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England and Wales High Court (Family Division) Decisions |
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You are here: BAILII >> Databases >> England and Wales High Court (Family Division) Decisions >> S v S [2008] EWHC 2038 (Fam) (20 August 2008) URL: http://www.bailii.org/ew/cases/EWHC/Fam/2008/2038.html Cite as: [2009] 2 FCR 534, [2008] EWHC 2038 (Fam), [2008] Fam Law 1182, [2009] 1 FLR 254 |
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FAMILY DIVISION
Strand, London, WC2A 2LL |
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B e f o r e :
____________________
Sharon Joanne Theresa S |
Applicant |
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- and - |
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Christopher John S |
Respondent |
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Jeremy Posnansky QC (of Farrers &Co LLP) for the Respondent
Hearing dates: 31/7/2008
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Crown Copyright ©
Mrs. Justice Eleanor King :
i) there was an agreement and
ii) that W should be held to its terms.
The Legal Framework
"[15] All these cases are fact dependent and this is a quite exceptional case on its facts, but if ever there is to be a paradigm case in which the court will look to the prenuptial agreement as not simply one of the peripheral factors in the case but as a factor of magnetic importance, it seems to me that this is just such a case. As to the second and third grounds, that the judge was bound by the provisions of r 2.61, I am quite un-persuaded, as was the judge, that these individual rules were intended to be some sort of straitjacket precluding sensible case management. I would particularly stress the overriding objectives that govern all these rules, carefully and fully drafted in r 2.51D. It is easy to attach this case on its facts to a number of the objectives there articulated. It is very important that the judge in dealing with the case should seek to save expense. It is very important that he should seek to deal with the case in ways proportionate to the financial position of the parties. It is very important, more so today than it was when these rules were drafted, that he should allot to each case an appropriate share of the court's resources, taking into account the need to allot resources to other cases. In his general duty of case management he is required to identify the issues at an early date and particularly to regulate the extent of the disclosure of documents and expert evidence so that they are proportionate to the issues in question."
a) an application to stay the ancillary relief application is wrong
b) An application utilising the procedural route of a Notice to Show cause in order to obtain a determination of the status of 'the agreement' as a preliminary issue in isolation is wrong.
c) in any event, there is no concluded agreement in this case and the court's duty to consider all the s25 circumstances must lead the court to having an ancillary relief trial, albeit truncated as to disclosure, but, significantly, with the court able to make such orders as in its discretion it thinks fit, which orders may be different from those 'agreed' between the parties.
"Under s25(1) it is the duty of the court to have regard to all the circumstances of the case and , in particular, to the matters detailed in paragraphs (a) to (g)………..
To decide what weight should be given in order to reach a just result to a prior agreement not to claim a lump sum, regard must be had to the conduct of both parties, leading up to the prior agreement, and to their subsequent conduct, in consequence of it. It is not necessary in this connection to think in formal legal terms, such as misrepresentation or estoppel, all the circumstances as they affect each of two human beings must be considered in the complex relationships of the marriage. So, the circumstances surrounding the making of the agreement are relevant. Undue pressure by one side, exploitation of a dominant position to secure an unreasonable advantage, inadequate knowledge, possibly bad legal advice, an important change of circumstances, unforeseen or overlooked at the time of the making of the agreement, are all relevant to the question of justice between the parties. Important too is the general proposition that, formal agreements, properly and fairly arrived at with competent legal advice should not be displaced unless there are good and substantial grounds for concluding that an injustice will be done by holding the parties to the terms of their agreement."
i) The existence of a concluded agreement is a matter of great weight:"formal agreements, properly and fairly arrived at with competent legal advice should not be displaced unless there are good and substantial grounds for concluding that an injustice will be done by holding the parties to the terms of their agreement" EdgarSee also X and X (Y and Z Intervening) [2002] 1 FLR 508"[103] The court will not lightly permit parties who have made an agreement between themselves to depart from it"Recently in Soulsbury v Soulsbury [2007] EWCA 969; [2008] 1 FLR 90 Lord Justice Ward seemed to go further:"[45] ……... I accept that if there are negotiations to compromise a claim for ancillary relief, then there is a duty to seek the court's approval as is stated in Smallman. But as Smallman states, and I do not see how that authority of this court can be ignored by me, even an agreement subject to the approval of the court is binding on the parties to the extent that neither can resile from it."It is not necessary for the purposes of this judgment to consider how Lord Justice Ward's recent observation fits with the body of case law. Its significance for the purposes of the case management decision I have to make is that it is a further example of the importance of agreements in the eyes of the Court of Appealii) The court when considering whether there is an agreement and its effect if there is, does so against the backdrop of 225.
Dean v Dean [1978] 3 All ER 758
"The court must, in performing its duty under s25 in circumstances where there is an agreement between the parties, adopt the broad rather than the particular approach. On the one hand, the court has a duty under s25, but at the same time the court owes a duty to uphold agreements validly arrived at…."In Xydhias v Xydhias [1999] 1 FLR 683 the Court of Appeal noted that
"An even more singular feature of the transition from compromise to order in ancillary relief proceedings is that the court does not either automatically or invariably grant the application to give the bargain the force of an order. The court conducts an independent assessment to enable it to discharge its statutory function to make such orders as reflect the criteria listed in s 25 of the Matrimonial Causes Act 1973 as amended." P691Mr Pointer relies on Smith v Smith [2000] 3 FCR 374 in support of his submission that the issue of an agreement should not be dealt with as a preliminary issue in isolation by way of a Notice to Show cause. Smith v Smith is an example of a case where the court at first instance fell into the trap of considering an agreement as a preliminary issue in isolation without any consideration of the s25 factors. As a consequence an order was made holding a wife to an agreement which singularly failed to meet her basic needs.
Lord Justice Thorpe said: (p381f)
"My greatest criticism of this judgment is one that is perhaps not directed against the judge himself. I believe that the omissions in the judgment are probably the product of the way the case was presented and argued. It seems as if it was almost presented to the judge as a preliminary issue for him to decide whether the existence of the contract in September 1996 disentitled the wife, as a matter of either law or discretion, from an investigation of her statutory claims. That was simply not the judicial function. As Ormrod LJ had made clear first in the unreported case of Brockwell v Brockwell [1975] CA Transcript 468 and then in Edgar, when a wife brings to the court her statutory claims for determination the existence of an earlier contract is only one of the considerations to which the judge must give weight. In the application of the statutory criteria to the case, Ormrod LJ said that it should be brought in under the head of conduct: s 25(2)(f) of the Matrimonial Causes Act 1973."I do not take Smith v Smith to be saying that the court must always hear a case as a full blown ancillary relief hearing where there is an alleged agreement, but rather as a trenchant reminder that an agreement forms part of all the circumstances of a case and that, even if such an agreement be found to be of magnetic importance, the court should only ever consider such an agreement against the backdrop of all the s25 factors.
There is no reason why in an appropriate case, the status of an alleged agreement should not be dealt with as a Notice to Show Cause determined against the backdrop of a consideration of the s25 factors. Such an approach is in my judgment, fundamentally different from one where the court embarks on a consideration of evidence as to the existence of an agreement as a preliminary issue, in a vacuum, with no consideration of the surrounding circumstances or s25 factors.
I therefore accept Mr Pointer's submission to the extent that I agree that it would be wrong to 'stay' the ancillary relief proceedings and to list the issue of the agreement as a preliminary issue isolated from a proper consideration of the s25 factors.
I do not accept however that there may not be circumstances in which there is a factor of such magnetic importance that it must necessarily dominate the discretionary process. In such a case the vehicle of a 'notice to show cause' can appropriately be regarded as the proportionate and just route by which to determine the extent to which that factor should be determinative of the action.
iii) An application for a Notice to Show Cause is therefore an appropriate means by which an aggrieved party can bring the matter before the court. In Dean v Dean, Xydihias v Xydhias and X and Y (Y and Z Intervening) [2002] 1 FLR 508 such a procedure was adopted. I note also the Court of Appeal's approach in Crossley where a pre-nuptial contract was the dominant factor.
"[18] this case…. demonstrates the discretionary power of the judge to require a party to show cause why a contractual agreement should not rule the outcome of an ancillary relief claim, not just when the contract is made post-separation and in contemplation of an application, but also when the contract has been made prenuptially or postnuptially before the breakdown of the marriage."iv) Public policy requires the court to consider whether there has been an agreement and also to 'exclude from the trial lists unnecessary litigation' Xydhias and Crossley
In Xydhias the Court of Appeal said:
"If there is a dispute as to whether the negotiations led to an accord that the process should be abbreviated, the court has discretion in determining whether an accord was reached. In exercising that discretion the court should be astute to discern the antics of a litigant who, having consistently pressed for abbreviation, is seeking to resile and to justify his shift by reliance on some point of detail that was open for determination by the court at its abbreviated hearing. If the court concludes that the parties agreed to settle on terms then it may have to consider whether the terms were vitiated by a factor such as material non-disclosure or tainted by a factor within the parameters set in Edgar v Edgar" p692"Litigants in ancillary relief proceedings are subjected to great emotional and psychological stresses, particularly as the date of trial approaches. In my opinion there are sound policy reasons supporting the conclusion that the judge is entitled to exercise a broad discretion to determine whether the parties have agreed to settle. The pilot scheme depends on judicial control of the process from start to finish. The court has a clear interest in curbing excessive adversariality and in excluding from trial lists unnecessary litigation. P693"v) The overriding objective to deal with cases justly, set out in FPR r2.51D, allows judicial case management to seek to save expense and deal with matters in a way that is proportionate to the financial position of the parties and allots an appropriate share of the court's resources. The FPR 1991 are not intended to be a straightjacket precluding sensible case management. Crossley [para [15],[17].
vi) It is not necessary for every detail to have been resolved prior to the court taking the view that there is an agreement to which a party should be held :Xydhias v Xydhias. The first stage of negotiation, which should then be recorded in a simple heads of agreement, is 'what is the applicant to receive? (p696a). Points of detail can thereafter be determined by the court at an abbreviated hearing. (p692g)
vii) In determining whether there has been an agreement the court will look at all the circumstances including the extent to which the parties themselves attached importance to the agreement and the extent to which the parties themselves have acted upon it X and X (Y and Z Intervening) [2002] 1 FLR 508
The Procedural Route
(a) Is there in fact an agreement?
(b) In the event that there was, has there been a change in circumstances such that W should not now be held to the agreement?
(c) If there was an agreement, is it now capable of being implemented in any event?
Is there an agreement?
- Consent Order
- Form M1 for H & W ( W's unsigned)
- Schedule of assets to be annexed to the order
- The Deed of Indemnity
- Schedule of W's costs
- Pension Annexures (sic)
"My client is not prepared to concede a change to the terms agreed on 30 November 2005 in respect of her costs and will rely on this agreement being covered by the ruling in Edgar v Edgar…….. If necessary we may seek directions on this sole issue (incurring further costs) but I trust that your client will abide by his original agreement of 30 November 2005 and allow the matter to be concluded"
"She would need to do so with the written reassurance of a written undertaking from your client not to enforce any provisions previously agreed enabling either to enforce a sale of the property or buy-out, unless at a time acceptable to her…….. I do not believe we need to refer to it in the Consent Order but simply lodge it with the Trustees."
"…they [H & W] reached an agreement as to how their assets should be divided, namely 55% for CS and 45% for SS. Pursuant to this agreement they asked Investec (the trustees) to consider creating a new revocable sub-fund for the benefit of SS and their children and remoter issue to be known as the SS Fund appointing to it assets valued at just over £22m.""
a) W does not seek to go behind the 45/55 split agreed at the meeting in November 2005
b) The agreement involving complex tax and trust provisions was implemented save for the minor issue of a pension share which could not be implemented prior to the making of an order
c) H gave and W received £34m in reliance on the agreement
d) W appeared to have regarded herself as bound by the 'agreement' certainly so far as T was concerned
e) W subsequently took independent advice and decided to move on from the structure created under the terms of the agreement and thereafter litigated in the Jersey courts in order to achieve her fiscal goals.
Change of circumstances
Ability to implement the agreement
Split of the Murray Trust
T
Material Non Disclosure
a) An assertion that H told Mrs Mason (W's solicitor who was a personal friend of both parties) that he was worth £140m. H says through Mr Posnansky and in his statement that at the time of the dot.com boom he was worth such a sum but that he did not tell Mrs Mason that he was worth that in 2004. Even if H did say something to that effect to Mrs Mason she thereafter represented W with the benefit of that knowledge; she had disclosure from accountants and private investigators looking into H's business affairs; it was never suggested there was non-disclosure on H's part and the round table meeting in November 2005 proceeded on the basis of an agreed, or largely agreed, schedule of assets.
b) H has on one occasion used code names for himself and his wife. Mr Pointer says the motivation is 'obscure' but Mrs Mason raised a question about this and on 11 November 2005 Mr Alexiou replied explaining why. This was seemingly accepted by W at the time and has only been raised as an issue nearly three years later.
Financial Misconduct on H's part
K
Within the M Settlement is a range of private equity investments which for tax reasons are owned by the M 1987 Settlement via a separate limited company called K
Conclusion:
i) In my judgment there is a very strong case to suggest that there was a concluded agreement which has been implemented by both parties.
ii) I think it unlikely that a court would find the unresolved issue as to how the costs of implementing that agreement were to be paid as going to the heart of the agreement; indeed those representing W clearly shared that view as evidenced in the letter of 10 October 2007 where they emphasised that the agreement was subject to the Edgar principles and that any issue of costs could be dealt with by the court as a discrete issue.
iii) None of the issues raised by Mr Pointer strikes me at this stage as undermining the fundamental significance of the 'agreement,' if it exists. If the court finds there to have been an agreement upon which both parties have relied for nearly three years and which has been implemented in its entirety save for the pension share (which is stalled only until the making of an order), then the combination of those factors gives rise to a strong argument that a possible result of the s25 exercise will be that the W receives no further financial reward and that an order should be made in the terms sought by H.
iv) I also bear in mind the following :
(a) that the assets are in excess of £75m and that W discloses assets in her name of £28m net which excludes her interest in the S S Trust which she puts at £8 excluding the one third interest in T. W has the advantage of an income of in excess of £400,000pa net and a high degree of liquidity; she has £4m in the bank and £15m in two share portfolios; conversely the majority of H's substantial resources' are held largely in trust.
(b) that W has incurred costs of £243,876 between November 2007 when the Form A was issued and August 2008 (to what is, in effect, an adjourned First Appointment). This figure does not include the Jersey litigation, her immigration lawyers fees and has involved no extensive disclosure/investigation in the ancillary relief proceedings. F's costs for a similar period amount to £91,430.
(c) Mr Pointer suggests that the ancillary relief hearing can be completed in 5 days; Mr Posnansky takes issue with that time estimate. I agree with Mr Posnansky. In my opinion 5 days is a hopeless underestimate even if W does not seeks to suggest there has been any non-disclosure. On W's case the trustees are to be joined as parties and she is seeking to suggest financial mismanagement on the part of H; such allegations inevitably take up significant court time.
(d) the litigation is taking a significant toll on this family: The adult children are distressed and feel they have been sucked into their parents' affairs. They, or some of them, have fallen out with their mother over the S S 2008 Trust issue. W feels H is influencing her children against her. H for his part thinks W is being greedy, by contemplating further capital advances from the trust in which their children are beneficiaries. W says in her Form E that she is suffering from depression and, having seen her in court, I can well believe it; she looked tense and at times near to tears during the hearing.
Directions
i) The matter is to be listed for final hearing of W's application for ancillary relief with a time estimate of 3 days on the first available date after 1 December 2008 subject to Counsel's availability. There shall be no further disclosure save as provided by the order and the court at the hearing will determine H's application for a notice to show cause why an order should not be made in the terms of the draft order submitted on his behalfii) Neither side shall reply to the questionnaires filed herein
iii) Solicitors for H & W will identify, agree, file and serve as a discrete bundle copies of the final versions (signed and/or executed where available) of each of the following:
a) The draft order attached to Mrs Sandra Mason's letter of 10 October 2007b) The Letter of Requestc) The Tax indemnityd) H & W's forms M1iv) The parties shall file and serve a report from CC and JS of SC setting out how the investments in K held by the M 1987 Settlement as of November 2005 have been held from November 2005 to date setting out in detail any transfers or apportionment between the Murray 1987 Settlement and either the S S Fund or S S Trust. In the event that transfers between the M 1987 Settlement and the S S Trust 2008 are anticipated details of the proposed transfers should be set out.
v) For the avoidance of doubt the purpose of ordering the provision of this information is to ascertain whether there has been a separation as opposed to an apportionment of the K assets and it is not intended that the detailed information sought by W in her questionnaire should be provided.
vi) On or before 4.00pm on 3 October 2008 W shall, if so advised, file and serve a Scott schedule setting out in detail each and every allegation made by her of H's alleged non disclosure and financial misconduct together with the evidence in support of each allegation and in default be debarred from raising those issues at trial.
vii) H shall respond to the said Schedule on or before 4.00pm 31 October 2008
viii) Costs reserved to the final hearing