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Scottish Court of Session Decisions


You are here: BAILII >> Databases >> Scottish Court of Session Decisions >> Chadwick v Continental Tyre Group Ltd [2008] ScotCS CSOH_24 (08 February 2008)
URL: http://www.bailii.org/scot/cases/ScotCS/2008/CSOH_24.html
Cite as: [2008] ScotCS CSOH_24, [2008] CSOH 24

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OUTER HOUSE, COURT OF SESSION

 

[2008] CSOH 24

 

     

 

 

 

 

 

 

 

 

 

 

 

OPINION OF LORD UIST

 

in the cause

 

KARL JOHN CHADWICK

 

Pursuer

 

against

 

CONTINENTAL TYRE GROUP LIMITED

 

Defenders

 

 

ญญญญญญญญญญญญญญญญญ________________

 

 

 

Pursuer: H H Campbell QC; Thompsons

Defenders: Murphy QC, Brodie; Simpson & Marwick, W.S.

 

8 February 2008

 

Introduction

[1] The pursuer, who was born on 4 May 1979 and lives in Oldham, Lancashire, concludes for ฃ25,000 damages against the defenders ("Continental") for injuries which he suffered in a road traffic accident on 28 April 1999 when both of the rear tyres of the Mercedes Benz 312D Sprinter Mini-Coach in which he was travelling as a passenger on the M74 near to junction 12 failed and suffered a significant loss of rigidity, as a result of which the treads of both tyres separated and became detached from the rest of the tyres causing the coach to go out of control, slew up an embankment on its nearside and overturn. The conclusion was originally directed against the defenders and Mercedes-Benz (United Kingdom) Limited, the manufacturers of the coach, as second defenders jointly and severally. The action has been abandoned against the second defenders and the first conclusion amended appropriately, but the pursuer has not deleted any of his averments against the second defenders. The case called on the procedure roll on the defenders' first plea-in-law, a plea in traditional terms to the relevancy of the action.

 

The background

[2] It is helpful, before considering the pleadings and the issues arising, to have regard to the background circumstances, as set out by Mr Murphy QC at the outset of his submission on behalf of the defenders. Continental supplied tyres to Mercedes Germany in Germany, who produced a Sprinter van using Continental tyres as component parts. The van was then sent to Mercedes UK, the UK distributor. Mercedes UK then supplied the van to Northside Trucks Limited, who instructed Onyx to convert it into a coach. The conversion involved two things - (1) the installation of six chairs and a table; and (2) the separation of that part of the van containing the table and chairs from the rear of the van, which was converted into a storage area. The vehicle was hired out by a firm called Bandwagon, which rents out adapted vehicles to bands to tour the country, to a man by the name of Clinton Boon. In the course of the hire the pursuer, as a member of the road crew, was a passenger in the vehicle and sustained injuries in the accident. On the foregoing narrative Continental were in place number one and the pursuer in place number eight. It was, said Mr Murphy, necessary to look at the relationship between Continental and the pursuer in light of what had occurred in between the manufacture of the vehicle and the pursuer being a passenger in it.

[3] The result of the conversion was that a vehicle consisting of a cab and empty van had been altered so that the van area became two separate areas, one with a table and six chairs broadly in the centre of the van and a storage area to the rear of the van for the band's equipment. As a result the non-human cargo was all located on or behind the rear axle of the coach. The pursuer accepted that the tyres had been affected by overloading and under-inflation over a long period of time.

 

The issue

[4] Put simply, said Mr Murphy, the pursuer was averring a manufacturing defect in a tyre (which the defenders denied), maintaining that the vehicle had been used in such a way that the tyres had been abused. The pursuer had an alternative case, which was that, if there was no manufacturing defect, as a matter of reasonable foreseeability tyre manufacturers know that people will overload vehicles and under-inflate tyres, and that in itself was a defect; furthermore, the absence of instructions or warnings can amount to a defect under the Consumer Protection Act 1987 ("the CPA").

 

The relevant legislative provisions

[5] The pursuer founds his claim on the terms of the CPA, which implemented EC Directive 85/374/EEC ("the Directive"). Sections 2 and 3 of the CPA, so far as relevant, provide as follows:

 

"2(1) Where any damage is caused wholly or partly by a defect in a product, every person to whom subsection (2) applies shall be liable for the damage.

(2) This subsection applies to -

(a) the producer of the product.

3(1) .... There is a defect in a product for the purposes of this Part if the safety of the product is not such as persons generally are entitled to expect; and for these purposes 'safety', in relation to a product, shall include safety with respect to products comprised in that product, and safety in the context of risks of damage to property, as well as in the context of risks of death or personal injury.

(2) In determining for the purposes of subsection (1) above what persons generally are entitled to expect in relation to a product, all the circumstances shall be taken into account, including -

(a) the manner in which, and purposes for which, the product has been marketed, its get up, the use of any mark in relation to the product, and any instructions for, or warnings with respect to, doing or refraining from doing, anything with or in relation to the product;

(b)               what might reasonably be expected to be done with or in relation to the product ....."

[5] Certain recitals in the Directive set out the purpose of the provisions relevant to the present case. These are recitals 1, 2, 3, 5, 7 and 12 and, so far as relevant, provide as follows:

"(1) Whereas approximation of the laws of the Member States concerning the liability of the producer for damage caused by the defectiveness of his products is necessary because the existing divergences may distort competition and affect the movement of goods within the common market and entail a differing degree of protection of the consumer against damage caused by a defective product to his health or property;

(2) Whereas liability without fault on the part of the producer is the sole means of adequately solving the problem, peculiar to our age of increasing technicality, of a fair apportionment of the risks inherent in modern technological production;

(3) Whereas protection of the consumer requires that all producers involved in the production process should be made liable, in so far as their finished product, component part or any raw material supplied by them was defective; ......

(5) Whereas, to protect the physical well-being and property of the consumer, the defectiveness of the product should be determined by reference not to its fitness for use but to the lack of the safety which the public at large is entitled to expect; whereas the safety is assessed by excluding any misuse of the product not reasonable under the circumstances;

(7) Whereas the protection of the consumer requires that the liability of the producer remains unaffected by acts or omissions of other persons having contributed to cause the damage; whereas, however, the contributory negligence of the injured person may be taken into account to reduce or disallow such liability;

(12) Whereas under the legal systems of the Member States an injured party may have a claim for damages based on grounds of contractual liability or on grounds of non-contractual liability other than that provided for in this Directive; in so far as these provisions also serve to attain the objective of effective protection of consumers, they should remain unaffected by this Directive; ......"

[6] The following articles of the Directive are relevant:

"4. The injured person shall be required to prove the damage, the defect and the causal relationship between defect and damage.

6.1 A product is defective when it does not provide the safety which a person is entitled to expect, taking all circumstances into account, including

(a)                the presentation of the product;

(b)               the use to which it could reasonably be expected the product would be put;

(c)                the time when the product was put into circulation.

8.1 Without prejudice to the provisions of national law concerning the right of contribution or recourse, the liability of the producer shall not be reduced when the damage is caused both by a defect in the product and by the act or omission of a third party.

13. This Directive shall not affect any rights which an injured person may have according to the rules of contractual or non-contractual liability or a special liability system existing at the moment when this Directive is notified."

 

The pleadings

[7] The pursuer avers that there was a manufacturing defect in the nearside rear tyre for which the defenders are in law responsible and which caused his loss, injury and damage. He sets out his lengthy principal case in condescendence 2, p 9C-D to p 13A, as follows:

"The vehicle (including the tyres) was being used at the time in a way in which the consumers (in this case the driver and passengers in the coach) would have expected to be safe. The defect which probably caused the tyre failure which caused the loss of control of the vehicle was a manufacturing defect in the nearside rear tyre. The tread joint on both the outer and inner shoulders of the tyre had opened. That would not have occurred in a tyre which had been properly manufactured. During the moulding and curing process of a tyre a correctly made joint effectively loses its interface and becomes a single homogenous mass. Only if there is contamination on either of the two surfaces when the joint is consolidated after the tread is applied to the casing will an interface remain, with the potential for separation in service. The defect in manufacture caused the innermost facing tread edge to open, thereby allowing ingress of moisture which came into contact with the ends of the steel cords at the belt edges and caused loosening and corrosion of the steel strands within the tyre which should have held it together, but which, by reason of the open joint and the corrosion, were unable to do so. The defect in manufacture also caused the outermost facing tread edge to open, albeit to a lesser extent. There was substantial feathering, which had developed over the life of the tyre by reason of the tread joint having opened. At least four of the steel cords in the first breaker were corroded and loose, and there was localised excessive treadwear and localised excessive smoothing of the rubber topping between the steel belts. The areas of excessive wear around the open tread joint created differential forces between them and adjacent areas of tyre, and led to eventual failure. The open joint was the point at which the tread of the tyre began to strip and come off at the time of the accident. It was probably that defect which initiated the failure of the tyres at the time of the accident. Esto it was the offside tyre which failed first, it is likely that the vehicle would have been able to be brought under control safely but for the additional failure of the nearside tyre. The nearside tyre, having regard to its manufacturing defect, was inevitably going to fail immediately upon the failure of the offside tyre and (on this hypothesis, it did so). There was no material prospect of keeping the coach under control. The defect was such that the tyre would have failed in consequence thereof at some time during its use, irrespective of any other cause. It is further explained and averred that both of the rear tyres, when examined after the accident, also showed signs of having been used in the past while the vehicle was overloaded, or the tyres under-inflated, or both (the signs being similar whichever the cause). In, particular there was (sic) chaffing and grooving and loose wire filaments. Each of these tends to weaken the integrity of a tyre. Any use of the coach during the nine days prior to the accident would have had no material effect on the said state of the tyres. The defenders were aware of the risk of failure of tyres from each of said causes, both as a matter of general expertise and experience, and particularly in relation to the 225/70 R15 tyres fitted to Mercedes 312 Sprinters. In late 1997 it had become clear that there was a material risk of that type of tyre failing and causing accidents. There had been at least 20 such failures by then, and in consequence thereof the defenders, in early 1998, instituted a recall programme of all such vehicles in order to check each of the said tyres. The first defenders were aware of the results of a survey by tyre manufacturers to the effect that the air pressure in 50% of the tyres in Germany was too low. They were aware that overloading of the vehicle would increase the risk of such damage. They were aware that the damage caused by any such under-inflation and / or overloading would be likely to manifest itself immediately, but would do so at an unpredictable later date, in respect that, as they put it in the circular hereinafter mentioned, 'tyres have a "long-term memory" and never forget maltreatment'. The matters set forth in the three foregoing sentences were mentioned by the first defenders in a circular to customers sent by them in August 1997, some months prior to the recall, but in light of their growing knowledge of the failure of some of the said tyres. In response thereto the pursuer believes and avers that the first defenders, at some time (the details of which are not known to him) after the defects became known, significantly increased what they termed as 'the reserve load-bearing capacity of the tyres'. It is explained and averred that the tyre load rating is the same as the plated rear axle weight of the vehicle. The pursuer did not know (and would not reasonably have been expected to know) at the time of the accident that the plated gross weight of the vehicle was 3.5 tonnes and the plated rear axle weight was 2.24 tonnes. After the accident the police weighed the vehicle (without passengers or cargo) at a gross weight of 3.4 tonnes and the rear axle at about 2.28 tonnes. The vehicle, accordingly, was bound, without passengers and / or cargo, to be operating at the cusp of its tyre load rating. Were it to be full of passengers and / or cargo, and / or to be driven with under-inflated tyres, as was reasonably foreseeable to the defenders, the tyres would be likely to sustain damage which was likely to manifest itself in failure at a later, but unpredictable, date. Persons would generally expect that the vehicle would be loaded with passengers and cargo. That would mean that the tyre load rating would routinely be exceeded. Persons would generally expect that, in the period of many months prior to the use on the day of the accident, there would have been occasions when the tyres would have been under-inflated during use. No information, instructions or warnings were given to the pursuer or any of his colleagues in the coach as to any of the risk factors mentioned herein."

[8] An alternative case is pleaded in condescendence 2 at p 13A-B in the following terms:

"Esto it was not the manufacturing defect in the nearside tyre which by itself caused the failure and loss of control (which is denied), the failure was caused wholly or partly by said reasonably foreseeable defects in the tyres. The tyres were inappropriate for the parameters within which the vehicle would be used."

 

The issues, according to the defenders

[9] Mr Murphy submitted for the defenders that the following issues arose:

(i) In seeking to aver "defect" under the CPA, has the pursuer applied the correct test in law, namely, legitimate public expectation of safety, rather than proof of a defect caused in manufacturing? The scheme of the Act was purely to consider "defective", whereas the pursuer was looking at negligence, which was not the test under the CPA.

(ii) To what extent were the pursuer's averments inconsistent and contradictory, and, if so, to what effect?

(iii) The pursuer's alternative case was as follows: a defect in the tyre arose solely by reason of its under-inflation and/or overloading of the vehicle. Were these averments by themselves relevant? Could these facts result in a defect? So far as information and warnings were concerned, could a failure in either of these respects ever amount to a defect? It was possible to have an item which was prima facie not defective, but which was rendered defective by a lack of information or warning. If under-inflation and overloading were foreseeable to tyre manufacturers, what information and warning should a passenger on a bus be given? A fortiori, what information and warning could a bus passenger be given by tyre manufacturers, absent some knowledge (actual or imputed) on their part of under-inflation of the tyres or overloading of the vehicle? In reality, tyre manufacturers told vehicle manufacturers what the operational parameters were for their tyres and the latter included that in their operations manual for the vehicle so that any user of the vehicle knew of the use to which the vehicle could be put in terms of weights and tyre pressures. Tyre manufacturers could not warn passengers of overloading or under-inflation and the danger of a tyre failing. The CPA provided a test, not of foreseeability on the part of the manufacturer of a product, but of what the public was legitimately entitled to expect in terms of information and instruction. If a load of 20x were placed on a vehicle designed to take a load of 1x, that would be an unreasonable use of the vehicle and the tyres would be expected to fail, so there was no defect. The applicable test had nothing to do with foreseeability and everything to do with legitimate public expectation. The pursuer's alternative case was not that the tyre was defective in itself: the complaint was that the tyre was not safe for the coach. In other words, the tyre became unsafe when attached to the converted, overloaded coach.

(iv) If conversion of the vehicle on its own resulted in overloading, which, on the pursuer's pleadings was a defect, what was the consequence if the tyre manufacturers were not responsible for such conversion? How did that situation impinge on the public expectation test? The public would not expect tyre manufacturers to foresee conversion of a vehicle on which the public might be passengers.

(v) If overloading was a permanent feature of the use of the vehicle after its conversion, what scope was there for disentangling the pursuer's principal case from his alternative case? On the pursuer's pleadings once the vehicle had been converted it was always overloaded on its rear axle, even when empty. The pursuer's principal case was based on a manufacturing defect, but if the reality of the pleadings was that there was permanent overloading after conversion, how was it possible to take the defect case in isolation?

(vi) If disentanglement of the principal and alternative cases was not possible, what was the effect of the pursuer's pleadings? Did they amount to two irrelevant cases, inconsistent cases or contain an alternative case which was weaker in law? The primary submission for the defenders was that both cases were irrelevant and in any event inconsistent.

(vii) If the pursuer's averments amounted to a case that misuse was foreseeable and therefore a defect, was all misuse foreseeable, irrespective of its nature, and relevant, or should one apply under the CPA the legitimate expectation of safety test to determine what was an acceptable degree of misuse? The parameters of public acceptability of a degree of misuse were not categorised. The pursuer had not set any parameters in terms of reasonableness: he did not attempt to deal with misuse, which, under the Act, had to be ignored. In this situation what the pursuer was desiderating was a warranty to the world.

(viii) If the alternative case was predicated on permanent misuse of the tyre leading to tyre failure, how could the averment at p 9E (that the opening of the tread joint on the inner and outer shoulders of the tyre would not have occurred in a tyre which had been properly manufactured) be a relevant averment? It was completely contradicted by the alternative case, based on overloading and under-inflation. That averment had to be looked at very critically indeed because of the use of a future conditional tense in relation the use of the past tense in the manufacture of the tyre. Instead of "would not" it should read "cannot" or "will not" and the words "assuming normal use" should be added.

(ix) Were the pursuer's averments about defect and recall of the tyres relevant?

[10] Under reference to the relevant legislative provisions Mr Murphy then went on to submit that the following four propositions could be made:

(1)               The CPA places the onus on a pursuer to aver and prove a "defect", loss and a causal connection between the defect and the loss.

(2)               Under the CPA a defect is only relevantly averred if it is averred that the safety of the product is not such as members of the public may legitimately expect.

(3)               If proposition 2 is correct, it follows that products may contain defects which do not fall within the CPA due to a failure to pass the public legitimate expectation test. Liability was strict, not absolute, and qualified.

(4)               The CPA sets out a defect-based system of liability which is not to be confused with concepts and tests used in a fault system. Foreseeabilty was relevant under section 3(2), but not as understood in the law of delict. Fault required to be eliminated from any consideration whatsoever.

[11] In A v National Blood Authority [2001] 3 All ER 289 Burton J, in considering the liability of the defendants for infected blood or blood products, went straight to the Directive itself. At p 297e-j, para 2 he stated:

"The Directive is not, in any event in this action, said to be directly enforceable against the defendants by the claimants, who rely for their cause of action on the CPA. However, as below appears, the European Commission complained, by application lodged at the Court of Justice of the European Communities on 20 September 1995, that the United Kingdom Government had not fulfilled its obligations under the Directive and under the EC Treaty by implementing the CPA in the terms it had. Although the Court of Justice dismissed that application, it is apparent from the judgment of the Court of Justice, reported as European Commission v UK Case C-300/95 [1997] All ER (EC) 481, that, there not at that stage having been any decision of the English courts, nor indeed any facts before the Court of Justice, the Court of Justice was concluding that, whatever be the precise terms of the CPA, the United Kingdom would so implement and construe the CPA as to be consistent with the Directive - not least by virtue of s 1(1) of the CPA, which reads as follows: '[Part I] shall have effect for the purpose of making such provision as is necessary in order to comply with the Product Liability Directive and shall be construed accordingly.' Consequently both parties have during this trial almost exclusively concentrated on the terms of the Directive, on the basis that, in so far as the wording of the CPA, in relation to matters which have been the subject matter of particular issue in this case, differs from the equivalent articles in the Directive, it should not be construed differently from the Directive; and consequently the practical course was to go straight to the fount, the Directive itself."

At p 305d, para 15 he pointed out that it was "not in dispute between the parties that the Directive can and must be construed by reference to its recitals and indeed to its legislative purpose, in so far as it can be gleaned otherwise than from its recitals". At pages 310j - 312h he considered article 6 of the Directive and set out the following general propositions of law, which were common ground between the parties:

"(i) Article 6 defines 'defective', and hence a defect. A harmful characteristic in a product, which has led to injury or damage, may or may not be a defect as so defined, and thus within the meaning of the Directive. It is common ground that the liability is 'defect-based' and not 'fault-based', i e that a producer's liability is irrespective of fault (Recitals 2, 6).

(ii) The purpose of the Directive is to achieve a higher and consistent level of protection throughout the Community and render recovery of compensation easier, and uncomplicated by the need for proof of negligence.

(iii) The onus of proof is upon the claimants to prove the product to be defective.

(iv) The question to be resolved is the safety or the degree or level of safety or safeness which persons generally are entitled to expect. The test is not that of an absolute level of safety, nor an absolute liability for any injury caused by the harmful characteristic.

(v) In the assessment of that question the expectation is that of persons generally, or the public at large.

(vi) The safety is not what is actually expected by the public at large, but what they are entitled to expect. .... The common ground is that the question is what the legitimate expectation is of persons generally, i e, what is legitimately to be expected, arrived at objectively. 'Legitimate expectation' rather than 'entitled expectation', appeared to all of us to be a more happy formulation (and is analogous to the formulation in other languages in which the Directive is published); the use of that expression is not intended to import any administrative law concepts.

(vii) The court decides what the public is entitled to expect .... Such objectively assessed legitimate expectation may accord with actual expectation; but it may be more than the public actually expects, thus imposing a higher standard of safety, or it may be less than the public actually expects. Alternatively, the public may have no actual expectation - e g, in relation to a new product - the word coined in argument for such an imaginary product was a 'scrid'.

(viii) There are some products, which have harmful characteristics in whole or in part, about which no complaint can be made. The examples that were used of products which have obviously dangerous characteristics by virtue of their very nature or intended use were, on the one hand, knives, guns and poisons and, on the other hand, alcohol, tobacco, perhaps foie gras.

(ix) Article 6(2) means that such test must be applied as at the date when the product is put into circulation, i e tested against the safety then to be expected."

At pages 313j - 314d, paras 33 and 34 he went on to deal with "all circumstances" and stated as follows:

"[33] Article 6 must then be considered against the background of this summary of the issues. In the establishment of the level of safety, art 6 provides that the court (on behalf of the public at large) takes into account all circumstances, including the following. (i) Presentation, i e the way in which the product is presented, e g warnings and price. As set out above, the expanded wording of s 3(2) (a) of the CPA is helpful. (ii) The use to which the product could reasonably be expected to be put, e g: (a) if the product is not a familiar or usual one, such as a scrid, it will be necessary to find out what its expected or foreseeable use is; (b) if it is expected or and required to be dangerous in respect of its expected use, e g a gun, then complaint cannot be made of that dangerousness; but complaint could still be made of a different dangerousness, such as if it exploded on the trigger being pulled; and (c) if it is not expected to be dangerous in respect of its expected use, but the use to which it is put is unexpected, then it may not be defective. (iii) The time when the product is circulated, for example when the product is out of date or stale.

[34] The question arises as to the status of the circumstances enumerated in art 6. Are they exclusive? .... That the circumstances are not exclusive obviously seems right."

At p 337j, para 63, he concluded that avoidability was not one of the circumstances to be taken into account under article 6 and at p 342h-j, para 80 he held that the blood products in that case were not ipso facto defective but that they were defective because the public at large was entitled to expect that the blood transferred to them would be free from infection.

[12] In the later case of Tesco Stores & Anr v Pollard [2006] EWCA Civ 393 a 13 month old boy ingested dishwasher powder from a plastic bottle and in consequence became very ill. The bottle containing the powder had been sold by Tesco, who had produced the powder, but the bottle itself had been manufactured by the second defendants. The cap fitted to the bottle was a "CRC", that is, a "child resistant closure", meaning that the cap had to be squeezed and turned to open the bottle. The question was whether there had been a breach of section 3(1) of the CPA, resulting in injuries to the child. Laws LJ, with whom Wilson LJ and Sir Paul Kennedy agreed, referred to the argument of counsel for the claimant (Mr Briden) that under the statute the public were entitled to expect that the product would function to the full extent of the design standard to which it was manufactured, which in that case meant the same as compliance with the British Standard torque measure. Rejecting that argument, his Lordship stated at paras 17 and 18:

"17. If Mr Briden is right, it means that every producer of a product whose use causes injury effectively warrants to the general public that the product fulfils its design standards. Now, the producer may have no contract with any member of the public, as here the appellants did not. Members of the public - purchasers like Mrs Pollard - are unlikely to have the faintest idea to what safety standard the product they are buying has been designed, if it has been designed to any. In my judgment Mr Briden's arguments in truth demand a radical rewriting of the statute. They are an attempt to confer on purchasers and users of everyday products a right to sue the product's producers as if there were a contractual warranty as to the safety standard to which the product has been designed. It is quite impossible to get such a result out of the terms of the 1987 Act.

18. What, on the facts here, were 'persons generally entitled to expect' of the safety features of this cap and bottle? In my judgment they were entitled to expect that the bottle would be more difficult to open than if it had an ordinary screwtop. Anything more specific, as a test of public expectation, runs into the difficulties I have just described. Here, the bottle was more difficult to open than an ordinary screwtop, though not as difficult as it would have been if the British Standard torque measure had been complied with. There was, in my judgment, no breach of the 1987 Act."

What could be taken from the Tesco case was that, in looking at general public expectation, one does not look at highly technical specifications.

[13] Unless the proper test were averred and followed through the requirements for a relevant case and fair notice simply did not begin to be met. A party was not entitled to go to proof because he might obtain a favourable result, but only because if he proved his case he would obtain a favourable result: see Morrison v Rendall 1986 SC 69, in which Lord Robertson stated at p 78:

"It is not the function of pleadings to justify an inquiry which may result in evidence being led which might establish the pleader's case: on the contrary, the pleadings must set forth clearly and specifically the facts upon which the pleader aims to succeed in his pleas, so that the other party may have notice of the case against him and the facts upon which it is founded."

 

Defenders' submissions on the pleadings

[14] Mr Murphy submitted that only articles 2 and 3 of the Directive need be considered in relation to the pleadings. Interesting and contradictory issues arose from the pleadings. It was averred that the tyres were on the vehicle since its birth in Germany and that the vehicle was subsequently modified. There was no averment that the defenders had authorised conversion of the vehicle. The averment at p 8E that no conversion of a vehicle would be authorised unless both the vehicle manufacturer and the tyre manufacturer were satisfied that the conversion would not have the effect of either increasing the gross weight of the vehicle over the plated vehicle weight or increasing the rear axle weight over the plated axle weight was neither an averment of past fact nor one of custom in the industry. No material about approval of conversion had been sought by the pursuer. At p 8E - 9A it was averred that the conversion carried out to the coach did not have either of these effects, yet it was later averred at p 12D that the rear axle weight was exceeded. That meant that the pursuer was saying that Mercedes UK had approved an alteration above the rear axle weight, although he had abandoned the action against them, but not that the defenders had approved it. At p 9A-C there was no averment about the weight of the vehicle before conversion. The pleadings were contradictory. Nothing should have been put in the vehicle after conversion as, on the pursuer's averments, the rear axle weight had been exceeded. It was not a question of a manufacturing defect but of accepted overloading (in the principal case) and accepted abuse (in the alternative case). (At this point in the submissions for the defender Mr Campbell for the pursuer moved for leave to amend, which I refused on the ground that it came too late, having regard to the procedural history of the case.) Loading of the vehicle to any significant degree with passengers or cargo would take the rear axle weight to at or around its maximum. The pursuer had failed to aver the effect of the conversion, namely, the vehicle's actual weight after the conversion.

[15] At p 9D it was averred that there was an alleged manufacturing defect in the rear nearside tyre. A "manufacturing defect" was meaningless under the CPA as it referred to a basis of fault. The succeeding averments sought to bolster that averment but bolstering something that was irrelevant did not make it relevant.

[16] The averment at p 9E "That would not have occurred in a tyre which had been properly manufactured" employed the conditional tense and required that an assumption of non-abusive use be made: only if such an assumption were made could that averment be given proper content. The succeeding averments to p 10B contained a fault-based analysis and looked like a delict case.

[17] Important averments at p 11A began with the averment that both of the rear tyres showed signs of having been used in the past while the vehicle was overloaded or the tyres under-inflated, or both. These averments were made in the context of a case based on a manufacturing defect. What was their purpose? What was meant by the averment "after the defects became known" at p 12B? An overloaded vehicle or under-inflated tyres could not amount to a defect. So far as concerned the averment at p 12E that it was reasonably foreseeable to the defenders that, were the vehicle to be full of passengers and / or cargo, and / or to be driven with under-inflated tyres, the tyres would be likely to sustain damage which would manifest itself in failure at a later, unpredictable, date, what did reasonable foreseeability (which was relevant only under section 3(2) (a) of the CPA) have to do with it? This averment, which had no parameters on it, meant that the product had to perform, no matter the degree of abuse to which it was subjected. The public expectation test must relate to the safety of the tyre. It was suggested that a warning to a passenger would in some way have changed the position. The content of the required warning and its alleged effect were not given. In any event, causation was required. A tyre manufacturer may have to warn only the vehicle supplier.

[18] So far as concerned the alternative case, Mr Murphy posed the questions: (1) What reasonably foreseeable defects? (2) What parameters?

[19] In summary, Mr Murphy submitted the averments in condescendence 2 did not relevantly aver defect or causation.

 

The defenders' nine propositions

[20] Mr Murphy concluded by setting out the following nine propositions on behalf of the defenders:

(1) Reading the pursuer's averments pro veritate and fairly, at no stage did he seek to aver and prove defectiveness applying the test under the CPA. He did not plead a case to the effect of what is the general public's legitimate expectation of safety for the tyre in the circumstances. Accordingly, neither the principal case nor the alternative case was relevant and the action should be dismissed.

(2) The principal case, which was a manufacturing defect case, was truly a fault-based case and therefore irrelevant. The relevant issue for proof was defectiveness. Accordingly, a manufacturing defect could be a defect but not constitute "a defect" under section 3 of the CPA.

(3) Overloading and / or under-inflation per se were not defects under the CPA: they were extraneous considerations. When a tyre is put into circulation there can be no complaint that overloading or under-inflation is a defect.

(4) Overloading and under-inflation were relevant for the purpose of defectiveness under section 3(2) (a) of the CPA. The pursuer did not aver what warning or information ought to have been given, how or to whom. In addition, there were no averments that had a warning or information been given the loss or damage would not have been sustained. Accordingly, the pursuer had not undertaken to prove causation.

(5) In this case, where there was accepted overloading and under-inflation in conjunction with a manufacturing defect, the question had to be asked: what legitimate expectation of safety in respect of the tyre does the general public have? There were no averments about that matter, although the onus was on the pursuer under section 2(3) of the CPA.

(6) The defenders had supplied tyres for a van, not for a coach. There were no averments that the defenders knew of or approved any conversion. It was therefore irrelevant to aver that a warning or information should have been given by them in respect of a future event unknown to them. The defenders did not know about the proposed conversion of the vehicle at the time of the supply of the tyres. The situation here related to a redistribution of loading. It was not anywhere averred that the tyres were defective for the van for which they were supplied.

(7) The principal case was contradicted by the alternative case. It was clear on the pursuer's averments that the coach was overloaded at the time of the accident. It had eight people on board weighing about two-thirds of a tonne and with cargo the rear axle weight was overloaded by 40 kg. It was also clear on the pursuer's averments that overloading could lead to catastrophic tyre failure. Accordingly, the principal case that failure "would not have occurred" in a properly manufactured tyre had to be conditional upon the premise that the tyre was not misused. Here there was admitted misuse of the tyre, so the principal case was fallacious unless one turned a blind eye to the facts as averred, but that could not be done as the averments about overloading and under-inflation appeared in the principal case. The very eventuality that was said not to be capable of happening in the principal case was averred in the principal case and had occurred in the alternative case. As a matter of averment these cases were inextricably tangled together: it was not possible to look at each in isolation. On this analysis the principal case was simply not possible and the alternative case was irrelevant.

(8) If the pursuer was correct in his alternative case, what were the parameters within which the vehicle would be used? None were specified. If the reasoning in the Tesco case were applied, the defenders would be giving a warranty to the world that the tyres would withstand unspecified misuse over an unspecified period. That was patently irrational in the context of applying the public expectation test.

(9) The principal and alternative cases were irrelevant. The action should be dismissed.

 

Submissions for the pursuer

[21] Mr Campbell for the pursuer accepted that Mr Murphy's summary of the issues was both accurate and helpful. The position was that the pursuer said that there was a manufacturing defect in the tyre, the defenders responded that there was no manufacturing defect and that the tyre had been abused; the pursuer's alternative case was that as a matter of foreseeability tyre manufacturers know a vehicle is likely to be driven overloaded or with the tyres under-inflated, and that, or a failure to give a warning about it, was itself a defect.

[22] Mr Campbell submitted that the principal case had been adequately set forth in the averments between pages 9D and 11A. The defect was precisely averred between pages 9D and 10D (beginning with the sentence "The defect which probably caused the tyre failure ..."). Those averments set forth a specific defect in the manufacture of the tyre which was going to cause it to fail. That was the reason for the accident. There was a factual dispute between the pursuer and the defenders because the defenders said that the tyre failure was due to overloading and under-inflation. The interface in the tyre, which should not have existed, pointed to a manufacturing defect. The general public would expect a tyre to be manufactured so that it did not blow. It was accepted by the pursuer that there were supervening "defects" caused by overloading or under-inflation. These were different defects. Damage from misuse was accepted, but the pursuer maintained that it was a manufacturing defect which caused the accident. If he was wrong about that, there were other cases averred from p 11A (beginning with the averment "It is further explained and averred that both of the rear tyres") to the end of condescendence 2 at p 13B. If I were against the pursuer on those cases, it was accepted that those averments fell to be deleted. Those averments indicated that the tyres were supplied for an empty van which would be loaded, the conversion occurred and would have been likely to reduce the actual load carried in the vehicle and decreased the prospect of misuse. One was back to what one might reasonably have expected to be done to the vehicle at day one. In Wetherill, EU Consumer Law and Policy, it was stated at page 139, under reference to article 6.1(b) of the Directive, that "a product may be defective where it causes damage as a result of foreseeable misuse".

[23] So far as the alternative case was concerned, it was said that tyre manufacturers ought reasonably to expect that a vehicle will be used when it is overloaded or the tyres under-inflated. The vehicle would support a weight up to its plated rear axle weight. The tyres were only just good enough for a vehicle of this unladen weight and a load in the back was reasonably to be expected, making the vehicle overloaded. The tyres were sufficient for an unladen vehicle, but it was reasonably foreseeable that stuff would be put in the vehicle, making it overloaded. The pursuer maintained that what Mr Campbell called "the overloading failure" was a defect within the meaning of the CPA. Misuse was not only foreseeable, but all but inevitable. The tyres were inappropriate as they were near to supporting only the rear axle weight of the van or coach. The public would expect that the tyres would be able to cope with a loaded van. The pursuer could not specify the parameters. It was necessary to take "a broad axe" approach to what a reasonable person would expect. The circumstances averred in which the tyres as supplied were going to be just enough to support the unladen vehicle when everyone would expect it to be laden amounted to a defect, a fortiori in the absence of a warning. The court might have to consider in due course the absence of warnings in a situation where, as Mr Campbell put it, "we are on the cusp". The alternative case amounted to saying that a reasonably foreseeable risk was itself a defect. The tyres were too insubstantial under section 3(2) (b) of the CPA. It was known that the weight limit would be routinely exceeded. The pursuer did not dispute the applicable law but submitted that the damage had been caused wholly or partly by the defect. What might reasonably be expected to be done with or in relation to the product was a matter for evidence. The defenders accepted that a pursuer would be expected to know the parameters of use. People in the vehicle would expect that the tyres would be manufactured without defects. Non-avoidability had not been a defence in the A case, and equally in the present case it was not a defence in relation to the inadequate parameter aspect, which was a matter of fact and degree.

[24] Mr Campbell did not accept Mr Murphy's criticism of the use of the future conditional tense in relation to the averment at p 9E - "That would not have occurred in a tyre which had been properly manufactured." The pursuer was there saying that no tyre which was properly manufactured would open at the tread joint in the way that this one did. The public expectation was to receive non-contaminated tyres.

[25] Mr Campbell concluded by submitting that the pursuer had averred facts and circumstances habile to a proof before answer, which should be allowed.

 

Discussion
[26] It is first of all convenient to consider together the legislative provisions about defectiveness. Recital 3 to the Directive recites that the defectiveness of the product should be determined not by reference to its fitness for use but to the lack of safety which the public at large is entitled to expect, and that safety is assessed by excluding any misuse of the product not reasonable under the circumstances. Article 6 of the Directive provides that a product is defective when it does not provide the safety which a person is entitled to expect, taking all circumstances into account, including: (a) the presentation of the product; (b) the use to which it could reasonably be expected that the product could be put; (c) the time when the product was put into circulation. Article 8 provides that, without prejudice to the provisions of national law concerning the right of contribution and recourse, the liability of the producer shall not be reduced when the damage is caused both by a defect in the product and by the act or omission of a third party. Section 3(1) of the CPA provides, subject to subsection (2), that there is a defect in a product if the safety of the product is not such as persons generally are entitled to expect. Section 3(2) provides that, in determining what persons generally are entitled to expect in relation to a product, all the circumstances shall be taken into account, including - (a) the manner in which, and purposes for which, the product has been marketed, its get-up, the use of any mark in relation to the product and any instructions for, or warnings with respect to, doing or refraining from doing anything with or in relation to the product; (b) what might reasonably be expected to be done with or in relation to the product; and (c) the time when the product was supplied by its producer to another.

[27] It seems to me that the difficulties in this case have arisen because the pursuer's averments are both confused and confusing. It is plain that, for a case such as the present to be relevant, it must aver that the defectiveness test under the CPA has been met. The principal question which arises is therefore whether the pursuer has pleaded a case setting out the general public's legitimate expectation of safety for the tyre in the circumstances. So far as his principal case is concerned, the pursuer has made averments of what he describes as a manufacturing defect and averred that it was, at least partly, responsible for the accident. The nature of the manufacturing defect is clearly specified in condescendence 2 in the passage which I have quoted above. Mr Murphy submitted that a "manufacturing defect" was meaningless under the CPA as it referred to a basis of fault and that, reading the pursuer's averments pro veritate and fairly, at no stage did he seek to aver and prove the defectiveness test applying under the CPA. I think that that submission takes too strict and pedantic a view of the pursuer's pleadings in his principal case. I have difficulty in seeing how, if the court were to find that there were a manufacturing defect such as that averred by the pursuer and that it was at least partly responsible for the accident, it could be maintained that under no circumstances could the court then hold that the defectiveness test under the CPA had been met. Essentially what the pursuer is claiming in his principal case is that a faulty tyre burst and (at least partly) caused the accident. It can hardly be asserted that the public are not entitled to expect that a tyre will not burst due to a manufacturing defect and so cause or contribute to an accident. At this stage the pursuer does not have to show that he is bound to succeed on the basis of the averments which he has made, only that it is possible for him to succeed on the basis of those averments (see Jamieson v Jamieson 1952 SC (HL) 44 and Miller v SSEB 1958 SC (HL) 20). I therefore think that in these circumstances it would be open to the court to hold that the product was defective within the meaning of Article 6.1 of the Directive or that there was a defect in the product within the meaning of section 3 of the CPA. It is true that the pursuer does not in his pleadings use the verbal formula set out in either of these provisions, but in my opinion it is not necessary for him to do so as long as he makes averments of facts which are capable of satisfying the statutory requirement. In my opinion he has done so.

[28] Further, it seems to me that the other matters which are the subject of averment in the pursuer's principal case are matters on which he is entitled to lead evidence before the question of relevancy is determined. I refer here to the averments about overloading and under-inflation. The "use to which it could reasonably be expected the product would be put" (Article 6.1(b) of the Directive) or "what might reasonably be expected to be done with or in relation to the product" (section 3 (2) (b) of the CPA) must be a matter of fact and degree in each case. I therefore accept Mr Campbell's submission that this must be a matter for evidence.

[29] On the other hand, I am satisfied that the alternative case pleaded by the pursuer is irrelevant. Mr Campbell described the alternative case as amounting to saying that a reasonably foreseeable risk was itself a defect. In my opinion a reasonably foreseeable risk cannot amount to a defect in a product within the meaning of section 3 of the CPA or make a product defective within the meaning of Article 6.1 of the Directive. Recital 5 to the Directive makes plain that the defectiveness of the product should be determined not by reference to its fitness for use but to the lack of safety which the public at large is entitled to expect, and, as Burton J pointed out in the case of A v National Blood Authority (supra), liability is defect-based, not fault-based. I agree with Mr Murphy that if the reasoning in the Tesco case were to be applied to the alternative case the defenders would be giving a warranty to the world that the tyres would withstand unspecified misuse over an unspecified period and that that is patently irrational in the context of applying the public expectation test.


Decision
[30] For the reasons given above I shall delete the averments in the pursuer's alternative case from the word "Esto" to the word "used" at p 13A-B and quoad ultra allow to the pursuer a proof before answer of his averments.

 

 

 

 


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