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England and Wales High Court (Queen's Bench Division) Decisions |
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You are here: BAILII >> Databases >> England and Wales High Court (Queen's Bench Division) Decisions >> Irish Response Ltd v Direct Beauty Products Ltd & Anor [2011] EWHC 37 (QB) (21 January 2011) URL: http://www.bailii.org/ew/cases/EWHC/QB/2011/37.html Cite as: [2011] EWHC 37 (QB) |
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QUEEN'S BENCH DIVISION
Strand, London, WC2A 2LL |
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B e f o r e :
(sitting as a Judge of the High Court)
____________________
IRISH RESPONSE LIMITED (a company incorporated under the laws of the Republic of Ireland) |
Claimant |
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- and - |
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DIRECT BEAUTY PRODUCTS LIMITED SIMON GOOK |
Defendants |
____________________
Thomas Grant and Thomas Munby (instructed by Harbottle & Lewis LLP) for the defendants
Hearing dates: 8, 9, 10, 13, 14, 15 and 16 December 2010
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Crown Copyright ©
His Honour Judge Richard Seymour Q.C. :
Introduction
"ART. 1 – DEFINITIONS
The words below are agreed to mean as follows:
(1) "TERRITORY" shall mean the territory of the United Kingdom plus the Republic of Ireland.
(2) "PRODUCTS" shall mean the Products listed in Appendix 1 as attached to this Agreement and as from time to time agreed in writing between the parties
(3) …
(4) "AGREEMENT PERIOD" shall commence on the date of this Agreement and shall continue until terminated in accordance with this Agreement.
…
ART. 2 – APPOINTMENT OF THE DISTRIBUTOR
(1) The Supplier hereby appoints the Distributor as his Distributor for the sale of the Products within the Territory.
…
ART. 5 – OBLIGATIONS OF THE SUPPLIER
(1) …
(2) The Supplier must not appoint any other Distributor for the Territory and must not supply the Products to any other person, firm or company within the Territory.
(3) …
(4) The Supplier shall not be responsible for any loss if the Products are sold within the Territory from some other source outside the Territory but shall use his best endeavours to prevent it.
…
ART. 8 – TERM/TERMINATION
(1) This Agreement shall commence on the date of this Agreement and shall run for a period of five (5) years. After five (5) years the Agreement shall automatically renew itself for a further one (1) year unless it will be terminated by giving twelve (12) months notice.
(2) Irrespective of Art. 8(1) and in addition to any other rights and remedies at law either party may, by giving written notice to the other party, terminate immediately this Agreement on the following grounds:-
(a) …
(b) Where either party has committed a serious breach of its obligations under this Agreement unless such party rectifies this breach, as far as reasonably possible, within twenty-eight (28) days. This clause does not apply if time has been of the essence;
…
ART. 10 – MISCELLANEOUS
…
GOVERNING LAW
This Agreement shall be governed by Danish Law. Place of jurisdiction shall be Denmark. "
"1. Paragraphs 31 to 35 of the Particulars of Claim [in which the Unlawful Means Claim was pleaded] should be struck out pursuant to CPR r. 3.4 and/or summary judgment be entered in favour of the Defendants pursuant to CPR Part 24 on the grounds that they disclose no reasonable grounds for bringing the claim made therein and/or they are an abuse of the process and/or the Claimant has no real prospect of succeeding on the claim or issue set out therein.
2. Paragraphs 36 to 41 of the Particulars of Claim [in which the Conspiracy Claim, and a claim for interest, was pleaded] should be struck out pursuant to CPR r. 3.4 and/or summary judgment be entered in favour of the Defendants pursuant to CPR Part 24 on the grounds that they are irrelevant and/or they disclose no reasonable grounds for bringing the claim made therein and/or they are an abuse of the process and/or the Claimant has no real prospect of succeeding on the claim or issue set out therein.
3. The Freezing Order (the "Freezing Order") and/or Search Order granted by Mr. Justice McCombe on 12 [sic] June 2010 be discharged in their entirety.
4. Alternatively the Freezing Order be varied so as to reduce the sum thereby frozen to the sum of £300,000, or such other sum as this Court thinks fit; and there be ancillary variations of the Freezing Order consequential on that reduction; and that the Claimant do provide further fortification of its cross-undertaking in damages in such sum as the Court thinks fit.
5. There be an enquiry as to the loss and damage sustained by the Defendants as a result of the Freezing Order and what portion of that loss and damage should be paid by the Claimant pursuant to its cross-undertaking.
6. The Claimant provide security for costs pursuant to CPR r. 25.12 and 25.13 on the grounds there is reason to believe that it will be unable to pay the Defendants' costs if ordered to do so.
7. The Claimant provide better and proper answers to Requests 2 and 19-31 of the Defendants' Request for Further Information dated 2 September 2010. The purported Replies which have been provided so far (by way of the Reply document served on 30 September 2010) are inadequate and do not properly answer the Requests made.
8. That the Claimant should pay the costs of this application."
The applications to discharge the Freezing Order and the Search Order.
(a) The law in relation to freezing orders
"It follows that the evidence, including the evidence on the second question posed by the judge to which we turn in a moment, must be looked at as a whole. A "good arguable case" is no doubt the minimum which the plaintiff must show in order to cross what the judge rightly described as the "threshold" for the exercise of the jurisdiction. But at the end of the day the court must consider the evidence as a whole in deciding whether or not to exercise this statutory jurisdiction."
"one which is more than barely capable of serious argument, but not necessarily one which the judge considers would have a better than 50 per cent chance of success."
"26. In my judgment the way the matter was presented to Judge Thompson was, to say the least, highly unfortunate. It is important on applications for so seriously intrusive an order as a freezing order that great care should be taken in the presentation of the evidence to the court, so that the court can see not only whether the applicant has a good arguable case but also whether there is a real risk of dissipation of assets. There is no evidence, and it is not suggested, that Mr. Tomlinson had a poor credit record, or a history of defaulting on other debts, or had threatened to remove assets or otherwise deal with his assets. It is suggested that, because he had received large sums of money each year from Thane and Denbrae, he may have had some hoard of cash somewhere which would be easily moved or disposed of. But those monies were received some years ago, purportedly under the service agreements. Mr. Tomlinson has made no secret of the fact, as he puts in his witness statements, that he has had considerable expenses in relation to the education of his children, as well as in respect of a divorce. He may or may not be wholly truthful in relation to that. What is quite plain is that there was simply no evidence to refute what he says was the position, that he has spent all the monies that he has received. He acknowledges that he has had a fairly successful career in business. Nevertheless, he submits that he is now left with no monies. There is no evidence to the contrary.
27. On those facts, in my judgment, Judge Thompson when dealing with the application for a freezing order, in particular in relation to parties who were not present or represented at the hearing, should have been astute to ensure that the requirements of the rules are met. The requirements are imposed on applicants for a freezing order in order to protect persons who are not in a position to protect themselves. I conclude that Judge Thompson was wrong to have granted the freezing order on the information that was before him, in particular because there was no evidence of a real risk that Mr. Tomlinson or Reyall was likely to dissipate his or its assets.
28. The appeal before us is, of course, not from Judge Thompson's order: it is from the decision of Neuberger J, and that judge was viewing the matter afresh and had a discretion whether or not to discharge the freezing order, whether or not to impose a new freezing order. In my judgment Neuberger J' s reasons for finding Judge Thompson' s order one which should not be discharged are insufficient to justify the order which he made. First, Neuberger J said that the matters relied on for the good and [sic] arguable case applied in demonstrating that there was a real danger of the defendants dissipating their assets to defeat the judgment. I regret that I do not see that the judgment does support a conclusion that in the particular circumstances of Mr. Tomlinson and Reyall there was a real risk of assets being dissipated. Mr. Blackett-Ord submitted that it has now become the practice for parties to bring ex parte applications seeking a freezing order by pointing to some dishonesty, and that, he says, is sufficient to enable this court to make a freezing order. I have to say that, if that has become the practice, then the practice should be reconsidered. It is appropriate in each case for the court to scrutinise with care whether what is alleged to have been the dishonesty of the person against whom the order is sought in itself justifies the inference that that person has assets which he is likely to dissipate unless restricted."
"It has been made clear ever since Third Chandris Shipping v. Unimarine [1979] 2 All ER 972 that it is the duty of a plaintiff applying for a Mareva order to provide the court with information about the defendant … In my judgment the court should approve the application of the very useful check list set out in Gee and Andrews' Mareva Injunctions – Law and Practice (1st edn) pp 51 – 52 as to the sort of factors about which the court should have information before it decides to grant an application for a Mareva injunction. Here there was no real attempt to meet that obligation either."
"(1) The nature of the assets which are to be the subject of the proposed injunction, and the ease or difficulty with which they could be disposed of or dissipated. The claimant may find it easier to establish the risk of dissipation of a bank account, or of moveable chattels, than the risk that the defendant will dispose of real estate, e.g. his house or office. Nevertheless, in appropriate cases Mareva injunctions can be, and have been, granted where the defendant's only known asset within the jurisdiction is his house ...e.g. if he has put it up for sale and has evinced an intention to go and live abroad).
(2) The nature and financial standing of the defendant's business: see Lord Denning's remarks about certain types of offshore company in Third Chandris Shipping Corporation v. Unimarine, and Lawton L.J. , and Siporex Trade SA v. Comdel Commodities Ltd. Contrast, however, The Niedersachsen: even a "one-ship" company incorporated in Panama or Liberia may be a subsidiary of a substantial company incorporated elsewhere, and would be likely to honour its debts.
(3) The length of time the defendant has been in business. Stronger evidence of potential dissipation will be needed where the defendant is a long-established company with a reasonable market reputation than where little or nothing is known or can be ascertained about it.
(4) The domicile or residence of the defendant. At one time, Mareva injunctions were granted to prevent only foreign defendants from removing their assets from the jurisdiction to defeat a judgment or arbitration award. While the jurisdiction has widened to include domestic defendants, the court will be less ready to infer that a defendant who is based in England, and has a home or established business here, will remove or dissipate his assets. On the other hand, if the defendant company, though English, is controlled by an offshore company of the kind described by Lord Denning in Third Chandris Shipping Corporation v. Unimarine, the inference that there is a real risk that a judgment or award may go unsatisfied may be more readily drawn.
(5) If the defendant is a foreign company, partnership, or trader, the country in which it has been registered or has its main business address, and the availability or non-availability of any machinery for reciprocal enforcement of English judgments or arbitration awards in that country. If such machinery does exist, the length of time it would take to implement it may be an important factor.
(6) The defendant's past or existing credit record. A history of default in honouring other debts may be a powerful factor in the claimant's favour – on the other hand, persistent default in honouring debts, if it occurs in a period shortly before the claimant commences his action, may signify nothing more than the fact that the defendant has fallen on hard times and has cash-flow difficulties, or is about to become insolvent. The possibility of insolvency does not justify the granting of Mareva relief. As a factor it may weigh against it, on the grounds that an injunction would be oppressive because it might deprive the defendant of a last opportunity to put his business affairs in good order again. The fact that a Mareva injunction has been granted over the defendant's assets may well discourage a bank or other company from lending him money or otherwise coming to his aid.
(7) Any intention expressed by the defendant about future dealings with his English assets, or assets outside the jurisdiction.
(8) Connections between a defendant company and other companies which have defaulted on arbitration awards or judgments. If the defendant company is the subsidiary of a foreign company which has allowed other subsidiaries to default on awards or judgments, or go into liquidation owing large sums of money to trade creditors, this may be a powerful factor in favour of granting an injunction.
(9) The defendant's behaviour in response to the claimant's claims: a pattern of evasiveness, or unwillingness to participate in the litigation or arbitration, or raising thin defences after admitting liability, or total silence, may be factors which assist the claimant."
"I therefore turn to the principles underlying the jurisdiction. (1) So far as it lies in their power, the courts will not permit the course of justice to be frustrated by a defendant taking action, the purpose of which is to render nugatory or less effective any judgment or order which the plaintiff may thereafter obtain. (2) It is not the purpose of a Mareva injunction to prevent a defendant acting as he would have acted in the absence of a claim against him. Whilst a defendant who is a natural person can and should be enjoined from indulging in a spending spree undertaken with the intention of dissipating or reducing his assets before the day of judgment, he cannot be required to reduce his ordinary standard of living with a view to putting by sums to satisfy a judgment which may or may not be given in the future. Equally no defendant, whether a natural or a juridical person, can be enjoined in terms which will prevent him from carrying on his business in the ordinary way or from meeting his debts or other obligations as they come due prior to judgment being given in the action. (3) Justice requires that defendants be free to incur and discharge obligations in respect of professional advice and assistance in resisting the plaintiff's claims. (4) It is not the purpose of a Mareva injunction to render the plaintiff a secured creditor, although this may be the result if the defendant offers a third party guarantee or bond in order to avoid such an injunction being imposed. (5) The approach called for by the decision in American Cyanamid Co. v. Ethicon Ltd. [1975] 1 All ER 504, [1975] AC 396 has, as such, no application to the grant or refusal of Mareva injunctions which proceed on principles which are quite different from those applicable to other interlocutory injunctions."
"On the present appeal we have been mainly concerned with the tests to be applied in answering the two questions posed by the judge. However, other matters may often also have to be borne in mind. The ultimate test for the exercise of the jurisdiction is whether, in all the circumstances, the case is one in which it appears to the court "to be just and convenient" to grant the injunction: see section 37 of the Supreme Court Act 1981 which we have already set out. Thus, the conduct of the plaintiffs may be material, and the rights of any third parties who may be affected by the grant of an injunction may often also have to be borne in mind: see Galaxia Maritime SA v. Mineralimportexport [1982] 1 WLR 539. Further, it must always be remembered that if, or to the extent that, the grant of a Mareva injunction inflicts hardship on the defendants, their legitimate interests must prevail over those of the plaintiffs, who seek to obtain security for a claim which may appear to be well-founded but which still remains to be established at the trial. There is no need to repeat here what was said in that connection in Z Ltd. v. A – Z and AA – LL [1982] QB 558, 585, 586. If the plaintiffs are in a position to contend that their claim is not open to doubt, then they must satisfy the requirements of an application for summary judgment under RSC Ord. 14. But if they apply for a Mareva injunction on the ground that they have "a good arguable case", then the balance should be weighed as we have indicated above."
"33. Whenever an interlocutory injunction is applied for, the judge, if otherwise minded to make the order, should, as a matter of good practice, pay careful attention to the substantive relief that is, or will be, sought. The interlocutory injunction in aid of the substantive relief should not place a greater burden on the respondent than is necessary. The yardstick in section 37(1) of the 1981 Act, "just and convenient", must be applied having regard to the interests not only of the claimant but also of the defendant. This is particularly so in the case of freezing orders applied for without notice. Assets of the defendant to which the claimant has no proprietary claim whatever are to be frozen so as to constitute a source from which the claimant can hope to satisfy the money judgment that, in the substantive proceedings, he hopes to obtain. The frozen assets are removed for the time being from any beneficial use by their owner, the defendant. This is a draconian remedy and the strict rules relating to full disclosure by the claimant are a recognition of the nature of the remedy and its potential for causing injustice to the defendant."
"I see some force in some of these criticisms, if and so far as the judge intended to draw any fundamental distinction between the litigant's duty of full disclosure of material facts, and the advocate's duty to assist the court by reference to (or correct summary of) relevant authorities, statutory provisions and practice directions. In the context of what should be disclosed to the court on a without notice application, the distinction between fact and law is not clear-cut. Many of the authorities already cited refer almost interchangeably to non-disclosure of "material facts" or "relevant matters". Little weight can be attached to these slight variations in language. But some statements of the principle of full disclosure extend to what the court is told about matters of law."
"The correct view, it seems to me, is that the advocate's individual duty to the court, and the collective duty to the court, on a without notice application, of the plaintiff and his team of legal advisers are duties which often overlap. Where they do overlap it will usually be unnecessary, and unprofitable, to insist on one categorisation to the exclusion of the other. It will however always be necessary for the court, in deciding what should be the consequences of any breach of duty, to take account of all the relevant circumstances, including the gravity of the breach, the excuse or explanation offered, and the severity and duration of the prejudice occasioned to the defendant (which will include the question whether the consequences of the breach are remediable and have been remedied). Above all the court must bear in mind the overriding objective and the need for proportionality. As Balcombe LJ said in Brink's Mat Ltd. v. Elcombe [1988] 1 WLR 1350, 1358, this judge-made rule cannot itself be allowed to become an instrument of injustice. The relative degrees of culpability of the client and of his lawyers are not irrelevant but will seldom if ever be determinative."
"It cannot be emphasised too strongly that at an urgent without notice hearing for a freezing order, as well as for a search order or any other form of interim injunction, there is a high duty to make full, fair and accurate disclosure of material information to the court and to draw the court's attention to significant factual, legal and procedural aspects of the case. It is the particular duty of the advocate to see that the correct legal procedures and forms are used; that a written skeleton argument and a properly drafted order are prepared by him personally and lodged with the court before the oral hearing; and that at the hearing the court's attention is drawn by him to unusual features of the evidence adduced, to the applicable law and to the formalities and procedure to be observed."
"(2) The material facts are those which it is material for the judge to know in dealing with the application as made: materiality is to be decided by the court and not by assessment of the applicant or his legal advisers: see Rex v. Kensington Income Tax Commissioners, per Lord Cozens-Hardy MR, at p. 504, citing Dalgleish v. Jarvie (1850) 2 Mac & G 231, 238, and Browne-Wilkinson J in Thermax Ltd. v. Schott Industrial Glass Ltd. [1981] FSR 289, 295.
(3) The applicant must make proper inquiries before making the application: see Bank Mellat v. Nikpour [1985] FSR 87. The duty of disclosure therefore applies not only to material facts known to the applicant but also to any additional facts which he would have known if he had made such inquiries.
(4) The extent of the inquiries which will be held to be proper, and therefore necessary, must depend on all the circumstances of the case including (a) the nature of the case which the applicant is making when he makes the application; and (b) the order for which the application is made and the probable effect of the order on the defendant: see, for example, the examination by Scott J of the possible effect of an Anton Piller order in Columbia Picture Industries Inc. v. Robinson [1987] Ch 38; and (c) the degree of legitimate urgency and the time available for the making of inquiries: see per Slade LJ in Bank Mellat v. Nikpour [1985] FSR 87, 92 – 93.
(5) If material non-disclosure is established the court will be "astute to ensure that a plaintiff who obtains [an ex parte injunction] without full disclosure … is deprived of any advantage he may have derived by that breach of duty:" see per Donaldson LJ in Bank Mellat v. Nikpour, at p. 91, citing Warrington LJ in the Kensington Income Tax Commissioners' case [1917] 1 KB 486, 509.
(6) Whether the fact not disclosed is of sufficient materiality to justify or require immediate discharge of the order without examination of the merits depends on the importance of the fact to the issues which were to be decided by the judge on the application. The answer to the question whether the non-disclosure was innocent, in the sense that the fact was not known to the applicant or that its relevance was not perceived, is an important consideration but not decisive by reason of the duty on the applicant to make all proper inquiries and to give careful consideration to the case being presented.
(7) Finally, it "is not for every omission that the injunction will be automatically discharged. A locus poenitentiae may sometimes be afforded:" per Lord Denning MR in Bank Mellat v. Nikpour [1985] FSR 87, 90. The court has a discretion, notwithstanding proof of material non-disclosure which justifies or requires the immediate discharge of the ex parte order, nevertheless to continue the order, or to make a new order on terms."
"In deciding in a case where there has undoubtedly been non-disclosure whether or not there should be a discharge of an existing injunction and a re-grant of fresh injunctions, it is most important that the court assesses the degree and extent of the culpability with regard to the non-disclosure, and the importance and significance of the outcome of the application for an injunction of the matters which were not disclosed to the court.
In this connection Mr. Brodie at one stage of his argument submitted that the acid test was whether or not the original judge who granted the injunction ex parte would have been likely to have arrived at a different decision if the material matters had been before him. I do not regard that as being the acid test. Indeed, although I regard it as a relevant matter when considering the question of discharge and re-grant of injunctions, I do not regard it as a matter of great significance unless the facts which were not disclosed would have resulted in the refusal of an injunction."
(b) The law in relation to search orders
"I agree with all that Lord Denning MR has said. The proposed order is at the extremity of this court's powers. Such orders, therefore, will rarely be made, and only when there is no alternative way of ensuring that justice is done to the applicant.
There are three essential pre-conditions for the making of such an order, in my judgment. First, there must be an extremely strong prima facie case. Secondly, the damage, potential or actual, must be very serious for the applicant. Thirdly, there must be clear evidence that the defendants have in their possession incriminating documents or things, and that there is a real possibility that they may destroy such material before any application inter partes can be made."
(c) The law as to inducing a breach of contract
"39. To be liable for inducing breach of contract, you must know that you are inducing a breach of contract. It is not enough that you know that you are procuring an act which, as a matter of law or construction of the contract, is a breach. You must actually realize that it will have this effect. Nor does it matter that you ought reasonably to have done so. This proposition is most strikingly illustrated by the decision of this House in British Industrial Plastics Ltd. v. Ferguson [1940] 1 All ER 479, in which the plaintiff's former employee offered the defendant information about one of the plaintiff's secret processes which he, as an employee, had invented. The defendant knew that the employee had a contractual obligation not to reveal trade secrets but held the eccentric opinion that if the process was patentable, it would be the exclusive property of the employee. He took the information in the honest belief that the employee would not be in breach of contract. In the Court of Appeal [1938] 4 All ER 504, 513, MacKinnon LJ observed tartly that in accepting this evidence the judge had "vindicated his honesty … at the expense of his intelligence" but he and the House of Lords agreed that he could not be held liable for inducing a breach of contract.
40. The question of what counts as knowledge for the purposes of liability for inducing a breach of contract has also been the subject of a consistent line of decisions. In Emerald Construction Co. Ltd. v. Lowthian [1966] 1 WLR 691 union officials threatened a building contractor with a strike unless he terminated a subcontract for the supply of labour. The defendants obviously knew that there was a contract – they wanted it terminated – but the court found that they did not know its terms and, in particular, how soon it could be terminated. Lord Denning MR said, at pp 700 – 701:
"Even if they did not know the actual terms of the contract, but had the means of knowledge – which they deliberately disregarded – that would be enough. Like the man who turns a blind eye. So here, if the officers deliberately sought to get this contract terminated by breach or not, they would do wrong. For it is unlawful for a third person to procure a breach of contract knowingly, or recklessly, indifferent whether it is a breach or not."
41. This statement of the law has since been followed in many cases and, so far as I am aware, has not given rise to any difficulty. It is in accordance with the general principle of law that a conscious decision not to inquire into the existence of a fact is in many cases treated as equivalent to knowledge of that fact: see Manifest Shipping Co. Ltd. v. Uni-Polaris Insurance Co. Ltd. [2003] 1 AC 469. It is not the same as negligence or even gross negligence: in British Industrial Plastics Ltd. v. Ferguson [1940] 1 All ER 479, for example, Mr. Ferguson did not deliberately abstain from inquiry into whether disclosure of the secret process would be a breach of contract. He negligently made the wrong inquiry, but that is an altogether different state of mind."
(d) "A good arguable case"
"Regarding 2005 I have received information and documentation in the form of emails sent from PMI to Diafarm A/S containing orders for specific Diafarm A/S products that are comprised by the Agreement. It appears from the orders that the particular products are to be delivered to Direct Beauty Products Ltd. ("DBP") in Great Britain.
Furthermore I have received invoices from Diafarm A/S from which it appears that a number of products from Diafarm A/S which are also comprised by the Agreement have been delivered to DBP in Great Britain.
In so far as 2006 and 2007 are concerned my client is in the process of gathering evidence that is similar to the above mentioned documentation.
The documentation proves that PMI ordered shipments of Diafarm A/S products for DBP and that the particular shipments have been delivered to DBP in Great Britain. This constitutes a serious breach of the obligations owed to IRL under Article 5(2) of the Agreement which entitles IRL to terminate the Agreement immediately under Article 8(2) of the Agreement."
"The Court's assessment of this issue is based on §5(2) of the Agreement, pursuant to which Irish Response was the exclusive distributor of Pharma Medico's products in the Territory, which comprised the UK and Ireland, and pursuant to which, Pharma Medico could not supply the products to any other persons, enterprises or companies within the Territory. Pharma Medico would, pursuant to §5(4) of the Agreement, not be liable for any losses in the event that the products were to be sold from sources outside the Territory, but would endeavour to prevent such sales.
The Court bases its decision in part on the premise that James Murphy and Simon Gook had known one another for a number of years, and that they entered into a cooperative arrangement in 2004 under which Direct Beauty Products purchased Nourkrin® ExtraStrength from Irish Response for sale on the English market. There were, in this context, discussions between these parties regarding the extent of Irish Response's exclusive distribution rights, and concerning a possible cooperative arrangement with regard to the distribution of Pharma Medico's products in the rest of Europe.
According to presented copies of invoices from Diafarm A/S, a total of 38,000 Nourkrin® ExtraStrength were delivered to Direct Beauty Products from January to October 2005. According to the declarations of Morten Christensen and Simon Gook and presented correspondence, the Court bases its decision in part on the premise that these products were delivered to Direct Beauty Products' transit warehouse in England with a view to their further sale in Italy. The products were delivered in boxes that were provided with labels bearing Irish Response's name. According to the declarations, it was presumed that Direct Beauty Products would put their own labels on the boxes before sending them on to the European market.
It has not been proven that Pharma Medico supplied Nourkrin® ExtraStrength directly to Direct Beauty Products after 2005.
Finally, the Court bases its decision in part on the premise that, in Britain in 2006, Direct Beauty Products sold Nourkrin® ExtraStrength that had been supplied by Pharma Medico, including to the Mashco company, in violation of the Agreement.
The Court finds that, even though they were initially made to Direct Beauty Products in the Territory, these deliveries do not, in and of themselves, constitute a violation of §5 of the Agreement. The Court finds that the Agreement cannot be interpreted as to preclude Pharma Medico from delivering products for storage in such a transit warehouse in the Territory with a view to their sale outside the Territory. Nor are there grounds for assuming that the purpose of the deliveries was for Direct Beauty Products to distribute, in violation of the Agreement, the products in Great Britain and Ireland in competition with Irish Response, or that Pharma Medico was aware that this actually occurred in 2006.
The issue is therefore whether Pharma Medico did, despite this, fail to discharge its obligation to endeavour to prevent deliveries to other customers from being sold in the Irish or English market in violation of Irish Response's rights.
Based on the declarations provided, it was stated on Pharma Medico's invoices that the goods were not to be sold in Ireland and England, but Pharma Medico exercised no direct oversight to determine whether Direct Beauty Products was complying with the presumed conditions for the transaction, or that the goods were in fact being forwarded for sale in areas outside the Territory.
However, based on the correspondence among the three parties in 2005 concerning Direct Beauty Products' plans to distribute Pharma Medico's products, including Nourkrin® ExtraStrength, and given that Pharma Medico's deliveries of 38,000 Nourkrin® ExtraStrength were made to Direct Beauty Products in 2005, that Direct Beauty Products took concrete steps to sell this product in Italy, that the further sale by Direct Beauty Products to the English market took place during the first half of 2007 without Pharma Medico's knowledge, and that Irish Response simultaneously delivered the same product to Direct Beauty Products, the Court does not find that Direct Beauty Products' sales in violation of the Agreement can be blamed on Pharma Medico to such an extent that grounds exist to find that a material breach of the Agreement has occurred.
With regard to Mashco, the Court assumes, based on the evidence presented, that Direct Beauty Products resold the Nourkrin® ExtraStrength delivered by Pharma Medico in 2005 to Mashco in 2007. The Court does not find it to have been proven that Pharma Medico sold Nourkrin® ExtraStrength directly to Mashco in violation of the Agreement.
Nor, on this basis, can Mashco's sale of Nourkrin® ExtraStrength within the Territory in 2007 constitute a basis for Irish Response's cancellation of the Agreement on grounds of a material breach."
"A judgment given in a Member State shall be recognised in the other Member States without any special procedure being required."
"Under no circumstances may a foreign judgment be reviewed as to its substance."
"My Lords, this is a case about abuse of the process of the High Court. It concerns the inherent power which any court of justice must possess to prevent misuse of its procedure in a way which, although not inconsistent with the literal application of its procedural rules, would nevertheless be manifestly unfair to a party to litigation before it, or would otherwise bring the administration of justice into disrepute among right-thinking people. The circumstances in which abuse of process can arise are very varied; those which give rise to the instant appeal must surely be unique. It would, in my view, be most unwise if this House were to use this occasion to say anything that might be taken as limiting to fixed categories the kinds of circumstances in which the court has a duty (I disavow the word discretion) to exercise this salutary power."
"25. I therefore conclude that it would bring the administration of justice into disrepute if Mr. Laing were to be permitted in the second claim to advance exactly the same case as was tried and rejected by Judge Thornton. If Judge Thornton's judgment was to be disturbed, the proper course was to appeal, rather than seek to have it in effect reversed by a court not of superior but of concurrent jurisdiction hearing the second claim. That the second claim is in substance an attempt to reverse Judge Thornton is important in the context of wider principles of finality of judgments. In Hunter, at p 545D, Lord Diplock said that the proper course to upset the decision of a court of first instance was by way of appeal. Where, wholly exceptionally, a collateral, first instance, action can be brought it has to be based on new evidence, that must be such as entirely changes the aspect of the case: see per Earl Cairns LC in Phosphate Sewage v. Molleson (1879) 4 App Cas 801 at p, 814. The second claim in our case not merely falls short of that standard, but relies on no new evidence at all.
26. It is however argued that all of that is irrelevant, or at least not conclusive, where the second claim is, unlike the claim in Phosphate Sewage, not between the same parties. The appellant relied on, and Langley J was impressed by, observations by Lord Hoffmann in Hall v. Simons [2002] 1 AC 615 at p. 705H, on the status of claims of abuse of process in negligence actions against solicitors involved in earlier proceedings:
"I see no objection on grounds of public interest to a claim that a civil case was lost because of the negligence of the advocate, merely because the case went to a full trial. In such a case the plaintiff accepts that the decision is res judicata and binding upon him. He claims, however, that if the right arguments had been used or evidence called, it would have been decided differently."
In the present case, Mr. Laing perforce accepts that the decision of Judge Thornton is binding on him. The obligation to Mr. Watson placed on him by that judgment is the loss that he seeks to recover in the second claim against TW. That judgment against him was only obtained by Mr. Watson because of the negligence of Mr. Kelly. Accordingly, the second claim does not seek to reverse the decision of Judge Thornton, but rather seeks to recover from TW the cost to Mr. Laing of that decision.
27. I of course agree that it will not necessarily, or perhaps usually, be a valid objection to a claim for solicitors' negligence in or about litigation that the claim asserts matters different from those decided in that litigation. That is so not only of cases where the solicitors have made what might be called administrative errors that have prevented the earlier proceedings from being properly pursued or their outcome challenged by the proper means (eg Walpole v. Partridge & Wilson [1994] AC 106); but also where errors in assembling the evidence or understanding the law are alleged to have led to an incorrect result, as was the case in Hall v. Simons itself. But the present case is significantly different from those just mentioned. The difference is that, as shown in §19 above, in order to succeed in the new claim Mr. Laing has to demonstrate not only that the decision of Judge Thornton was wrong, but also that it was wrong because it wrongly assessed the very matters that are relied on in support of the new claim. That is an abusive relitigation of Judge Thornton's decision not by appeal but in collateral proceedings, and in substance if not strictly in form falls foul of the Phosphate Sewage rule."
"Secondly, it must be borne in mind that the Brussels Convention [the predecessor to the Judgments Regulation] is necessarily based on the trust which the contracting states accord to each other's legal systems and judicial institutions. It is that mutual trust which has enabled a compulsory system of jurisdiction to be established, which all the courts within the purview of the Convention are required to respect, and as a corollary the waiver by those states of the right to apply their internal rules on recognition and enforcement of foreign judgments in favour of a simplified mechanism for the recognition and enforcement of judgments. It is also common ground that the Convention thereby seeks to ensure legal certainty by allowing individuals to foresee with sufficient certainty which court will have jurisdiction."
"… In my judgment, where the foreign Court has, in its judgment, ruled on precisely the matters that a defendant seeks to raise when challenging the judgment on the ground of fraud, the [Brussels] Convention precludes the Court from reviewing the conclusion of the foreign Court. …"
"That was a general comment and not made in the context of a Convention case. In my judgment, where registration of a Convention judgment is challenged on the ground that the foreign Court has been fraudulently deceived, the English Court should first consider whether a remedy lies in such a case in the foreign jurisdiction in question. If so it will normally be appropriate to leave the defendant to pursue his remedy in that jurisdiction. Such a course commends itself for two reasons. First it accords with the spirit of the Convention that all issues should, so far as possible, be dealt with by the State enjoying the original jurisdiction. Secondly, the Courts of that State are likely to be better able to assess whether the original judgment was procured by fraud.
…
… the English Court should not normally entertain a challenge to a Convention judgment in circumstances where it would not permit a challenge to an English judgment."
"There is nothing in the authorities which precludes a party from obtaining summary judgment or an order striking out a pleading on the grounds of abuse of process where a fraud is alleged. It is axiomatic that where fraud is alleged full particulars should be given. Where allegations of fraud have been made and determined abroad [as it was in that case], summary judgment or striking out in subsequent proceedings are appropriate remedies in the absence of plausible evidence disclosing at least a prima facie case of fraud. No strict rule can be laid down; in every case the court must decide whether justice requires the further investigation of alleged fraud or requires that the plaintiff, having obtained a foreign judgment, shall no longer be frustrated in enforcing that judgment."
"There remains to be considered the circumstances in which the existence at the commencement of the civil action of "fresh evidence" obtained since the criminal trial and the probative weight of such evidence justify making an exception to the general rule of public policy that the use of civil actions to initiate collateral attacks on final decisions against the intending plaintiff by criminal courts of competent jurisdiction should be treated as an abuse of the process of the court.
I can deal with this very shortly, for I find myself in full agreement with the judgment of Goff LJ. He points out that on this aspect of the case Hunter and the other Birmingham Bombers fail in limine because the so-called "fresh evidence" on which they seek to rely in the civil action was available at the trial or could by reasonable diligence have been obtained then. He examines also the two suggested tests as to the character of fresh evidence which would justify departing from the general policy by permitting the plaintiff to challenge a previous final decision against him by a court of competent jurisdiction, and he adopts as the proper test that laid down by Earl Cairns LC in Phosphate Sewage Co. Ltd. v. Molleson (1879) 4 App Cas 801, 814, namely that the new evidence must be such as "entirely changes the aspect of the case". This is perhaps a little stronger than that suggested by Denning LJ in Ladd v. Marshall [1954] 1 WLR 1489, 1491 as justifying the reception of fresh evidence by the Court of Appeal in a civil action, viz., that the evidence "… would probably have an important influence on the result of the case, though it need not be decisive; …"
The latter test, however, is applicable where the proper course to upset the decision of a court of first instance is being taken, that is to say, by appealing to a court with jurisdiction to hear appeals from the first-instance court and whose procedure, like that of the Court of Appeal (Civil Division), is by way of a rehearing. I agree with Goff LJ that in the case of collateral attack in a court of coordinate jurisdiction the more rigorous test laid down by Earl Cairns is appropriate."
(e) Real risk of dissipation
"24. The Danish Judgment records that Mr. Gook gave the following key evidence:
a. He knew IRL had the sole distribution rights for Nourkrin in the UK and Ireland and therefore DBP purchased Nourkrin from IRL in 2004 – 2006 for sale in the UK and Ireland.
b. DBP placed an order for Nourkrin from PMI in 2005 knowing it was not allowed to sell it in the UK and Ireland, which was also stated on the invoice on delivery.
c. The order was intended for sale in the Italian market.
d. DBP did not receive deliveries from PMI in 2006 and 2007.
e. Sales on the Italian market did not go particularly well and about half of the Nourkrin product was returned to DBP and some of these were sold to Mashco during the first 6 months of 2007. Mr. Christensen did not know about this and it was "not so good" because it conflicted with his agreement with Mr. Christensen.
f. As far as he could remember, Mashco bought about 10,000 – 12,000 boxes."
"New evidence obtained after the Danish Judgment
31. After the Danish Judgment was handed down, IRL obtained further evidence as follows:
a. From the Danish police: invoices issued by Direct Productions [sic] to DBP for sales of 44,000 and 55,000 boxes of Nourkrin in 2006 and 2007 respectively …
b. From the Danish police: further Diafarm invoices showing a further 7,000 (additional to the admitted 38,000) boxes sold by PMI to DBP in 2005; …
c. From HTS [that is, Herts]: invoices from DBP to Mashco which show that DBP sold 52,000 boxes of Nourkrin to Mashco in 2007 (rather than 10,000 – 12,000) …
Relevance of the new evidence
32. The new evidence demonstrates that the evidence which is recorded in the Danish Judgment as having been given by each of Messrs. Gook, Christensen and Mashru was false. The falsity of the evidence was considered at paragraphs 62 – 67 of the Without Notice Skeleton and Affidavit [in support of the application for the Freezing Order and the Search Order, made by Mr. Murphy, but unsworn at the time of the hearing before McCombe J] paragraphs 126 – 150.
33. In particular, the new evidence showed that:
a. PMI sold substantial quantities of Nourkrin to DBP in 2006 and 2007 (which necessarily could not have been for the Italian market as that had, according to Mr. Gook and Mr. Christensen's evidence, been unsuccessful in 2005).
b. DBP sold about 55,000 boxes of Nourkrin to Mashco (not 10 – 12,000) (which sales could not be explained by being part of the original 38,000 admitted to have been purchased by DBP for Italy in 2005 and/or the number of boxes of Nourkrin purchased by DBP from IRL)."
"Breach of distribution agreement in relation to Nourkrin products
We act for Irish Response Limited. Our client has obtained evidence that you have been receiving supplies of Nourkrin products from Pharma Medico International APS [sic] ("Pharma"). This supply to you by Pharma breaches an agreement made in 2002 between our client and Pharma which gives our client the exclusive distribution rights to the Nourkrin products in the UK and Ireland (the "Agreement").
James Murphy of Irish Response Limited introduced Pharma's principal, Morten Christensen, to Simon Gook of your company in 2004. Simon Gook was aware that our client had the exclusive distribution rights to the above products in the UK and Ireland but it appears that he went on to use this introduction to enter into discussions with Pharma and persuaded Pharma to supply you directly with the Nourkrin products.
Our client has suffered significant losses resulting from Pharma's breaches of the Agreement and your company's sales of the products in the UK. Our client therefore intends to make a claim against you for inducing the breaches of contract by Pharma and/or conspiring with Pharma to damage our client's economic interests.
Please confirm immediately that:
1. You will not take delivery of any further supplies of Nourkrin products from Pharma. Please be advised that if you fail to give such confirmation, our client reserves the right to pursue an injunction against you (in addition to a claim for lost profits). Insofar as you continue to sell Nourkrin products in the UK this will increase the value of our client's claim against you.
2. You will indemnify our client for the lost profits resulting from your sales of Nourkrin products in the UK.
If you fail to provide the above confirmations, our client reserves the right to commence proceedings against you without further notice."
"Breach of distribution agreement in relation to Nourkrin products
We deny the allegations made in your letter dated 1st October 2007.
We have email communications from your client following the meeting with Morten Christensen in 2004 which are explicit in the agreement that DBP will be distributing the Nourkrin product range in the UK and Europe through the DBP Magazine, Essential Woman.
The fact that your client then decided to publish his own magazine in the UK and Ireland was by his own choice.
We are not aware of and have not seen any exclusive distribution agreement for the UK and Ireland as you claim in your letter of 1st October.
We are selling genuine Nourkrin products; we are not infringing any Copyright or Trademarks; in fact it is your client that is continually breaking the EU Competition rules by insisting that we increase our prices to come 'into line' with his RRP."
"13. In about June 2004 Mr. Murphy told Mr. Gook that IRL had the exclusive distribution rights for Nourkrin products in the UK and the Republic of Ireland. …"
(f) Just and convenient
(g) Duty of fair presentation
"It was an oversight on IRL's part that this letter and DBP's response dated 16 October 2007 were not included in my Affidavit (pages 46 – 47 of JHM 1) [it is unclear to what this is supposed to refer – pages 46 and 47 of exhibit JHM 1 are part of the accounts of IRL for the year ended 31 December 2008]. At the time of the without notice application, I had forgotten about these letters as it was my recollection that IRL had only instructed solicitors in England to write to DBP in relation to Cheryl Baker and her endorsement of Nourkrin, as set out at paragraph 36.8.4 above."
"The application [to McCombe J] was made without notice because of the need not to alert the Defendants to the application and not on the basis that the application was urgent: see Affidavit paragraph 208 and Skeleton paragraph 118. Nothing was said to the court on the without notice application to suggest that it was being made without notice due to any urgency."
(h) Variation of the amount of the Freezing Order
(i) The Search Order
"An Anton Piller order plainly carries the suggestion that a person is not to be trusted and is likely to destroy evidence. This is a very serious thing. People who owe the defendant money, or may enter into further obligations with him, are reluctant to carry on business with him in the ordinary way while this is hanging over him. Consequently, I discharge the Anton Piller order and I believe it to be fair to the defendant to express the view that if the true facts had been known the order should never have been made."
Striking out the Unlawful Means Claim
"31. As above, it is IRL's primary case that Mr. Christensen and, therefore, PMI, knew that DBP intended to re-sell the Nourkrin products purchased from PMI within the Territory. If, contrary to that primary case, Mr. Christensen and, therefore, PMI genuinely believed that DBP intended to re-sell the Nourkrin products in Italy and/or France, then it is averred that such belief was caused by Mr. Gook, acting on behalf of DBP, representing to Mr. Christensen that DBP was purchasing the Nourkrin products for resale in Italy and/or France.
32. Any such representation would have been made by Mr. Gook, on behalf of DBP, with knowledge that it was false and with the intention that it would be acted upon by PMI by its agreement to sell Nourkrin products to DBP.
33. In such premises, even if the sale by PMI to DBP of the said Nourkrin products did not constitute a breach of the terms of the Distribution Agreement by PMI, Mr. Gook intentionally caused loss to IRL by fraudulently inducing PMI to sell the Nourkrin products to DBP which Mr. Gook intended should be re-sold within the Territory contrary to IRL's rights under the Distribution Agreement. Mr. Gook's said intentions are to be attributed to DBP as its directing mind and will.
34. Further, Mr. Gook knowingly and deliberately caused and/or procured DBP to induce and/or procure PMI to sell the Nourkrin products to DBP as aforesaid. In the premises Mr. Gook is personally liable for the tort of DBP.
35. In the premises, IRL has suffered the same loss and damage by reason of Mr. Gook's and DBP's said actions as set out at paragraphs 27 – 30 above."
Whether the Conspiracy Claim should be struck out
"36. IRL repeats paragraphs 19 and 20 above [in which was pleaded the relevant evidence given in the trial of the Danish Proceedings which was contended to have been false].
37. The said false evidence was given by Messrs. Gook, Christensen and Mashru pursuant to an express or implicit agreement between them and with the intention that the Danish court would rely upon such false evidence in finding in favour of PMI, and against IRL, in the Danish proceedings.
38. The Danish court did rely upon the false evidence of each of Messrs. Gook, Christensen and Mashru in finding in favour of PMI, and against IRL, in the Danish proceedings. As a result of such finding, the Danish court gave judgment for PMI against IRL in the sum of €14,700,000 plus interest and costs and dismissed IRL's claim for damages against PMI in the sum of €11,000,000 ("the Danish Judgment"). The Danish Judgment is currently the subject of an appeal by IRL and its enforcement is currently stayed.
39. In the premises, IRL has suffered loss and damage as a result of the false evidence given by each of Messrs. Gook, Christensen and Mashru in the Danish proceedings pursuant to the conspiracy pleaded at paragraphs 36 – 38 above.
PARTICULARS OF LOSS AND DAMAGE
40. The best particulars which IRL is presently able to give of the loss and damage suffered by it as a result of the said conspiracy are as follows:
a. IRL is subject to a judgment in favour of PMI as aforesaid in the sum of €14,700,000 plus interest and costs;
b. IRL was denied judgment against PMI as aforesaid in the sum of €11,000,000;
c. PMI issued a press release on 20 May 2009 regarding the Danish Judgment which claimed that "Lifes2Good [a trading style of IRL] has disparaged Nourkrin, among others with false statements on the effectiveness of Nourkrin". A copy of the press release is annexed hereto at Annex 6. This press release was sent to L2G employees, IRL's bankers and shareholders, state development agencies and trade media outlets. By way of example:
i) Annexed hereto at Annex 7 are two emails from Mr. Gook to Ian Prager (IRL's UK media buyer) dated 22 May 2009 and 25 May 2009 in relation to the press release; and
ii) On receipt of the press release, one investor shareholder immediately suspended a second planned equity injection into IRL, which was aimed at funding IRL' s market developments in Europe and the US;
d. Credit insurers have been advised of the Danish Judgment and as a result IRL has been unable to get credit facilities with some continental suppliers; and
e. The Danish Judgment has caused IRL further damage to its business and to its reputation."
"The simple point that I have to decide is whether or not an action lies at the suit of the person who says that he has been damnified by false evidence given against him. In my opinion it is perfectly clear and beyond peradventure nowadays that such an action will not lie. The matter has been adumbrated and considered since the thirty-eighth and thirty-ninth year of the reign of Queen Elizabeth I. It was raised again in the eighteenth year of the reign of James I. It is true that in Part III, Chapter 74, p. 164 of Coke's Institutes, there is a passage by that most learned writer which gives rise to an argument that such an action would lie, but the two cases, Damport v. Sympson and Eyres v. Sedgewicke heard in the reigns of Queen Elizabeth I and James I decided that it would not. I do not propose to deal with those cases at any length because there is to be found modern authority to the effect that such an action will not lie, and nobody has been able to point to any case in the whole history of our law in which such an action has been entertained by the courts."
"A proceeding of this kind is an attempt to re-examine the merits of a judgment in a collateral suit between the same parties. Reasons of public policy and uniform authority forbid the attacking and impeachment of a judgment in this way. The plaintiff's only remedy is an equitable proceeding to set aside the judgment, or a petition for a new trial under the statute. An action by the defeated party cannot, for equally good reasons, be maintained against a witness or witnesses for giving false testimony in favour of his opponent. Public policy and the safe administration of justice require that witnesses, who are a necessary part of the judicial machinery, be privileged against any restraint, excepting that imposed by the penalty for perjury. Though not a party to the former suit and judgment, the merits of that judgment cannot be re-examined by a trial of the witness' testimony in a suit against him. The procedure, if permitted, would encourage and multiply vexatious suits, and lead to interminable litigation …"
"No action lies in respect of evidence given by witnesses in the course of judicial proceedings, however false and malicious it may be, any more than it lies against judges, advocates or parties in respect of words used by them in the course of such proceedings or against juries in respect of their verdicts."
"But it does not matter whether the action is framed as an action for defamation or as an action analogous to an action for malicious prosecution or for deceit or, as in this instance, for combining or conspiring together for the purpose of injuring another; the rule of law is that no action lies against witnesses in respect of evidence prepared ...Watson v. McEwan (3)), given, adduced or procured by them in the course of legal proceedings. The law protects witnesses and others, not for their benefit, but for a higher interest, namely, the advancement of public justice (Seaman v. Netherclift (4); Goffin v. Donnelly (5)). The remedy against a witness who has given or procured false evidence is by means of the criminal law or by the punitive process of contempt of court; See Watson v. McEwan(3)."
"94. From these and other authorities I derive a general assumption, too obvious to need discussion, that criminal conduct engaged in by conspirators as a means of inflicting harm on the claimant is actionable as the tort of conspiracy, whether or not that conduct, on the part of a single individual, would be actionable as some other tort. To hold otherwise would, as has often been pointed out, deprive the tort of conspiracy of any real content, since the conspirators would be joint tortfeasors in any event (and there are cases discussing the notion of conspiracy "merging" into some other tort, but I need not go into those: …
95. In my opinion your Lordships should clarify the law by holding that criminal conduct at common law or by statute) can constitute unlawful means, provided that it is indeed the means (what Lord Nicholls of Birkenhead in OBG Ltd. v. Allan [2008] 1 AC 1, para 159 called "instrumentality") of intentionally inflicting harm. …"
"116. In agreement with the reasoning of Lord Walker and Lord Neuberger, I consider that the history and jurisprudence relating to this type of conspiracy point clearly to the conclusion that at least some criminal acts [my emphasis], not amounting to torts, may suffice to ground the tort. ..
119. Caution is nonetheless necessary about the scope of the tort of conspiracy by unlawful means. Not every criminal act committed in order to injure can or should give rise to tortious liability to the person injured, even where the element of conspiracy is present. The pizza delivery business which obtains more custom, to the detriment of its competitors, because it instructs its drivers to ignore speed limits and jump red lights (Lord Walker in OBG Ltd. v. Allan [2008] 1 AC 1, para 266) should not be liable, even if the claim be put as a claim in conspiracy involving its drivers and directors. And – as in relation to the tort of causing loss by unlawful means inflicted on a third party – there is a legitimate objection to making liability "depend upon whether the defendant has done something which is wrongful for reasons which have nothing to do with the damage inflicted on the claimant": per Lord Hoffmann in OBG Ltd. v. Allan, at para 59."
"On the other hand, it appears that the law of tort takes a particularly censorious view where conspiracy is involved. Thus, a claim based on conspiracy to injure can be established even where no unlawful means, let alone any other actionable tort, is involved. That tort is therefore frequently described as anomalous; yet its existence is very well established. Its centrally important feature is that the conspiracy must have as its primary purpose injury to the claimant. In my judgment, given the existence of that tort, it would be anomalous if an unlawful means conspiracy could not found a cause of action where, as here, the means "merely" involved a crime, where the loss to the claimant was the obvious and inevitable, indeed in many ways the intended, result of the sole purpose of the conspiracy, and where the crime involved, cheating the revenue, has as its purpose the protection of the victim of the conspiracy. The difference between intending to make a profit at the claimant's expense and intending to cause injury to the claimant is pretty fine and, in economic terms, artificial: that point emerges most clearly from the discussion in Lord Hoffmann's opinion in OBG, at paras 130 – 134."
"For the reasons set out above, my conclusion is that Danish law does not recognise a rule or a principle similar to the rule of witness immunity in English law. There is no basis upon which such immunity could be alleged to arise in Danish law. It follows that, under Danish law, witnesses are not generally protected from civil action in respect of the evidence they have given before a court."
"On the basis of the evidence produced during the proceeding, there is no basis for assuming that the appellee and Engineer Jensen as expert witnesses did not perform the tests described in their report of March 6, 1949 and submitted on oath or for asserting that respondent had otherwise submitted a false report and false statements for use in court.
As a result, the lower court's decision is upheld."
"By complete authority, including the authority of this House, it has been decided that the privilege of a witness, the immunity from responsibility in an action when evidence has been given by him in a Court of justice, is too well established now to be shaken. Practically I may say that in my view it is absolutely unarguable – it is settled law and cannot be doubted."
"No single touchstone emerges from the cases; but this is not surprising for the rule of law is one which involves the balancing of conflicting public policies, one general: that the law should provide a remedy to the citizen whose good name and reputation is traduced by malicious falsehoods uttered by another; and the other particular: that witnesses before tribunals recognised by law should, in the words of the answer of the judges in Dawkins v. Lord Rokeby LR 7 HL 744, 753 "give their testimony free from any fear of being harassed by an action on an allegation, whether true or false, that they acted from malice".
So, to decide whether a tribunal acts in a manner similar to courts of justice and thus is of such a kind as will attract absolute, as distinct from qualified, privilege for witnesses when they give testimony before it, one must consider first, under what authority the tribunal acts, secondly the nature of the question into which it is its duty to inquire; thirdly the procedure adopted by it in carrying out the inquiry; and fourthly the legal consequences of the conclusion reached by the tribunal as a result of the inquiry.
To attract absolute privilege for the testimony of witnesses the tribunal, by whatever name it is described, must be "recognised by law", a phrase first used by the Court of Exchequer in Dawkins v. Lord Rokeby, LR 7 HL 255, 263. This is a sine qua non; the absolute privilege does not attach to purely domestic tribunals. Although the description "recognised by law" is not necessarily confined to tribunals constituted or recognised by Act of Parliament (see Lincoln v. Daniels [1962] 1 QB 237) it embraces all that are, and so includes the local inquiry in the instant case at which Mr. Mackie's evidence was given. This was held by the commissioner, Mr. Kissen Q.C., appointed for the purpose by the Secretary of State under section 63 and section 81(3) of the Education (Scotland) Act 1946."
"This procedure [that of the European Commission] is wholly dissimilar to that of any court or judicial tribunal operating under the common law system, but I do not think that that is the test. When in Trapp v. Mackie [1979] 1 WLR 377, 379, Lord Diplock referred to a tribunal acting "in a manner similar to courts of justice" and Lord Fraser of Tullybelton at p. 385G to tribunals having "similar attributes" to courts of justice, I think that they must have had a wider concept in mind which would embrace courts of justice operating both under common law and under civil law procedures."
"The first step that must be taken in order to identify the extent of the immunity is to examine the grounds of public policy which explain the basis for the immunity. In Silcott v. Comr. Of Police of the Metropolis (1996) 8 Admin LR 633, 637, Simon Brown LJ said:
"(2) The public policy purposes underlying the immunity are essentially twofold. First, per Fry LJ in Munster v. Lamb (1883) 11 QBD 588: ' to protect persons acting bona fide, who under a different rule would be liable, not perhaps to verdicts and judgments against them, but to the vexation of defending actions.' Second, as Lord Wilberforce said in Roy v. Prior [1971] AC 470, 480: 'to avoid multiplicity of actions in which the value or truth of their evidence would be tried over again …'"
The second of these two policy reasons relates only to the core immunity, as it is limited in its application to things said or done in court. Lord Wilberforce made this clear, in Roy v. Prior [1991] AC 470, 480, when he said that the immunity which he was considering was that of witnesses "in respect of evidence given in court" and when he referred to the fact that the trial process, in the subjection of witnesses to cross-examination and confrontation with other evidence, contains some safeguard against careless, malicious or untruthful evidence. The plaintiffs' allegations relate to things done outside the courtroom, so it is the first policy reason only which is relevant to this case. In the Court of Appeal Auld LJ said:
"The whole point of the first public policy reason for immunity is to encourage honest and well-meaning persons to assist justice even if dishonest and malicious persons may on occasion benefit from the immunity."
As Lord Hoffmann put it in Taylor v. Director of the Serious Fraud Office [1999] 2 AC 177, 208, the absolute immunity rule:
"is designed to encourage freedom of speech and communication in judicial proceedings by relieving persons who take part in the judicial process from the fear of being sued for something they say.""
Conclusions