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You are here: BAILII >> Databases >> Scottish Court of Session Decisions >> Luminar Lava Ignite Ltd v Mama Group Plc & Anor [2010] ScotCS CSIH_01 (12 January 2010) URL: http://www.bailii.org/scot/cases/ScotCS/2010/2010CSIH01.html Cite as: [2010] ScotCS CSIH_1, [2010] CSIH 01, 2010 GWD 3-39, [2010] CSIH 1, 2010 SLT 147, [2010] ScotCS CSIH_01 |
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FIRST DIVISION, INNER HOUSE, COURT OF SESSION
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Lord PresidentLord EassieLord Hodge
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Act: Ellis, Q.C., McBrearty; McClure Naismith LLP
Alt: Anderson, Q.C.; McGrigors LLP
12 January 2010
[1] I have had the opportunity of reading Lord
Hodge's Opinion in draft. I agree with him that, for the reasons he gives, the
two items of evidence sought to be relied on from the parties' pre-contractual
communings ought to be excluded from consideration when construing the
contract. I also agree with him (para [39]) that it would be more difficult
for parties to know where they stand on the respondents' construction than on
the reclaimers'; but that this is not a pointer of any great weight in the
construction of the restriction, as neither party's construction is unworkable.
[2] I am also in agreement with Lord Hodge that
the most difficult issue is the correct construction of the critical phrase in
clause 2.1, in the context of the clause as a whole and in the light of
the surrounding circumstances. I have not found that issue easy to resolve.
[3] It is plain that the parties contemplated
that there would be or might be some competition between the operations at
their respective premises. That is sufficiently clear from the use in
clause 2.1 of the phrase "in direct competition"; indirect competition
was not prohibited. Both were in the same market for the attraction of persons
looking for "late night entertainment". This is plainly a narrower class of
business than that which seeks to attract those spending "the leisure pound" -
which would include those interested in attending theatres or cinemas in the
evening. The fact that, in the event, there might, as the Lord Ordinary found,
be significant crossover in the customers who might go to different types of
club nights does not, in my view, assist the reclaimers' contention. It simply
means that the terms of the agreement which they entered into may not have been
sufficiently tight to prevent crossover to that extent. The issue remains the
objective construction of the words used, according to the standards of a
reasonable third party who is aware of the commercial context in which the
contract occurred (Emcor Drake & Skull Ltd v Edinburgh Royal
Joint Venture 2005 SLT 1233, per Lord Drummond Young at page 1237I;
see also Reardon Smith Line Ltd v Hansen-Tangen [1976] 1 WLR 989,
per Lord Wilberforce at p.996; ICS Ltd v West Bromwich BS [1998] 1 WLR 896, per Lord Hoffmann at p.912).
[4] The ruling contractual provision is
clause 2.1. Clause 2.2 opens with the phrase "Except only as
provided in clause 2.1 ...". Accordingly, Mama and the Purchaser are
prevented from use which is excluded by clause 2.1. It is not, however,
irrelevant to notice that clause 2.2 contemplates the use of the Burdened
Property, subject to clause 2.1, as "a music venue, including, without
limitation, as a live music venue or as a bar at which music is played".
"Music venue" is not defined but clearly is a wider expression than a "live
music venue" or "a bar at which music is played". As a matter of language it
might include some kind of discotheque.
[5] The critical phrase is the restriction on
using the Burdened Property "for late night entertainment in direct competition
on a like for like basis with the discotheque business of Luminar as carried on
at the Benefited Property as at 1 March 2008". I agree with the Lord Ordinary (para [19]) that
the words "direct competition on a like for like basis" should be read as a
whole as an attempt to define the nature of the competition which is to be
prohibited. Even if the two elements (viz.(1) "direct competition" and (2) "on
a like for like basis") should be read distinctly, which I doubt, proper
content requires to be given to element (2). The expression "on a like for
like basis" imports some shared feature against which the subjects fall to be
compared. The comparison is of how ("as carried on") the two premises are used
- the Benefited Property as at 1 March 2008 and the Burdened Property when the issue arises. To
give the expression "on a like for like basis" content, there must be features
of the respective uses on the basis of which the comparison can be made. These
may, no doubt, include the arrangements under which particular types of
entertainment are available at different nights of the week; but I see no
reason to restrict the examination to that feature. The nature, or style, of
the entertainment provided would also, in my view, be an examinable feature.
The expression "discotheque business as carried on" points in the context of
the earlier expression "on a like for like basis" not simply to the carrying on
of a discotheque business but to the carrying on of such a business in a particular
way. If the Benefited Property was used as at the relevant time for a
restricted, but identifiable, form of discotheque, then a comparison which
demonstrated that in that respect the challenged use of the Burdened Property
was different from the use of the Benefited Property as at that time would, in
my view, lead to the conclusion that the contractual provision had not been
infringed. The Lord Ordinary's findings of fact that distinctions can
meaningfully be made among kinds of discotheque entertainment confirms that
this is not a distinction without a foundation in reality.
[6] The final sentence in clause 2.1 was,
it would appear, inserted to give some protection to the respondents by having
Luminar confirm that it did not use the Benefited Property as at the relevant
time as a music venue. It goes only so far. It does not exactly match the
provisions of clause 2.2 - there is no declaration that the Benefited
Property is not used as a bar at which music is played. But, however, that may
be, I am not persuaded that the language of that sentence affects the
construction of the earlier sentence which I favour.
[7] I find nothing in the admissible evidence
of the circumstances surrounding the making of the contract which is of
material assistance in resolving the issue of its construction. I am not
persuaded that any difficulties in policing performance of the contract are
such as to render the reclaimers' construction the only sensible result.
[8] Although I regard this as a narrow issue, I
am of opinion that the Lord Ordinary's construction of the contract was
correct. In these circumstances I would have refused the reclaiming motion.
However, as I understand that both your Lordships are in favour of allowing it,
I merely with diffidence record my dissent.
[9] I agree with and endorse Lord Hodge's
observations in his postscript (paras [53] - [58]) on the matter of the
use of transcripts and signed witness statements in commercial business.
FIRST DIVISION, INNER HOUSE, COURT OF SESSION
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Lord PresidentLord EassieLord Hodge
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Act: Ellis, Q.C., McBrearty; McClure Naismith LLP
Alt: Anderson, Q.C.; McGrigors LLP
12 January 2010
[10] I have had the opportunity of reading in
draft both the Opinion of your Lordship in the Chair and the Opinion of Lord
Hodge.
[11] In common with both of your Lordships, I
agree that the most difficult issue in this case is the correct construction of
clause 2.1 of the "Non Compete Agreement". I too have found this a difficult
issue to resolve, but I have ultimately come to the view that the construction
for which the reclaimers contend is to be preferred and I agree with the views
expressed on this matter by Lord Hodge. I agree also with the views which he
expresses on the other issues in the reclaiming motion.
[12] One of the factors which inclines me to the
reclaimers' construction is the terms of the final sentence of clause 2.1 of
the agreement. If the undertaking not to use, or permit to be used, the Picture
House "for late night entertainment in direct competition on a like for like
basis with the discotheque business of Luminar..." had the meaning for which
the respondents contend, it is difficult to see the reason for the inclusion of
that final sentence. That sentence records what, to adopt the phrase used by
Mr Ellis, is a "generic" feature of that business - namely the absence of live
music - and thus gives to the preceding provisions of the clause a generic
colour. It is the only attribute of the reclaimers' Tollcross business thus
noted. The giving of such a colour is, I think, reinforced by the absence of
any noting of any of the prevailing, more subjective features pertinent to the
setting up of a basis for comparison in terms of style, ambiance and clientele,
which one might reasonably have expected, were the clause to have the meaning
for which the respondents contend. I join with Lord Hodge in being struck by
the fact that, so far as demonstrated by the evidence led, neither party
appears to have been particularly aware of what the other's business or
intentions were. Had it been that the parties intended a subtle, nuanced
agreement founded on style and ambiance, I would have expected at least some
evidence of investigation and knowledge by the respondents of those aspects of
the reclaimers' Tollcross venue.
[13] I also think that the terms of clause 2.2
reinforce that generic colour in respect that they in themselves are couched in
similar generic terms and have nothing referable to style, selection of music,
ambiance or the like.
[14] While I accept, of course, that the primary
words of prohibition are in the earlier part of clause 2.1, which I have
partially quoted above, I consider that, given their manifest lack of clarity,
it is legitimate to look to the surrounding contractual provisions in an
endeavour to resolve that lack of clarity. Having done so, I incline to the
generic view of the prohibition.
[15] A further factor operating on my mind is the
workability of the competing interpretations. I readily acknowledge that it
cannot be said that the respondents' construction of the contract is wholly
unworkable and must be excluded on that account. But the relative workability
of the competing interpretations is, I think, a factor which the disinterested
third party viewing the contractual provisions and expressing an objective view
as to their meaning would be entitled to take into account. In those relative
terms, the reclaimers, in my view, have the advantage of contending for a
relatively clear, generic criterion as opposed to some relatively subjective,
protean, and thus eminently disputable criterion.
[16] I would also add this. As was pointed out by
counsel for the reclaimers, the prohibition was intended to endure for five
years. It fixed however a comparison, or base, date respecting the Lava Ignite
discothèque business of 1 March 2008; which happened to be a Saturday. No doubt in
recognition of the obvious defects in the drafting, counsel for the
respondents accepted that the particular format and offering of Lava Ignite
on that Saturday could not be the ultimate determinant; something rather wider
had to be understood, namely the general nature of the Lava Ignite business as
around end February /early March 2008. But even so, during the five year
period styles, ambience and atmosphere in discothèques are likely gradually to
change and develop. While it is not a factor to which I would attach much
weight, I think that the reasonable third party would be unlikely to read the
clause as tying the reclaimers to the style formats which they had at that
time, unless they elected to lose protection under the agreement. He would
again be moved in the direction of a generic interpretation.
[17] Accordingly, while recognising again the
difficulty in construing the terms of the agreement, I join with Lord Hodge in
his motion that the reclaiming motion be allowed and that interdict be granted
in the terms amended on the motion of counsel for the reclaimers made at the
Bar.
FIRST DIVISION, INNER HOUSE, COURT OF SESSION
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Lord PresidentLord EassieLord Hodge
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CA108/08
OPINION OF LORD HODGE
in Reclaiming Motion
by
LUMINAR LAVA IGNITE LIMITED
Pursuers and Reclaimers;
against
MAMA GROUP PLC AND MEAN FIDDLER HOLDINGS LIMITED
Defenders and Respondents:
_______
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Act: Ellis, Q.C., McBrearty; McClure Naismith LLP
Alt: Anderson, Q.C.; McGrigors LLP
12 January 2010
[18] The reclaimers ("Luminar") are a company in
a group of companies which operate discotheques. They operate a discotheque
business known as "Lava Ignite" at 3 West Tollcross, Edinburgh. The respondents are
associated companies. They also operate premises for late night entertainment,
principally as live music venues. The first respondents ("Mama") contracted to
purchase the premises at 31 Lothian Road from Luminar Liquid Limited ("Luminar Liquid"), an
associated company of Luminar, in 2008. The respondents intended that the
second respondents ("Mean Fiddler") would operate the premises as a live music
venue.
[19] The two premises are close to each other.
Until 2006 Luminar Liquid had operated a discotheque at the Lothian Road premises; thereafter they
used them as a live music venue. When Luminar Liquid advertised the Lothian Road premises for sale in
2007, they stated in the sales particulars that they were not prepared to sell
the premises to a nightclub or pub operator.
[20] In about January 2008 Mama expressed an
interest in acquiring the Lothian Road premises and thereafter they and Luminar Liquid negotiated a
contract of sale in which they included a clause to restrict the extent to
which Mama could use the premises to compete with the discotheque business
which Luminar operated at Tollcross. Counsel agreed not only that Luminar had
departed in their contract with Mama from their initial position that they
would not sell the premises to a nightclub operator but also that the agreed
restriction on competition was a compromise between their competing interests.
The principal issue in this action is the proper construction of the
contractual restriction which the contract of sale imposed on Mama and Mean
Fiddler.
[21] After the parties completed the sale, Mean
Fiddler operated the Lothian Road premises under the name "The Picture House" primarily as a
live music venue. But they also advertised their intention to operate the
premises as a nightclub/discotheque, at which people would dance to recorded
music, on Friday and Saturday evenings. Luminar considered that this proposed
use infringed the contractual restriction which the parties had agreed.
[22] In their summons Luminar sought to interdict
the use of the Lothian Road premises as a discotheque on the days and times when they operated their
Tollcross premises, namely on Wednesday, Friday, Saturday and Sunday evenings
between 10 p.m. and 3 a.m. An interim interdict dated 19 September 2008 and varied on 15 January
2009 preserved the status quo pending a proof. After hearing evidence at the
proof, the Lord Ordinary assoilzied the respondents. This is a reclaiming
motion against his decision.
The contractual provisions
[23] Luminar Liquid and Mama agreed missives of
sale dated 5
March 2008.
In accordance with the missives, Mama, Mean Fiddler and Luminar then entered
into a "Non Compete Agreement" dated 17 and 27 March 2008 ("the Agreement").
Subject to the occurrence of certain events which are not relevant to this
dispute, the Agreement provided that the restrictions on Mama and Mean Fiddler
would remain in force for five years after 31 March 2008.
[24] The restriction is set out in clause 2 of
the Agreement, which provided:
" 2.1 Considering that the Purchaser [i.e. Mean Fiddler] has purchased the Burdened Property from a Luminar Group company, subject to clause 2.2, with effect from the Effective Date until the date of termination of this agreement ... Mama and the Purchaser jointly and severally undertake to Luminar (as owner and operator of the discotheque business trading from the Benefited Property) not to (1) use the Burdened Property for late night entertainment in direct competition on a like for like basis with the discotheque business of Luminar as carried on at the Benefited Property as at 1st March 2008 or otherwise permit the Burdened Property to be used for late night entertainment in direct competition on a like for like basis with the discotheque business of Luminar as carried out at the Benefited Property at at 1st March 2008, and/or (2) trade (from the Burdened Property) in direct competition on a like for like basis with the discotheque business carried on by Luminar from the Benefited Property as at 1st March 2008. Luminar hereby confirms that it does not use the Benefited Property, nor permit the Benefited Property to be used, nor trade the Benefited Property as a live music venue as at 1st March 2008.
2.2 Except only as provided in clause 2.1 nothing in this Agreement shall or shall be deemed to prevent Mama, the Purchaser or any Associated Company from using the Burdened Property as a music venue, including, without limitation, as a live music venue or as a bar at which music is played or from trading from the Burdened Property as a music venue, including, without limitation, as a live music venue, or as a bar at which music is played and neither Mama nor the Purchaser gives any undertaking in this respect."
The decision of the Lord Ordinary
[25] The Lord Ordinary heard a proof before
answer. Pursuant to his interlocutors dated 17 November and 8 December 2008 the Lord Ordinary had
regard to affidavits which the parties lodged as part of the evidence in chief
of each witness. The evidence which parties led at the proof included an
examination of the prior communings which led to the missives and the Agreement
and also a comparison of the types or styles of discotheque entertainment which
Luminar offered and which Mama proposed to offer.
[26] In his opinion the Lord Ordinary ruled that
the evidence of prior communings was inadmissible. He gave his provisional
view of the meaning of the contractual restriction having regard only to the
wording of the Agreement. That was that the restriction, which forbade direct
competition on a like for like basis, only prevented the respondents from
putting on discotheques which operated in a similar style and sought to appeal
to a similar group of potential customers. He then considered the evidence of
the differences in type or style of entertainment to see if that supported his
provisional view. He concluded that those involved in the business of putting
on club nights or discotheques would understand there to be a distinction
between different styles of club nights at the two venues. That conclusion
lent support to his provisional construction of the restriction.
The reclaimers' challenge
[27] Mr Ellis QC and Mr McBrearty for Luminar
challenged the Lord Ordinary's decision on five grounds.
[28] First, they submitted that the Lord Ordinary
erred in holding that the restriction was unambiguous. Having regard to what
they submitted was the uncertainty as to the meaning of the restriction, the
court required to look to the admissible evidence of the surrounding
circumstances in order to interpret the restriction.
[29] Secondly, they argued that the Lord Ordinary
also erred in rejecting as inadmissible all of the evidence of the parties'
prior communings. They accepted that the court could not look at previous
formulations of a prospective agreement in pre-contractual negotiations or at a
party's subjective statements of intention. But, they submitted, the court
could and should have regard to those negotiations for "legitimate background
facts", which were facts which both parties had in mind when negotiating the
agreement. In particular they submitted that the court should have regard to
evidence about two statements made by or on behalf of the respondents.
[30] The first statement was contained in a
facsimile message by the respondents' solicitor, Mr Meldrum, in the course of
the negotiations. That message, dated 3 March 2008, was sent when the
parties' solicitors were discussing the relationship between clause 2.1 and 2.2
and, so far as relevant, stated:
"MAMA need to be able to use the premises for their normal trade and are simply undertaking not to compete on a like for like basis with Luminar in relation to the other premises. MAMA are not in the business of what you and I would know as "discotheques" i.e. dancing to recorded music however the dictionary definition of "discotheque" is "nightclub for dancing to live or recorded music and often featuring sophisticated sound systems, elaborate lighting and other effects". Live music is MAMA's business but it could be caught under the definition of "discotheque" so we have tried to make it clear that MAMA are not to be prevented from playing live music at all."
This was, it was submitted, relevant either as a representation of fact or as a shared understanding of fact between the parties' solicitors who negotiated the terms of the restriction. The Lord Ordinary held that the respondents had not attempted to mislead Luminar in negotiating the contract. He also held that Mr Meldrum did not know that his clients not only presented live music but also operated club nights at which people danced to recorded music (Lord Ordinary's opinion, paragraphs 40 and 48). Nor did Luminar or their solicitor, Mr Nisbet. The shared understanding of the lawyers was a relevant background fact.
[31] The second statement which Mr McBrearty
sought to have admitted was contained in a letter dated 28 January 2008 from Mama to Luminar
Leisure Limited in which Mr James, a co-CEO of Mama, set out Mama's proposed
offer in eight short paragraphs. The seventh was in these terms:
"(e) We are willing to covenant that the property will be used as a live music venue and will not compete with your other venue in Edinburgh."
[32] In support of the submission, that it was
well established in authority that the court could look at pre-contractual
negotiations to identify background facts which both parties had in mind,
counsel referred to the following authorities: Melville Dundas Ltd v
Hotel Corporation of Edinburgh Ltd 2007 SC 12, Bank of Scotland v
Dunedin Property Investment Co Ltd 1998 SC 657, City Wall Properties
(Scotland) Ltd v Pearl Assurance PLC 2004 SC 214 and [2007] CSIH 79, Chartbrook
Ltd v Persimmon Homes Ltd [2009] 1 AC 1101, Prenn v
Simmonds [1971] 1 WLR 1381, and Inglis v Buttery & Co (1877) 5 R 58 and (1877) 5 R (HL) 87.
[33] The two statements which Luminar invited the
court to consider were relevant and admissible either as factual statements by
the respondents as to the nature of their business or, in the case of the
solicitor's e-mail, as a shared understanding between the parties' solicitors.
The statements were to be interpreted objectively. They revealed the "genesis
and aim" of the Agreement and supported the view that both parties proceeded on
the basis that the respondents were engaged only in the provision of live music
at their venues and wished to acquire the Lothian Road property only for that
purpose.
[34] Thirdly, counsel submitted that, while they
did not challenge the Lord Ordinary's findings of fact, he had misapplied those
findings in his construction of the contractual restriction. Having regard to
the evidence that it was likely that there would be significant cross-over
between the clientele of the two premises, which he accepted in paragraph 99 of
his opinion, the Lord Ordinary had been wrong to conclude (in the following
paragraph) that such a cross-over had no bearing on whether the two venues
would compete on a like for like basis.
[35] Fourthly, counsel submitted that the
construction which the Lord Ordinary favoured was not commercially sensible.
It would be very difficult to police the restriction because it would depend to
a large degree on subjective judgements about the similarity or otherwise of
the offerings and the extent to which the same people would be attracted to the
competing entertainments. The Lord Ordinary in his findings of fact recorded bona
fide differences of view between witnesses, all of whom he found both
credible and reliable on these issues. See paragraphs 60 - 62 of his opinion.
The Lord Ordinary stated (in paragraph 94 of his opinion) that he did not
propose to attempt any definition of the distinction. In his discussion of the
evidence he referred to differences in the layout of the premises, the type of
music played, the ambience created and the clientele who were likely to be
attracted. He thought that, like the elephant of legal fiction, it could
easily be recognised by those who attended with any regularity. But the
evidence revealed that people involved in providing nightclub entertainment
held clearly differing views on whether there was such a distinction and, if
so, whether it affected competition between the venues.
[36] Fifthly and finally, they submitted that on
a proper construction, the late night entertainment which was prohibited was
that which was (i) in direct competition and (ii) on a like for like basis.
The first phrase referred to having days and times of opening which were the
same as or overlapped with Luminar's opening times. Thus Mama could use the Lothian Road property for otherwise
prohibited activities at times when Luminar were not providing a discotheque in
the Tollcross property. The second phrase referred to the playing of recorded
music for dancing. Other uses were not prohibited. This construction had the
commercial advantage that both parties could readily ascertain whether or not
the activity in the Lothian Road property complied with the contractual restriction.
[37] I deal with the response by Mr Anderson QC
on behalf of the respondents in relation to the first four grounds in my
discussion below. In relation to the fifth ground his submission was that the
relevant clause should not be read disjunctively. That was not the plain
meaning of the words and would not be consistent with the manner in which a
reasonable third party aware of the commercial context would construe the
clause: Emcor Drake and Scull Ltd v Edinburgh Royal Joint Venture 2005 SLT 1233. The Lord
Ordinary's construction of the clause was the correct one. It was strongly
supported by the evidence which showed that the entertainment which the respondents
proposed to provide at the Lothian Road property on club nights was radically different from that
which Luminar provided in their Tollcross premises. While it might be more
difficult to operate the clause on the respondents' construction than on
Luminar's, both constructions would allow the contract to have effect. The respondents'
construction fulfilled a clear commercial purpose and it was the task of the
court to construe what the parties had agreed.
Discussion
[38] In
relation to the first ground of challenge, it seems to me to be a matter of
choice whether a judge in his reasoning first analyses the background facts
before considering the relevant contractual provision or looks first at the
provision before testing his view of it against those facts. I do not consider
that the words "late night entertainment in direct competition on a like for
like basis with the discotheque business of Luminar as carried out ...as at 1st
March 2008" have a clear meaning when considered in isolation and discuss this
further when considering the reclaimers' fifth ground of challenge. But I see
no error in law in the Lord Ordinary's approach of considering first the words
in question and then reassessing his view of them after having regard to the
relevant background circumstances. It is not part of our law of contract that
the court can have regard to relevant background circumstances only if there is
ambiguity in the words of an agreement. The Lord Ordinary is supported by Lord
Mustill's view, which he quotes, that in most cases "the enquiry will start,
and usually finish, by asking what is the ordinary meaning of the words used" -
Charter Reinsurance Co Ltd v Fagan [1997] AC 313 at p.384B-C.
[39] The second ground of challenge relates to
the admissibility of the two selected statements in the course of the prior
negotiations. While there may be uncertainties as to the boundaries of the
rule excluding the use of parties' negotiations as an aid to construction, as
Lord Kingarth observed in City Wall Properties (Scotland) Ltd at
paragraph 38, the law on this matter is well-established and the House of Lords
recently upheld the general exclusionary rule in Chartbrook Ltd v
Persimmon Homes Ltd. The general rule is that the court will not have
regard to statements of parties or their agents in the course of the
negotiation of a contract as an aid to the construction of the words which the
parties use in the final version of the contract which alone expresses their
consensus.
[40] That rule is justified on two grounds.
First, the consideration and interpretation of previous formulations of what
one or other party was seeking in the negotiations may be irrelevant to the
construction of the words which they eventually adopt to express their
consensus. Secondly, even if the words which parties used in the negotiations
are not irrelevant, they are excluded on pragmatic grounds. In Prenn v
Simmonds Lord Wilberforce (at pp.1384G-1385A) discussed the basis of the
exclusionary rule and stated that the reason for excluding evidence of the
exchanges in negotiations was that such evidence was "unhelpful." He stated:
"...where negotiations are difficult, the parties' positions, with each passing letter, are changing and until the final agreement, though converging, still divergent. It is only the final document which records a consensus. If the previous documents use different expressions, how does construction of those expressions, itself a doubtful process, help on the construction of the contractual words? If the same expressions are used, nothing is gained by looking back; indeed something may be lost since the relevant surrounding circumstances may be different."
The pragmatism, which underlies the exclusionary rule, is concerned with predictability and economy. There is considerable scope for dispute about the meaning of the statements, whether oral or in writing, which parties make in their negotiations. This may distract attention from the construction of the words which parties eventually used to express their consensus and cause greater uncertainty of outcome in contractual disputes. Admission of evidence of the negotiations will in any event, as Lord Hoffmann observed in Chartbrook Ltd v Persimmon Homes Ltd (at para 35), "add to the cost of advice, litigation or arbitration."
[41] But the exclusion of evidence of the prior
negotiations is not absolute. The court's task in construing a contract is to
ascertain what a reasonable person, having all the background knowledge which
would have been available to the parties, would have understood them to be
using the words in the contract to mean: Chartbrook Ltd v Persimmon
Homes Ltd, Lord Hoffmann at para 14. As a result the court has for a long
time looked at what Lord Ormidale called "the surrounding circumstances" when
construing the words of the contract: Inglis v Buttery, Lord
Ormidale at pp.67-68, Lord Blackburn at (HL) pp.102-103. In some cases things
said and done in the process of negotiation may be part of "the surrounding
circumstances."
[42] Evidence of the factual background to the
contract is relevant where the facts are known to both parties and those facts
can cast light on either (i) the commercial purpose or purposes of the
transaction objectively considered or (ii) the meaning of the words which the
parties used in their contract. The two cases very often overlap as the
ascertained commercial purpose gives meaning to particular words or phrases.
[43] In the former case, the surrounding
circumstances may disclose the commercial object of the intended transaction.
If an interpretation of the contract frustrated that object, the court would
prefer an alternative interpretation. The contract should make commercial
sense. In order to understand the commercial purpose of the contract the court
may need to know "the genesis of the transaction, the background, the context,
the market in which the parties are operating": Reardon Smith Line v
Hansen-Tangen [1976] 1 WLR 989, Lord Wilberforce at p.995H.
[44] In the latter case the court is looking for
the meaning of particular words or phrases. The context may give the words a
formal or a popular and looser meaning. The surrounding facts are relevant "to
establish the parties' knowledge of the circumstances with reference to which
they used the words in the contract": Bank of Scotland v Dunedin Property
Investment Ltd, Lord President (Rodger) at p.665G. Thus in that case the
court, in interpreting the meaning of the phrase, "costs ... incurred ... in
connection with the stock", looked to the fact that Dunedin was aware (a) that
the Bank would borrow money to fund the purchase of its long term fixed
interest loan stock and would hedge the transaction and (b) that the Bank would
incur costs in relation to the hedging if Dunedin repaid the loan and purchased
the loan stock early. It was in this context that Cardozo J used the phrase
"genesis and aim" on which counsel for Luminar relied: Utica City National
Bank v Gunn (1918) 118 N.E. 307, at p.308.
[45] Facts which are known only to one party are
not admissible as part of the surrounding circumstances. For such
circumstances to be available to the court in its task of ascertaining how a
reasonable person would interpret the words of the contract, the circumstances
must have been known to both parties or at least such knowledge must have been
reasonably available to both of them: The Howgate Shopping Centre Ltd v
Catercraft Services Ltd 2004 SLT 231, Lord Macfadyen at para 36. In that case he referred to
the judgment of Lord Wilberforce in Reardon Smith Line v Hansen-Tangen,
in which he stated (at p.996E-F):
"It is often said that, in order to be admissible in aid of construction, these extrinsic facts must be within the knowledge of both parties to the contract, but this requirement must not be stated in too narrow a sense. When one speaks of the intention of the parties to the contract, one is speaking objectively - the parties cannot themselves give direct evidence of what their intention was - and what must be ascertained is what is to be taken as the intention which reasonable people would have had if placed in the situation of the parties. Similarly when one is speaking of aim, or object, or commercial purpose, one is speaking objectively of what reasonable persons would have in mind in the situation of the parties. It is in this sense and not in the sense of constructive notice or of estopping fact that judges are found using words like 'knew or must be taken to have known' (see for example, the well-known judgment of Brett L.J. in Lewis v Great Western Railway Co (1877) 3 Q.B.D. 195."
Knowledge which was reasonably available only to one party would not form part of the factual matrix which could assist the court in the construction of the contract. See also Emcor Drake and Scull, Lord Drummond Young at para [14]. Facts of which both parties were aware but which were not at the forefront of their minds may still form part of the objective setting of the contract or, in Lord Drummond Young's words, "the commercial context in which the contract occurs" (para [13]). In most cases involving the construction of a contract there is no need for a detailed enquiry into which of the parties knew what. Most background facts which are relevant to the written contract in a particular case are, in Brett LJ's words in Lewis v GWR (at p.208), "things which must be taken to have been known by both parties to the contract." But there is, as Lord Macfadyen stated in the paragraph referred to above, a need for particular care where the respective parties to a contract had differing degrees of knowledge about certain of the background circumstances.
[46] In the light of these comments, I can deal
very shortly with Mr James's statement in his letter of 28 January 2008 (paragraph [31] above).
It was not an accurate statement of the scope of the respondents' business
which, being known to both parties, might be part of the surrounding
circumstances; it was a statement of one side's pre-contractual intention at an
early stage in discussions, approximately five weeks before the parties agreed the
terms of the restriction and concluded the missives. Recognising this, Mr
Ellis did not press strongly the submission for the admission of this
statement.
[47] The e-mail by Mr Meldrum dated 3 March 2008 (paragraph [30] above)
raises more complex issues. Luminar argue that the statement is admissible on
two separate bases. The first is that it is evidence of a representation on
behalf of the respondents which should be construed objectively and on which
Luminar were entitled to rely. Mr Meldrum was unaware that the respondents not
only provided live music events but also ran club nights at which people danced
to recorded music. His representation was not accurate in the light of Mr
James's evidence. While Luminar may understandably be aggrieved if they relied
on the representation as the reason why the respondents proposed the words used
in the clause and they accepted those words on that basis, the issue for the
court is not misrepresentation or personal bar but the meaning of the
contractual provision which the parties eventually agreed. In my opinion the
making of this representation does not fall within the shared knowledge of the
parties of the factual background which is available to the court in construing
the contract.
[48] Secondly, Luminar's counsel also touched on
but did not develop arguments on the issue of whether an inaccurate
understanding which was shared by solicitors who negotiated the terms of the relevant
provision could be part of the admissible surrounding circumstances, although
one of the principals would have known, if informed of that understanding, that
it was incorrect. The submission was that Luminar and their solicitor on the
one hand and the respondents' solicitor on the other had a shared understanding
which informed the eventual agreement. Parties did not cite any authority on
extent to which a shared understanding of solicitors, who negotiated the
detailed terms of an agreement, could be imputed to their principals in this
context. In the absence of a more detailed citation of authority I do not
think that it is appropriate to express any view on that issue.
[49] It is in any event unnecessary to deal with
the point in this case. In my opinion the Lord Ordinary was correct in
excluding the evidence of Mr Meldrum's email because, as Mr Anderson submitted,
it and the other emails did not assist the determination of the question in
this case. Even if respondents did not provide discotheques at which recorded
music was played, as Mr Meldrum stated, that fact would not answer the question
whether the clause prevented them from doing so in future. There is also a
danger of taking one communication out of its context in the negotiation. That
context was a discussion of why the respondents would not accept a complete ban
on all discotheques. No such ban was eventually agreed as Luminar accept that
the restriction does not prevent the respondents from providing discotheques on
nights when they do not do so. Another email which Mr Meldrum sent on the same
day would, if admissible and taken out of context, support the respondents'
position. See the Lord Ordinary's opinion at paragraph 46. In context the
emails are principally statements of subjective intention. As Lord Wilberforce
warned in Prenn v Simmonds (at p.1385C) it is dangerous to admit
evidence of one party's objective even if this is known to the other party. The
statements fall to be excluded either as irrelevant or on the pragmatic grounds
discussed above.
[50] It is not necessary to dwell on the third
ground of challenge. The market research evidence which Luminar presented
suggested that between thirty and sixty five per cent of their customers who
were shown Mama's flyers might visit the Picture House to dance to recorded
music. Unsurprisingly, the Lord Ordinary concluded that there was a
significant body of potential customers who might be attracted to different
types of nightclub. But he interpreted this as simply competition for the
leisure pound, which, on his construction, the clause did not prevent.
[51] Mr Anderson criticised Luminar's submission
for "cherry-picking" and taking the findings out of their context. The
evidence of other witnesses, such as the DJs, Andy Wilson and Kevin Mellotte,
and Mama's Mr James supported the view that there was a distinction in the
types of music to be played. Luminar offered principally mainstream music
while the respondents proposed to play alternative music genres, such as rock,
indie, grunge or gothic. Professor Frith, the Tovey Professor of Music at the University of Edinburgh, spoke of his work in
classifying different kinds of musical event. He drew a distinction between a
dance club, such as Luminar's provision at Tollcross premises, and a music
club, into which category he placed the Picture House.
[52] In my opinion there was evidence which
entitled the Lord Ordinary to conclude that people in the music industry would
appreciate that there were distinctions between what Luminar provided at
Tollcross on Friday and Saturday nights and what Mama proposed to provide at
the Picture House. The evidence of substantial crossover certainly calls into
question Mr James's assertion that the Picture House would not compete with Luminar's
venue and similar assertions by Professor Frith. The flyers for the Picture
House, such as Pro 6/12 which portrayed what the Lord Ordinary correctly
described as "a seductively clad girl dancing against a background of hi-fi
speakers," and which stated drinks prices, may not have supported the
assertions that young people went to one venue to listen to music and to the
other to meet members of the other gender or to get drunk. But if the Lord
Ordinary were correct in his construction of the contractual words as focusing
on the nature of the provision of recorded music for dancing at the respective
premises in terms of style of music, ambience et cetera, I do not see his
conclusion, viz. that the extent of crossover was a separate question from
"like for like" provision, to be a misapplication of his factual findings.
[53] I have more difficulty with the idea that
such evidence of substantial crossover is simply showing competition for the
leisure pound, for which theatres and cinemas also might compete. It is
important in my view to recall that one is dealing with late night
entertainment in clubs, rather than theatres, cinemas and restaurants which
function earlier in the evening. If accurate, the market research which
Luminar commissioned suggested that there would be significant competition
between their venue at Tollcross as operated on Friday and Saturday nights and
the Picture House on its club nights. But that is of limited relevance as none
of this market research was available to the parties when they contracted and
thus does not form part of the surrounding circumstances which are available to
assist construction of the agreement.
[54] Luminar's fourth ground of challenge rested
on the well-established proposition that a contract should if possible be given
a commercially sensible construction: Bank of Scotland v Dunedin
Property Investment Co Ltd at p.661D-F. Mr Anderson did not dispute that
proposition but submitted that each party's construction was commercially
sensible and that, in considering what meaning was more likely to be intended
by reasonable businessmen, the court had to be alive to the likelihood that the
restriction was a compromise between competing interests.
[55] He submitted that in the light of the Lord
Ordinary's clear findings of fact in support of his conclusions that the two
venues sought to project different images and about the different manners in
which the dance music was played, there would not be any difficulty in policing
the restriction. Luminar did not challenge those findings of fact. I can
readily see the force of that submission in the context of a comparison between
what the Picture House proposed to provide and what Luminar provided on Friday
and Saturday nights. Where there is likely to be considerably more difficulty
is in a comparison between what Luminar provide on Wednesday and Sunday nights,
which are student nights, and the respondents' proposed offer. Both parties
accepted that the use in the restriction of the date of 1 March 2008 was not
intended to have only Luminar's provision on that Saturday evening as a
comparator but that it was a reference to their provision at or around 1 March
2008. It therefore seems to me that there would be more delicate issues of
judgement in any attempt to enforce the restriction on the Lord Ordinary's
construction than on the reclaimers' construction. It was not suggested that
Luminar would be deprived of the protection of the restriction if at any time
in the five-year period they chose to have a student night on a Friday or
Saturday night. If so, the differences in provision would be much less clear
and more delicate questions of subjective judgement would arise.
[56] I consider therefore that it would be more
difficult for parties to know where they stood in relation to the restriction
on the respondents' construction than on the reclaimers' and that delicate
questions of subjective judgement would arise. But that is not a pointer of
any great weight in the construction of the restriction as neither party's
construction is unworkable.
[57] The most difficult issue, in my opinion, is
raised to in Luminar's first and fifth ground of challenge: what is the correct
construction of the phrase in the context of the clause as a whole and in the
light of the surrounding circumstances? The phrase which the parties used
seems to me to be a recipe for litigation. As I consider that those words of
restriction, taken by themselves, are capable of bearing the meaning which each
party suggests, it is only after some hesitation that I have reached a
concluded view.
[58] I have respectfully found myself differing
from the Lord Ordinary in the construction of the provision. I have reached
the view that Luminar are correct in their assertion that the provision prohibited
Mama from putting on any discotheque at which recorded music was played for
dancing at the times when Luminar were providing such entertainment at their
Tollcross venue. I have reached this view principally for three reasons, which
I examine in turn. They are, first, on considering the clause as a whole I am
left with the impression that the intended restriction was of a more generic
nature than that for which the respondents argued. I do not share Luminar's
view that the phrase which contains the restriction should be interpreted
disjunctively; but that does not affect my conclusion. Secondly, when I
consider the surrounding circumstances, I am struck by how little the parties
appear to have known about each other's provision or intended provision in the
venues in Edinburgh. Thirdly, I consider
that, on the respondents' construction, the parties would have significantly
more difficulty in determining whether or not a particular provision by the respondents
would breach the restriction than on that of Luminar.
[59] In construing the words of restriction it is
necessary to consider their place in the context of the clause as a whole. The
clause is awkwardly drafted as clause 2.1 is expressly subject to clause 2.2
but clause 2.2 states that clause 2.1 defines the extent of the restriction.
The clause as a whole does not lend itself to precise semantic analysis. But
that does not matter because in construing a commercial contract the court
seeks to discern what a reasonable businessman would understand to be the
commercial intention of the parties.
[60] An analysis of the words themselves does not
lead to a clear conclusion. The words of restriction have as comparators on
the one hand "late night entertainment" and on the other "the discotheque business
of Luminar" as carried out around the time of the agreement. I agree with the
Lord Ordinary that if the reclaimers' construction of the restriction were
correct the parties could have stated that intention more easily by prohibiting
the use of the Lothian Road premises as a discotheque whenever the Tollcross premises were in use.
But that does not assist very much; a similar point can be made in relation to
the respondents' construction. Rather than use as a comparator "late night
entertainment" which competed directly and on a like for like basis, the
parties could have referred to the use of the Lothian Road premises as a
discotheque, which by virtue of the music played, the ambience created and the
target clientele, competed directly with Luminar's premises at Tollcross. They
did not do so. The court's task is to construe the words which the parties
have used. The comparator was not a discotheque; it was simply late night
entertainment. The question is: what form of late night entertainment is prohibited
because it is provided in a similar manner and competes directly with Luminar's
provision? I am left with the impression that the words used in the context of
the clause as a whole were a negotiated compromise which might have meant
different things to each party.
[61] Thus it is in looking at the clause as a
whole that one gets an impression of what the parties are to be taken to have
intended. On doing so I have an impression that the restriction was intended
to be generic rather than specific. In particular, in the closing words of
clause 2.1, the parties made it clear that the restriction did not prevent Mama
from using the Lothian Road premises as a live music venue. Clause 2.2 seems to have been intended principally
to confirm that the restriction does not cover a live music venue or the use of
the Tollcross premises as a bar at which music is played. There may be other
undefined forms of music venue which were to be excluded but there is nothing
which suggests that the parties contemplated drawing distinctions between
different types of late night discotheque at which recorded music was played
for dancing. If the reasonable businessman on looking at the words of
restriction which parties used were to detect a shared understanding on the lines
of the respondents' construction, he might wonder why parties bothered to
exclude music played at a bar in clause 2.2 and in both parts of the clause
excluded the playing of live music. He might ask why parties included clause
2.2 at all.
[62] In my opinion the words of restriction in
the first part of clause 2, when viewed in the context of the clause as a
whole, impose a generic restriction. The restriction on late night
entertainment which competes directly with and is in a similar manner to what
Luminar provided at the Tollcross premises appears to me to prohibit the
provision of the Lothian Road premises for dancing to recorded music at the times when Luminar provide
such entertainment. The stipulation that the other comparator was how Luminar
operated their discotheque in the Tollcross premises at about March 2008 is
explained by the understandable wish to have a baseline for comparison in order
to prevent Luminar from moving the goalposts by altering radically their
provision during the five-year period of the restriction.
[63] I turn to the knowledge of the surrounding
circumstances which would be available to the reasonable businessman when he
interprets the words which the parties used. The admissible surrounding
circumstances include the shared knowledge of the geographical proximity of the
competing premises and also of Luminar's initial marketing particulars. But
those facts reveal little about the meaning of the restriction to which the
parties agreed after negotiation.
[64] Beyond those matters, I am struck by how
little each party seems to have known about what the other was doing or was
intending to do. The parties appear to have led very little evidence about
what was common knowledge which might form the factual matrix. I recognise
that both parties were national business organisations and may have had some
knowledge of each other's general business, but that, on the Lord Ordinary's
findings of fact, does not amount to much. Both parties knew that Luminar
provided late night discotheque entertainment. It may be possible to infer
that Mama knew from information available within the industry that generally
Luminar played mainly "mainstream" music at its Tollcross venue as the market
research which the respondents later commissioned from Progressive Partnership
suggested. But there is no evidence that Mama made any enquiry into the nature
of the musical provision in the three rooms of the Tollcross venue on the
different nights of the week in early 2008 to inform themselves of the
comparator for its interpretation of the restriction. Unlike the Lord Ordinary
(in paragraph 21 of his opinion), I do not infer from the words of the clause
that parties had an appreciation that Luminar carried on a discotheque business
at Tollcross of a particular kind or style and which appealed to a certain
group of potential customers. And the admissible evidence of the surrounding
circumstances does not support such an appreciation.
[65] Both parties knew that Mama provided live
music venues but the Lord Ordinary has held by reference to Mr Marks's
evidence, and that finding has not been challenged, that Luminar were not aware
that the respondents always provided club nights for dancing to recorded music
at their live music venues or that it was their intention to do so in the
Lothian Road premises. Thus a shared knowledge that the respondents invariably
or normally provided such club nights is not part of the surrounding
circumstances.
[66] Further, while many people in the industry
would be aware of distinctions between different types of clubs and
discotheques which, as the Lord Ordinary has found, may not be capable of
precise definition, there was no shared understanding that those distinctions
would prevent significant competition in the form of crossover of clientele.
The witnesses from Luminar and Mama had radically opposing views on this issue.
[67] In short, there is nothing in the admissible
surrounding circumstances which in my view points clearly towards the respondents'
construction of the restriction.
[68] Finally, I think that absent any
investigation of Luminar's provision at Tollcross in about February 2008 the
parties would find it considerably more difficult to ascertain whether Mama
were complying with the restriction, if it were construed as the respondents
submitted it should be. That problem would not arise if the clause created the
generic restriction. But for the reasons which I set out in paragraphs [53]-[56]
above, I do not attach significant weight to that consideration.
[69] I conclude that the restriction entitles
Luminar to the interdict which it has sought. I would therefore allow the
reclaiming motion, sustain the reclaimers' first plea in law and repel the
respondents' pleas in law. I would also reserve all questions of expenses.
Postscript: the use of affidavits and signed witness statements
[70] The Lord Ordinary in a postscript to his
opinion discussed the proper approach for the court which has authorised
parties to present evidence in the form of affidavits in a commercial action
under Rules 47.11 or 47.12. This court invited counsel to address it on the
issues raised. Counsel agreed with the Lord Ordinary's approach but suggested
that the court and parties had to exercise some care in selecting the cases in which
affidavits or signed witness statements would be appropriate. Where there were
sharp issues of credibility and reliability in relation to the evidence of
particular witnesses, that evidence should be taken orally. There was always a
danger that the text of the written statement would be far removed from the
words which the witness would use unprompted. Counsel recognised that the use
of such statements saved considerable court time. They expressed the view that
it was very important that a witness should have signed off his affidavit or
statement before he saw the affidavits or statements which the other party had
tendered or which other witnesses of the party calling them had given.
[71] It is the practice of the commercial judges
in an appropriate case to order parties to lodge affidavits or signed witness
statements in advance of a proof with the intention that they will form the
bulk of each witness's evidence in chief. Once the witness appears in court
counsel asks him to identify and (if the witness statement is not an affidavit)
confirm the truthfulness of the statement. The witness is given the
opportunity to correct anything said in the statement or to amplify matters in
the light of the other evidence and may also be asked supplementary questions.
When counsel use the first witness to introduce the case to the court it is
common for counsel to show the witness, and thereby the court, the relevant
documentary evidence. In each case the witness may be cross-examined and
re-examined in the ordinary way.
[72] If parties produce such affidavits or
witness statements at different times in advance of the proof there is a risk
that, if a later witness is shown the statements of other witnesses, his
evidence might be altered from what it would otherwise have been. In Watson
v Student LoanS Co Ltd [2005] CSOH 134, Lord Hardie criticised the
briefing of an oral witness when a solicitor had shown the witness the evidence
of another witness which had been taken on commission. I agree with the Lord
Ordinary in his endorsement of Lord Hardie's view that in our legal system it
is not permitted to brief or coach a witness with a view to his altering his
evidence.
[73] When parties are ordered to exchange
affidavits or witness statements on the same day there is no risk of one party
having seen the other party's statements in advance. When taking a witness
statement or preparing an affidavit, a party's solicitor can precognosce the
witness in the normal manner, which includes asking questions in the light of
what the solicitor knows from other statements which he has obtained. But it
would not in my view be appropriate for the solicitor to show the witness the
statements or draft statements of other witnesses at this stage. Once the
parties had exchanged statements it would be perfectly acceptable for a
witness, whose statement had been exchanged, to be shown the other statements
which were relevant to his evidence and for him to be given an opportunity to
modify his evidence in the light of that evidence. Where a witness wished to
modify his evidence, this could be done by lodging a supplementary affidavit or
statement explaining the change and the reason for it. Alternatively, he could
do the same in oral evidence at the proof. The change would thus be made
openly. It is sometimes the practice of the commercial judges when fixing a
timetable for the exchange of witness statements to specify also a later date
by which parties may produce supplementary affidavits or statements to make
transparent any change of position and to narrow down the issues in
dispute.
[74] As the Lord Ordinary has stated, the use of
such written statements is a move away from "trial by ambush" and allows a
witness to give a considered response to points which may be made against him
and the evidence given by others. I have no difficulty with this approach.
But I consider that where a party proffers an initial affidavit or witness
statement of a witness after the exchange of the statements of other witnesses,
the solicitor tendering the statement should certify by letter to the court
that the witness has not seen or been informed of the evidence of others or, if
he has, specify the statements which the witness has seen or been told about
and the circumstances in which that has occurred.
[75] In my opinion this approach would be
consistent with our traditions in relation to the giving of evidence in court.