costs; b) indirect material rates; c) transport rates; d) salary headcount information\systems information.
2. Information concerning CLS's current and historic revenue, pricing and profit margins the LSA.
3. Information regarding the financial and operational performance of CLS under the LSA.
4. Privileged legal advice received from CLS in house legal team and external legal counsel in relation to the LSA and disputes arising out of it .
5. Details of CLS's position in commercial and legal strategy in relation to the Assumptions review carried out in 2011.
6. Details of costs revenue and margin for CLS in relation to the ongoing additional or strategic projects posed by CLS to Klarius in relation to its logistics services including in relation to the proposal for integration of Klarius\QH's European network and the potential combination of Cheadle\Hinckley under the LSA.
7. Information concerning inventory density detail.
8. Information as to operational impact of inventory changes and the impact of inventory changes on CLS's profit margin.
9. The contents of the following documents belonging to CLS:
a) the Defendant's Smart Goals document;b) Multi Bertqh LSA ASSUMP 20110725;c) Bertrom Klarius B3 (Cheadle to Desford NBV (V1);d) PIA Quinton Hazell 2011 0511;e) Soft Close acct JUL 11 day 3- DE;f) Klarius Delivery Data Costed file (exhaust);g) All board packs of CLS;h) All documents which were saved onto the Defendant's laptop and\or Hard Disk Drive and are listed in Project Tiger Final Appendix 1."
05/08/11 | 353 files moved or copied in bulk (based on creation dates) onto Laptop hard drive (appear to relate to QH/ Land Rover account) from CLS' network or file share |
07/08/11 | 94 files moved or copied in bulk (based on creation dates) onto Laptop (appear to relate to QH/Land Rover/Xpart) from CLS' network or file share |
08/08/11 | 1453 files moved or copied in bulk (based on creation dates) onto Laptop (relating to Land Rover and Quinton Hazell/Klarius) from CLS' network or file share |
10/08/11 | First connection of external hard drive to Laptop (NB only connection of external device to Laptop during this period) |
10/08/11 | C: Drive of laptop containing 6428 files (including system files) copied in bulk onto External Hard Drive from the Laptop (including those copied onto laptop on 5,7,8 August 2011) (as admitted by respondent). 2665 of these files (ie the non system files) are subsequently deleted from laptop. The exact date of deletion cannot be confirmed as a result of CLS UK's default recycle bin settings. |
23/08/11 | At least 17 files browsed/accessed on External Hard Drive from the Laptop. A further small number of files saved by the Respondent onto the Laptop and/or moved or copied onto the external hard drive. |
02/09/11 | External Hard Drive connected to another computer (identity of computer not established but logically (and as stated by her) the Respondent's home computer) and files deleted from External Hard Drive (Respondent states relating to her son). There is no evidence of data movement to another source on this date. |
09/09/11 | Hard drive connected to another computer and files deleted (probably (and as stated by her) the same home computer) and files deleted from the External Hard Drive. There is no evidence of data movement to another source on this date. |
(1) The respondent delivered up the external drive the existence of which was unknown to CLS until she did so.(2) The vast bulk of the files she accessed related to Xpart and Land Rover, and not to QH. It is not suggested that their contents are relevant to the relationship between QH and CLS.
(3) There is no evidence of any files being copied on to a computer or external drive other than that delivered up to CLS.
(4) There is no evidence of any files being printed off.
CLS's Particulars of Claim
"16. The Claimant alleges and avers that the Defendant's employment by QHAL as General Manager at the Hinckley Site will result in the inevitable misuse by the Defendant of the Claimant's confidential information (whether deliberate or inadvertent). Further or in the alternative, it will put the Defendant in an inevitable position of conflict between the duty of fidelity to her new employer and her ongoing duty of confidence to the Claimant."
The judgment below
(1) Barring-out relief had never been given in a case of an employer against an employee, and there was no basis for such relief in the instant case.(2) The absence of any time limit in the confidentiality agreement precluded its enforcement. In addition, it was too wide, and did not sufficiently specify the information that was entitled to protection.
The submissions of the parties before us
Discussion
(a) Barring-out relief
"My Lords, the question in this appeal is whether, and if so in what circumstances, a firm of accountants which has provided litigation support services to a former client and in consequence has in its possession information which is confidential to him can undertake work for another client with an adverse interest."
"The case is authority for two propositions: (i) that there is no absolute rule of law in England that a solicitor may not act in litigation against a former client; and (ii) that the solicitor may be restrained from acting if such a restriction is necessary to avoid a significant risk of the disclosure or misuse of confidential information belonging to the former client. Like most of the later authorities, the case was concerned with the duties of a solicitor. The duties of an accountant cannot be greater than those of a solicitor, and may be less, for information relating to his client's affairs which is in the possession of a solicitor is usually privileged as well as confidential. In the present case, however, some of the information obtained by KPMG is likely to have attracted litigation privilege, though not solicitor-client privilege, and it is conceded by KPMG that an accountant who provides litigation support services of the kind which they provided to Prince Jefri must be treated for present purposes in the same way as a solicitor."
"Whether founded on contract or equity, the duty to preserve confidentiality is unqualified. It is a duty to keep the information confidential, not merely to take all reasonable steps to do so. Moreover, it is not merely a duty not to communicate the information to a third party. It is a duty not to misuse it, that is to say, without the consent of the former client to make any use of it or to cause any use to be made of it by others otherwise than for his benefit. The former client cannot be protected completely from accidental or inadvertent disclosure. But he is entitled to prevent his former solicitor from exposing him to any avoidable risk; and this includes the increased risk of the use of the information to his prejudice arising from the acceptance of instructions to act for another client with an adverse interest in a matter to which the information is or may be relevant."
Lord Millett continued, at 236-7:
"It is in any case difficult to discern any justification in principle for a rule which exposes a former client without his consent to any avoidable risk, however slight, that information which he has imparted in confidence in the course of a fiduciary relationship may come into the possession of a third party and be used to his disadvantage. Where in addition the information in question is not only confidential but also privileged, the case for a strict approach is unanswerable. Anything less fails to give effect to the policy on which legal professional privilege is based. It is of overriding importance for the proper administration of justice that a client should be able to have complete confidence that what he tells his lawyer will remain secret. This is a matter of perception as well as substance. It is of the highest importance to the administration of justice that a solicitor or other person in possession of confidential and privileged information should not act in any way that might appear to put that information at risk of coming into the hands of someone with an adverse interest.
….
Once the former client has established that the defendant firm is in possession of information which was imparted in confidence and that the firm is proposing to act for another party with an interest adverse to his in a matter to which the information is or may be relevant, the evidential burden shifts to the defendant firm to show that even so there is no risk that the information will come into the possession of those now acting for the other party."
The italics are mine.
"I consider that the nature of the work which a firm of accountants undertakes in the provision of litigation support services requires the court to exercise the same jurisdiction to intervene on behalf of a former client of the firm as it exercises in the case of a solicitor. The basis of that jurisdiction is to be found in the principles which apply to all forms of employment where the relationship between the client and the person with whom he does business is a confidential one. A solicitor is under a duty not to communicate to others any information in his possession which is confidential to the former client. But the duty extends well beyond that of refraining from deliberate disclosure. It is the solicitor's duty to ensure that the former client is not put at risk that confidential information which the solicitor has obtained from that relationship may be used against him in any circumstances.
Particular care is needed if the solicitor agrees to act for a new client who has, or who may have, an interest which is in conflict with that of the former client. In that situation the former client is entitled to the protection of the court if he can show that his solicitor was in receipt of confidential information which is relevant to a matter for which the solicitor is acting, against the former client's interest, for a new client. He is entitled to insist that measures be taken by the solicitor which will ensure that he is not exposed to the risk of careless, inadvertent or negligent disclosure of the information to the new client by the solicitor, his partners in the firm, its employees or anyone else for whose acts the solicitor is responsible."
"... what the House of Lords was protecting was a quasi-solicitor/client relationship and all the disclosure that went with it. It is that relationship which is so serious and significant as to attract the disabilities identified in Prince Jefri and to require the heavy burden which the Committee held to apply."
Mann J therefore refused to grant barring out relief to prohibit an expert witness from acting for an adverse party. Bolkiah was applied by Floyd J to a patent attorney in Generics (UK) Ltd v. Yeda Research & Development Co. Ltd [2011] EWHC 3200 (Pat). Patent attorneys share many of the characteristics of a litigation solicitor.
"3. … Can an employer obtain an injunction against a former employee who acquired confidential and privileged information during his employment, to restrain him not merely from misusing or disclosing such information, but from being employed on matters to which such information may be relevant in his new job with an enterprise having interests adverse to those of the employer?"
"28. The considerations bearing on the relationship of solicitor and client are quite different [from those bearing on the relationship of the employer and employee]. It is a fiduciary relationship in which all the confidences are those of the client. The confidential information received by the solicitor and the advice tendered by him are received and given solely for the client's purposes. Only the client, and not the solicitor, can waive such confidentiality (and, where the communications are privileged, waive such privilege). The solicitor has no claim to use for his own purposes any of the confidential information imparted within the fiduciary relationship. Thus, the policies of protecting an employee's freedom to deploy his personal skill and knowledge for his own benefit and of securing the free availability of employees in the labour market do not extend to a solicitor who wishes to accept instructions from a new client whose interests are adverse to those of the former client, on a matter to which his former client's confidences are relevant."
"61. The principle applied in the Rakusen and Prince Jefri cases is a branch of the law of confidence, not the law of privilege. It is a special remedy against solicitors and the like which the courts have devised to protect the confidentiality of communications between solicitor and client, or between either of them and third parties, for the purpose of enabling the solicitor to advise or otherwise act for the client. As Lord Millett said at p.234, the basis of the court's jurisdiction is the protection of confidential information. It is true that one of the reasons why the law of confidence provides this special remedy against solicitors is the reason which justifies LPP, namely, the policy of encouraging free communication between client and solicitor in the interests of justice. But that does not enable one to transfer features of the law of privilege into the law of confidence.
62. There is a very considerable difference between the position of a solicitor and an employee, even though the confidential information which they have obtained may be the same. The solicitor will normally have many clients and will not be dependent upon one for his livelihood. Even if the new client is important to him, he does not have to act for him in a matter in which he previously acted for the other side. The employee can have only one employer at a time and, in the nature of things, his new employer is likely to be in the same line of business and therefore in competition with the previous one. I therefore see no reason of logic or policy which requires the special remedy against solicitors to be extended to employees who have information which would be protected by LPP.
63. As for authority, there appears to be none to support [the claimant's] submission. The statement of principle by Fletcher Moulton LJ in Rakusen's case is perfectly clear. In the absence of an enforceable covenant, the courts do not interfere with the new activities of former employees. There is no case in which they have done so. Former solicitors (or forensic accountants) are different."
"Further English law has never countenanced barring out relief (e.g. preventing an (ex-)employee from joining a rival of the (ex-)employer as a means of providing protection against future misuse of confidential information, absent a reasonable restrictive covenant. The proper means of obtaining protection against misuse of confidential information is for the employer to bargain for an appropriate restrictive covenant. One of the justifications for such a barring out covenant is the difficulty of policing misuse of confidential information – but it is not the basis of obtaining such protection without a covenant."
"It is important to recognise that the mere fact that Dr. Fishel is an employee does not mean that he owes the range of fiduciary duties referred to above. It is true that in Attorney-General v Blake [1998] Ch 439 Lord Woolf, giving judgment for the Court of Appeal said that the employer-employee relationship is a fiduciary one. But plainly the Court was not thereby intending to indicate that the whole range of fiduciary obligations was engaged in every employment relationship. This would be revolutionary indeed, transforming the contract of employment beyond all recognition and transmuting contractual duties into fiduciary ones. In my opinion the Court was merely indicating that circumstances may arise in the context of an employment relationship, or arising out of it, which, when they occur, will place the employee in the position of a fiduciary. In Blake itself, as I have indicated, it was the receipt of confidential information. There are other examples. Thus every employee is subject to the principle that he should not accept a bribe and he will have to account for it (and possibly any profits derived from it) to his employer. Again, as Fletcher-Moulton L.J. observed in Coomber v Coomber [1911]1 Ch.723 at 728, even an errand boy is obliged to bring back my change, and is in fiduciary relations with me. But his fiduciary obligations are limited and arise out of the particular circumstances, namely that he is put in a position where he is obliged to account to me for the change he has received. In that case the obligation arises out of the employment relationship but it is not inherent in the nature of the relationship itself.
As these examples all illustrate, simply labelling the relationship as fiduciary tell us nothing about which particular fiduciary duties will arise. As Lord Browne-Wilkinson has recently observed:
'...the phrase "fiduciary duties" is a dangerous one, giving rise to a mistaken assumption that all fiduciaries owe the same duties in all circumstances. This is not the case.' ([Henderson v Merrett Syndicates Ltd [1995]2 A.C.145 at 206.)
This is particularly true in the employment context.
The employment relationship is obviously not a fiduciary relationship in the classic sense. It is to be contrasted with a number of other relationships which can readily and universally be recognised as 'fiduciary relationships' because the very essence of the relationship is that one party must exercise his powers for the benefit of another. Trustees, company directors and liquidators classically fall into this category which Dr. Finn, in his seminal work on fiduciaries, has termed "fiduciary offices". (See P.D Finn, Fiduciary Obligations (1977)). As he has pointed out, typically there are two characteristics of these relationships, apart from duty on the office holder to act in the interests of another. The first is that the powers are conferred by someone other than the beneficiaries in whose interests the fiduciary must act; and the second is that these fiduciaries have considerable autonomy over decision making and are not subject to the control of those beneficiaries.
By contrast, the essence of the employment relationship is not typically fiduciary at all. Its purpose is not to place the employee in a position where he is obliged to pursue his employer's interests at the expense of his own. The relationship is a contractual one and the powers imposed on the employee are conferred by the employer himself. The employee's freedom of action is regulated by the contract, the scope of his powers is determined by the terms (express or implied) of the contract, and as a consequence the employer can exercise (or at least he can place himself in a position where he has the opportunity to exercise) considerable control over the employee's decision making powers."
"In almost all businesses there must be persons in such a confidential relation to the employers … that the knowledge which they acquire … consists substantially of the secrets of their employer. Such employments come to an end … and thereupon difficulties necessarily arise, because the person who is no longer in employment still has in his breast secrets which are the property of his past employer. The view that the law takes of the rights of the parties in that position is too clear to be disputed. The employee is quite free to go into the service of people who may be the rivals or the opponents of his former master. The law does not say that the possession of those secrets shall cripple his work, or sterilize it. He may go into employment quite inconsistent with the employment which he had in the past. All that the law says is: you shall not disclose or put at the service of your new employer the secrets that belong to your old employer."
"If the managing director is right in thinking that there are features in the plaintiff's process which can fairly be regarded as trade secrets and which their employees will inevitably carry away with them in their heads, then the proper way for the plaintiffs to protect themselves would be by exacting covenants from their employees restricting their field of activity after they have left their employment, not by asking the Court to extend the general equitable doctrine to prevent breaking confidence beyond all reasonable bounds."
"Employers who want to impose fetters of this sort on their employees ought in my view to be expected to do so by express covenant. The reasonableness of the covenant can then be subjected to the rigorous attention to which all employee covenants in restraint of trade are subject."
(b) The narrower form of relief: an injunction to restrain the misuse of CLS's confidential information
(c) The strike out of the claim
Procedural matters
"58. If the timetable provided by the CPR had been followed by CLS in this action these proceedings could have been ready for trial on the date which was ultimately fixed for the return date namely 9 November 2011, or so nearly ready that a speedy trial could have been ordered within the next few weeks.
59. If Particulars of Claim had been served, the attention of those representing CLS would have had to be directed to defining the Confidential Information in a list such as was provided to me on the second day of the hearing. Their attention would also have had to be directed to the precise allegations of impropriety that are being advanced against Mrs Huesca de Crean, and for that matter Klarius/QH. The allegations appear to me to amount to procuring a breach of confidence or contract on the part of Klarius/QH and (and as Edmund Davies LJ suggested in John Zink Co Ltd v Wilkinson [1973] FSR1 at p12) to criminal conspiracy on the part of Klarius/QH and Mrs Huesca de Crean, although these are not words actually used by CLS or Ms Brown.
60. It has long been established that it may be an oppression and harassment of the former employee, and an abuse of the process of the court, in a claim against a former employee, if an employer does not specify in a statement of claim allegations such as these, and do so as soon as possible upon the issue or proceedings: see John Zink Co Ltd v Wilkinson [1973] FSR1 pp10-12 and [1974] FSR 401, 409-410. I note that in United Pan-Europe the particulars of claim were served on 11 November 1999 and the defence in January 2000 (see para 2 of the judgments of Jacob J and Morritt LJ).
61. The position is much clearer under the CPR 7.4, because it is mandatory (see the word 'must' and paragraph 55 above), although the CPR Part 3.1(2(a) permits the court to grant an extension of the time specified in Part 7.4(2)…."
Conclusion
Lord Justice Lewison:
Lord Justice Maurice Kay: