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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 >> Crypto Open Patent Alliance v Wright [2023] EWHC 2408 (Ch) (03 October 2023) URL: http://www.bailii.org/ew/cases/EWHC/Ch/2023/2408.html Cite as: [2023] EWHC 2408 (Ch) |
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IL-2022-000069 |
BUSINESS AND PROPERTY COURTS OF ENGLAND AND WALES
INTELLECTUAL PROPERTY LIST (ChD)
7 Rolls Buildings Fetter Lane London EC4A 1NL |
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B e f o r e :
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CRYPTO OPEN PATENT ALLIANCE |
Claimant in IL-2021-000019 (the "COPA Claim") |
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- and - |
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CRAIG STEVEN WRIGHT |
Defendant in the COPA Claim |
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And Between: |
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(1) DR CRAIG STEVEN WRIGHT (2) WRIGHT INTERNATIONAL INVESTMENTS LIMITED (3) WRIGHT INTERNATIONAL INVESTMENTS UK LIMITED |
Claimants in IL-2022-000069 (the "BTC Core Claim") |
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- and - |
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(1) BTC CORE (2) WLADIMIR JASPER VAN DER LAAN (3) JONAS SCHNELLI (4) PIETER WUILLE (5) MARCO PATRICK FALKE (6) SAMUEL DOBSON (7) MICHAEL ROHAN FORD (8) CORY FIELDS (9) GEORGE MICHAEL DOMBROWSKI (a.k.a 'Luke Dashjr') (10) MATTHEW GREGORY CORALLO (11) PETER TODD (12) GREGORY FULTON MAXWELL (13) ERIC LOMBROZO (14) JOHN NEWBERY (15) PETER JOHN BUSHNELL (16) BLOCK, INC. (17) SPIRAL BTC, INC. (18) SQUAREUP EUROPE LTD (19) BLOCKSTREAM CORPORATION INC. (20) CHAINCODE LABS, INC (21) COINBASE GLOBA INC. (22) CB PAYMENTS, LTD (23) COINBASE EUROPE LIMITED (24) COINBASE INC. (25) CRYPTO OPEN PATENT ALLIANCE (26) SQUAREUP INTERNATIONAL LIMITED |
Defendants in the BTC Core Claim |
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MR. VERNON FLYNN KC and MR. RICHARD GREENBERG (instructed by Travers Smith LLP) appeared for Dr Wright and the Claimants in the BTC Core Claim.
Hearing Dates: 19th, 22nd & 26th September 2023
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Crown Copyright ©
This judgment was handed down remotely by circulation to the parties' representatives by email. It will also be released for publication on the National Archives and other websites. The date and time for hand-down is deemed to be Tuesday 3rd October 2023 at 10.30am.
MR JUSTICE MELLOR :
Introduction
i) COPA's Consolidated RFI application: COPA served a comprehensive RFI on 23 June 2023. After the issue of COPA's application, Dr Wright provided a response on 11 September 2023, but COPA is not satisfied with virtually all of his responses and asks the Court to order that substantive answers are given.
ii) COPA's chain of custody application: The CCMC order provided for Dr Wright to supply chain of custody information in relation to Dr Wright's principal reliance documents. COPA was not satisfied with the information supplied, so it issued an application (as the order required). Dr Wright agreed to provide further information but the outstanding issue concerned the deadline for that information to be provided. Fortunately, this was agreed and I need say no more about this application.
iii) Dr Wright's ASD expert evidence application: Dr Wright seeks permission to adduce expert evidence on autism spectrum disorder ("ASD") with a view to arguing for adjustments regarding his cross-examination. COPA resists the application, suggesting that he can provide notes from treating clinicians and the Court can form its own view on what, if any, measures to take at trial.
iv) Dr Wright's RFI application on COPA's draft primer: The parties were not able to agree a technical primer on cryptocurrency technology relating to Bitcoin. Each side blames the other for the failure. Dr Wright has applied for COPA to answer an RFI about whether its draft primer related to the technology at its inception or taking account of later developments. COPA's position is that it would be a pointless exercise to revisit the draft primer, and that the answer is for the experts to address this topic in their reports.
v) Dr Wright's application to exclude hearsay evidence: COPA served a CEA notice in relation to expert reports served in previous proceedings involving Dr Wright. He applies to exclude the material from evidence. COPA maintains that the material is admissible, relevant and ought not to be excluded, while accepting that Dr Wright may make any points he wishes at trial as arguments as to weight.
Background
COPA's RFI Application
i) COPA had served three RFIs and had also sought answers in correspondence about Dr Wright's pleaded case. COPA contends that Dr Wright consistently failed properly to answer the RFIs and questions.
ii) COPA then served a Consolidated RFI on 23 June 2023, seeking a response by 28 July 2023, the date on which fact evidence was due. COPA made it clear that Dr Wright could answer any request by reference to passages in his witness statement.
iii) Dr Wright suggested that COPA should wait to see his evidence before deciding whether to press its request. COPA took the view that this was a delaying tactic and issued its application on 14 July 2023 seeking a time order for Dr Wright to serve a response. This application was referred to me on paper shortly before the end of the summer term. Having briefly reviewed the 66 requests, I determined it was not an appropriate application to decide on paper and invited the parties to liaise with my clerk to arrange a hearing in the Long Vacation – which led to this hearing being appointed.
iv) Having reviewed Dr Wright's witness statements, COPA issued a fresh application dated 8th September 2023, this time seeking an order that Dr Wright must provide substantive answers to the requests. This application is supported by Sherrell 12, in which Mr Sherrell explains, by reference to groups of requests, why the information is required to enable COPA to prepare its case.
v) On 11th September 2023, Dr Wright's response to the Consolidated RFI was served. As COPA submitted, he refused to respond to a substantial number of the requests, but his response assisted to define the scope of the dispute.
Applicable Principles
i) The power is "one of the court's case management powers, and its exercise should be considered in the context of the case management of [the] action", powers which are "capable of being used flexibly to meet the precise needs of the individual case": Toussaint v Mattis [2001] CP Rep 61, para. 16 (Schiemann LJ).
ii) "A Part 18 request is not like the old request for particulars under the [RSC]. It is to be interpreted in the light of the overriding objective and is part of the more open approach to litigation which the CPR seeks to establish and promote. Information sought must of course relate to 'any matter in dispute'. But if it does, then the rule precisely covers a situation where there is potentially relevant information relating to the matter which is solely within the knowledge of one side. In modern litigation, it is not the position that a party can hold back on relevant information and leave its opponent to take a chance to see if it chooses to put forward a witness from whom that information might be elicited by way of cross-examination at trial." (National Grid Electricity Transmission plc v ABB Ltd [2014] EWHC 1555 (Ch), para. 39 (Roth J).) The application of the requirements of proportionality and necessity "will have regard to the nature of the particular case": National Grid, para. 40.
i) They are not strictly confined to "matters which are reasonably necessary and proportionate to enable the [other] party to prepare his own case or understand the case he has to meet" (cf. PD18 §1.2). The authorities make clear that Requests must be "strictly" confined to what is necessary and proportionate: King v Telegraph Group Ltd [2005] 1 WLR 2282 at §63. Cockerill J has emphasised the hallmark of "necessity": Qatar v Banque Havilland SA [2020] EWHC 1248 (Comm) at §2. These are threshold conditions. If they are not met the court has no jurisdiction to make the order sought: HRH Prince Khaled Bin Abdulaziz Al Saud v Gibbs [2022] 1 WLR 3082 at §35.
ii) They do not relate to "matter[s] in dispute in the proceedings" (cf. CPR r.18.1(1)).
iii) They are not "concise" (cf. PD18 §1.2). The need for concision concerns the formulation of the request, which must be sufficiently precise etc., but also the nature of the information requested. The further information provided in response to a Pt 18 Request is a pleading (see CPR r.2.3). This impacts the proper scope of such requests. It will not generally be necessary or proportionate for the other party to request a party who has served a compliant but concise statement of case to expand upon that pleading by the provision of more detailed further information: see HRH Prince Khaled Bin Abdulaziz Al Saud v Gibbs at §§39-41; and Trader Publishing Ltd v Autotrader.com Inc [2010] EWHC 142 (Ch) at §22.
iv) They pre-empt cross-examination or seek information going solely to cross-examination. As the editorial notes to the White Book point out at §18.1.2, a Pt 18 Request "should not be treated as an opportunity to attempt pre-emptive cross-examination on paper". See, for example, Henderson & Jones Limited v Ross & Ors [2022] EWHC 2560 (Ch) at §46(b).
v) They go to the credit of a witness. Requests will not be allowed if they go solely to cross-examination as to credit: see Thorpe v Chief Constable of Greater Manchester [1989] 1 W.L.R. 665; HRH Prince Khaled at §33.
vi) They are 'fishing'. What amounts to fishing depends on the facts and issues in any particular case but is generally understood to involve a party trying to see if it can find a case of which it knows nothing or which is not yet pleaded: Hennessy v Wright (No.2) (1888) 24 Q.B.D. 445 at p.448.
vii) They are disproportionate in terms of cost. The proportionality of a request includes "the avoidance of disproportionate expense": King v Telegraph Group Ltd at §63.
viii) They are unduly oppressive, not only in terms either of cost (see above) but also in terms of the onerousness of what they require the responding party to undertake in order to provide the information requested: HRH Prince Khaled (ref. supra) at §§46-47.
ix) They seek information which will in due course be revealed on disclosure or which will be contained in witness statements or expert reports: HRH Prince Khaled at §42. This is another example of the distinction between matters that properly fall within the domain of pleadings (which is what a response to a Pt 18 Request really is) and matters of evidence.
i) The concept of a matter in question which an RFI may address is a broad one: see Disclosure at §§20.34 to 20.35.
ii) A person responding to an RFI can be expected to exercise reasonable diligence in responding, including by making reasonable enquiries of others. The person may also be expected to examine documents in his/her control or that of servants or agents. See Disclosure at §§ 20.96 to 20.101.
i) First, publication in 2017, with writing completed in 2016, means the analysis is dated.
ii) Second, it can be seen from the various authorities cited by Mr Flynn (see paragraph 11 above) that there have been a number of significant cases relating to CPR Pt 18 since 2016, but even various cases in the 2000s are not referred to.
'Matters in dispute'
Matter in question is a fairly broad concept, and the right to make Requests is not con?ned to facts directly in issue, but will extend to any facts the existence of which is relevant to the existence or non-existence of facts directly in issue.83 However, the relevancy test must not be extended too far and the court will be astute to prevent Requests from becoming an instrument of oppression and from straying away from the real issues between the parties in the action. For the purposes of ascertaining what matters are in dispute, it is the statements of case which should be primarily referred to. Incidental matters not related to matters raised in the statement of case should not ordinarily form part of Requests. Even where Requests may (to a limited extent) extend beyond facts directly in issue, the court will generally not permit Requests as to what line of facts the applicant's opponent is going to rely on as relevant to the existence or non-existence of the facts directly in issue.84 In the usual case, it is unlikely that the court will compel a party by means of a Pt 18 order to disclose the evidence which he intends to adduce at trial.85
fn83: This was the approach by the courts in relation to interrogatories: Mariott v Chamberlain (1886) 17 QBD 154 at 163 CA; approved in Nash v Layton [1911] 2 Ch 71 CA; Osram Lamp Works v Gabriel Lamp [1914] 2 Ch 129 CA; see also the Australian decisions: Potter's Sulphide Ore Treatment v Sulphide Corp (1911) 13 C.L.R. 101; Australian Blue Metal v Hughes [1960] N.S.W.R. 673; Cumming v Matheson (1970) 92 W.N.(N.S.W.) 339; Fischer v City Hotels Pty (1970) 92 W.N.(N.S.W.) 322; Sharpe v Smail (1975) 49 A.L.J.R. 130. A narrower test formulated by Smith L.J. in Kennedy v Dodson [1895] 1 Ch 334 at 341 was held to be not good law insofar as it conflicted with the test of Lord Esher (Rockwell Corp v Serck Industries [1988] F.S.R. 187 at 203); however it has been followed in some Australian cases: see Osborne v Sparke (1907) 7 S.R.(N.S.W.) 460; Green v Green (1913) 13 S.R.(N.S.W.) 126 and in particular Tiver v Tiver [1969] S.A.S.R. 40 where the full Court of South Australia tried to reconcile the two lines of authorities.
fn84: Hooton v Dalby [1907] 2 KB 18 at 21 (interrogatories).
fn85: In the case of interrogatories the practice of the court was to refuse them in such cases: Eade v Jacobs (1877) 3 Ex. D.335 at 337; Att.Gen. v Gaskill (1882) 20 Ch.D. 519 CA.
'Documents'
'The court generally will not permit Requests and Pt 18 applications to be used as a means of challenging the accuracy and completeness of an opposing party's disclosure of documents. Where disclosure of documents is believed to be inadequate, the appropriate route is to apply for speci?c disclosure under CPR r.31.12. In relation to interrogatories, it was held that interrogatories asking generally what documents the party had or had had in his possession, custody or power,105 or as to whether the opposing party had or had had documents other than those disclosed in a list or af?davit of documents106 would generally be refused. Only in special circumstances have interrogatories been allowed as to the existence of particular documents.107
Where a Request is not used as a method of obtaining or challenging any disclosure of documents, a Request as to documents is permissible so far as it relates to matters in dispute. In relation to interrogatories the practice grew up whereby whilst interrogatories as to the contents of an existing document would not usually be permitted,108 they would be permitted as to the contents of a lost document.109 A party may be asked as to whether he wrote a particular document. Before answering the party is entitled to see a copy of it; thus in practice it will often be convenient to exhibit a copy of the document to the Request, if a copy is not already in the hands of the other party.110 There can be no objection in principle to a party being asked whether a document is in the hand of a particular person.111 Similarly a party may be asked whether a particular document was prepared or sent with his consent, or whether it is in his hand-writing112 or whether a particular document had been received.113
fn105 Jacobs v GW Ry Co [1884] W.N. 33; Hall v Truman (1885) 28 Ch.D. 307 CA.
fn106 Robinson v Budgett [1884] W.N. 94.
fn107 Jones v Monte Video Co (1880) 5 Q.B.D. 556 at 558; Hall v Truman (1885) 29 Ch.D. 307, esp. at 320; Nicholl v Wheeler (1886) 17 Q.B.D. 101; Morris v Edwards (1890) 15 App.Cas. 309 at 313–315; Bray, at pp.213–214; CTC Resources NL v Australian Stock Exchange [2001] W.A.S.C. 40.
fn108 Hersh?eld v Clarke (1856) 11 Exch. 712, which was not followed by Simon Brown J in Butler v GKN Foundations Ltd, unreported, May 22, 1992.
fn109 Wolverhampton New Water Works v Hawksford (1859) 5 C.B.(N.S.) 703; Ramsey v Ramsey [1956] 1 W.L.R. 542.
fn110 This has been the practice in relation to interrogatories: Dalrymple v Leslie (1881) 8 Q.B.D. 5; Lyell v Kennedy (No.4) (1883) 33 W.R. 44.
fn111 Lovell v Lovell [1970] 1 W.L.R. 1451 CA (interrogatories).
fn112 Jones v Richards (1885) 15 Q.B.D. 439 for the purposes of proving the handwriting in another document (interrogatories).
fn113 King v Commercial Bank of Australia [1920] V.L.R. 218; Jordan v Sanders [1934] S.A.S.R. 424 (interrogatories).
i) Based on §20.40, Dr Wright submitted that issues of disclosure ought properly to be raised by way of an application for specific disclosure (or other disclosure powers) and should not be the subject of an RFI. By extension, he submitted:
… requests asking what documents a party has in its control or whether it has documents other than those already disclosed will generally fall foul of this principle. By the same token, requests that simply ask a party to curate its own disclosure for the other party are not the proper subject of an RFI.
ii) Based on §20.41, COPA submitted 'It is legitimate for an RFI to raise questions about documents, so long as they relate to matters in dispute. Accordingly, a request can properly ask if a document was written by a particular person, whether a document was prepared or sent with the person's consent, whether it is in his handwriting or whether a particular document had been received.'
The respective oral submissions in outline
Matters in dispute on the pleadings.
i) First, Dr Wright has now given disclosure – I am told – of over 4,000 documents. This body of disclosure includes many documents which appear to be drafts of the White Paper.
ii) Second, I note from Dr Wright's Disclosure Certificate (filed 7 March 2023, but which was not in the bundles for this hearing) that the parties agreed to dispense with the need for Extended Disclosure List of Documents. To spell out the obvious point, this means that the documents in disclosure are identified only by an identification number (such as ID_002284 or C000000971) and by no other information other than their content.
iii) Third, pursuant to directions given by Master Clark, Dr Wright has nominated some 107 documents as his 'Principal Reliance Documents'. I have not been shown how these documents are identified, but I assume only by their identification numbers.
iv) Dr Wright has now served his witness statement in chief. Although the Annex identifies some 96 documents (by an identification code) which were shown to Dr Wright in the course of preparation of the statement, there is only one document (as far as I could discern) which is explicitly identified in a single footnote as present at a particular web address (from which I infer it is not a document he has produced on disclosure). No doubt there are documents in disclosure which can be readily identified (e.g. the article in WIRED). Thus, apart from the footnote document, Dr Wright does not exhibit or explicitly identify any documents from disclosure in his witness statement.
v) The parties have permission to serve reports from experts in the fields of (a) digital currency technology (reports due to be exchanged on 6th October 2023) and (b) forensic document analysis. Based on the information and documents currently available, COPA has served the expert report of Mr Madden as its expert in forensic document analysis, with the report from Dr Wright's expert currently due on 23rd October 2023, and a reply report from Mr Madden due on 17th November 2023.
i) In the expert evidence served on behalf of Dr Wright.
ii) In Dr Wright's reply witness statement (currently due on 17th November, but there is a proposal to defer to 1st December 2023)
iii) In Dr Wright's answers in cross examination at trial.
And Mr Flynn's final point was that if Dr Wright in cross-examination failed to provide a satisfactory answer, that would itself be taken into account.
Further Developments
i) First, to identify all authentic drafts of the White Paper in his disclosure on the basis of certain conditions:
'Having considered the clear view expressed by Mr Justice Mellor (p.1, line 20 to p.2, line 1), Dr Wright is willing to agree to identify all authentic drafts of the White Paper in Dr Wright's disclosure, specify the date on which each such document was created (to the best of his recollection), and state whether Dr Wright is aware of any of those documents having since been altered, and if so in what respects, provided that Dr Wright is given until 23 October 2023 to provide this information. Dr Wright understands that this would be in lieu of providing a response to the corresponding requests in the Claimant's Request for Further Information. Dr Wright hopes this indication is of assistance to the Judge.'
ii) Second, he was prepared to agree to provide answers to the requests in Section E of the Consolidated RFI, provided he had until 23 October 2023 to do so and the deadline for the expert evidence in digital currency technology fell 14 days later, on 6 November 2023.
'To that end, Dr Wright proposes that the judgment identifies any other "key documents" in respect of which the Judge would find further information helpful. Dr Wright will consider the judgment, following which the parties can seek to agree what (if any) further information should be provided. If the parties cannot reach agreement in that regard, the matter can conveniently come back before the court at the hearing that is likely to take place on 12th or 13th October 2023.'
i) Whether Dr Wright was the author of the White Paper. Whether the documents in Dr Wright's disclosure which appear to be drafts of the White Paper are such. Whether those documents in Dr Wright's disclosure which appear to be drafts of the White Paper form a sequence (or more than one) which evidences the development of concepts or ideas in the White Paper. Whether each of those documents is authentic – in the sense that it was created on a particular date prior to 31 October 2008. Whether each of those documents has been altered since its creation.
ii) Whether Dr Wright shared drafts of the White Paper with certain individuals in (at least) August 2008 prior to its public release. Which draft version of the White Paper was shared with each person identified. When and how the draft version was sent to each person identified.
iii) Whether Dr Wright was the author of the Bitcoin source code. Whether the documents in Dr Wright's disclosure which appear to be versions of the Bitcoin source code are such. Whether those documents in Dr Wright's disclosure which appear to be versions of the Bitcoin source code form a sequence (or more than one) which evidences the development of concepts or ideas in the White Paper. Whether each of those documents is authentic – in the sense that it was created on a particular date prior to 31 October 2008. Whether each of those documents has been altered since its creation.
iv) Whether Dr Wright had control over the website at bitcoin.org to enable publication of the Bitcoin source code on that website in January 2009. Whether Dr Wright acquired the domain name bitcoin.org or control over it to be able to publish the Bitcoin source code in January 2009. When and how Dr Wright acquired the domain name or control over it.
v) Whether the processes used by Dr Wright in each of the interviews with (a) Rory Cellan-Jones (b) Ludwig Siegele, (c) Jon Matonis and (d) Gavin Andresen established that Dr Wright was in possession of the private keys for at least blocks 1 and 9.
a) In the interviews with Cellan-Jones and Siegele, in which Dr Wright says he signed messages, attaching the text of a speech by Jean-Paul Satre with a private key for block 9, what was the process used and did it establish that Dr Wright was in possession of the private key for block 9.
b) What was the digital signature algorithm used by Dr Wright in the interview with Jon Matonis.
c) More generally, what technical means were used in the interviews with Jon Matonis and Gavin Andresen to verify the messages.
vi) The significance of the 2nd May 2016 post.
vii) The significance of the BlackNet Abstract, the image of which was published on Twitter by Dr Wright on 10th February 2019. Whether Dr Wright has asserted that the BlackNet Abstract was written in 2001. Whether his unsuccessful applications to AUSIndustry in 2009 and 2010 contained an abstract of the White Paper. The dates of those applications.
viii) Whether Dr Wright sent an email message to David Kleiman on 12 March 2008 containing the text as set out in paragraph 28 of the POC. Whether the domain in the header recording the email address from which the email was sent was changed as a result of moving the email from one exchange server to another.
ix) Whether the documents which were uploaded to the SSRN website on or about 21 August 2019 by Dr Wright:
a) are originals of the Bitcoin White Paper; or
b) based on the version of the White Paper Dr Wright had uploaded to SourceForge Bitcoin Project in March 2009;
c) had had their metadata altered and in what way.
The Individual Requests
A. Requests in relation to the Defendant's case on versions of the White Paper (Defence, paras. 5, 7 and 13)
'A. Requests in relation to the Defendant's case on versions of the White Paper (Defence, paras. 5, 7 and 13)
Paragraph 5 of the Defence states that the White Paper was "the first publicly available description of the digital asset known as 'Bitcoin'."
At paragraph 7 of the Defence, the Defendant asserts that on 31 October 2008 he "released the White Paper under the pseudonym 'Satoshi Nakamoto'" by uploading it to the Bitcoin.org Website, which was a website "he had created which was accessible at http://www.bitcoin.org" and posting an announcement on The Cryptography Mailing List.
At paragraph 13(2) of the Defence, the Defendant asserts that "Bitcoin was developed before and during 2008" and that he "started to write the White Paper… in 2007".
In the trial of the Kleiman Litigation in Florida, and in particular in his oral evidence on 22 November 2021 (transcript from p93), the Defendant gave an account about the process by which he prepared and revised a series of versions of the White Paper. By letter dated 9 February 2022, the Claimant's solicitors summarised this account and asked the Defendant's solicitors whether the Defendant intended to maintain it. By letter dated 7 March 2022, the Defendant's solicitors stated that he did intend to maintain that account but might expand upon it
In the Defendant's disclosure, the Defendant has disclosed a number of documents which appear to be or purport to be drafts and/or versions of the White Paper. It is critical for the Claimant to understand the Defendant's case as to what each of these documents is, when each was created and whether it has been altered.
1. Please state which documents in the Defendant's disclosure are drafts or versions of the White Paper.
2. More particularly, please identify any and all documents in the Defendant's disclosure which the Defendant maintains are drafts or versions of the White Paper that were created prior to 31 October 2008.
3. For each disclosure document identified in response to Requests 1 and/or 2 above, please state the date of creation of that document. If the date of creation is not known with certainty, please if possible state the approximate date of creation or give the most precise date range possible for the period in which the document was created.
4. For each disclosure document identified in response to Requests 1 and/or 2 above, please state whether it is the Defendant's case that that document is an authentic copy of the document as originally created and, if it is not, explain why not.
5. For each disclosure document identified in response to Requests 1 and/or above, please state if that document has been altered in any way (including by digital means) since it was first created in its full form. If it has been altered, please give the best particulars known to the Defendant of: (a) the nature of the alteration; (b) the time of the alteration; (c) who altered it; and (d) what was the purpose of altering it.
6. Please explain which versions of the White Paper were shared with third parties and provide the dates of such versions, along with the time and method of sharing and the details of all such persons.
7. More particularly, please state whether the following documents, to which the Defendant referred in his evidence in the Kleiman Litigation trial, appear in his disclosure in these proceedings and, if so, please identify them in the disclosure. Page references to the Kleiman trial transcript are all to the transcript for 22 November 2021.
(a) the handwritten first draft of the White Paper which he said he had written in about March 2008 (see Kleiman transcript, 95/8-9);
(b) the first typed version of the White Paper (of about 40 pages) which he claimed to have produced in April to May 2008 (see Kleiman transcript, 95/13-15);
(c) the second version (of about 20 pages) which he claimed to have produced after comments from others on the first typed version (see Kleiman transcript, 96/15-24);
(d) the third version (of about 10 pages) which he claimed to have produced after comments from others on the second version (see Kleiman transcript, 97/17-20);
(e) the various later drafts which he claimed were subsequently produced (each of about 9-10 pages) (see Kleiman transcript, 97/22 to 98/4).
8. For each document identified in response to request 7 above, please state whether it was shared with third parties and, if so, please state the time and method of sharing together with the details of all such persons. This response need not be answered to the extent that the information has already been provided in response to request 6 above.
9. For any documents identified in request 7 above which do not appear in the Defendant's disclosure, please explain what has happened to those documents and why they have not been disclosed.
10. Please explain the steps the Defendant took to create the Bitcoin.org Website. If the Defendant's case is that he paid for this domain name, please indicate how he paid for it and which documents in the Defendant's disclosure evidence that purchase.'
Discussion
B. Requests in relation to the Defendant's case on versions of the White Paper uploaded to SSRN (Defence, paras. 52-53)
C. Requests in relation to the Defendant's alleged work underlying the White Paper (Defence, para. 13(2), and First RFI Response (1))
'15. In relation to each of these five concepts, please state:
(a) What documents, if any, the Defendant produced in the course of his work on the concept.
(b) If documents were produced, please identify them in the Defendant's disclosure or explain why they have not been disclosed.
(c) What is the relevance of each of these concepts and/or the documents identified to the content of White Paper.
(d) Which parts of the White Paper, if any, are based on any earlier documents relating to the concept.'
D. Requests in relation to individuals with whom the Defendant allegedly discussed the White Paper (Defence, para. 25, and First RFI Response (7))
'The Defence states, at paragraph 25, that before prior [sic] to 2016, the Defendant "had discussed with a number of individuals that he was working on and had subsequently released Bitcoin and had notified various individuals that he was working on the project."
In Request 7 of the First RFI, the Claimant asked the Defendant to specify (a) the names of the individuals with whom he had discussed his working on the White Paper; (b) the nature of the communications; and (c) the dates on which such communications happened. The Defendant responded:
"The quoted passage from paragraph 25 refers to Bitcoin generally and the Bitcoin project and not specifically to the White Paper. The individuals with whom Dr Wright discussed his working on Bitcoin included: Wing Commander Donald Lynam OM; Stefan Matthews; and David Kleiman. Moreover, Dr Wright discussed concepts underlying Bitcoin with employees of BDO and Centrebet."'
'16. For each of these individuals, please state what he told the person about his work on Bitcoin generally and the Bitcoin project; at what time(s) he told the person about such work; and whether any of the communications was in writing. If any of the material communications were in writing, please provide copies or identify them in the Defendant's disclosure.'
E. Requests in relation to the Defendant's case on his supposed proof of possession of private Bitcoin keys (Defence, paragraphs 37-40, and First RFI Response, (11)-(12)) Requests 19-22
F. Requests in relation to the Defendant's case on his alleged loss of access to private keys used in the demonstrations (First RFI Response (13))
"Dr Wright is not in possession of the private key, as stated in paragraph 83(3) of the defence. In early May 2016, Dr Wright destroyed the hard drive which contained the private keys which he had used in the private demonstrations – including the private key to block 9 of the Bitcoin Blockchain."
G. Requests in relation to the Tulip Trust and its Deed of Trust (Defence, para. 85A, and Second RFI Response)
H. Requests in relation to versions of the Bitcoin software and source code (Defence, para. 13, and Third RFI Response (13))
I. Requests in relation to the Defendant's case on individuals to whom he sent the White Paper (Defence, para. 18)
J. Request in relation to the Defendant's case concerning agreements related to / precursors to the EITC Agreement (Defence, para. 31A)
K. Requests in relation to the Defendant's case concerning the payment pursuant to the EITC Agreement (Defence, para. 31B)
L. Requests in relation to the Defendant's case as to documents he supplied in connection with the EITC Agreement (Defence, para. 31C(1))
"(1) Dr Wright held discussions orally and in email correspondence prior to the making of the series of agreements referred to in paragraph 31A above. In the course of those discussions Dr Wright identified certain documents relating to his authorship of the White Paper and indicated that he was the author of the White Paper. He has not publicly disclosed the nature of those discussions and was not obliged to do so.
(2) Dr Wright did not provide 'Subject's Materials' following the making of the EITC Agreement. However, Dr Wright did engage in the following matters which have been made public: (a) the interviews referred to in paragraph 31 above and paragraph 32 below (b) the 2 May Post to the extent referred to in paragraph 33 below and (c) the demonstrations referred to in paragraph 34 below."
M. Requests in relation to the Defendant's case concerning the BlackNet Abstract (Defence, para. 45)
"Dr Wright first submitted his Project BlackNet research paper to AUSIndustry in 2001 as part of an application for a research grant and R&D tax rebate. He obtained R&D tax rebates from AUSIndustry (but not research grant funding) for project BlackNet during the period 2001 to 2009. He subsequently and unsuccessfully sought research grant funding and R&D tax rebates in 2009 and 2010. Dr Wright updated his Project BlackNet research paper each year that he submitted it to AUSIndustry. Early applications did not contain the abstract of the White Paper but later unsuccessful applications did. The image of the research paper published on Twitter is that used for a later application containing an abstract from the White Paper."
i) First, as to the applications which did not contain the abstract of the White Paper.
ii) Second, as to the applications which did contain the abstract of the White Paper.
iii) Third, as to each version of the Project BlackNet Paper which Dr Wright produced and submitted to AUSIndustry.
'…COPA seeks information in order to understand fully what Dr Wright's pleaded case is. If he has submitted documents or communications to AUSIndustry (or similar authorities) containing materials relating to Bitcoin or the Bitcoin White Paper prior to the publication of the Bitcoin White Paper then those materials (and the dates on which they were submitted) will clearly be relevant to these proceedings, and as such COPA is entitled to ask for them. Equally, if Dr Wright cannot identify the applications or point to any relevant supporting documents, that is at least arguably a point on which COPA is entitled to rely.'
N. Requests in relation to the Defendant's case on the 12 March 2008 Kleiman email (Defence, paras. 49-50)
O. Requests in relation to the Defendant's case as to Bitcoin being characterised and described as a cryptocurrency (Defence, para. 78(d))
P. Requests in relation to the Defendant's case as to a private key created in 2011 (Defence, para. 83(2))
i) The POC plead that Dr Wright has publicly asserted that he can prove he is Satoshi by reference to the Genesis Block, an allegation that Dr Wright denies.
ii) The POC go on to plead that Dr Wright should therefore be able to show that he has control over Satoshi's private key and the Genesis Block. In response, Dr Wright denies that anyone could have 'control' over the Genesis Block and he pleads that it is not clear what 'private key' is being referred to and continues (paragraph 83(2) of his Defence):
'There has been a public discussion of a key created in 2011 after Dr Wright retired his Satoshi persona. The key was created by persons unknown. Therefore, control, command and ownership of that key has no probative value as to the identity of Satoshi Nakamoto.'
iii) His Defence goes on to admit and aver that he had access to the private keys associated with the earliest blocks in the Bitcoin Blockchain, and that he no longer has such access.
60. Does the Defendant presently have the private PGP key corresponding to a public PGP key which belonged to Satoshi in or before 2011? If so, why has the Defendant not signed a message using that key pair?
61. If the Defendant does not presently have any private PGP key corresponding to any public PGP key which belonged to Satoshi in or before 2011, did he have any such private key at any time in the past? If so, what has happened to cause him no longer to have the key?
Q. Requests in relation to the Defendant's case on activities of Satoshi Nakamoto
R. Request in relation to the Defendant's operating systems used for sources of documents
'66. For each document source of the Defendant which is referred to in the Disclosure Review Document, please identify the operating system used.
Response
66. It is not clear what is meant by "the operating system used". Assuming that this is a reference to the operating system used by the custodian of the relevant documents (either now or at the time of collection of the document), the Claimant is not entitled to this information, for the following reasons:
(a) It is not reasonably necessary to enable the Claimant to prepare its case or to understand the case it has to meet.
(b) It is not proportionate.
(c) It is, in any event, irrelevant.
(d) It is, in substance, an oppressive request for additional disclosure and/or additional information about the Defendant's disclosure. Such requests should be raised (and properly justified) in accordance with the framework of Practice Direction 57AD, rather than by means of CPR Part 18 request.'
Dr Wright's ASD expert evidence Application
i) Dr Wright has ASD. He is a vulnerable person with a disability.
ii) Dr Wright's ASD impacts his presentation in court. It will be important for the Judge and other court-users to be aware of this in order to ensure a fair trial.
iii) Given that Dr Wright is a vulnerable person with a disability, the court will naturally wish to consider what reasonable adjustments may be appropriate in order to accommodate his ASD (and it will be necessary to make such decisions in respect of reasonable adjustments in advance of the trial, i.e. at the PTR).
iv) In considering issues i)-iii), the court will plainly be assisted by expert evidence. Permission for such expert evidence should therefore be granted.
v) The final contention concerned further directions, if permission is given to adduce Professor Fazel's report. I will consider that topic below.
Applicable principles
'34. … As a matter of general principle, it was held by the House of Lords in Toohey v Metropolitan Police Comr [1965] AC 595 that medical evidence is admissible to show that a witness suffers from some disease or defect or abnormality of mind that affects the reliability of his evidence. Such evidence is not confined to the general opinion of the unreliability of the witness but may include all the matters necessary to show not only the foundation of and reason for the diagnosis but also the extent to which the credibility of the witness is affected. There are, however, necessary limitations to the principle. For example, such evidence will not be permitted to amount to "oath helping": see R v Robinson [1994] 3 All ER 346. But sometimes a jury may legitimately require expert assistance in understanding the presentation of a witness with a particular disability. For example, in R v VJS [2006] EWCA Crim 2389 the prosecution were permitted to call a paediatrician to explain the presentation of the evidence of a young complainant in a sexual case who was autistic. The court stressed that it remained for the jury to decide whether or not she was to be believed in the light of all the evidence.'
….
'36 We are satisfied that there is a clear dividing line between evidence from a psychiatrist or a psychologist which may legitimately provide the jury with necessary assistance in understanding the presentation of a defendant in the witness box, and impermissible evidence from such witnesses which amounts to no more than an expert's opinion on the credibility or truthfulness of the evidence of the witness, an issue which must remain a matter exclusively for the jury. The former is permissible because it is designed to enhance the ability of the jury to perform its fact finding role. The latter is impermissible because it has the effect of suborning the jury's fact finding role and substituting for it the decision of the expert.
37 Consistent with the authorities, examples of which are given below, only in rare cases will it be appropriate for such evidence to be given, and there must be a proper medical basis for such a course. The defendant must be suffering from a recognised mental disorder, the impact of which may affect his presentation in giving evidence. It must be recalled that in appropriate circumstances a court can insist that counsel ask questions in a straightforward manner (as Dr Birch suggested in this case as set out at para 19 above) or the court can permit an intermediary to assist in accordance with the provisions set out in the Criminal Practice Direction 2015 at paragraph 3F.11–3F.16: see R v Rashid [2017] EWCA Crim 2; [2017] 1 WLR 2449 at paras 73–88— a course that Dr Birch did not think necessary.'
'1. The overriding objective requires that, in order to deal with a case justly, the court should ensure, so far as practicable, that the parties are on an equal footing and can participate fully in proceedings, and that parties and witnesses can give their best evidence. The parties are required to help the court to further the overriding objective at all stages of civil proceedings.
2. Vulnerability of a party or witness may impede participation and also diminish the quality of evidence. The court should take all proportionate measures to address these issues in every case.'
'6. The court, with the assistance of the parties, should try to identify vulnerability of parties or witnesses at the earliest possible stage of proceedings and to consider whether a party's participation in the proceedings, or the quality of evidence given by a party or witness, is likely to be diminished by reason of vulnerability and, if so, whether it is necessary to make directions as a result.
….
8. Subject to the nature of any vulnerability having been identified and appropriate provisions having been made, the court should consider ordering ground rules before a vulnerable person is to give evidence, to determine what directions are necessary in relation to [various aspects of the trial process].'
i) COPA is given at least 8 weeks to prepare a report in response, with liberty to apply if more time was needed.
ii) There should be a direction for a meeting of experts and a joint statement without the intermediate step of a reply report from Professor Fazel.
iii) Permission should be conditional upon Dr Wright making himself available at short notice for COPA's expert, and giving the expert access to family members who spoke to Professor Fazel.
iv) Permission should be conditional upon Dr Wright providing 'any previous notes, reports or communications expressing the views of other experts instructed (including Professor Baron-Cohen and Dr Klin). COPA suggested this condition was appropriate because the circumstances indicated possible 'expert-shopping'.
i) COPA has until 13 November 2021 to prepare a report in response (which is 9 weeks from the date of the hearing), with liberty to apply if more time is needed.
ii) On or before 22 November 2023, I direct the experts should meet and prepare a joint statement setting out areas of agreement and disagreement.
iii) Dr Wright is at liberty, if so advised, to serve a reply report from Professor Fazel.
iv) The permission is conditional upon Dr Wright making himself available at short notice for COPA's expert and giving the expert access to family members who spoke to Professor Fazel.
v) Dr Wright indicated he was prepared to disclose reports or final draft reports or opinions of experts previously instructed on ASD issues, and I will so order.
vi) The position will be reviewed further at the PTR.
Dr Wright's Application for Further Information on COPA's draft Primer
i) In her CCMC order of 2nd September 2022, Master Clark directed COPA to serve 'a first draft of a technical primer setting out the relevant basic undisputed digital currency technology as it relates to Bitcoin' with Dr Wright being directed to serve a revised draft including his proposed amendments some weeks later.
ii) The parties were directed to seek to agree a revised Primer by a certain date. To the extent that agreement was not possible on a particular issue, that issue was to be omitted from the Primer and dealt with in the expert's reports, for which permission was given.
iii) In the event, the parties were not able to reach any agreement on the Draft Primer. Each side blames the other and I am not asked to reach any conclusion as to apportionment of blame. The result is that there is no primer and any evidence as to digital currency technology as it relates to Bitcoin will have to be put forward in the expert reports. In this regard, I note that experts complying with their duties are likely to be able to agree a very substantial amount of the relevant technology and a joint statement will serve as a primer at the trial (albeit after much greater expense).
'3. It was evident from the Defendant's amendments to and comments on the Claimant's draft Bitcoin Primer that much of the disagreement between the parties appeared to stem from the Claimant's attempt to describe the technology and protocols used in BTC Core today, as opposed to how Bitcoin technology originally conceived and implemented by Satoshi Nakamoto, as set out in the Bitcoin White Paper and other of Satoshi Nakamoto's writings, operated during the period between its launch and his relinquishing control over the project in around April 2011.
4. The Defendant's view was that, per paragraph 27 of the CCMC Order, the contents of any Bitcoin Expert Evidence, and by implication, the Bitcoin Primer, must be limited to those relevant to "the issues in the claim". In the Defendant's view, a description of how BTC Core – or indeed any other digital asset – works today, given the numerous significant changes it has made to the original Bitcoin conceived and implemented by Satoshi Nakamoto, is not relevant to the central issue in the claim, i.e. whether or not the Defendant is the pseudonymous Satoshi Nakamoto, i.e. the person who created Bitcoin in 2009 (the "Identity Issue") and will therefore not assist the Court.'
'a. The central issue in these proceedings is the Identity Issue, namely, whether the Defendant is the pseudonymous 'Satoshi Nakamoto', i.e. the person who created Bitcoin in 2009.
b. One relevant, if not fundamental, aspect of that enquiry will be to examine the original intentions and implementation of Bitcoin by Satoshi Nakamoto and to compare them to the Defendant's own work, ideas and inventions.
c. There have been indisputable modifications which have been made by those other than Satoshi Nakamoto to the original implementation of Bitcoin, for example, and without limitation, by BTC Core in relation to the ordering of transactions within each block.
d. Those later implementation by others referred to at c. above will not be relevant to the enquiry referred to at b. above.
e. Therefore, the Defendant is entitled and the Court needs to know whether the Claimant's Bitcoin Primer describes Bitcoin technology as originally conceived and implemented by Satoshi Nakamoto, or, alternatively, a modification of that at a later time by those other than Satoshi Nakamoto.'
Decision
i) First, the RFI does not, it seems to me, relate to any 'matter in issue', nor is the information requested necessary or proportionate for Dr Wright to prepare his case or understand the case he has to meet.
ii) Second, I agree with COPA that the provision of an answer would waste time and costs. In an effort to resolve the issue, COPA suggested that the experts should specify in their reports whether and how particular parts of the technology described have varied since the inception of Bitcoin. Now that the issue has been more than adequately ventilated, I am sure the expert on each side will be guided appropriately by their respective solicitors.
iii) Third, sub-paragraph e. (just quoted) seems to be a complete non-sequitur. I was left unable to discern any proper justification for the order sought. I was also left with the impression that this application was made for tactical reasons, possibly to counter COPA's application relating to its RFI.
Dr Wright's Application to exclude hearsay evidence
i) The CCMC Order granted Dr Wright and COPA permission to adduce expert evidence in the field of forensic document analysis, such permission being expressly "limited to one expert per party".
ii) Following the June 2023 CMC, I ordered COPA to serve its expert report on forensic document analysis by 25 August 2023, the deadline being subsequently amended (following an extension request by COPA) to 1pm on 4 September 2023. At the June 2023 CMC, no mention was made of the subsequent hearsay notice.
iii) On 28 July 2023, COPA served a hearsay notice giving notice of its intention to rely on (i) the Edman reports, comprising two affidavits and four expert reports of Dr Matthew J. Edman and (ii) the KPMG report. The Edman reports and the KPMG report are expert reports in forensic document analysis, which were adduced in other proceedings (the Kleiman litigation in Florida and the Granath v Wright litigation in Oslo respectively). I was only shown one Edman report (his second supplemental report of 28 pages in which he analysed some 18 documents), but the KPMG report is a dense document of 224 pages, including detailed appendices analysing the metadata and content of some 12 documents.
iv) On 1 September 2023, COPA served its expert report on forensic document analysis in these proceedings, namely the report of Mr Patrick Madden (the "Madden Report"). Although I was only shown extracts from Mr Madden's report, I was told it comprises over 900 pages including various appendices which set out detailed analysis.
'To be clear, it [COPA] will rely upon those reports only in relation to documents addressed also in Mr Madden's report. It wishes to do so for two purposes. First, to prove the fact that these documents have previously been found to be manipulated. Accordingly, if Dr Wright were to say in evidence that, if informed at an earlier point in time, he could have provided more information or supporting material to justify these documents, it can be put to him that they have been considered in earlier proceedings and found by experts to have been altered. Dr Wright has disclosed documents (and in some cases actively placed reliance on documents) which were previously said to have been tampered with and therefore he did so in knowledge of that fact; Dr Wright should not be allowed to plead ignorance on this matter. Secondly, to demonstrate that other skilled forensic document examiners have reached conclusions in line with those of Mr Madden. Thus, for example, any suggestion against Mr Madden that he had not adopted proper methods or had not handled the documents correctly could be met with the answer that other competent experts had used equivalent methods and reached equivalent conclusions.'
Applicable Principles
i) First, a party is entitled to serve under a hearsay notice a report or other document providing expert or other opinion evidence, and the Court will give appropriate weight to it (applying s.4 of the Civil Evidence Act 1995).
ii) Secondly, the admissibility of pre-existing expert reports served in this way is not governed by CPR Part 35, since that Part only governs reports commissioned for the proceedings in question.
iii) Thirdly, the Court has a discretion under CPR 32.1 to exclude hearsay evidence (e.g. on the basis that it would be duplicative or give rise to disproportionate cost). COPA nonetheless submitted that the starting-point is that hearsay evidence is admissible and relied in particular on what Nugee J. (as he then was) said in Mondial at para. 22:
"22. The consequence of the judgment is that there is, as it seems to me, a sharp divide between opinion hearsay evidence which is adduced in circumstances where Part 35 does not apply because the evidence is not the evidence of an expert within the meaning of 35.2(1) and opinion expert evidence which is sought to be adduced where the person giving the evidence is an expert within 35.2(1). In relation to the former, because Part 35 does not apply, there is no requirement to obtain the permission of the court. The evidence is prima facie admissible under a combination of the 1972 Act and the 1995 Act, as I have explained. Being prima facie admissible, although the Court has a discretion, as it does with all evidence, to exclude it under 32.1(2) ("the court may use its power under this rule to exclude evidence that would otherwise be admissible") the general position is that the Court should be slow to exclude evidence that is admissible, leaving objections to the evidence to be given effect to by affecting the weight to be given by the evidence (see the decisions of David Richards J in Daltel Europe Limited v Makki [2005] EWHC 749 Ch and of Norris J in First Subsea Limited v Balltec Limited [2013] EWHC 1033 (Pat) At paragraph [56] of Daltel [2005] EWHC 749 , David Richards J said:
"Part 32.1(2) is primarily a case management power. It enables the court to exclude evidence so as, for example, to confine it to particular issues or to control the proliferation of evidence on an issue where significant evidence has already been adduced and the addition of further evidence would involve a disproportionate use of the parties and the court's resources In Post Office Counters Limited v Mahida [2003] EWCA Civ 1583 at para [24], Hale LJ said:
"The power of the Civil Procedure Rules to exclude evidence even if it is admissible is principally a case management power designed to allow the court to stop cases getting out of hand and the hearing becoming interminable because more and more admissible evidence, especially hearsay evidence, is sought to be adduced."
David Richards J continues:
"No doubt the power to exclude evidence may be used for other purposes which are not connected with case management, for example, to ensure compliance with the European Convention on Human Rights. However, in the light of the approach adopted by the Civil Evidence Act 1995 , it seems to me it would rarely be a proper use of the power under Part 32.1(2) to exclude hearsay evidence which was relevant to the issues for decision on the ground that it was hearsay."
'27 This does not mean that the court is powerless to exclude expert evidence in appropriate cases and parties should not assume that they have carte blanche to rely upon whatever evidence they wish under hearsay notices, which has been adduced in previous proceedings. For example, if evidence is duplicative of evidence that is already being adduced by one of the parties, the court may take the view that is it appropriate to exclude it under CPR Pt 32.1. When exercising that power, the court will have regard to the overriding objective, and in particular whether its admission will give rise to disproportionate cost. This is supported by the authors of Phipson on Evidence (19th edn), who make the following observation on the judgment in Rogers v Hoyle [2014] EWCA Civ 257 at [29.16]:
"'Although correct in terms of s.1 of the Civil Evidence Act 1995, the court did not consider the factors that might then need to be balanced in terms of the overriding objective of the Civil Procedure Rules (revised from 1 April 2013), that cases should be dealt with not only justly but also at proportionate cost. On the one hand, it might be said that the report reduces considerably the cost of litigation, by providing a ready-made report by an independent set of experts; that seems to have been the view taken by the Court of Appeal. On the other hand, unless the party introducing the report also produces its authors, and potentially the witnesses cited therein, to give evidence, the report is unlikely to fare well at the hands of s.4(2) of the Act in terms of weight, and thus the question arises whether a document of little evidential weight should be admitted when it will take considerable effort and cost to assess….'"'
Decision
i) Although the hearsay notice did not say this, COPA only sought to rely on passages which dealt with the same documents as in Mr Madden's Report. The hearsay evidence would therefore be wholly duplicative.
ii) I formed the view that the admission of these 7 further expert reports would result in disproportionate cost. Even if it turns out at trial that COPA did not find it necessary to refer to them, the respective teams would still have to consider their content and correlate the findings to the Madden Report.
iii) It is apparent there would be additional practical difficulties which would almost certainly result in further evidence being required. As I observed in argument, how could one tell whether the document referred to in the KMPG report as 'Bilag 30' was exactly the same document as one referred to by Mr Madden in his report. Counsel said one could tell by looking at the MD5 hash for each document, but at the very least, it would be necessary to prepare and agree a correspondence table between the evidence of all three experts.
iv) The trial already appears to be heavy, with over 30 witnesses and large volumes of material, including the 970 pages of Mr Madden's first report. I cannot understand how the trial judge (likely to be me) is going to benefit from having another 7 expert's reports where the only relevant material is accepted to be entirely duplicative.
v) As to the two reasons put forward by Mr Sherell in his evidence (both of which I note are speculative), the first does not hold water because, if the occasion arose, Counsel could put extracts from the Edman and KPMG reports in cross-examination; the second carries no weight, because the issue of correct methods can be resolved through the evidence of the instructed experts.
vi) COPA submitted that there would be no unfairness to Dr Wright because his expert would only need to address the documents considered by Mr Madden. I found this submission disingenuous. If the Edman and KPMG reports remained in evidence, Dr Wright's expert and his legal team would have to consider them.
vii) Overall, COPA's invitation to allow the hearsay notice to stand, leaving the weight to be given to the 7 additional expert's reports to trial, ducks the issue. In all the circumstances of this case, I consider the nettle ought to be grasped now and discarded.
viii) Accordingly, I allow Dr Wright's application to exclude COPA's second amended hearsay notice relating to the expert reports of Dr Edman and KPMG.
Costs
Revised Directions
2.10.2023 | Dr Wright's evidence on COPA's amendment application. |
6.10.2023 | COPA's reply evidence on that application. |
10.10.2023 | Skeleton arguments on COPA's amendment application. |
12 or 13.10.2023 | Hearing of COPA's amendment application. |
9.10.2023 | Dr Wright must provide responses to Section E of the RFI. |
13.10.2023 | Dr Wright to provide his response to COPA's chain of custody application. |
23.10.2023 | Dr Wright must provide responses to all other requests in the RFI which I have ordered to be answered above. |
COPA and Dr Wright to exchange expert reports in the field of digital currency technology. | |
Dr Wright to serve his expert report in the field of forensic document analysis. | |
13.11.2023 | On or before this date, the experts in digital currency technology must hold discussions for the purpose of: (i) identifying and further narrowing the issues remaining between them; and (ii) where possible reaching agreement on those issues. |
COPA to serve its expert evidence in the field of autism spectrum disorder. | |
17.11.2023 | COPA to serve its reply expert report on forensic document analysis. |
22.11.2023 | On or before this date the experts in autism spectrum disorder must hold discussions for the purpose of: (i) identifying and further narrowing the issues remaining between them; and (ii) where possible reaching agreement on those issues. |
23.11.2023 | On or before this date, the experts in digital currency technology to prepare and file a statement for the court showing: (i) those issues on which they are agreed; and (ii) those issues on which they disagree, and a summary of the reasons for disagreement. |
24.11.2023 | On or before this date, the experts in forensic document analysis must hold discussions for the purpose of: (i) identifying and further narrowing the issues remaining between them; and (ii) where possible reaching agreement on those issues. |
01.12.2023 | On or before this date, the experts in autism spectrum disorder to prepare and file a statement for the court showing: (i) those issues on which they are agreed; and (ii) those issues on which they disagree, and a summary of the reasons for disagreement. |
The parties must serve witness statements of fact in reply. | |
08.12.2023 | On or before this date, the experts in forensic document analysis to prepare and file a statement for the court showing: (i) those issues on which they are agreed; and (ii) those issues on which they disagree, and a summary of the reasons for disagreement. |
Trial Bundles to be filed with the Court. | |
13-15.12.2023 | Pre-Trial Review hearing. |
08.01.2024 | Skeleton Arguments for Trial to be exchanged and filed with the Court, together with an agreed chronology (if possible) and an agreed reading guide. |
15.01.2024 | Opening submissions to be followed by 4 days of pre-reading. |
22.01.2024 | Further hearing of the trial resumes. |
w/c 4.3.2024 | 4 days of oral closing submissions. |