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England and Wales High Court (Chancery Division) Decisions |
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You are here: BAILII >> Databases >> England and Wales High Court (Chancery Division) Decisions >> JSC BTA Bank v Solodchenko [2010] EWHC 2843 (Ch) (02 November 2010) URL: http://www.bailii.org/ew/cases/EWHC/Ch/2010/2843.html Cite as: [2011] 1 WLR 906, [2010] EWHC 2843 (Ch), [2011] WLR 906 |
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CHANCERY DIVISION
The Royal Courts of Justice The Strand London WC2A 2LL |
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B e f o r e :
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JSC BTA BANK |
Claimant/Applicant |
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-and- |
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(1) ROMAN VLADIMIROVICH SOLODCHENKO |
Defendant |
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(2) PAUL KYTHREOTIS |
Defendant/Respondent |
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(3) JASON CHRISTIAN HERCULES (4) CELINA HOLDING INVESTMENTS LIMITED (formerly Bubris Investments Limited) (5) SHORELINE INVESTMENT HOLDING LIMITED (formerly Granta Investment Holdings Limited) (6) NAFAZKO INVESTMENTS LIMITED (7) OLOFU INVESTMENT LIMITED (8) MYMANA HOLDINGS INVESTMENT LIMITED (formerly Kyma Investment Holdings Limited) (9) MABCO INC (10) CALERNEN FINANCE INC (11) ASTROGOLD CORP (12) GRUNDBERG INC |
Defendants |
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WordWave International Limited
A Merrill Communications Company
190 Fleet Street, London EC4A 2AG
Tel No: 020 7404 1400, Fax No: 020 7831 8838
Official Shorthand Writers to the Court)
Mr P Stanley QC (instructed by Byrne & Partners LLP) appeared on behalf of the second Defendant/Respondent.
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Crown Copyright ©
One purpose of sanctions for civil contempt is for the court to secure compliance with the specific order breached. Thus it is important to consider whether the contemnor has substantially complied with the order.
Secondly, to secure compliance with the court's orders generally. Thus the court will wish to consider whether the penny has dropped with the contemnor such that he has manifested an intention to treat the court's orders with proper seriousness.
Thirdly, to see whether the apology given is genuine by considering whether proper efforts of compliance have been made.
Fourthly, to see whether the breach of the order constituting the contempt has caused substantial prejudice to the other party, that is to say both whether the contempt was committed with the intention of causing harm to the claimant and, whatever the answer to that question, whether serious harm has in fact been suffered.
Sentencing principles.
"But of greater significance, it does not appear to us to be right to blend the two. The court's concentration should be on considering whether the evidence given by Mr Symes has now provided the information required to be provided by the undertakings, with the possible consequence of an adverse finding being his imprisonment. If the wider-ranging examination is allowed, it will not be clear to Mr Symes whether he is dealing with that matter, or something different. There are dangers that, without an eye being kept firmly on the ball of whether the particular undertakings are being fulfilled, extraneous factors may influence where they should not."
Burden and standard of proof.
"It must be open to the claimants to put in evidence to demonstrate that the compliance affidavits do not comply with the undertakings. Once a prima facie case has been shown, it must be open to the court to allow Mr Symes an opportunity of making good the deficiency, but only on the basis that he is prepared to be cross-examined on all the evidence he has given. It is true that, at this stage, if Mr Symes still fails to comply with the undertakings he will be at risk of the suspension being lifted, but we do not see that there is anything unjust in that. Nor do we think that to allow Mr Symes the opportunity of complying now with the undertakings only on the basis that he be cross-examined on his evidence, offends the principles to which the skeleton put in on behalf of Mr Symes refers. We do not in particular accept that the order compels Mr Symes to give evidence on a contempt application. This is not a contempt application."
Preliminary observations.
Has the contempt been purged?
"Are the whole of the payments and/or transfers referred to in schedule C above still in the same accounts as Alfa Equity and/or Trasta into which they were originally paid, as referred to in schedule C above? If not,
(a) when did money/securities leave those agents and in what amounts;
(b) who gave the instructions that the monies/securities should leave those accounts;
(c) were those accounts influenced by a suggestion or instruction made by any other individual, and if so who is that other person and what was the suggestion or instruction?"
Mitigation.