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England and Wales High Court (Commercial Court) Decisions |
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You are here: BAILII >> Databases >> England and Wales High Court (Commercial Court) Decisions >> Tchenguiz & Anor v Director of the Serious Fraud Office [2014] EWHC 1315 (Comm) (29 April 2014) URL: http://www.bailii.org/ew/cases/EWHC/Comm/2014/1315.html Cite as: [2014] WLR(D) 186, [2014] EWHC 1315 (Comm) |
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QUEEN'S BENCH DIVISION
COMMERCIAL COURT
Fetter Lane, London, EC4A 1NL |
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B e f o r e :
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(1) ROBERT TCHENGUIZ (2) R20 LTD |
Claimants |
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-and- |
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DIRECTOR OF THE SERIOUS FRAUD OFFICE |
Defendant |
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MR JAMES EADIE QC, MR JAMES SEGAN and MS KATHERINE HARDCASTLE (instructed by Slaughter and May) appeared on behalf of the Defendant
Hearing date: 11 April 2014
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Crown Copyright ©
Mr Justice Eder:
Introduction
i) by Grant Thornton made false or misleading statements to the SFO when providing information under s2 Criminal Justice 1987 ("CJA 1987") which conduct may amount to a criminal offence under s2(14) CJA 1987;ii) by Grant Thornton made false allegations of criminal fraud to the SFO in the course of a criminal investigation with intent that those allegations be taken seriously which conduct may amount to the criminal offence of perverting the course of justice;
iii) by the SFO agreed to perform their functions improperly (e.g., by not acting independently; or by agreeing to provide Grant Thornton with information about RT or other aspects of the investigation) in exchange for an advantage from Grant Thornton (e.g., obtaining information from Grant Thornton and/or its co-operation in the investigation) which conduct may amount to the criminal offence(s) of receiving or paying a bribe: ss1 and 2 Bribery Act 2010.
iv) by the SFO committed perjury in relation to the evidence placed before the Divisional Court.
The application
"(1) A party to whom a document has been disclosed may use the document only for the purpose of the proceedings in which it is disclosed except where -
(a) the document has been read to or by the court, or referred to, at a hearing which has been held in public;
(b) the court gives permission; or
(c) the party who disclosed the document and the person to whom the document belongs agree."
In passing, it may be noted that (as appears from Hollander, Documentary Evidence (11th Ed) para 27-37) although this rule is relatively new, it was intended to re-state the law in relation to what had previously been an "implied undertaking" save as relates to documents read out in open court: see Marlwood Commercial Inc v. Kozeny [2005] 1 WLR 104 (CA) at para 10.
Is permission required?
i) A party who has been given disclosure is entitled to legal advice as to the meaning and implications. Such advice does not amount to collateral use of the disclosure and is within the "use … for the purpose of the proceedings in which it is disclosed": CPR 31.22(1). Advice on the implications of a disclosed document does not amount to use of that document for a collateral purpose.ii) The contention that passing a disclosed document to a legal adviser for advice is an improper collateral use of that document is surprising as well as novel. The effect of the SFO's position would be that the RT claimants do not have an unfettered right to legal advice as to the legality of acts which affected them and courses of conduct which might be open to them.
iii) It is inherent within CPR 31.22 that a party's legal advisers must, without making any application under CPR 31.22, be able to read disclosed documents and advise on potential collateral proceedings (criminal or civil) which might arise from those documents. That advice does not constitute collateral use. It would only constitute collateral use (for which permission/consent would be required) if steps were taken to commence such proceedings e.g., by passing the documents to a relevant prosecutor. Were it otherwise, a party which wished to make an application under CPR 31.22 to deploy disclosed documents in collateral proceedings would already be in breach of CPR 31.22 by virtue of having advised on such use prior to the making of the application. Such a construction of CPR 31.22 would be perverse: c.f. the commentary in Hollander, §27-09.
iv) If the RT claimants' present legal advisers can read disclosed documents and advise on potential collateral proceedings (criminal or civil) which might arise from those documents, there can be no difference in principle if the RT claimants wish to use specialist, independent counsel for the criminal aspect. A litigant has an unfettered right to instruct a different lawyer for distinct aspects of his case. In general, a litigant who uses (or seeks to use) different lawyers for different proceedings or different aspects of related proceedings should be in no different position to a litigant who uses a single lawyer (or set of lawyers) for all his proceedings. CPR r 31.22 does not alter this: see e.g., Virgin Media Communications Ltd v. BskyB Group [2008] 1 WLR 2854, particularly at §§20, 25, 31.
Permission?
i) There are no general principles and each case turns on its own facts: Crest Homes at p 860.ii) The court will not modify the undertaking unless there are "special circumstances" and where to do so will not do "injustice to the party giving discovery": SmithKline at §36.
iii) The public interest principle of discovering the truth and making full disclosure "operates in favour of releasing relevant documents from hub into satellite proceedings as long as no significant injustice is done to the disclosing party": Cobra Golf at p 831 (emphasis added).
iv) The most important consideration is "the interest of justice which involves considering the interest of the party seeking to use the documents and that of the party protected by the CPR 31.22 order": SmithKline at §37.
v) If documents are or might be obtainable from another source, e.g., via CPR r 31.17 or s2(3) CJA 1987, then this would be a material consideration in favour of permitting collateral use: SmithKline at §37; c.f. Marlwood at §47. However, the fact that the documents would not be obtainable from any other source is not a factor against permitting collateral use.
vi) Whether the proposed collateral use is in court proceedings or outside litigation e.g., for disclosure to the press. Prima facie if it is for use outside litigation, it is not the court's function to release for that purpose: Cobra Golf at p 832.
vii) Whether, if the collateral use is in aid of criminal or civil proceedings, those proceedings are in this country or abroad: Cobra Golf at p 832.
viii) In so far as the satellite proceedings are in this country, if they are criminal proceedings, the court must take into account the possibility of the application being a method of by-passing the privilege against self-incrimination: Cobra Golf at p832.
ix) "[T]here is every reason for supposing that (in the absence of any special factor) in the individual case the public interest in the investigation and prosecution of serious fraud outweighs the general concern of the courts to control the collateral use of documents produced compulsorily on disclosure": Marlwood at §§47, 52
x) "[A] court will usually release a collateral undertaking in response to a request from the criminal authorities": Hollander at §27-38.
i) The burden of proof is on the party who asserts that the prohibition on collateral use should be lifted to "… demonstrate cogent and persuasive reasons why it should be released", amounting to "special circumstances": Marlwood Commercial Inc v Kozeny [2005] 1 WLR 104 at para 30 per Rix LJ, citing Crest Homes Plc v Marks [1987] AC 829.ii) Despite repeated requests in correspondence by the SFO's solicitors that the RT claimants should set out clearly their reasons for wishing to take criminal law advice at this stage of the proceedings, there had never been any satisfactory answer.
iii) There is no obvious reason why such criminal advice is required now. The events in issue in this case are shortly to be the subject of detailed analysis over a twelve-week trial at which a series of witnesses will give live evidence as to those events and the documentary record. If the RT Claimants wish to take criminal legal advice, the obvious time to do so would be after a judgment rather than at the present time. At that stage, any possible criminal advice could be obtained with the benefit of the totality of the relevant evidence as given in the course of the trial rather than by reference to documents alone.
For these reasons, Mr Eadie submitted that the RT claimants had failed to satisfy the burden of proof on them so as to persuade the court to exercise its discretion in their favour. On the contrary, as already noted above, Mr Eadie submitted that the proposed course of action is purely "tactical" on the part of the RT claimants and, in effect, designed to put improper pressure on the witnesses who will be called by the SFO at the trial which is now fixed to start in October 2014; and that is a very cogent countervailing argument against the grant of permission under CPR 31.22. Further, Mr Eadie relied upon a passage in the judgment of Sir Nicholas Browne-Wilkinson V-C in E.M.I Records Ltd v Spillane [1986] 1 WLR 967 at p977B-C to the effect that "… it would be quite wrong to authorise [the use of disclosed documents] in criminal proceedings brought under fiscal laws and having no connection with the original cause of action …".