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] | ||
High Court of Ireland Decisions |
||
You are here: BAILII >> Databases >> High Court of Ireland Decisions >> Gorman v. Minister for the Environment and Local Government [2001] IEHC 47; [2001] 2 IR 414 (23rd March, 2001) URL: http://www.bailii.org/ie/cases/IEHC/2001/47.html Cite as: [2001] 2 IR 414, [2001] IEHC 47 |
[New search] [Help]
1. This
case is the latest piece of litigation relating to the intractable problems
concerning the licensing of taxis. I need not review the history of the
problem which is documented in a multiplicity of reports but can take as my
starting point the enactment of statutory instrument number three of 2000
entitled the Road Traffic (Public Service Vehicles) Regulations.
2. This
sought to address in a meaningful way the intolerable shortage of taxis on the
streets of the City of Dublin. It at the same time sought to give taxi drivers
who had paid typically sums of £80,000.00 a soft landing in relation to
the loss of their of investment which total or substantial deregulation of the
issuing of taxi licences would bring about. The mechanism to be adopted was to
grant an extra licence to each existing taxi licence holder. It was also
proposed to grant wheelchair accessible licences to suitable Applicants giving
priority to the holders of public service vehicle driving licences who drive
taxis but do not own them, such persons being known in the trade as cosies.
This scheme would have got additional taxis in large numbers immediately onto
the streets of Dublin while providing a mechanism for protecting existing taxi
licence holders against the total capital loss which immediate and total
deregulation would bring about.
3. The
taxi driver leadership grudgingly accepted this regime. It was quite an
achievement that they were brought to this position as I am satisfied that
while they have come to accept that there must be more taxis on the streets
they have always continued to want deregulation or liberalisation to be so
gradual that there would be taxi queues on the streets of Dublin for at least a
decade to come; although perhaps in declining numbers year by year. They do
not for obvious reasons couch their argument in these terms but this is the
logic of the position they take in relation to liberalisation being gradual.
Taxi queues or shortages are necessary to preserve the values of
£80,000.00 and upwards which have been paid for licences in recent years.
If demand for taxi services equalled supply there would be no reason for
premium prices being paid for licences in a secondary market.
4. The
scheme designed in SI number three of 2000 could well have solved or
substantially improved the problem in Dublin if it had had a chance to operate.
The regulation was however challenged by the taxi drivers’ traditional
adversary, namely the hackney interests in
Humphrey
and others v The Minister for the Environment and Local Government and others
Judgment delivered by Roderick Murphy J the 13th day of October, 2000,
(hereinafter referred to as the Humphrey case). By that Judgment Murphy J
found SI number three of 2000
ultra
vires
the powers of the Minister of State at the Department of the Environment and
Local Government (hereinafter referred to as the Minister of State) and to be
of no force and effect. Two of the applicants in the instant proceedings Mr.
Gorman and the Union had had themselves joined as respondents in the Humphrey
case. The decision of Murphy J was appealed to the Supreme Court by these
parties and accepted by the other Respondents and not appealed by them.
5. Shortly
after the delivery of the Humphrey Judgment the Minister of State replaced the
quashed SI number three of 2000 with SI number 367 of 2000. This repealed SI
number three of 2000 notwithstanding that it had already been quashed by the
High Court and provided for taxi licences being issued without limit as to
their number at modest fees compared with the prices prevailing for licences in
the secondary market. While retaining qualitative standards it abolished
quantitative restrictions on the issue of taxi licences. This regulation is
national in its effect; the one it succeeded and repealed having been local to
Dublin.
6. The
present Applicants sought leave from Kelly J to bring Judicial Review
proceedings against the Respondents. They seek by way of Judicial Review to
quash S.I. Number 367 of 2000 as being
ultra
vires
the second named Respondent. The application was made ex parte late on Tuesday
28th of November, 2000. Kelly J decided that the Respondents should be heard
before any primary order was made and an inter partes hearing took place over a
number of days. Notwithstanding the inter partes hearing Kelly J for the
reasons set out in his judgment ruled that the Applicants need only satisfy the
low standard of proof identified by the Supreme Court in
G
v D.P.P
[1994] IR 374
.
Giving Judgment on the application for leave Kelly J said:-
7. The
substantive application came on for hearing before me on Tuesday the 19th of
December, 2000, and was at hearing for ten days. There had been in Dublin a
lengthy complete withdrawal of taxi services. The giving of leave by Kelly J
had led to the taxi interests voting to suspend their strike and in these
circumstances although not asked to do so I exercised my discretion to waive
all restraints as to relevance or admissibility in evidence and argument. At
this stage, however, I must return to the very narrow confines of what this
Court can do by way of Judicial Review. I am not concerned with choosing
between the arguments of economists. I am not concerned with choosing which
might the be best or even the most fair solution to an intractable problem. I
am most specifically not concerned with the politics of the situation. In the
context of this case I am concerned with whether the Minister of State has
acted within his statutory powers and if so has he notwithstanding operated in
an unconstitutional, unreasonable or irrational manner and has he breached any
legitimate expectation the Applicants might have.
8.
The Applicants in the first instance rely on what they term their Sinn Fein
Funds argument. They submit that the actions of the Minister of State in
revoking SI number three of 2000 constitute an unwarranted interference in the
judicial domain by reason of the appeal pending before the Supreme Court in the
Humphrey Case. The argument is to the effect that by repealing SI number three
of 2000 the Minister of State has rendered any argument in the Supreme Court
moot and has effectively predetermined the outcome of the appeal. They say the
issue is now a forgone conclusion and that the Supreme Court will inevitably
rule that having regard to the repeal of SI three of 2000 the issue is now a
moot and there is nothing for it to determine.
9. The
Applicants rely on
Buckley
v The Attorney General
[1950] IR 67
better known as the
Sinn
Fein Funds case
.
In 1924 the honorary treasurers of the Sinn Fein organisation as trustees had
in their hands a sum of money representing the central fund of that
organisation. The Trustees were unable to determine who was entitled to the
fund and lodged it in the High Court under the Trustee Act 1893. Proceedings
were brought claiming a declaration as to the ownership of the funds and while
the action was pending the Sinn Fein Funds Act 1947 was passed by the
Oireachtas. By Section 10 it was provided that all further proceedings in the
action should be stayed and that the High Court if an application were made ex
parte on behalf of the Attorney General should dismiss the action and should
dispose of the funds in the manner directed by the statute. On the Attorney
General’s application ex parte to the High Court Gavan Duffy P. refused
the application on the ground that the Court could not comply with the
provisions of the Act without abdicating its proper jurisdiction in a cause of
which it was duly seized.
10. On
appeal to the Supreme Court it was held that in as much as the provisions of
the Sinn Fein Funds Act 1947 were repugnant to the declaration contained in
Article 43 of the Constitution as to the rights of private property they were
ultra
vires
the powers of the Oireachtas. It was held further that Section 10 of the Act
of 1947 was repugnant to the constitution as being an unwarrantable
interference by the Oireachtas with the operations of the Courts in a purely
judicial domain. Concluding the single judgment of the Supreme Court
O’Byrne J said:-
12. The
right to the appeal under consideration flows directly from the Constitution
itself. Article 34.4.3 of the Constitution provides that the Supreme Court
shall, with such exceptions and subject to such regulations as may be
prescribed by law, have appellate jurisdiction from all decisions of the High
Court, and shall also have appellate jurisdiction from such decisions of other
Courts as may be prescribed by law. No exception or regulation has been
prescribed by law which is material to the instant case.
13. In
my view one has only to look at the notice of appeal in the Humphrey case to
find that the Sinn Fein Funds case test has not been met. The grounds relied
upon in the said notice of appeal are the following:-
14. It
is clear from this that notwithstanding the repeal of SI number three of 2000
there is a great deal left for the Supreme Court to debate and rule upon. In
no sense can it be said that the effect of the said repeal is to require the
Supreme Court to dismiss the Applicants appeal without any hearing and without
forming any opinion as to the rights of the respective parties to the dispute.
15. This
does not however seem to me to be the end of this aspect of the case. SI
number three of 2000 was quashed by Murphy J and that rendered it wholly null
and void and of no effect. This would in the ordinary way remain the position
until any reversal of the Learned Trial Judge took place in the Supreme Court
if it ever did. There was no immediate purpose served by the Minister of State
purporting to repeal it. A judicial quashing is not inferior to a Ministerial
repeal. If the applicants are to succeed in ground number eleven in their
grounds of appeal in the Humphrey case the normal consequence would be that SI
number three of 2000 would revive by operation of law. The Ministerial repeal
prevents that and in these circumstances I find it to be an unwarrantable
interference arising in the unique circumstances of this case in the applicants
appeal. Severability of legislation is dealt with in
Maher -v- Attorney General
[1973]
I.R. 140
.
At page 147 Fitzgerald C.J. said:-.
16. I
find regulation SI number 367 of 2000 to be severable and quash Section 3 (1)
(a) thereof as
ultra
vires
the powers of the Minister of State on the grounds that it represents a
gratuitous and unwarranted interference in the applicants appeal in the
Humphrey case. The balance of the statutory instrument remains in full force
and effect. S.I. Number 3 of 2000, while no longer repealed by the Minister of
State, remains quashed by the Order of Murphy J.
17. While
I have described the said repeal as an unwarranted interference with the
Applicants appeal I accept that it was an innocent and not a malevolent one.
The Minister of State was concerned that if the appeal succeeded there would be
two regimes in place side by side and his repeal of SI three of 2000 was to
guard against that situation. If that scenario arises the Minister of State
may effect the repeal at that stage. It is argued that in the event of a
successful appeal he will effect the repeal in any event. To that argument I
say that we do not know when the appeal will be finally determined and there
might then be a different taxi policy in operation and a different Minister.
The Applicants are entitled to have their chance of restoring the instrument
that they are seeking to defend without being ambushed at this stage in their
pursuit of an appeal provided for directly in Article 34 of the Constitution.
18. S.I.
number 367 of 2000 is next challenged on the basis that the State in
introducing the same into law without compensation has mounted an unjust attack
on the Applicants constitutionally protected rights in their taxi plates.
Recent entrants into the taxi business have had to pay sums of typically
£80,000.00 to purchase their taxi plates. This payment is made by an
aspirant to enter the business to someone typically retiring from it for the
purchase of the plate in which the law permits transferability. It is a matter
of frustration and anger to the Applicants and their members that:-
19. The
taxi plate is not accepted as collateral by the financial institutions and
purchasers of same in recent years have had to use redundancy money or raise
second mortgages on their own or relatives houses. In the case of some
deceased members of the taxi trade income from the letting of plates to cosies
was being used as a pension provision for widows.
23. The
test as to whether constitutionally protected property rights have been the
subject of an “unjust attack” was recently considered by Keane C.J.
in
Re
Article 26 of the Constitution and Part V of the Planning and Development Bill,
1999
.
Unreported, Supreme Court 28th August, 2000. In that case the Supreme Court
was asked to pronounce on the constitutionality of part V of the Planning Bill,
1999, which allowed for a scheme of compensation providing an amount in
compensation less than full market value to landowners.
25. The
Chief Justice then discussed the issue of compensation, observing at page 59 of
the judgment:
26. However,
the Chief Justice also went on hold, that there is no right to full
compensation
in all circumstances. Legitimate objectives of “
public
interest
”
may call for less than reimbursement of the full market value.
27. It
is necessary first of all to examine the kind of property rights protected by
these two Articles. It must be established there is a property right in a
licence which is capable of being recognised at law.
29. Thus,
it is clear that it is possible to have property rights in a licence which
attract constitutional protection. However, the extent of the right has been
the subject of judicial consideration.
30. The
nature of the property right enjoyed by the applicants in their licence was
specifically addressed by Costello J. in
Hempenstall
v. Minister for the Environment
1994 2IR 20
.
The facts of that case merit recitation in some detail in that they provide a
ready analogy to the instant case.
31. The
Applicants were also holders of taxi licences who claimed that certain
regulations made by the Minister for the Environment under the Road Traffic
Act, 1961 had had the effect of reducing the value of their taxi licences and
that this constituted an unjust attack on their property rights. In the course
of a review of the operation of taxi and hackney cab licences, the Minister
made regulations in 1991 which placed a temporary moratorium on the issuing of
hackney cab licences. After a further review the Minister lifted the moratorium
by means of the Road Traffic (Public Service Vehicles) (Amendment) Regulations
1992 and it was these regulations which formed the subject matter of the
judicial review in the case and which it was claimed constituted an unjust
attack on the applicants’ property rights. It was claimed that the effect
of the lifting of the moratorium on the issuing of the new hackney cab licences
would be to severely reduce the value of their taxi licences.
32. Costello
J. in rejecting the applicant’s arguments, primarily on the ground that
no diminution in the value of their licences had actually occurred, made
observations on the nature of the property right enjoyed by the applicants. He
states at page 28 of his judgment that:
33. Thus
the property right invoked by the Applicants in this case is one which,
although recognised as a valuable property right, is also a right which is
subject to an important qualification in that the licence is at all times
subject to the conditions created by law. As Costello J. makes clear this is
“
an
inherent part of the property right in a licence
”
34. He
examined more fully the issue of whether a change in the law can be said to
have been an “
unjust
attack
”:-
35. The
Applicants submit that SI 367/2000 also constituted an unjust attack on their
contractual right in that it is alleged SI 3/2000 created a contractual right
to a new licence.
36. This
argument, insofar as it relies upon the terms of the instrument, is
misconceived. The terms of article 9 of SI 3/2000 are unambiguous:
37. The
wording used in the statutory instrument clearly indicates that the only rights
which accrued to the Applicants, upon application to the Corporation, were
rights to receive an
offer
from
the Corporation of a grant of the licence, not an immediate grant of a licence.
Thus, no binding contract existed between the parties.
38. It
remains to examine the property rights which the Applicants claim to enjoy in
their licence pursuant to
statute.
39. The
Applicants seek to rely on cases such as
Dreher
v. Irish Land Commission
1984 ILRM 94,
ESB
v. Gormley
1985 IR 129,
Blake
v. Attorney General
1982 IR 117
and
Re
Article 26 and the Employment Equality Bill 1996, 1997 2 IR 321
in
order to establish that the exigencies of the common good in this case, as
envisaged by Article 43, are not such as to justify the measures taken by the
Minister of State in SI 367 which have been introduced without any provision
for compensation.
40. However,
insofar as these cases do not concern property rights vested in an individual
by virtue of a licence granted by law, they would appear to be irrelevant . The
nature and extent of the property rights enjoyed by the Applicants in this case
were described thus by Costello J. in
Hempenstall:
41. The
decision of Costello J. in
Hempenstall,
far
from having no relevance to the factual scenario which presents itself in this
case, clearly defines the scope of the property rights enjoyed by a holder of a
taxi licence. In addition, it would appear to be on all fours with the facts of
the instant case. The Applicants in
Hempenstall
also
claimed that they had been subject to an unjust attack on their property rights
as a result of a change in the law. The temporary nature of the moratorium
does not seem to have been in any way central to Costello J. ‘s decision
in this case.
42. The
Applicants in this case accepted a similar restriction on the excerise of their
property rights
ab
initio.
They
must have been aware of the risk inherent in the licence that legislative
change might affect its value. Dramatic legislative changes had been introduced
by means of Regulations in 1978 and 1995 and the Applicants were under no
misapprehension
that changes in the licensing scheme effected by means of Regulation could have
a considerable impact on the value of their investment. Indeed, such conditions
must be necessarily implied if the Minister of State is not to be unduly
hampered in excerising his powers under statute in the public interest.
43. The
Applicants in the instant case, as well as the applicants in
Hempenstall
,
have in the past reaped the benefits of legislative change. It is not open to
them to complain about such changes in the law having a detrimental effect on
the value of their licences. It follows therefore that the actions of the
Respondents in introducing a scheme of deregulation by means of SI 367 cannot
constitute an unjust attack as this restriction is inherent in the very nature
of a licence. As Costello J. stated in
Hempenstall:
44. It
remains to be examined whether the absence of any scheme of compensation,
introduced in tandem with the scheme of deregulation, could be said to render
the same unconstitutional.
45. The
Chief Justice commented in
Re
Article 26 and Part V of the Planning and Development Bill
that
there was a general right to compensation.
47. SI
367 of 2000 is challenged as being
ultra
vires
and void for irrationality and flying in the face of reason and common sense.
The Court in this case has exceptional material available to it for the purpose
of considering this argument. The Regulation when enacted was the subject of a
comprehensive statement by the Minister of State to Dail Eireann on the 21st of
November, 2000. No issue was taken in these proceedings with the bona fides of
the Minister’s reasons. In his statement the Minister said:-
48. I
am unable to find in the foregoing that the Minister of State acted in an
irrational manner or one which flies in the face of reason or common sense.
49. The
courts when engaged in a judicial review proceeding examine the manner in which
a decision is made rather than the substantive merits of the decision itself.
It is only when the decision is manifestly unreasonable or irrational that they
will seek to overturn it.
50. In
terms of Irish law,
The
State (Keegan)-v-Stardust Victims’ Compensation
Tribunal
[1986] IR 642 marks the introduction of the concept of unreasonableness.
Reliance was placed on the following passage of Lord Greene M.R. In
Associated
Provincial Picture
Houses
Limited-v-Wednesbury Corporation
[1948] 1 KB 223:-
52. Finlay
CJ’s Judgment in
O’Keeffe-v-An
Bord Pleanala
[1993] I.R. 39 builds upon the principles outlined by Henchy J. In
Keegan.
It found that the Court could intervene to quash the decision of an
administrative officer or tribunal on grounds of unreasonableness or
irrationality in three sets of circumstances: (1) Where the decision was
fundamentally at variance with reason and common sense, (2) Where it was
indefensible for being in the teeth of plain reason and common sense; (3) Where
the court was satisfied that the decision-maker had breached his obligation not
to reject flagrantly or disregard fundamental reason or common sense in
reaching his decision.
53. On
the other hand, he also looked at those circumstances under which the court
cannot intervene.
54. Counsel
for the Applicant cited the following passage enunciated by Lord Greene M.R. in
Wednesbury:
55. A
further passage from
Wednesbury
is also instructive when it comes to considering how a public body should seek
to exercise discretionary powers
56. The
Applicants in the present case have drawn the Court’s attention to the
fact that the departmental studies over the years have shown that deregulation
of numbers is not an appropriate means of controlling and operating public
service vehicles. It is fair to infer that these studies were taken on board
by the Minister while adopting and maintaining the regulatory framework that
existed over the years. However, when exercising a statutory discretion a
public body is bound to consider circumstances as they exist at the time in
which the decision is being made. As Barr J. said in
Egan-v-Minister
for Defence
(Unreported, High Court, 24 November, 1988):
57. A
public body is entitled to change its position where new factors or objective
alterations in circumstances will justify it in doing so doing and this remains
true even though the private citizen had a legitimate expectation that the
public body would adhere to the previous practice. The increased demand for
public service transport was the “
special
circumstance
”
entitling the Minister of State to reach his decision to change his previous
policy. It is not within the Court’s remit to suggest alternative
methods that the Minster of State might have adopted to meet this public
interest. The one chosen, deregulation of the taxi trade cannot be said to
“
fly
in the face of fundamental reason
”.
Beyond establishing this, the Court cannot go. The impugned statutory
instrument passes the test of “
reasonableness”.
I do not take it into account but I cannot help but notice that during the
currency of this case while taxi numbers have increased by well over 2,000 in
Dublin taxi shortages and queues remain. This suggests to me that the
defeatist tone of the hardship Affidavits filed on behalf of the Applicants may
not be justified.
59. In
relation to the alleged lack of fairness in the manner in which the Respondents
introduced the scheme of deregulation, the Applicants contend that the failure
by the Respondents to consult them in the period immediately prior to the
introduction of liberalisation, was contrary to the principles of natural and
constitutional justice and the decision is consequently
ultra vires
,
null and void. They claim that this omission on the behalf of the Respondents
to consult the Applicants and invite their views on the decision to deregulate
was compounded by the fact that the applicants themselves made a written
request for information on the 17th November, 2000.
60. Whilst
there can be no doubt as to the existence of a constitutionally protected right
under Article 40:3 to fair procedures in decision-making, it has been
recognised in the case-law that the principles of constitutional justice do not
apply with equal force in every situation and indeed in some circumstances
where decisions are taken by public bodies, such as a decision to enact a
particular piece of legislation by the Oireachtas, the
audi
alteram
partem
rule or the duty to consult and hear submissions does not arise at all. The
citizen is not consulted in relation to increased taxation in the budget.
There may of course be various practices in place to consult interested bodies
or persons before legislative decisions are taken, but this is undertaken as a
matter of
practice,
not of
law.
61. Thus,
the requirements of constitutional justice are largely dictated by the
circumstances and it must be emphasised that the right to fair procedures and,
in particular, the right to be consulted which must be regarded as an aspect of
the
audi
alteram partem
rule is subject to the exigencies of pragmatism. This is particularly so in
the context of the legislative process.
62. Legislative
decisions, on grounds
inter
alia
of
practicability, have traditionally
been
taken not to attract the rules of constitutional
justice-
Bates
-v- Lord Halisham
[1972] 1 WLR 1373,
Essex
CC -v- Minister for Housing
[1967] 66 LGR 23.
64. This
line of thinking was approved by McMahon J. In
Cassidy
-v- Minister for Industry and
Commerce
[1978] I.R. 297 at page 304:-
65. That
case, of course, concerned secondary or delegated legislation in the context of
the making of a statutory instrument fixing maximum prices for the sale of
intoxicating liquor. The Court found that there was no obligation to consult
the Vintners' Association before bringing the instrument into effect.
66. The
case concerned a challenge taken by a number of taxi cab owners to a decision
of Liverpool City Council to increase the numbers of hackney cabs operating in
the city. At a public meeting with the council prior to the decision having
been taken the chairman had given a public undertaking that the numbers of
hackney cabs would not be increased until the proposed legislation, which
included provisions for controlling private hire vehicles, had been enacted by
Parliament.
67. The
majority of the Court of Appeal held that on account of this public
representation, the applicants were “justifiably aggrieved” by the
council’s subsequent unfair conduct.
68. Lord
Denning, however, although speaking obiter, seemed to go further and suggest
that, even in the absence of such a public undertaking, the applicants would
have had a right to be consulted. Per Denning MR:
69. Lord
Roskill and Sir Gordon Willmer, on the other hand, laid emphasis solely on the
unequivocal public undertaking given by the Respondents.
71. Thus,
it would appear that the majority of the Court of Appeal reached their decision
in favour of the Applicants in
Liverpool
Taxis
largely on the basis of the explicit representation made to them by the
Respondents on which they relied, i.e. on grounds of legitimate expectation.
Indeed, this case has been cited in Ireland in several cases as an authority on
legitimate expectation.
72. It
is also clear that insofar as the
Liverpool
Taxis
case can be said to have been a principle that there is a duty to consult,
quite apart from any legitimate expectations that may have been created in the
case, the case does not apply to the exercise of a legislative function. This
is borne out by the
dicta
of Megarry J. in
Bates-v-Lord
Halisham
[1972] 1 WLR 1373 at p.1378:
73. It
is important to emphasise that this case concerns the exercise of the
Minister’s discretionary powers under s.82 of the Road Traffic Act, 1961
to enact secondary legislation. This is of crucial importance when considering
whether the rules of natural and constitutional justice import a duty to
consult in the circumstances.
74. The
Minister of State in introducing deregulation by means of SI 367/2000 was
acting not in judicial or administrative capacity but in his capacity as a
legislator, to make or refuse to make a statutory instrument under delegated
legislative process.
75. The
imposition of a duty to consult in the instant case would render the
Minister’s task largely unworkable. An obligation to consult and hear
submissions from every interested party would not only severely delay the
legislative process, but it would also leave the instrument subsequently made
open to challenge on the basis that the Minister of State failed to consult an
“interested party”. In the case in hand in particular the category
of interested persons is unlimited in that every member of the public may be
said to have an interest in the efficient working of small public service
vehicles. After SI 3/2000 had been declared unlawful in the
Humphrey
decision, swift action had to be taken by the State.
76. The
Minister of State, in exercising his powers under the Act of 1961 to make
statutory instrument was engaged in a legislative process and as such, his
decision to deregulate the taxi industry does not attract the full rigours of
natural and constitutional justice. Further, it would have been impractical to
impose such an obligation in the circumstances. Accordingly, there was no duty
to consult the holders of taxi drivers of their representative bodies prior to
taking this decision.
77. Furthermore,
I am satisfied from the evidence and material adduced on behalf of the
Applicants by Mr. John Rogers S.C. that the Respondents were at all times kept
fully informed of the applicants’ views on deregulation. This is a
matter I am entitled to take account of in relation to the making or non-making
of a discretionary order.
78. The
Applicants are particularly aggrieved because they believe they had a
legitimate expectation that the previous taxi plate regime would continue
subject to gradual increases in the numbers of taxi plates. This they say
arises from the authorities making taxi plates transferable on payment of fees,
acquiescing in the growth and development of a secondary market and the
taxation authorities levying capital gains and probate taxes on the values of
taxi plates in the secondary market. They particularly rely on disputed
assurances allegedly given by An Taoiseach to the Dublin Taxi Forum
.
79. It
is unnecessary in the instant case to establish whether representations had
been made or assurances given to the Applicants on foot of which they formed
the belief that the previous policy would not be altered. However, even in the
event that such assurances had in fact been given, even by high-ranking members
of the Executive, the nature of such assurances is such that they could only
have been regarded as being conditional. Where a public interest emerges to
make another policy the appropriate one to follow in the altered circumstances,
the expectation that the beneficiary of the previous policy can legitimately
expect is a procedural rather that a substantive one. As was stated by Keane
J. (as he then was) in
Pesca
Valentia Limited -v- Minister for Fisheries
[1990[ 2 I.R. 305 at 323
80. A
public body is entitled to resile from its previous practice or representation
where there actually exists in the particular case objective reasons which
justify this change of position. A person or groups of persons who have
benefited from a previous policy can legitimately make representations as to
why the policy should not be changed. They cannot, however, legitimately
expect to fetter the body’s statutory discretion to adopt a new policy in
the public interest, as it is the public interest and not the private rights
incidentally created that the public body must ultimately seek to vindicate.
81. I
have quashed for the reasons given the repeal provision contained in S.I 376 of
2000. The balance of the Applicants’ claim is dismissed.