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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 >> Hutson v Tata Steel UK Ltd [2019] EWHC 1608 (QB) (26 June 2019) URL: http://www.bailii.org/ew/cases/EWHC/QB/2019/1608.html Cite as: [2019] EWHC 1608 (QB) |
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QUEEN'S BENCH DIVISION
The Court Buildings, St Albans, AL1 3JW |
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B e f o r e :
____________________
The Personal Representatives of the Estate of Maurice Hutson, Deceased |
Claimants |
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- and - |
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TATA Steel UK Limited (formally Corus UK Limited, Successors in the Title and Holders of the Liabilities of British Steel Corporation and Predecessor Companies) |
Defendant |
____________________
(instructed by Hugh James and Irwin Mitchell) for the Claimant
Mr David Platt QC and Mr Peter Houghton (instructed by BLM) for the Defendant
Hearing dates: 10 April 2019
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Crown Copyright ©
THE HON MR JUSTICE TURNER :
INTRODUCTION
LIMITATION
"42. Section 33(3) of the LA 1980 requires the court, when exercising its discretion under section 33(1), to have regard to all the circumstances of the case but also directs the court to have regard to the five matters specified in subsections 33(3)(a)–(f). There are numerous reported cases in which the court has elaborated on the application of that statutory direction in the context of the particular facts of the case. In many of the cases the court has stated various principles of general application. The general principles may be summarised as follows.
1. Section 33 is not confined to a "residual class of cases". It is unfettered and requires the judge to look at the matter broadly: Donovan v Gwentoys Ltd [1990] 1 WLR 472, 477E; Horton v Sadler [2007] 1 AC 307, para 9 (approving the Court of Appeal judgments in Finch v Francis (unreported) 21 July 1977); A v Hoare [2008] AC 844, paras 45, 49, 68 and 84; Sayers v Lord Chelwood [2013] 1 WLR 1695, para 55.
2. The matters specified in section 33(3) are not intended to place a fetter on the discretion given by section 33(1) , as is made plain by the opening words "the court shall have regard to all the circumstances of the case", but to focus the attention of the court on matters which past experience has shown are likely to call for evaluation in the exercise of the discretion and must be taken into a consideration by the judge: Donovan's case, pp 477H–478A.
3. The essence of the proper exercise of the judicial discretion under section 33 is that the test is a balance of prejudice and the burden is on the claimant to show that his or her prejudice would outweigh that to the defendant: Donovan's case, p 477E; Adams v Bracknell Forest Borough Council [2005] 1 AC 76 , para 55, approving observations in Robinson v St Helens Metropolitan Borough Council [2003] PIQR P9, paras 32 and 33; McGhie v British Telecommunications plc [2005] EWCA Civ 48 at [45]. Refusing to exercise the discretion in favour of a claimant who brings the claim outside the primary limitation period will necessarily prejudice the claimant, who thereby loses the chance of establishing the claim.
4. The burden on the claimant under section 33 is not necessarily a heavy one. How heavy or easy it is for the claimant to discharge the burden will depend on the facts of the particular case: Sayers's case, para 55.
5. Furthermore, while the ultimate burden is on a claimant to show that it would be inequitable to disapply the statute, the evidential burden of showing that the evidence adduced, or likely to be adduced, by the defendant is, or is likely to be, less cogent because of the delay is on the defendant: Burgin v Sheffield City Council [2005] EWCA Civ 482 at [23]. If relevant or potentially relevant documentation has been destroyed or lost by the defendant irresponsibly, that is a factor which may weigh against the defendant: Hammond v West Lancashire Health Authority [1998] Lloyd's Rep Med 146.
6. The prospects of a fair trial are important: A v Hoare, para 60. The Limitation Acts are designed to protect defendants from the injustice of having to fight stale claims, especially when any witnesses the defendant might have been able to rely on are not available or have no recollection and there are no documents to assist the court in deciding what was done or not done and why: Donovan's case, p 479A; Robinson's case, para 32; and Adams's case, para 55. It is, therefore, particularly relevant whether, and to what extent, the defendant's ability to defend the claim has been prejudiced by the lapse of time because of the absence of relevant witnesses and documents: Robinson's case, para 33; Adams's case, para 55; and A v Hoare, para 50.
7. Subject to considerations of proportionality (as outlined in para 11 below), the defendant only deserves to have the obligation to pay due damages removed if the passage of time has significantly diminished the opportunity to defend the claim on liability or amount: Cain v Francis [2009] QB 754, para 69.
8. It is the period after the expiry of the limitation period which is referred to in sub-subsections 33(3)(a) and (b) and carries particular weight: Donovan's case, p 478G. The court may also, however, have regard to the period of delay from the time at which section 14(2) was satisfied until the claim was first notified: Donovan's case, pp 478H and 479H–480C; Cain's case, para 74. The disappearance of evidence and the loss of cogency of evidence even before the limitation clock starts to tick is also relevant, although to a lesser degree: Collins v Secretary of State for Business Innovation and Skills [2014] PIQR P19, para 65.
9. The reason for delay is relevant and may affect the balancing exercise. If it has arisen for an excusable reason, it may be fair and just that the action should proceed despite some unfairness to the defendant due to the delay. If, on the other hand, the reasons for the delay or its length are not good ones, that may tip the balance in the other direction: Cain's case, para 73. I consider that the latter may be better expressed by saying that, if there are no good reasons for the delay or its length, there is nothing to qualify or temper the prejudice which has been caused to the defendant by the effect of the delay on the defendant's ability to defend the claim.
10. Delay caused by the conduct of the claimant's advisers rather than by the claimant may be excusable in this context: Corbin v Penfold Metallising Co Ltd [2000] Lloyd's Rep Med 247.
11. In the context of reasons for delay, it is relevant to consider under subsection 33(3)(a) whether knowledge or information was reasonably suppressed by the claimant which, if not suppressed, would have led to the proceedings being issued earlier, even though the explanation is irrelevant for meeting the objective standard or test in section 14(2) and (3) and so insufficient to prevent the commencement of the limitation period: A v Hoare, paras 44–45 and 70.
12. Proportionality is material to the exercise of the discretion: Robinson's case, paras 32 and 33; Adams's case, paras 54–55. In that context, it may be relevant that the claim has only a thin prospect of success ... McGhie's case, para 48), that the claim is modest in financial terms so as to give rise to disproportionate legal costs (Robinson's case, para 33; Adams's case, para 55); McGhie's case, para 48), that the claimant would have a clear case against his or her solicitors ( Donovan's case, p 479F), and, in a personal injury case, the extent and degree of damage to the claimant's health, enjoyment of life and employability ( Robinson's case, para 33; Adams's case, para 55).
13. An appeal court will only interfere with the exercise of the judge's discretion under section 33 , as in other cases of judicial discretion, where the judge has made an error of principle, such as taking into account irrelevant matters or failing to take into account relevant matters, or has made a decision which is wrong, that is to say the judge has exceeded the generous ambit within which a reasonable disagreement is possible: KR v Bryn Alyn Community (Holdings) Ltd [2003] QB 1441, para 69; Burgin's case, para 16."
PRELIMINARY ISSUES
"The court's general powers of management
3.1(2) Except where these Rules provide otherwise, the court may –
(i) direct a separate trial of any issue;
(j) decide the order in which issues are to be tried;…"
CASE LAW
"Wherever the judge considers it feasible to do so, he should decide the limitation point by a preliminary hearing by reference to the pleadings and written witness statements and, importantly, the extent and content of discovery."
KR v Bryn Alyn Community (Holdings) Ltd [2003] 3 WLR 107
"While they have their value, it is notorious that preliminary issues often turn out to be misconceived, in that, while they are intended to short-circuit the proceedings, they actually increase the time and cost of resolving the underlying dispute."
Bond v Dunster Properties Limited [2011] EWCA Civ 455
THE STRENGTH AND SCOPE OF THE LIMITATION DEFENCE
(i) Many of the various sites at which the relevant employees worked have long since closed down;
(ii) Many of these employees are dead and, in some cases, there are no surviving relevant employees from premises which have since closed;
(iii) In a number of cases involving posthumous claims, the medical and work records are depleted or missing.
COSTS
(i) About half of the claims are not intended to be the subject of a limitation challenge. It must follow that the determination of lead cases confined solely to the limitation issue would provide no useful guidance whatsoever as to the proper resolution of such unaffected cases.
(ii) Only those lead cases, if any, in respect of which the limitation issue is decided in favour of the defendants would be concluded once and for all. Any that survive could well continue to be resisted on the remaining substantive grounds of defence including, for example, matters relating to diagnosis and causation.
(iii) Any adjudication on the limitation issue in the lead cases will not, in any event, be legally determinative of the result in any of the other cases which the defendant claims to be statute barred. The issues adjudicated upon are unlikely to involve the resolution of any disputed questions of law or documentary construction. Indeed, the proper approach to be taken to applications to disapply the three year limitation period is set out in recent detail in Carroll, from which I have already quoted at length, and is unlikely to be significantly revised by any further useful elaboration in the context of the present claims.
(iv) There is also a limit to the assistance which the exercise of the discretion in lead cases would provide in informing the parties as to the strength of the limitation issues arising in other cases. These claims involve over 20 different coke works with varying levels of consistency and availability of documentary records and a very considerable number of claimants the personal circumstances of whom are likely to vary significantly each from the other.
DELAY
FAIRNESS TO THE DEFENDANT
(i) To maximise the extent of the evidential prejudice it has suffered in order to win on the limitation issue; or
(ii) To minimise the extent of the evidential prejudice it has suffered in order to win on the substantive defence.
"…may well conclude that it is desirable that such oral evidence as is available should be heard because the strength of the claimant's evidence seems to us to be relevant to the way in which the discretion should be exercised. We entirely agree with the point made at vii) that, where a judge determines the section 33 application along with the substantive issues in the case he or she should take care not to determine the substantive issues, including liability, causation and quantum before determining the issue of limitation and, in particular, the effect of delay on the cogency of the evidence. To do otherwise would, as the court said, be to put the cart before the horse.
22. That is however simply to emphasise the order in which the judge should determine the issues. When he or she is considering the cogency of the claimant's case, the oral evidence may be extremely valuable because it may throw light both on the prejudice suffered by the defendant and on the extent to which the claimant was reasonably inhibited in commencing proceedings…"
PROPORTIONALITY
"The defendant raises the additional argument that the potential value of Mrs Nicholls' claim is disproportionately low when compared to the costs involved in litigating it. I am not impressed by this contention. As the claimants rightly point out, the Court, when deciding whether to make a GLO, had to consider the issue of proportionality. A key purpose of a GLO, as recognised by the Final Access to Justice Report (July 1996), quoted in the White Book at 19.10.0 (p.657) is to "provide access to justice where large numbers of people have been affected by another's conduct, but individual loss is so small that it makes an individual action economically unviable.""
DISCLOSURE
CONCLUSION