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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 >> PSGS Trust Corporation Ltd v Aon UK & Ors [2022] EWHC 2058 (Ch) (29 July 2022) URL: http://www.bailii.org/ew/cases/EWHC/Ch/2022/2058.html Cite as: [2022] EWHC 2058 (Ch), [2023] PNLR 2 |
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BUSINESS AND PROPERTY COURTS OF ENGLAND AND WALES
PENSIONS LIST (ChD)
Fetter Lane, London, EC4A 1NL |
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B e f o r e :
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PSGS TRUST CORPORATION LIMITED |
Claimant |
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- and – |
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(1) AON UK LIMITED (2) AON CONSULTING LIMITED (3) AON SOLUTIONS LIMITED |
Defendants |
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Richard Hitchcock QC & Farhaz Khan QC (instructed by CMS Cameron McKenna Nabarro Olswang LLP) for the Defendants
Hearing date: 20 July 2022
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Crown Copyright ©
This judgment was handed down by the judge remotely by circulation to the parties' representatives by email and release to The National Archives. The date and time for hand-down is deemed to be 29 July 2022 at 2:00pm.
Mr Justice Miles :
Introduction
Legal principles: summary judgment and striking out
Legal principles: s.14A LA80
"(1) This section applies to any action for damages for negligence, other than one to which section 11 of this Act applies, where the starting date for reckoning the period of limitation under subsection (4)(b) below falls after the date on which the cause of action accrued.
(2) Section 2 of this Act shall not apply to an action to which this section applies.
(3) An action to which this section applies shall not be brought after the expiration of the period applicable in accordance with subsection (4) below.
(4) That period is either —
(a) six years from the date on which the cause of action accrued; or
(b) three years from the starting date as defined by subsection (5) below, if that period expires later than the period mentioned in paragraph (a) above.
(5) For the purposes of this section, the starting date for reckoning the period of limitation under subsection (4)(b) above is the earliest date on which the plaintiff or any person in whom the cause of action was vested before him first had both the knowledge required for bringing an action for damages in respect of the relevant damage and a right to bring such an action.
(6) In subsection (5) above 'the knowledge required for bringing an action for damages in respect of the relevant damage' means knowledge both—
(a) of the material facts about the damage in respect of which damages are claimed; and
(b) of the other facts relevant to the current action mentioned in subsection (8) below.
(7) For the purposes of subsection (6)(a) above, the material facts about the damage are such facts about the damage as would lead a reasonable person who had suffered such damage to consider it sufficiently serious to justify his instituting proceedings for damages against a defendant who did not dispute liability and was able to satisfy a judgment.
(8) The other facts referred to in subsection (6)(b) above are—
(a) that the damage was attributable in whole or in part to the act or omission which is alleged to constitute negligence; and
(b) the identity of the defendant; and
(c) if it is alleged that the act or omission was that of a person other than the defendant, the identity of that person and the additional facts supporting the bringing of an action against the defendant.
(9) Knowledge that any acts or omissions did or did not, as a matter of law, involve negligence is irrelevant for the purposes of subsection (5) above.
(10) For the purposes of this section a person's knowledge includes knowledge which he might reasonably have been expected to acquire—
(a) from facts observable or ascertainable by him; or
(b) from facts ascertainable by him with the help of appropriate expert advice which it is reasonable for him to seek;
but a person shall not be taken by virtue of this subsection to have knowledge of a fact ascertainable only with the help of expert advice so long as he has taken all reasonable steps to obtain (and, where appropriate, to act on) that advice."
"The section has now been in force in this form since 1986 and has unsurprisingly accumulated a fair amount of authority. As I have said there was little dispute as to the law, and I can summarise what I take from that cited to me in the present case as follows:
(1) The leading case on s. 14A is Haward. This was in fact a case of actual knowledge not constructive knowledge, but much of what their Lordships said is relevant to both. For a convenient summary, Mr Pooles referred me to the judgment of Tomlinson LJ in Jacobs v Sesame Ltd [2014] EWCA Civ 1410 ("Jacobs") at [26ff] where he cited the relevant passages from speeches of four of their Lordships. I do not think it necessary to set them all out, although I refer to certain points that emerge from them below.
(2) The burden of proof under s. 14A is on the claimant to establish that he brought his claim in time. It is incumbent on the defendant, as with all limitation defences, to raise the issue by pleading it, but once it has been raised, it is for the claimant to prove that he first had the requisite knowledge 3 years or less before the proceedings were brought. There was no dispute about this, and it is supported by authority at the highest level (see eg Haward at [23]-[24] per Lord Nicholls and at [128] per Lord Mance; see also Jacobs at [4] per Tomlinson LJ), although at first blush it seems a little odd. Limitation is a defence, and normally one would have thought it was for a defendant to make out a defence. I can see that there may be pragmatic reasons why it is appropriate to require the claimant to establish when he first had actual knowledge of something, as this is something which (by definition) is peculiarly within the claimant's own knowledge and about which the defendant will usually be in the dark; but is it not clear why the same should be the case where a defendant is relying not on actual knowledge but on constructive knowledge, which is an objective question (see below). One might have thought that if a defendant wished to allege that the claimant had constructive knowledge, it would be for him to establish what a reasonable person would have known. But the authorities are clearly to the contrary, and it was common ground that the burden was on the claimant, and I will therefore proceed on this basis.
(3) There is a substantial body of authority on what "knowledge" requires. It is summarised by Lord Nicholls in Haward at [8]-[10]. It does not require knowing with certainty, but it requires more than suspicion:
"It means knowing with sufficient confidence to justify embarking on the preliminaries to the issue of a writ, such as submitting a claim to the proposed defendant, taking advice, and collecting evidence".
See also at [112] per Lord Mance.
(4) Not only does the claimant not need to know with certainty, he also does not need to know in detail. There are many statements to this effect, mostly in the context of attributability. As long ago as Wilkinson v Ancliff (B.L.T.) Ltd [1984] 1 WLR 1352, a case on the similar provisions in relation to personal injury claims in ss. 11 and 14 LA 1980 decided before the Latent Damage Act 1986 was even passed, Slade LJ said at 1365A-B that he thought that an employee who had "broad knowledge" that his injuries were due to his working conditions might well have enough knowledge of attributability to start time running:
"even though he may not yet have the knowledge sufficient to enable him or his legal advisers to draft a fully and comprehensively particularised statement of claim."
(5) Other statements to similar effect can be found collected in the speech of Lord Nicholls in Haward at [10], such as that a claimant needed to know "in general terms" that her complaint was capable of being attributed to an operation, or that a claimant needed to know the "essence" of the relevant act or omission, or have "in broad terms" knowledge of the facts on which the complaint is based; see also at [66] per Lord Walker referring to the "essence" or "essential thrust of the case" or facts which "distil what [the complainant] is complaining about".
(6) So far as the question of attributability under s. 14A(8)(a) is concerned, "attributable" means "capable of being attributed to" (rather than "caused by"): Haward at [122] per Lord Mance, approving a line of cases to this effect. What is required for a claimant to have knowledge of attributability is therefore knowledge in broad terms of: (a) the facts on which the claimant's complaint is based; (b) the defendant's acts or omissions; and (c) that there was a real possibility that those acts or omissions had been a cause of the damage.
(7) For the purposes of constructive knowledge, the test is an objective one, based on what a reasonable person with the general characteristics of the claimant would have done: see Gravgaard v Aldridge & Brownlee [2004] EWCA Civ 1529 at [22] per Arden LJ:
"Section 14A(10) does not state that a person's knowledge includes knowledge "which a reasonable person might be expected to acquire" but rather that a person's knowledge includes knowledge "which he [she] might reasonably be expected to acquire" (contrast s.14A(7)). In my judgment, this choice of wording is significant. It means, in my view, that in general the court must have regard to the characteristics of a person in the position of the claimant, but not to characteristics peculiar to the claimant and made irrelevant by the objective test imposed by subs.(10)."
It is common ground that in the present case that means that one must have regard to the fact that the Claimants are professional footballers or managers, and that in assessing their constructive knowledge, what has to be considered is what knowledge a professional footballer or manager might reasonably be expected to have acquired. One does not however have regard to the particular characteristics of each individual Claimant.
(8) In this context, a reasonable person is expected to read his correspondence: Webster v Cooper Burnett [2000] PNLR 240 ("Webster") at 246C per Swinton Thomas LJ. Mr Chapman expressly accepted that that was the case here."
The summary judgment application: some general points
Summary judgment: the 2003 Benefit Changes
"In my view, the terms of the power of alteration itself do not prevent the trustee company from consenting to the proposed change…
Nor do I believe that section 67 of the Pensions Act 1995 presents an obstacle to trustee consent. Any retirement is (and, I understand, has always been) subject to the consent of both the principal employer and the trustee. Whether the "leaving service benefits" test is applied as at 1st April 2003 or the earlier date when the alteration is actually made, there will be no difference in the value of a member's accrued rights. This is because a member's ability to take an early retirement pension is subject to consent and the value of an early retirement pension calculated on the existing basis is therefore not an accrued right."
The 2007 Amendments
"How can the changes be made?
Final salary benefit accrual could be stopped by amendment. The power of amendment is in Rule 31, which provides that the Principal Employer and the Trustee may jointly amend the Rules. The Trustee's agreement would therefore be needed to amend the Rules in this way.
Can the trustee agree such an amendment?
The terms of the amendment power would not prevent the amendment being made and changes to future service benefits are not restricted by s67 Pensions Act 1995. The question is therefore whether it would be proper for the Trustee to agree."
The 2009 Opinion
"I note that it is intended to amend the Scheme by executing a Deed of Amendment. The changes to be made are set out in the Deed (a copy of which is attached to this Opinion) and take effect from the date the Deed is signed."
The documents in combination
Continuing duty and the strike out application
"The Defendants were, up to 2015, under a continuing duty to administer the Scheme in accordance with its rules. It was negligent for the Defendants to administer the Scheme on the basis that the 2004 Deed and Rules and the 2008 Deed of Amendment had retrospective effect in relation to the 2003 Benefit Changes and the 2007 Amendments. If the defendants had at any point until the end of their retainer in 2015 administered the scheme in accordance with the tortious and contractual duties owed to the Trustee and RHG, doing so would have involved informing the Trustee and RHG that the 2004 Deed and Rules and the 2008 Deed of Amendment did not have retrospective effect …"
Conclusions