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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 >> Sports Direct International Plc v Rangers International Football Club Plc & Anor [2016] EWHC 85 (Ch) (22 January 2016) URL: http://www.bailii.org/ew/cases/EWHC/Ch/2016/85.html Cite as: [2016] EWHC 85 (Ch) |
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CHANCERY DIVISION
Fetter Lane, London, EC4A 1NL |
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B e f o r e :
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Sports Direct International Plc |
Claimant |
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- and - |
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Rangers International Football Club Plc - and – David King |
Defendant Additional Respondent |
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Mr McCormick and Mr Ali Reza Sinai (instructed by Kingsley Napley LLP) for the Defendant
Hearing dates: 10th and 11th December 2015
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Crown Copyright ©
Peter Smith J:
INTRODUCTION
1) The Claimant Sports Direct International Plc's ("SDI") application by Notice dated 7th September 2015 inviting the court to find the Defendan ("Rangers") in contempt of court for breaching the order made by Asplin J on 11th June 2015 ("the Order") when sitting as the Applications Judge (as set out below further in this judgment). SDI also sought the committal of the Second Respondent David King the chairman of Rangers for breaching the June Order by reason of an interview he gave to Sky Sports News in July 2015 ("the Interview") and to commit him to prison and fine Rangers in punishment for that contempt.2) Rangers' application by Notice dated 30th October 2015 seeking an order discharging or varying the June Order.
3) SDI's application by Notice dated 20th November 2015 for summary judgment on its claim for a permanent injunction against Rangers.
OTHER APPLICATIONS
BACKGROUND
1) A shareholders agreement dated 31st July 2012 ("the SHA") between SDI Retail Services Ltd ("SDR") a member of the SDI Group and the Club relating to the establishment and operation of a joint venture company named Rangers Retail Ltd ("RRL"). Its shareholders were SDR and the Club.2) Further to the joint venture RRL and the Club entered into an Intellectual Property Licence Agreement ("the IPLA") granting RRL certain rights to exploit the Club's brand.
3) On 31st October 2012 the Sponsorship Agreement ("SA") between SportsDirect.com Retail Ltd ("SD.com") a further member of the SDI Group and the Club was entered into relating to certain sponsorship and marketing rights for the Sports Direct brand at the Rangers Football Stadium.
1) SD.com agreed to make an interest free loan of up to £10m available to the Club pursuant to the terms of a written Facility Agreement ("the Facility Agreement").2) As security for the sums lent under the Facility Agreement the Club transferred shares representing 26% of the issued shares in RRL to SD.com pursuant to a legal mortgage. SDR which is a wholly owned subsidiary of SD.com already owned 49% of the shares in RRL in its own right. SD.com and SDR entered into a written agreement entitling the Club to repurchase those shares in specified circumstances the shares transferred to SD.com as security for the loan.
3) RRL and the Club entered into a written Intellectual Property Licence in relation to the IP rights which replaced the IPLA.
4) SD.com provided £5m of that facility. On the first day of the hearing before me Mr McCormick informed me that the Club had repaid that £5m. On the second day I was informed by Mr Quest QC that the £5m had not been repaid. Repayment was in fact made on 24 December 2015.
THE CONFIDENTIALITY UNDERTAKING
"1. Confidentiality
1.1 In connection with the commercial arrangements entered into between SDI and its subsidiary undertakings, on the one hand (together, the SD Group), and Rangers International Football Club plc (Rangers Plc) and its subsidiary undertakings, on the other hand (together, the Rangers Group), and in consideration of the SD Group and/or its representatives continuing discussions with the Rangers Group in connection with its existing and future commercial arrangements, Rangers Plc and Alexander Easdale (the Undertakers) shall treat as private and confidential, on the terms of this letter, (i) the existence of any discussions between the SD Group (and its representatives) and the Rangers Group (ii) the contents of any such discussions and/or any agreements entered into in relation to any such discussions and/or arrangements entered into, and (iii) any information provided by or on behalf of any member of the SD Group to Rangers Group and/or Alexander Easdale (save to the extent that such existing arrangements are covered by existing confidentiality provisions, which shall continue in full force and effect, notwithstanding this letter).
1.2 For the avoidance of doubt, Rangers Plc shall be responsible for the compliance by its directors, officers, employees and consultants with this letter.
1.3 The restrictions on the Undertakers in this letter shall not apply to any information which the Undertakers are required to disclose by law or the rules of any legal, regulatory or governmental authority to which the Undertakers are subject, but only to the extent required by, for the purpose of, and strictly in accordance with, the relevant law or rules and provided that to the extent it is legally permitted to do so and practicable within the time available, the Undertakers gives SDI notice of such disclosure, and takes into account the reasonable requests of SDI in relation to the content of the disclosure."
CONFIDENTIALITY
"Duty of confidence: law and equity
119 The legal principles defining the duty of confidence are well established and there was a large measure of common ground both as to their content and as to their application.
120 Even in the absence of a contractual relationship and stipulation, and in the absence too of an initial confidential relationship, the law imposes a "duty of confidence" whenever a person receives information he knows or ought to know is fairly and reasonably to be regarded as confidential: see per Lord Nicholls (dissenting on the result, but not on this issue) in Campbell v MGN Ltd [2004] UKHL 22; [2004] 2 AC 457 at [14].
121 The subject matter must be "information", and that information must be clear and identifiable: see Amway Corp v Eurway International Ltd (1974) RPC 82 at 86-87.
122 To warrant equitable protection, the information must have the ""necessary quality of confidence about it"": per Lord Greene MR in Saltman Engineering Co Ltd v Campbell Engineering Co Ltd (1948) 65 RPC 203 at 215.
123 Confidentiality does not attach to trivial or useless information: but the measure is not its commercial value; it is whether the preservation of its confidentiality is of substantial concern to the claimant, and the threshold in this regard is not a high one: Force India Formula One Team Limited [2012] ROC 29 at [223] in Arnold J''s judgment at first instance.
124 The basic attribute or quality which must be shown to attach to the information for it to be treated as confidential is inaccessibility: the information cannot be treated as confidential if it is common knowledge or generally accessible and in the public domain. Whether the information is so generally accessible is a question of degree depending on the particular case. It is not necessary for a claimant to show that no one else knew of or had access to the information.
125 A special collation and presentation of information, the individual components of which are not of themselves or individually confidential, may have the quality of confidence: for example, a customer list may be composed of particular names all of which are publicly available, but the list will nevertheless be confidential. In the Saltman case (supra) Lord Greene MR said:
"…it is perfectly possible to have a confidential document, be it a formula, a plan, a sketch, or something of that kind, which is the result of work done by the maker on materials which may be available for the use of anybody; but what makes it confidential is the fact that the maker of the document has used his brain and thus produced a result which can only be produced by somebody who goes through the same process."
Or as it is put in Gurry on Breach of Confidence (2nd ed., 2012) para 5.16:
""Something that has been constructed solely from materials in the public domain may possess the necessary quality of confidentiality: for something new and confidential may have been brought into being by the skill and ingenuity of the human brain. Novelty depends on the thing itself, and not upon the quality of its constituent parts. Indeed, often the more striking the novelty, the more commonplace its components…""
126 Further, and of particular potential relevance in this case, pieces of information which individually might appear to have limited value and marginal secrecy, in combination in particular hands, might have special composite value and confer on the recipient a considerable advantage: as was noted by the New Zealand Court of Appeal in the Arklow case when at that stage (see [1998] 3 NZLR 680 at 700 in the judgment of the majority which was affirmed by the Privy Council).
127 The parties may by contract agree and identify specified information that is, or is as between the parties to be treated as, confidential, or protected under the terms of their agreement; or they may simply agree that information may not be used whether or not otherwise it would have the quality of confidentiality.
128 Thus, in Ministry of Defence v Griffin [2008] EWHC 1542 Eady J observed:
"A contract may embrace categories of information within the protection of confidentiality even if, without a contract, equity would not recognise such a duty."
129 However, that case concerned obligations to Government of a sensitive nature: and an attempt to restrain the use of information that is not confidential (e.g. because in the public domain) may risk being unenforceable on grounds of public policy as being in restraint of trade. Further, loss and damage might be impossible to establish.
130 Contractual obligations and equitable duties may co-exist: the one does not necessarily trump, exclude or extinguish the other: see Robb v Green [1895] 2 QB 315 and Nichrotherm Electrical Company Ltd and others v Percy [1957] RPC 207 (both in the Court of Appeal).
131 However, where the parties have specified the information to be treated as confidential and/or the extent and duration of the obligations in respect of it, the court will not ordinarily superimpose additional or more extensive equitable obligations: and see per Sales J in Vercoe and Pratt v Rutland Fund Management Ltd [2010] EWHC 424 (Ch), who found in that case that the duty of confidence was confirmed and defined by the contract, and observed (at [329]):
"Where parties to a contract have negotiated and agreed the terms governing how confidential information may be used, their respective rights and obligations are then governed by the contract and in the ordinary case there is no wider set of obligations imposed by the general law of confidence: see e.g. Coco v Clark at 419."
132 Nevertheless, that does not preclude wider equitable duties of confidence in circumstances that are not ordinary. For example, as it seems to me, a circumstance could arise where the obligations of the parties in respect of information with the quality of confidentiality are not clearly prescribed or governed by the contractual terms but where the use of certain information would plainly excite and offend a reasonable man's conscience. In such circumstances, as it seems to me, an equitable duty not to use the information having that quality would be recognised, even if that went further than the definition, duration or restraint prescribed by the contract.
133 Put another way, whilst it will not usually be unconscionable to use information in conformity with, or in a manner that does not offend, the terms consensually agreed, and the contract will shape the commitment, contract does not necessarily assuage conscience, and equity may yet give force to conscience: see per Simon Brown LJ (as he then was) in R v Department of Health, Ex p Source Informatics Ltd [2001] QB 424 at [31]; see also the emphasis on conscience as being the basis of both the duty and any action for its enforcement or vindication per Lord Neuberger of Abbotsbury PSC in Vestergaard Fraudsen A/S v Bestnet Europe Ltd and others [2013] UKSC 31; [2013] 1 WLR 1556.
Furthermore, and again by reference to the roots of the equitable duty in conscience, it seems to me that there may be equitable reasons for declining to regard the equitable obligation as confined by a contractual restriction. An example might be if it is shown that the restriction relied on by one party as confining its equitable obligations was agreed by the other party in ignorance of a fact which, had it been disclosed, would either have caused that other party to withdraw altogether or insist upon the removal, or at least fundamental recasting, of the restriction. (I return to this aspect when considering whether in this case Barclays was in a position of conflict which it failed to disclose when the IVC/Barclays Confidentiality Agreement was made: see especially paragraphs 417 to 467 below.)"
DAVID KING
DAILY RECORD ARTICLE 27TH MAY 2015
SDI ACTS
APPLICATION TO COURT
SERVICE OF THE ORDER
"(1) unless the court dispenses with service under rule 81.8, a judgment or order may not be enforced under rule 81.4 unless a copy of it has been served on the person required….. not to do the act in question."
ACTUAL SERVICE
COMMITTAL APPLICATION
THE BREACH
"4.1 At some point in July 2015, the Second Respondent gave an interview (the Interview) to Mr Jim White, a journalist at Sky Sports, in Johannesburg, South Africa. During this Interview, the Second Respondent disclosed and/or communicated to Mr White:
4.1.1 The existence of discussions between the Appellant and the Defendant/Respondent (which was represented in those discussions by the Second Respondent) which took place at a meeting between those parties on 12 June 2015 (the Meeting).
4.1.2 The contents of certain discussions at the Meeting.
4.1.3 The existence of planned future discussions between the Applicant and the Defendant/Respondent.
4.1.4 The anticipated contents of those future discussions between the Applicant and the Defendant/Respondent."
THE EVIDENCE
"Geraldine is there a way of resolving this other than as proposed in your letter [i.e. committal] I have not spoken to Mr King yet and this matter seems to have arisen when I was away on holiday.
I think based on what limited web enquiries I have just made that this was an interview with Mr King in a private capacity which took place in South Africa. I would obviously need to enquire of Mr King himself to ascertain anything definitively.
The comments seem to reflect well on your client. I appreciate all the other points you will no doubt make in return but is there another way of resolving?"
"I did not speak to any of the other Board Members about the planned interview with Jim White or seek their views or authorisation, as I did not see the interview as being done with my "RIFC Chairman hat" on."
REVEALING THE EXISTENCE OF THE MEETING OF 12TH JUNE 2015
BREACHES 3 AND 4 NAMELY THE EXISTENCE OF A PLANNED FUTURE MEETING AND THE ANTICIPATED CONTENTS OF THOSE FUTURE DISCUSSIONS
CONTENTS OF MEETINGS AND TERMS
PRINCIPLES APPLICABLE TO COMMITTAL APPLICATIONS
"Contempt of Court – the relevant principles
37 As I recently held in IPartner v Pancore [2014] EWHC 3608 (Comm) at [22]:
"The relevant principles may be summarised as follows:
(1) Non-compliance with a court order endorsed with a penal notice amounts to civil contempt enforceable by committal if "a person (a) required by a judgment or order to do an act does not do it within the time fixed by the judgment or order, or (b) disobeys a judgment or order not to do an act": CPR 81.4; Arlidge, Eady & Smith on Contempt (4th ed) 3.1 - 3.11A, 3.21-3.24, 3.69-3.72, 12.1 - 12.7.
(2) Contempt of court must be proved to the criminal standard of proof - i.e., beyond reasonable doubt: Masri v CCC [2011] EWHC Comm at [144].
(3) The claimants must prove that each Respondent (i) knew of the terms of the WFO; (ii) acted (or failed to act) in a manner which involved a breach of the WFO; and (iii) knew of the facts which made that conduct a breach: Masri at [150].
(4) There is contempt if an act intentionally done amounts to a breach of the WFO. It is not necessary to show that the Respondent knew or believed that those intentional acts amounted to a breach: Masri [150] - [154]; Templeton Insurance v Motorcare Warranties [2012] EWHC 795 (Comm) (Eder J.) at [17]-[20], upheld on appeal at [2013] EWCA Civ 35.
(5) Where a company is ordered not to do certain acts and a director of that company is aware of the order, he is under a duty to take reasonable steps to ensure that the order or undertaking is obeyed, and if he wilfully fails to take those steps and the order or undertaking is breached he can be punished for contempt. It may be otherwise if the director can reasonably believe some other director or officer is taking those steps: Templeton Insurance (Eder J.) [23]- [24] approving Arlidge Eady & Smith at 12-112 - 12-116. (And see now Arlidge, Supplement p. 126-128 at paras 12-115 - 12-115C.)
38 The Bank's case depends on circumstantial evidence. The proper approach to such evidence was summarized by Teare J in the context of a contempt application in JSC BTA Bank v Ablyazov [2012] EWHC 237 (Comm) as follows:
"8. It is notable that the Bank's case against Mr. Ablyazov, on the first two allegations of contempt, depends upon inference from such circumstantial facts and matters as the Bank is able to prove. As in any criminal trial circumstantial evidence can be relied on to establish guilt. It is however important to examine the evidence with care to see whether it reveals any other circumstances which are or may be of sufficient reliability and strength to weaken or destroy the Bank's case; see Teper v R [1952] AC 480 per Lord Norman. Further, I respectfully adopt the words of David Richards J. in Daltel v Makki [2005] EWHC 749 (Ch) at paragraph 30: "In particular if, after considering the evidence, the court concludes that there is more than one reasonable inference to be drawn and at least one of them is inconsistent with a finding of contempt, the claimants fail." I accept the submission of Mr. Matthews QC, counsel for Mr. Ablyazov, that where a contempt application is brought on the basis of almost entirely secondary evidence the court should be particularly careful to ensure that any conclusion that a respondent is guilty is based upon cogent and reliable evidence from which a single inference of guilt, and only that inference, can be drawn.
9. Although there is no burden on Mr. Ablyazov to prove anything on this application he has advanced a case in relation to each of the three alleged contempts. It is a corollary of the burden of proof being upon the Bank that if, after considering the evidence, I consider that Mr. Ablyazov's case is or may be true then the Bank will have failed to establish the alleged contempt."
39 The Bank does not, however, have to prove beyond reasonable doubt every fact or piece of evidence which is relied upon to prove an essential element by inference - see JSC BTA Bank v Ablyazov (No 8) [2013] 1 WLR 1331, [2012] EWCA Civ 1411 at [51] – [52] per Rix LJ:
"51. …. Moreover, it is not true that every single aspect of a criminal case has to be proved to the criminal standard, although of course the elements of the offence must be.
52. It is, however, the essence of a successful case of circumstantial evidence that the whole is stronger than individual parts. It becomes a net from which there is no escape. That is why a jury is often directed to avoid piecemeal consideration of a circumstantial case …. as Lord Simon of Glaisdale put it in R v Kilbourne [1973] AC 729 , 758, "Circumstantial evidence … works by cumulatively, in geometrical progression, eliminating other possibilities". The matter is well put by Dawson J in Shepherd v The Queen (1990) 170 CLR 573, 579–580 (but also passim):
"the prosecution bears the burden of proving all the elements of the crime beyond reasonable doubt. That means that the essential ingredients of each element must be so proved. It does not mean that every fact—every piece of evidence—relied upon to prove an element by inference must itself be proved beyond reasonable doubt. Intent, for example, is, save for statutory exceptions, an element of every crime. It is something which, apart from admissions, must be proved by inference. But the jury may quite properly draw the necessary inference having regard to the whole of the evidence, whether or not each individual piece of evidence relied upon is proved beyond reasonable doubt, provided they reach their conclusion upon the criminal standard of proof. Indeed, the probative force of a mass of evidence may be cumulative, making it pointless to consider the degree of probability of each item of evidence separately.""
REPORTING CONTENTS OF MEETING
"The need for particulars of the conduct alleged to constitute contempt
38 The procedural rules which govern committal applications are now to be found in CPR Part 81 which came into force on 1 October 2012. Before then, and at the time relevant to the present application, the applicable rules were contained in RSC Order 52, the Practice Direction to which provided:
"2.6 If a committal application is commenced by the filing of an application notice, CPR Part 23 shall ... apply, but:
...
(2) the application notice must set out in full the grounds on which the committal application is made and must identify, separately and numerically, each alleged act of contempt ...
...
4.5 In dealing with any committal application, the court will have regard to the need for the respondent to have details of the alleged acts of contempt and the opportunity to respond to the committal application."
39 Equivalent provisions are now contained in CPR 81.10(3)(a) and paragraph 15.5 of the Practice Direction to Part 81.
40 The importance of such provisions was underlined by Cross J in Re B (JA) (an Infant) [1965] Ch 1112 at 1117:
"Committal is a very serious matter. The courts must proceed very carefully before they make an order to commit to prison; and rules have been laid down to secure that the alleged contemnor knows clearly what is being alleged against him and has every opportunity to meet the allegations."
41 In Harmsworth v. Harmsworth [1987] 1 WLR 1676 the county court judge had held that although the application notice did not contain sufficient particularity, that defect was cured by the supporting affidavit. The Court of Appeal took a different view, holding that the allegations must be set out with sufficient particularity in the application notice itself and could not be supplemented by reference to some other document such as a supporting affidavit, but that on the facts the notice did satisfy the applicable requirement. That requirement was described by Nicholls LJ in the following terms at 1683 after citing from the judgment of Sir John Donaldson MR in Chiltern District Council v. Keane [1985] 1 WLR 1401:
"So the test is, does the notice give the person alleged to be in contempt enough information to enable him to meet the charge? In satisfying this test it is clear that in a suitable case if lengthy particulars are needed they may be included in a schedule or other addendum either at the foot of the notice or attached to the notice so as to form part of the notice rather than being set out in the body of the notice itself. But a reference in the notice to a wholly separate document for particulars that ought to be in the notice seems to me to be a quite different matter. I do not see how such a reference can cure what otherwise would be a deficiency in the notice. As I read the Rules and as I understand the decision in Chiltern District Council v. Keane, the Rules require that the notice itself must contain certain basic information. That information is required to be available to the respondent to the application from within the four corners of the notice itself. From the notice itself the person alleged to be in contempt should know with sufficient particularity what are the breaches alleged ..."
42 Woolf LJ agreed, adding at 1685-1686 that what matters is that the alleged contemnor is "given particulars sufficient to let him know the subject matter of the breach which is alleged" and warning that proper emphasis on the involvement of the liberty of the subject must not be allowed "to produce a result which unnecessarily makes a mockery of justice". Woolf LJ returned to this topic in Attorney-General for Tuvalu v. Philatelic Distribution Corporation Ltd [1990] 1 WLR 926 at 934-935:
"The essential point which the cases establish is that an alleged contemnor should be told, with sufficient particularity to enable him to defend himself, what exactly he is said to have done or omitted to do which constitutes contempt of court. The cases make clear that compliance with this rule will be strictly insisted upon since the liberty of the subject is at stake, but they also show the nature or background of the case is important. Where, for example, a non-molestation order is said to have been breached the complainant will in all probability have witnessed the act complained of personally and in such a case it is not unreasonable to require a particularised summary of the act relied on. It would not, however, be reasonable and would stultify this branch of the law if the same degree of particularity were required in a case where the complainant has not personally witnessed the act complained of and must rely on inference to establish that non-compliance with a court order was caused by the act or omission of the alleged contemnor. In such a case the complainant must make clear the thrust of the case he will present to the court. The alleged contemnor can then prepare to meet that case."
43 In summary, therefore, the application notice must contain sufficient detail of what is alleged to enable the alleged contemnor to meet the case against him, but that requirement must be applied sensibly and the level of detail required to be included in order to satisfy this test will depend on the circumstances of the particular case, including the nature of the acts or omissions alleged.
44 Related to the requirement for particulars of the conduct alleged to constitute the contempt is the further principle that an alleged contemnor is only required to meet the specified allegations of contempt made against him, which must be determined as at the date of the application notice. This appears from Tankaria v. Morgan [2005] EWHC 3282 (Ch) at [27], where Laddie J said:
"Applications for committal or punishment for contempt of Court are treated with particular care. They are quasi criminal in nature. The applicant must prove the breach beyond reasonable doubt; furthermore, there are strict formal requirements as to the service and content of the order which is alleged to have been breached, and the content of the application notice. Perhaps of greatest significance in this case is the importance of the date and content of the application notice. The respondent is only obliged to meet the "charges" set out in the application notice. In other words, the charges are those specified in the application notice. The question of whether there has been contempt has to be determined as of the date of the application notice. Subsequent behaviour of the respondent may be highly relevant to whether he or she has purged or mitigated the alleged contempt. It may also throw light on the accuracy or otherwise of any evidence served. However, it seems to me that actions or inactions after, and therefore not encompassed within the application, cannot themselves be considered as part of the charges against the respondent.""
SERVICE
ABUSE