BAILII is celebrating 24 years of free online access to the law! Would you consider making a contribution?
No donation is too small. If every visitor before 31 December gives just £1, it will have a significant impact on BAILII's ability to continue providing free access to the law.
Thank you very much for your support!
[Home] [Databases] [World Law] [Multidatabase Search] [Help] [Feedback] | ||
England and Wales High Court (Technology and Construction Court) Decisions |
||
You are here: BAILII >> Databases >> England and Wales High Court (Technology and Construction Court) Decisions >> Lewisham v MR Ltd [2003] EWHC 2114 (TCC) (31 July 2003) URL: http://www.bailii.org/ew/cases/EWHC/TCC/2003/2114.html Cite as: [2003] BLR 504, [2003] EWHC 2114 (TCC) |
[New search] [Printable RTF version] [Help]
QUEEN'S BENCH DIVISION
TECHNOLOGY AND CONSTRUCTION COURT
BEFORE MR. RECORDER STOREY QC
B e f o r e :
____________________
THE MAYOR AND BURGESSES OF THE | ||
LONDON BOROUGH OF LEWISHAM | Claimant | |
-and- | ||
MR LIMITED | Defendant |
____________________
James Howells (instructed by DLA) for the Defendant.
Hearing dates: 30 June, 1 July 2003.
____________________
Crown Copyright ©
The Applications
Background to Lewisham's claim
The cause of action which is not statute-barred
The cause of action which is alleged by MR to be statute-barred
"MR's ACTS AND/OR OMISSIONS44. MR breached the common law duty of care set out at paragraph 25 hereinabove in that it:
44.1 Failed to provide full and proper work and quality control procedures for its Registered Contractor on site and/or failed to provide adequate supervision and/or carry out adequate inspections of the making good of holes left by scaffolding ties:
44.1.1 MR failed to ensure that reasonable care was taken to blend the filled holes into the surrounding render so that the finished surface of the patch repair and the surrounding area would be smooth and even;
44.1.2 MR failed to check that the same batches of material were used for the patches and surrounding surface areas and/or that where material from different batches was used for the patches and surrounding surface areas such material had consistency of colour contrary to Paragraph 1.15 of the MR Revised Specification;
44.1.3 MR failed to ensure that the holes left by the scaffolding ties were patched immediately after the rendering of the surrounding surface areas and/or in the same temperature and weather conditions and/or using render mixes with the same volume of water additions and/or using the same gangs of applicators;
44.1.4 MR failed to ensure that the patch repairs were carried out so as to achieve a reasonable standard of finish that blended in with the surrounding rendered surfaces on the tower blocks.
44.2 [not used]
44.3 [not used]
44.4 Failed to exercise adequate product quality control by providing full and proper work and quality procedures for its Registered Contractor on site and/or failed to provide adequate supervision and/or carry out adequate inspections in order to avoid colour variations:
44.4.1 MR failed to check that the same batches of material were used for adjacent surface areas and/or that where material from different batches was used for adjacent surface areas such material had consistency of colour contrary to Paragraph 1.15 of the MR Revised Specification;
44.4.2 MR failed to ensure that the application of the Swisslab System was commenced from the top of the parapet down and completed in one continuous operation;
44.4.3 MR failed to ensure that, where breaks in the continuity of work were required, the Swisslab System was applied to adjacent surface areas in the same temperature and weather conditions and/or using render mixes with the same volume of water additions and/or using the same gangs of applicators;
44.4.4 MR failed to ensure that any colour variations were minimised.
44.5 Failed to ensure that the level of protection needed during the application of Swisslab or after its application was achieved by providing full and proper work and quality control procedures for its Registered Contractor on site and/or failed to provide adequate supervision and/or carry out adequate inspections to ensure that the necessary protective measures were undertaken:
44.5.1 MR failed to ensure that the application of the Swisslab System was carried out in suitable weather conditions as stipulated in Paragraph 1.12 of MR's Revised Specification;
44.5.2 MR failed to ensure that the application of the Swisslab System was carried out in suitable temperatures as stipulated in Paragraph 1.13 of MR's Revised Specification;
44.5.3 MR failed to ensure that the concrete to the parapets was completed and the concrete allowed to dry and shrink prior to commencement of the application of the Swisslab System;
44.5.4 MR failed to ensure that adequate protective sheeting was provided to avoid water penetration and/or exposure to drying winds during early curing of the render finish.
44.6 Failed to carry out its obligations as to quality assurance on site adequately or at all, and in particular:
44.6.1 Failed to ensure that all surfaces would be finished to the highest possible standards;
44.6.2 Failed to ensure that scaffold pole marks on the render were made good;
44.6.3 Failed to ensure that its Registered Contractor complied with its application procedures, and in particular those which related to the carrying out of the works in suitable weather conditions;
44.6.4 Failed to advise on and/or address consistently low levels of workmanship by its Registered Contractor;
44.6.5 Failed to ensure that its Registered Contractor's operatives had received appropriate levels of training from MR in the use and application of the company's products and systems.
44.7 Failed to supervise its Registered Contractor adequately or at all. The particulars under paragraph 44.6 above are repeated.
44.8 Failed to inspect the works carried out by the Registered Contractor adequately or at all. The particulars under paragraph 44.6 above are repeated."
The Issues
(1) What was the nature of the damage that MR owed a duty of care to avoid?(2) When did that "damage" occur: 8 November 1996 (Miss O'Farrell's contention) or August 1996 or prior (Mr. Howells' contention)?
(1) Nature of Damage to avoid
"…..though Hedley Byrne was concerned with the provision of information and advice, the example by Lord Devlin of the relationship between solicitor and client [[1964] AC 465 at 526 and 528-529], and his and Lord Morris's statements of principle [at 502-503], show that the principle extends beyond the provision of information and advice to include the performance of other services…..the concept provides its own explanation why there is no problem in cases of this kind about liability for pure economic loss; for if a person assumes responsibility to another in respect of certain services, there is no reason why he should not be liable in damages for that other in respect of economic loss which flows from the negligent performance of those services" [180-181].
"….in many cases in which a contractual chain comparable to that in the present case is constructed it may well prove to be inconsistent with an assumption of responsibility which has the effect of, so to speak, short-circuiting the contractual structure so put in place by the parties. It cannot therefore be inferred from the present case that other sub-agents will be held directly liable to the agent's principal in tort. Let me take the analogy of the common case of an ordinary building contract, under which main contractors contract with the building owner for the construction of the relevant building, and the main contractor sub-contracts with sub-contractors or suppliers (often nominated by the building owner) for the performance of work or the supply of materials in accordance with standards and subject to terms established in the sub-contract…..if the sub-contracted work or materials do not in the result conform to the required standard, it will not ordinarily be open to the building owner to sue the sub-contractor or supplier direct under the Hedley Byrne principle, claiming damages from him on the basis that he has been negligent in relation to the performance of his functions. For there is generally no assumption of responsibility by the sub-contractor or supplier direct to the building owner, the parties having so structured their relationship that it is inconsistent with any such assumption of responsibility" [195-196].
I believe that what Lord Goff had in mind at 180-181 were 'professional' services performed (maybe without consideration) for a 'client'.
(2) When did damage occur?
"Lord Keith [in Murphy] went on, at pp. 467-468, to quote with approval a lengthy passage from the judgment of Deane J. in Sutherland Shire Council v Heyman, 157 C.L.R. 424, 503-505 "…the respondents' claim…is for the loss or damage represented by the actual inadequacy of the foundations, that is to say, it is for the cost of remedying a structural defect in their property which already existed at the time when they acquired it. …It is arguable that any such loss or injury should be seen as being sustained at the time of acquisition when, because of ignorance of the inadequacy of the foundations, a higher price is paid (or a higher rent is agreed to be paid) than is warranted by the intrinsic worth of the freehold or leasehold estate that is being acquired. Militating against that approach is the consideration that, for so long as the inadequacy of the foundations is neither known nor manifest, no identifiable loss has come home: if the purchaser or tenant sells the freehold or leasehold estate within that time, he or she will sustain no loss by reason of the inadequacy of the foundations."" [per Lord Lloyd of Berwick at 647-648].
The fact that English law has not followed New Zealand law has been confirmed by Dyson J. in New Islington and Hackney Housing Association Limited v Pollard Thomas and Edwards Limited [2001] BLR 74, TCC (paragraph 39). In my view, a sale before the discovery of defects and before an actual fall in market value does not illustrate a lack of a cause of action (because there is no loss) but a mitigation – albeit an ignorant one – of the vendor's loss. I conclude that Invercargill is of no assistance here.
"A purchaser buys a house which has been negligently overvalued or which is subject to a local land charge not noticed by the purchaser's solicitor. Had he known the true position the purchaser would not have bought. In such a case the purchaser's cause of action in tort accrues when he completes the purchase. He suffers actual damage by parting with his money and receiving in exchange property worth less than the price he paid" [per Lord Nicholls of Birkenhead at 1630].
However, as Lord Hoffmann observed at 1638-1639:
"In order to decide when the cause of action arose, it is first necessary to recall, by reference to your Lordships' earlier judgment, precisely what the cause of action was. It was for breach of the duty of care owed by the valuer to the lender, which existed concurrently in contract and in tort. Your Lordships identified the duty as being in respect of any loss which the lender might suffer by reason of the security which had been valued being worth less than the sum which the valuer had advised. The principle approved by the House was that the valuer owes no duty of care to the lender in respect of his entering into the transaction as such and that it is therefore insufficient, for the purpose of establishing liability on the part of the valuer, to prove that the lender is worse off than he would have been if he had not lent the money at all. What he must show is that he is worse off as a lender than he would have been if the security had been worth what the valuer said. It is of course also the case that the lender cannot recover if he is, on balance, in a better or no worse position than if he had not entered into the transaction at all. He will have suffered no loss. The valuer does not warrant the accuracy of his valuation and the lender cannot therefore complain that he would have made more profit if the valuation had been correct. But in order to establish a cause of action in negligence he must show that his loss is attributable to the overvaluation, that is, that he is worse off than he would have been if it had been correct. It is important to emphasise that this is a consequence of the limited way in which the House defined the valuer's duty of care and has nothing to do with questions of causation or any limit or "cap" imposed upon damages which would otherwise be recoverable…It follows that in the present case…loss will be suffered when the lender can show that he is worse off than he would have been if the security had been worth the sum advised by the valuer. The comparison is between the lender's actual position and what it would have been if the valuation had been correct. There may be cases in which it is possible to demonstrate that such loss is suffered immediately upon the loan being made. The lender may be able to show that the rights which he has acquired as lender are worth less in the open market than they would have been if the security had not been overvalued. But I think that this would be difficult to prove in a case in which the lender's personal covenant still appears good and interest payments are being duly made. On the other hand, loss will easily be demonstrable if the borrower has defaulted, so that the lender's recovery has become dependent upon the realisation of his security and that security is inadequate. On the other hand, I do not accept Mr. Berry's submission that no loss can be shown until the security has actually been realised. Relevant loss is suffered when the lender is financially worse off by reason of a breach of the duty of care than he would otherwise have been."
ou
Conclusion