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You are here: BAILII >> Databases >> Scottish Court of Session Decisions >> Thomson (AP) v The Scottish Ministers [2013] ScotCS CSIH_63 (28 June 2013) URL: http://www.bailii.org/scot/cases/ScotCS/2013/2013CSIH63.html Cite as: [2013] ScotCS CSIH_63 |
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SECOND DIVISION, INNER HOUSE, COURT OF SESSION |
|
Lord Justice Clerk Lord Menzies Lady Dorrian
|
A1030/08
OPINION OF THE COURT delivered by LORD CARLOWAY, the LORD JUSTICE CLERK in the reclaiming motion ANN THOMSON (AP) Pursuer and Reclaimer; against THE SCOTTISH MINISTERS Defenders and Respondents: _______ |
Act: Di Rollo QC, Divers; Drummond Miller LLP (for Ross Harper, Glasgow)
Alt: Moynihan QC, McBrearty; Anderson Strathern LLP
28 June 2013
The pleadings
[1] The
pursuer is the mother of the late Catherine Thomson, who was murdered by John
Campbell on 22 August 2005 at her mother's address in Fernleigh Place,
Moodiesburn. At the time of the murder Mr Campbell was serving a sentence
of imprisonment, but had been permitted a "short leave". This was a temporary
release from prison to enable Mr Campbell to visit his own home, which was
stipulated as being that of his mother, in Deepdene Road, Moodiesburn.
Following upon his arrest on 26 August 2005, Mr Campbell committed
suicide.
[2] Mr Campbell
was a person with a significant criminal record. It is averred that over the
period from 1987 to 2001 he had accumulated some 36 convictions. On 20 January
1998, he had graduated to the High Court in Glasgow, where he was sentenced to
four and three years imprisonment respectively for offences of assault and
robbery and a contravention of the Firearms Act 1968. He was released from
that sentence on 8 March 2001, but his licence was revoked two months
later following his arrest on charges of breach of the peace and possession of
a knife. He was released on licence again on 1 May 2002 and, a few days
later, assaulted his estranged wife and her female friend at his wife's home.
He was convicted of that offence on 27 August 2002, when he was sentenced
to eight years and six months imprisonment for assault to severe injury and
permanent disfigurement by use of a knife.
[3] The
temporary release of prisoners is governed by the Prisons and Young Offenders
Institutions (Scotland) Rules 1994. Rule 14A divides the supervision
levels of prisoners into high, medium and low. The appropriate level is
assigned having regard to a variety of different criteria, including the
seriousness of the offence of which the prisoner has been convicted, his
criminal record, conduct in custody and other related matters. The governor is
required to review the level at least every twelve months after the expiry of
an initial period of assessment.
[4] Rule 120(2)
provides that the governor of a prison may grant an "eligible" prisoner short
leave if he is of the opinion that it is appropriate to do so, having regard to
certain criteria. A prisoner is only "eligible" if he has been assigned a low
supervision level. Rule 126 permits the Scottish Ministers to give
directions on, amongst other things, the manner in which a governor will
consider an application for short leave and the relevant criteria which have to
be satisfied before granting release. In terms of a direction dated
11 February 2005, one matter which a governor is required to carry out is
an assessment of the risk that the prisoner may abscond and/or present a danger
to the public. A governor requires to record his/her decision and the reasons
for it in writing.
[5] After a
short period in HM Prison Barlinnie, Mr Campbell was transferred to HM Prison
Kilmarnock, where he was assessed as requiring high supervision. This level took
into account his regular abuse of drugs, attempts at suicide and need for anger
management. In May 2003 his supervision level was reduced to medium. In
December 2004 it was reduced to low, thus allowing him to become eligible for short
leave. It is the pursuer's contention that at no point should Mr Campbell's
level of supervision have been reduced below medium.
[6] In May
2005, Mr Campbell was transferred to HM Prison Friarton and, in July, to
the open prison at Castle Huntly. In early course he applied for short leave.
His application was granted on 8 August 2005, although it is averred that
no assessment was carried out by the governor in relation to the risk which he
posed to the public. It is also averred that no reasons for the grant of leave
were recorded in writing. It is said that a proper assessment of the risk
posed by Mr Campbell, which would have taken into account his history of
significant violence, substance abuse, lack of co-operation with authority and
related matters, would have concluded that there was an "unacceptable" risk
that he would behave violently in the event of release.
[7] On
18 August 2005, the deputy governor of the prison met with
Mr Campbell to review the grant of leave. By that time Mr Campbell
had tested positive for illegal drugs. As a result of that, a penalty of loss
of home leave was imposed, but this was suspended for a period of two months. Mr Campbell
was released on 19 August and transported to Buchanan Street Bus Station,
Glasgow, in accordance with normal arrangements.
[8] The pursuer
avers that, after his arrival at Buchanan Street, Mr Campbell made his way
to his mother's house in Deepdene Road. It was after that that he came into
contact with the deceased. The deceased was known to Mr Campbell. She
had been a friend of his since childhood. She had grown up with him in
Moodiesburn and had been the girlfriend of his brother for some five years.
She had regularly socialised with Mr Campbell. Mr Campbell and the
deceased consumed a variety of Class A drugs over 20 and 21 August. It is
said that at some point during this period he made threats to kill the deceased
as she had not returned certain money of his. He stabbed her to death on 22
August.
[9] On the
basis of these factual averments, the pursuer seeks reparation from the
defenders, by reason of the fault and negligence of the Scottish Prison Service
("SPS") and their staff, for whose acts and omissions, in the course of their
employment, the defenders are said to be responsible. In particular it is
averred that:
"The Scottish Prison Service owed a duty of care to the deceased and other members of the public not to release violent and dangerous prisoners such as Campbell on short term leave if such prisoners presented a real and immediate risk of danger. Campbell presented a real and immediate risk of danger to the public. That he did so was known or ought to have been known to the defenders".
[10] It is contended
that the SPS knew or ought to have known that, when released on leave,
Mr Campbell would abuse alcohol and drugs and that he would come into
contact with family members and their associates. The SPS knew that he had
unresolved anger management difficulties and that his propensity to abuse illegal
drugs rendered him liable to be violent and dangerous "to those with whom he
would be expected to have dealings during the weekend release". The SPS were
aware of the various risk factors. On that basis it is averred that:
"They knew that these factors were such that he posed a real and immediate risk of danger to those persons with whom he would be expected to have dealings during his weekend release".
[11] In short,
the pursuer maintains that Mr Campbell should not have been characterised as
suitable for low level supervision and that, in any event, his circumstances
were such that he should not have been considered for short leave. As a
separate ground of claim it is maintained that the SPS did not protect the life
of the deceased, as they were required to do, in terms of Article 2 of the
European Convention on Human Rights. They were thus acting unlawfully in terms
of section 6(1) of the Human Rights Act 1998.
The Lord Ordinary's
decision
[12] The Lord Ordinary dismissed the action as irrelevant. He did so
having heard extensive submissions on the extent of the duty of care owed by
prison and other public authorities to those outside the prison walls, in the
event of either an escape or a negligent release on parole. The Lord Ordinary
focused his analysis on the need for "proximity" in defining the extent of the
duty of care owed to a person's "neighbour" in terms of Lord Atkin's classic dictum
in Donoghue v Stevenson 1932 SC (HL) 31 (at 44-45). He looked
carefully at the speech of Lord Diplock in Dorset Yacht Co v Home
Office [1970] AC 1004 (at 1070), where it was emphasised that, for a duty
of care on the part of a custodian of a prisoner to exist, there had to be some
relationship between the custodian and the injured party which exposed that
party to "a particular risk of damage ... which is different in its incidence
from the general risk of damage from criminal acts of others which he shares
with all members of the public". The Lord Ordinary noted that this approach
had been adopted by Lord Keith in Hill v Chief Constable of West
Yorkshire [1989] 1 AC 53 (at 62). The need for proximity as a component
had been affirmed by the tripartite test, which appeared in Caparo
Industries v Dickman [1990] 2 AC 605 (Lord Bridge at 617-618) and which
was in turn said to be part of the law of Scotland in Mitchell v Glasgow
City Council 2009 SC (HL) 21 (Lord Hope at para [25]).
[13] The Lord
Ordinary specifically noted the statement of principle that foreseeability of
harm to the public at large was not sufficient for the imposition of a duty of
care. It was that statement which he regarded as "the point of departure"
between the respective approaches of the parties. He considered that the
pursuer's case came within the category or sub-category of incidents analysed
in Dorset Yacht Co (supra), Palmer v Tees Health Authority
[2000] PNLR 87, K v Secretary of State for the Home Department
[2002] EWCA Civ 775, State of New South Wales v Godfrey [2004] NSWCA 113 and Couch v Attorney General [2008] 3 NZLR 725. In
that regard there was a need to establish proximity in addition to
foreseeability. For there to be a duty of care, there had to be a "special
risk", by which was meant that, in some way particular to the injured party,
there was a serious risk beyond that engaged by the world in general. Put
another way, there had to be something "special to the injured party that he or
she does not share with other members of the public" (Opinion, para [40]).
Although he recognised the illogicality of the matter in certain circumstances,
a particular or special risk of harm was required. Such a risk was not present
in the case of the deceased.
[14] In relation
to the human rights case, the Lord Ordinary analysed a number of authorities,
notably Osman v United Kingdom (1998) 29 EHRR 245, Mastromatteo
v Italy, 24 October 2002, European Court of Human Rights (no 9
37703/97), Maiorano v Italy, 15 December 2009, European
Court of Human Rights (no 28634/06) and Van Colle v Chief Constable
of Hertfordshire Police [2009] 1 AC 225. He held that, for there to be a
valid claim, there required to be a risk to the life of an identified
individual which was both real and immediate. That had not been averred and,
accordingly, the claim based on the failure to protect the deceased's human
rights was bound to fail.
Submissions
[15] Before
turning to the submissions, the court requires to emphasise the need for
parties to restrict the citation of authorities within reasonable bounds. The
court stresses that its intention, in publishing the Practice Note No 3 of 2011
- Causes in the Inner House, was to increase the efficiency of the appellate
Divisions with a view to improving the quality of justice offered in all
appeals. The terms of the Practice Note were framed after much detailed
deliberation and consultation. They provide (para 90) that, as a generality,
the joint list of authorities should "not include more than 10" such
authorities "unless the scale of the reclaiming motion... warrants more extensive
citation". The court accepts that the issues in this case may have merited
reference to more than 10 cases, although even this is doubtful given that most
of the law is set out in a few relevant cases decided since 2000 which quote at
length the significant dicta in the earlier precedents. On no view did
the case merit the citation of the 40 or so authorities mentioned in the list
lodged in advance (to which further cases were added during the hearing). If
there is to be citation of in excess of 10 authorities or thereby, this
must be brought to the attention of the procedural judge in advance of the
hearing and prior to the lodging of the relative, electronic or hard, copies.
If it is not, it is likely that the court will disallow the expenses of lodging
any copies beyond the number stipulated in the Practice Note or authorised by
the procedural judge. The Auditor of Court will be made aware of this view
accordingly.
Pursuer and reclaimer
[16] The
pursuer's claim arose from the release of Mr Campbell by the SPS in breach of
the rules and directions applicable to the temporary release of prisoners. Mr
Campbell was required to be confined to prison and could not lawfully be
released other than in accordance with the provisions of the 1994 Rules (supra).
He was not released on parole or licence and he did not escape from custody.
In that sense, the present case differed from others which had been before the
courts. There were no reported cases directly in point. The critical feature
was that Mr Campbell was at all material times subject to the control of
the SPS as custodian.
[17] Notwithstanding
that it had been argued before the Lord Ordinary that a duty of care was owed
by the SPS to members of the public at large, the pursuer's position before
this court was that the deceased belonged to a group of people which, although
difficult to define, was at a greater risk than members of the public in
general. She was within that group of persons that Mr Campbell was likely to "have
dealings" with during his weekend leave. She was a member of the Moodiesburn
community into which Mr Campbell was released. She had a close connection with
Mr Campbell's immediate family. She was the sort of person with whom he was
likely to come into contact.
[18] There
were three things wrong with the Lord Ordinary's approach. First, he had
decided the case purely on the basis of proximity. He had erred in looking at
proximity in isolation. In order to decide whether to impose a duty of care,
the court had to have regard to the context of the situation and to fairness,
justice and reasonableness (Stovin v Wise [1996] AC 923, Lord
Nicholls (diss.) at 932, followed in Palmer v Tees Health Authority
[2000] PNLR 87, Pill LJ at 106). The separate elements of the tripartite test were
not to be compartmentalised. These elements shaded into one another and it was
necessary to consider all of the elements together and their interrelationship
in order to decide whether a duty of care should be imposed (Caparo
Industries (supra), Lord Bridge at 617 - 618, Lord Oliver at 633; Custom
& Excise Commissioners v Barclays Bank [2007] 1 AC 181, Lord
Rodger at paras 51-53). Whilst foreseeability was conceded by the
defenders for the purposes of the debate, the Lord Ordinary had failed to
consider whether it was fair, just and reasonable to impose a duty. Although
the test was not a single one, how each element of the tripartite construction
was to be assessed was governed by what was regarded as fair, just and
reasonable. The court would not impose a duty of care unless the first two
elements were satisfied, but foreseeability and proximity contained, within
themselves, the concepts of fairness, justice and reasonableness.
[19] Secondly,
the Lord Ordinary had not taken into account the responsibility of the SPS as
custodian of Mr Campbell and their creation of a danger by his release. The
control by the SPS of Mr Campbell was significant and on that basis it may be
appropriate to impose a duty of care (Maloco v Littlewoods
Organisation 1987 SC (HL) 37, Lord Goff at 76-77, followed in Mitchell (supra)
Lord Rodger at paras [56] and [57]). A weaker analogy could be drawn with
the escape of a dangerous thing. The SPS, knowing the propensities of Mr
Campbell, had created a danger by releasing him. Whilst the SPS were not in
the position of insuring the public against all risks (Att-Gen of the
British Virgin Islands v Hartwell [2004] WLR 1273, Lord Nicholls at
para 33), they had to exercise a high degree of care in taking a decision
about whether or not to release someone dangerous on short leave.
[20] The
SPS had a duty to take reasonable care to see that prisoners remained in
custody. It was part of their function to protect the public (Dorset Yacht
Co (supra), Lord Reid at 1031). The sentencing of Mr Campbell contained an
element of public protection. The duty owed by the SPS could be to the wider
public; that is to say anybody within the immediate range of the harm that was
likely to occur or against whom it was predictable, at the point of the breach,
that the harm would be inflicted. Where there was a very high risk of harm,
the class of persons to whom a duty was owed may be very large (Mitchell (supra),
Lord Hope at paras 14 - 25). In the language of the neighbourhood principle (Donoghue
v Stevenson (supra)), the SPS's "neighbour" was anybody with
whom Mr Campbell may have been expected to "have dealings" upon release.
[21] A
duty of care could be imposed notwithstanding that it was not possible to
define the individual or class at risk of harm (Att Gen v Hartwell
(supra), Lord Nicholls at para 21; O'Dwyer v Chief Constable
of the RUC [1997] NILR 403, Carswell LCJ at 411 - 412). Whether the
precise victim could be identified in advance was not decisive (Palmer v
Tees Health Authority (supra), Pill LJ at 102 - 107). The class may
be identifiable only after the event (Dorset Yacht Co (supra)).
The simplicity that no duty of care was owed, if one could not express a
distinction in respect of an individual or group, should be distrusted (Barclays
Bank (supra) Lord Rodger (diss.) at para 51). The SPS had
to have specific regard to the danger posed by Mr Campbell when they decided to
release him. If any such danger was disregarded, it should not matter that the
SPS did not know exactly who Mr Campbell would harm (the so called "Hannibal
Lecter paradox" derived from Akenzua v Secretary of State for the
Home Department [2003] 1 WLR 741, Simon Brown LJ at para 33).
[22] It
was accepted that it was not sufficient that the SPS knew of the dangers posed
by Mr Campbell (K v Secretary of State for the Home Department [2002] EWCA Civ 775, Laws LJ at para 29). There had to be a duty to protect the
victim (Mitchell (supra), Lord Rodger at para [58]). The SPS,
who had complete control over Mr Campbell, committed an unlawful act
leading to his release in breach of the prison rules and directions. The rules
for assessing risk and for placing prisoners into risk categories, thus
determining their eligibility for temporary release, were designed for the
protection of the public. The risk assessment procedures had to be observed
and, if not, there had to be liability for the resultant foreseeable loss. If
there was a high risk, there ought to be no release; notwithstanding that there
may be other benefits or considerations in favour of release. Where the English
tort of misfeasance in public office was pled, there was no need to demonstrate
proximity in the sense required in negligence cases (Akenzua (supra),
Simon Brown LJ at para 35). In the present case, the prison rules were
sufficient to create a nexus between the SPS and the deceased. There was
nothing unfair, unjust or unreasonable about imposing a duty of care where the
SPS negligently disregarded a specific rule relative to a violent and dangerous
prisoner. The public were entitled to expect that the SPS would follow its rules
and not release a prisoner in such circumstances.
[23] Thirdly,
the Lord Ordinary's decision on proximity had been wrong. The scope of the
duty on the SPS had to be assessed according to what was anticipated at the
time of Mr Campbell's release. Mr Campbell was a violent and dangerous man who
was capable of behaving in such a manner towards a large number of people.
However, his victim was likely to be someone known to him, most likely female,
upon whom he was likely to commit a serious assault with a knife. He was known
to have had drug problems and unresolved intoxication and anger management
issues. The first thing that he did upon release was to try to obtain drugs
and it was in such a context that the deceased was murdered. A restricted
group of people were at risk of harm from Mr Campbell and the deceased was at a
special risk as a member of that group. There was a limit to the number of
people that Mr Campbell could harm in the course of a weekend and there would
come a point when the damage was too remote. It was not alleged that there was
any likelihood of Mr Campbell absconding and so the scope of the duty of care
was limited to his conduct during weekend leave. It was difficult to draw a
line in more general terms.
[24] There
were other potential indicators or contra-indicators as to whether a duty was
owed. First, a pure omission pointed against there being a duty of care (Stovin
v Wise (supra)). Equally, a positive act would support the
imposition of a duty of care. Secondly, where there was no specific
responsibility for doing something, and no specific thing which the defender had
failed to do, this would run contrary to the imposition of a duty of care. For
example, a health authority did not have specific responsibility for detaining
patients (Palmer v Tees Health Authority (supra). The
Home Office did not have a specific duty to prevent prospective deportees from
committing crimes (K v Secretary of State for the Home Department (supra)).
A bank did not have specific responsibility for ensuring that HMRC collected
sums due by third parties (Barclays Bank (supra)). Thirdly, where
it was unclear what the defender should or should not have done, that ran
contrary to the existence of a duty of care. Such contra-indicators did not
arise here. On the contrary, there was an act and a specific responsibility.
[25] Finally, it
was contended, it would not be appropriate to dispose of the action without
hearing evidence on the basis that a duty of care could not be owed (Couch v
Attorney-General [2008] 3 NZLR 725, Elias CJ, at paras [67] - [68] and [124]).
[26] On the
pursuer's claim in terms of Article 2, the pursuer should be entitled to seek
to establish in evidence whether the requisite risk to the life of the deceased
existed. The pursuer had made sufficient averments to establish a real and
immediate risk of serious and violent assault. It was not necessary for there
to be a specific threat to kill; there was a risk to life in the present
circumstances just as there had been in the case of Mr Campbell's earlier
assault on his ex-wife and her friend, for which he had originally been charged
with attempted murder. If the strength of the risk was accepted as sufficient,
it was not necessary to identify a specific individual as the likely victim (Mastromatteo
v Italy (supra); Giuliani & Gaggio v Italy
(2012) 54 EHRR 10).
Defenders and
respondents
[27] The
Lord Ordinary had correctly analysed the authorities upon which he was
addressed and the action had been properly dismissed for the reasons he had given.
It had been appropriate for the Lord Ordinary to have decided the case by
reference to a lack of proximity. In any event, the same result would have
been arrived at by the alternative route of analysing whether the pursuer's case
fell within a special category by virtue of the defenders having control of Mr
Campbell as custodian or creating a danger by releasing him.
[28] The
balancing of the three elements of the tripartite test was problematic, but the
court should have particular regard to the familiar categories of case where it
was known that duties of care do or do not exist (Caparo Industries (supra),
Lord Bridge at 618). The present case was an example of a distinct and
recognisable category of case (Mitchell (supra), Lord Brown at
paras [81] - [82]) in which it was said that a duty was imposed by virtue of
the defender's ability to exercise control over a third party. In such
"custodial agency" cases, or cases where the defender had "control over the
wrongdoer", such as those concerning prison authorities (Clerk and Lindsell on
Torts (20th ed), at para 14-43; Charlesworth & Percy: Negligence
(12th ed), paras 2-88 - 2-89 and 2-304), the limiting factor was
proximity (Akenzua (supra), Simon Brown LJ at para 33,
following K v Secretary of State for the Home Department (supra),
Laws LJ at para 30 (adopted by Simon Brown LJ at para 47); Mitchell (supra),
Lord Brown at paras [81] and [82]). It was necessary therefore for there
to be an identifiable individual or class of individuals in order to avoid
imposing a duty of care towards an indeterminate class for an indeterminate
period.
[29] The pursuer
alleged a failure by the SPS
to carry out a risk assessment in respect of the release of Mr Campbell. However,
the improper exercise of a statutory power or duty did not of itself found
liability. Whether or not there was liability in respect of the manner of
exercise of statutory powers was to be determined according to the common law (X
(Minors) v Bedfordshire County Council [1995] 2 AC 633; Gorringe v
Calderdale MBC [2004] 1 WLR 1057, Lord Steyn at para 3, Lord Hoffmann at
paras 38 - 39). All else being equal, someone who acted positively and caused
injury was as open to liability in negligence whether acting voluntarily or in
implement of a statutory duty (see, for example, Gibson v Orr 1999 SC 420). However, public law considerations of whether the exercise of a
statutory power was intra or ultra vires had to be kept
separate from private law considerations in negligence (X (Minors) v
Bedfordshire County Council (supra), Lord Browne-Wilkinson at 733-
734). There was no liability in respect of the proper exercise of a statutory
power or discretion (Dorset Yacht Co (supra), Lord Reid at
1031). The existence of a statutory power did not create a duty. In this case
there was insufficient specification of the manner in which the SPS had wrongly
exercised what was a discretionary power. The test in any particular situation
involved a consideration of the underlying rationale. In Dorset Yacht Co (supra),
Lord Diplock had explained (at 1070) the reasoning underlying the principle;
notably that it was arbitrary and unjust to impose liability for criminal acts
upon a responsible authority simply on the basis that the act was committed
prior to a criminal's lawful release from prison.
[30] The
question posed by the pursuer, in relation to proximity, involved identifying
the persons with whom the SPS,
at the point of release, would have expected Mr Campbell to "have dealings"
during his weekend at liberty. After his release at Buchanan Street bus
station, he could have gone anywhere. A duty of care of that kind is, for all
practical purposes, a duty of care to the general public, ie anyone with whom
he would come into contact. The deceased fell very far short of being a victim
in the category of "predictable target" (cf O'Dwyer v Chief Constable
of the RUC (supra) Carswell LJ, at 412-3). Accordingly, the Lord
Ordinary had been correct to determine that the case was irrelevant.
[31] The pursuer
had argued there was no need for close proximity because the deceased had been
in a "special category". The first criterion was that of control, which
defined a category of case derived from Dorset Yacht Co (supra),
(eg State of New South Wales v Godfrey [2004] NSWCA 113,
Spigelman CJ at paras 23, 34 and 35; and Couch v Att Gen (supra)).
The fact that the SPS
had control was not a point of distinction, nor was the need for assessment of
risk to the public by virtue of the prison rules. The risk to the public was
one of a variety of factors relevant to an application for short leave. It was
important to avoid the wisdom of hindsight and the articulation of a duty to a
person who, by chance, formed a "predictable target" (Couch v Attorney-General
(supra), Tipping J at para 124).
[32] If
proximity were required, the pursuer's pleadings did not sufficiently narrow
the case so that the deceased could be seen to be within the proximate reach of
the SPS. The criterion was whether the deceased was within the immediate range
of harm linked by time, place and/or circumstances. The duties averred by the
pursuer to this end, notably a duty not to release a violent and dangerous
prisoner, such as Mr Campbell, on short leave if such prisoners presented a real
and immediate danger, were for practical purposes owed, if at all, to members
of the public. There was nothing in the pleadings to demonstrate that the
deceased fell within a category of individuals at special risk or forming a
"predicable target" to whom a specific duty of care was owed.
[33] Any analogy
between dangerous articles and dangerous persons had not been drawn in prisoner
and custodian cases. The cases where a defender had specifically created a
risk or danger were of a separate type (Att Gen v Hartwell (supra))
forming a sub-set of cases involving third party intervention (Mitchell (supra),
Lord Hope at para [23], Lord Brown at para [82]). Mr Campbell's
dangerousness did not take the present case outwith the generality of cases
where a wrong was perpetrated by someone with supervision and control (Mitchell
(supra), Lord Brown at para [82] citing Dorset Yacht Co (supra)).
Such cases had not hitherto been analysed by the courts in terms of the creation
of risk by defenders.
[34] A duty might
be owed to the public under Article 2 of the European Convention when prisoners
were released and went on to commit crimes (Maiorano v Italy (supra);
Giuliani & Gaggio v Italy (supra), para 244 under
reference to Mastromatteo v Italy (supra) at para 67),
but no case had succeeded on the merits and the point remained open. Whilst
there was uncertainty as to whether there was a need to identify a particular
individual or group, it was at least necessary to demonstrate a real and
immediate risk to life rather than some more remote risk of violence. The
standard was high, fixed and invariable; some risk to life falling short of
"real and immediate" being insufficient (Van Colle v United Kingdom,
13 November 2012, European Court of Human Rights (no 7678/09)).
[35] Whilst the
pursuer sought a proof before answer, it was possible to dispose of cases of
this type without evidence (Mitchell (supra), Lord Hope at para
[12]). In order to avoid dismissal, the pleadings had to give clear
specification of the reasons why it was alleged that the SPS
ought to have anticipated the requisite "real and immediate" or "present and
continuing" risk to life (Mitchell (supra), Lord Hope at paras 31
- 34 and para 70; Rabone v Pennine Care NHS Trust [2012] 2 AC 72,
Lord Dyson at para 12 under reference to Osman v United Kingdom
(supra) at para 116). The pursuer had pled only that there was a
real and immediate risk of violence and so, as a matter of relevancy, had not
even attempted to meet the requisite standard.
Decision
[36] The
pursuer's claim under Article 2 of the European Convention may be dealt with in
relatively short compass on a consideration of the pleadings. The test of
whether the deceased's rights under Article 2 were breached has been expressed
by the European Court of Human Rights in Van Colle v United Kingdom,
13 November 2012 (no 7678/09) (at para 88, under reference to Osman
v United Kingdom [1998] 29 EHRR 245 at para 116) as follows:
"Not every claimed risk to life can entail for the authorities a Convention requirement to take operational measures to prevent that risk from materialising. For the Court to find a violation of the positive obligation to protect life, it must be established that the authorities knew or ought to have known at the time of the existence of a real and immediate risk to the life of an identified individual from the criminal acts of a third party and that they failed to take measures within the scope of their powers which, judged reasonably, might have been expected to avoid that risk".
[37] It was
explained in Osman v United Kingdom (op cit) that the reasons
for the limitation are to be found in public policy; notably the need to avoid
imposing impossible or disproportionate burdens on public authorities. A pursuer
must thus demonstrate "a real and immediate risk to the life of an identified
individual". It is not sufficient to aver any lesser degree of risk or
danger. Nor is it sufficient to aver a real and immediate risk to life in
respect of a class of persons as a generality in order to establish the
requisite risk to an individual member of that class.
[38] The pursuer
avers that, at the time of his release, Mr Campbell "presented a real and
immediate risk of danger to the public". She avers that the SPS
knew or ought to have known this and that he would come into contact with
family members and their associates. The SPS,
it is said, knew that he would be violent to those with whom he would be
expected to "have dealings" during the weekend release. He thus posed a real and
immediate risk of danger to those persons with whom he would be expected to "have
dealings" during his weekend release. Assuming that the deceased was one of
the people with whom Mr Campbell would be expected to "have dealings"
during his weekend release, the pursuer still makes no averments that the SPS
knew or ought to have known of any particular risk to the deceased as an
identified member of that class.
[39] The
vulnerability of a class of persons as a whole may be taken into account as a
relevant factor in determining whether or not the first stage of the Osman
test (the existence of a real and immediate risk to the life of an identified
individual) is satisfied. However, the pursuer has failed to specify the
requisite degree of risk to life either to the deceased or to the wider class
of persons with whom Mr Campbell would have been expected to "have dealings".
Of course, the pursuer might have founded upon Mr Campbell's threats to
kill the deceased, had they been known to the defenders, but such threats are
said to have occurred only after Mr Campbell's release and therefore, as was
conceded, fall to be treated as irrelevant.
[40] Standing
the pursuer's subsidiary argument for the purposes of the common law claim that
the defenders may have created a risk or danger by releasing Mr Campbell (infra),
it is also worth noting at this stage that it would not be appropriate to adapt
or lower the threshold derived from Osman in circumstances where the
State is alleged to have created the relevant risk (Van Colle v
United Kingdom (supra) at para 91). The Lord Ordinary was
correct, therefore, to hold that the pursuer's Article 2 claim was bound to
fail.
[41] The
question that follows is whether it remains possible for the pursuer, in the
absence of the averments that would satisfy the Osman test in respect of
a breach of Article 2, to succeed in her claim against the defenders at common
law. The court is not bound to follow the European Court jurisprudence, where
the pursuer's case is not founded upon a breach of the Convention. However,
similar policy considerations may come into play when determining the scope of
any quasi-delictual duty of care owed by the SPS to the deceased
(see, for example, Hill v Chief Constable of West Yorkshire [1989] AC 53, Lord Keith at 63). Conceivably, a not dissimilar test to that set out
in Osman might ultimately be arrived at when considering the common law of
negligence, where the act or omission is that of a public authority in relation
to the wrongdoing of a third party (K v Secretary of State for the
Home Department [2002] EWCA Civ 775, Laws LJ at paras 32 - 33). However,
the two regimes may perhaps not yet be that similar or interlinked and the
domestic law may set a higher standard than that contained in article 2.
[42] The pursuer
avers that the SPS
owed a duty of care to the deceased not to release violent and dangerous
prisoners. She states that they negligently breached that duty by releasing Mr
Campbell from prison on short leave in breach of the rules and directions
governing such decisions. The pursuer contends that the circumstances are
novel insofar as no reported case has dealt with a negligent release of a
prisoner on leave (cf Bromiley v United Kingdom [2000] 29 EHRR CD
111). Specifically, the pursuer seeks to distinguish this case from previous instances
where prisoners have escaped from custody or been released on parole as a
result of negligent conduct and thereafter caused harm whilst at liberty. Although
it may be that no reported case has proceeded on precisely the same facts, it
might be said that the pursuer's situation falls generally into the category of
case exemplified by Dorset Yacht Co v Home Office [1970] AC 1004
concerning the liability of negligent public custodians for the criminal acts
of third parties in their care. In that context, the court is in familiar
territory and one to which it must return (infra) after reference to the
overarching general principles.
[43] The court
wishes to avoid trampling once again over well worn ground. However, it may be
worthy of comment in limine that what is being attempted is an extension
or expansion of what have hitherto, at least in recent times, been relatively
well settled boundaries defining the existence of a duty of care in practical terms.
The fact that arguments of this type are still advanced with some frequency,
however, suggests that there is a hope, or perhaps even an expectation, that
argument based almost exclusively upon general principles of legal theory,
which have been repeatedly rehearsed over the many years from Donoghue v
Stevenson 1932 SC (HL) 31 through to Mitchell v Glasgow City
Council 2009 SC (HL) 21 and beyond, will persuade the superior courts to
move these boundaries, even if there appears to have been little enthusiasm
within the democratic processes in society to do so (cf Hedley Byrne &
Co v Heller & Partners [1964] AC 465, Lord Pearce at 536, quoted
in Dorset Yacht Co (supra), Lord Diplock at 1058). These
processes seem content to leave the law as it appears to be; leaving the
criminal injuries compensation scheme and other mechanisms to relieve the
effects of any perceived injustice caused by the impecuniosity of most
offenders.
[44] In essence,
the pursuer seeks to pursue, with renewed vigour, the "And why should it stop
there?" approach of Lord Denning MR in Dorset Yacht Co in the
Court of Appeal ([1969] 2 QB 412 at 425). Lord Denning had recognised (at 426)
that, with the exception of a case from Ipswich county court in 1951 (Greenwell
v Prison Commissioners 101 LJ 486), there had been no reported case
of a third party securing damages for the consequences of criminal conduct on
the part of an escaped or wrongly released prisoner. Nevertheless, he
considered that the Home Office ought to owe a duty of care at least to those
resident "in the neighbourhood" of a Borstal. In particular, he reasoned:
"... the officers of Borstal institutions should be liable for negligence. And the reason I say this is because of the people who live in the neighbourhood. When the authorities open a Borstal institution, those living nearby are surely entitled to expect that reasonable care will be taken to protect them. Their confidence in the law would be undermined if the judges were to declare that the authorities owed no duty of care to them".
In this respect, Lord Denning was, it may be surmised, following a course plotted previously in Hedley Byrne & Co v Heller & Partners (supra) and perhaps even earlier by Lord Atkin in Donoghue v Stevenson (supra at 44) itself when he proceeded to answer his own question: "Who, then, in law, is my neighbour?" However, Lord Denning's judgment still confined the scope of the duty to those physically proximate to the penal institution.
[45] The
defenders seek to persuade the court to follow the reasoning of Lord Diplock in
his judgment in Dorset Yacht Co, which was expressly followed by
Lord Keith in Hill v Chief Constable (supra at 61-62).
Lord Diplock focused on the need for "special relations" (Smith v
Leurs (1945) 70 CLR 256, Dixon J at 262) between the party damaged and the
party sought to be made responsible. After analysing the development of the
English common law up to that point (in particular in Ellis v Home
Office [1953] 2 All ER 149 and D'Arcy v Prison Commissioners,
The Times, 17 November 1955), he pointed (at 1063) to five characteristics
which could be said by that stage to be necessary for liability to be imposed
upon a person in respect of damage caused by the tortious act of a third party.
Having done so, he settled (at 1070) on the following test for liability in the
circumstances of a custodian for the criminal actions of persons in his care:
"To give rise to a duty on the part of the custodian owed to a member of the public to take reasonable care to prevent a Borstal trainee from escaping from his custody before completion of the trainee's sentence there should be some relationship between the custodian and the person to whom the duty is owed which exposes that person to a particular risk of damage in consequence of that escape which is different in its incidence from the general risk of damage from criminal acts of others which he shares with all members of the public."
In the case of the Borstal escapee, the particular risk was identified as being that:
"in order to elude pursuit immediately upon the discovery of his absence the escaping trainee may steal or appropriate and damage property which is situated in the vicinity of the place of detention from which he has escaped" (ibid).
Significantly, Lord Diplock cautioned against recognising a duty of care to a wider category of members of the public so long as Parliament was content to leave the general risk of damage from criminal acts to lie where it fell without any private law remedy except against the criminal himself. In Dorset Yacht Co, the risk flowed from the foreseeability of the behaviour of borstal trainees escaping from an open institution. The duty of care was limited to the prevention of the predictable activities of prisoners in pursuit of a means of escape and in relation to those in the physical vicinity of the borstal. In the present case, the basis of the risk to the deceased has not been so precisely elucidated.
[46] The law has
moved on since Dorset Yacht Co, perhaps most recently as a consequence
of Caparo Industries v Dickman [1990] 2 AC 605, which may
be seen as an attempt to remedy perceived deficiencies in Lord Atkin's single
test of reasonable foreseeability of harm (Donoghue v Stevenson (supra)
at 44) and Lord Wilberforce's "two stage test" in Anns v Merton
Borough Council [1978] AC 728 (at 751). The latter added a second factor,
notably "whether there are any considerations which ought to negative, or to
reduce or limit the scope of the duty of the class of person to whom it is owed
...". Instead of a single or a two stage text, Caparo Industries (supra,
Lord Bridge at 618) offered a tripartite test of (1) foreseeability, (2)
proximity and (3) fairness, justice and reasonableness. However, at the same
time, perhaps in accordance with the English common law approach to both legal
reasoning and categories of tort, emphasis was placed on the need for courts to
attach greater significance in practice to traditional situations in which it
was established that a duty of care did, or did not, exist (Lord Bridge, op
cit, following Sutherland Shire Council v Heyman (1985) 60
ALR 1, Brennan J at 43-44; see for similar earlier views Hedley Byrne &
Co (supra), Lord Devlin at 525; and Dorset Yacht Co (supra),
Lord Diplock at 1058-9).
[47] Thus, Caparo
Industries (see also Lord Roskill at 628, Lord Oliver at 633) endorsed the limitation
of development in the common law by the imposition of an "incremental test" (Customs
&Excise Commissioners v Barclays Bank [2007] 1 AC 181, Lord
Bingham at para 4). If a case could be readily categorised, and there was
authority for imposing a duty of care in that category, that authority ought to
be followed. If not, the law ought to be developed only by analogy with
existing precedent. The wisdom of such an approach has been widely accepted,
and indeed was recognised by the parties in the pursuer's case, albeit that it
would, as a generality, appear to run somewhat contrary to the Scots law
approach of deduction from principle rather than induction from precedent. Lord
Bingham acknowledged (in Barclays Bank (supra) at para 7) the
shortcomings of such a model, which would encourage slavish adherence to
precedent without an underlying foundation in principle. He reasoned that:
"... the incremental test is of little value as a test in itself, and is only helpful when used in combination with a test or principle which identifies the legally significant features of a situation. The closer the facts of the case in issue to those of a case in which a duty of care has been held to exist, the readier a court will be, ... to find ... that the proximity and policy conditions of the threefold test are satisfied. The converse is also true".
[48] Reference
to "the tripartite test" derived from Caparo Industries may now be
regarded as the citation of trite law. The courts are certainly familiar with
its expression. There is nevertheless a danger that statements of principle at
such "a high level of abstraction" (see Barclays Bank (supra),
Lord Mance at para 83) may be relied upon without due consideration either for their
meaning in the context of the particular case or of the import of their
application to cases in a wider context. It may be, and often is, simple to
assert on behalf of a victim of crime that it is fair, just and reasonable that
a public authority, whose negligent actions may have prevented the crime, should
compensate that victim. It may be equally easy to assert, with hindsight, that
what happened ought to have been foreseen by such an authority as something
which might affect a member of its own, and by definition proximate, public.
As has been observed, perhaps the three elements of the tripartite test are
also "merely facets of the same thing" (Caparo Industries, Lord Oliver
at 633).
[49] It is
recognised at least that, when using the general language of "neighbourhood" in
Donoghue v Stevenson (supra) and Dorset Yacht Co (supra),
the concepts of foreseeability and proximity are not entirely distinct and it
may be misleading to refer to the Caparo Industries test as truly
tripartite given "the loose and interlocking nature of the three elements of
foreseeability, proximity, and fairness" (K v Secretary of State for
the Home Department [2002] EWCA Civ 775, Laws LJ at para 23). However,
as matters stand at present, it would be incorrect to characterise the formulation
of the appropriate test as a unitary one of "fairness, justice and
reasonableness" within which foreseeability and proximity are mere factors, thereby
returning the courts to a single test, such as that advanced in 1932. Each of
the elements of foreseeability and proximity are necessary, if not sufficient,
ingredients for the imposition of a duty of care. Policy considerations inform
both of these two discrete but interlinked elements (Mitchell (supra),
Lord Hope at para [16]). Although it would be possible to make a theoretical
appraisal of the pursuer's situation by the pure application of principles of
high abstraction, the practical solution for the courts in a specific case lies
in analysing the particular circumstances of the case according to the category
into which it falls; that category in the pursuer's case is, as already noted, that
involving the liability of public custodians for the criminal actions of those
in their care.
[50] The
significant feature of Dorset Yacht Co (supra) is that, although
it held that a public authority can be liable for damage caused by the escape
of prisoners under their care, the duty of care owed was limited to those
persons having property in physical proximity to the place where the prisoners
were confined. As already noted, this restriction in the extent of the duty
was expressed by Lord Denning in the Court of Appeal (supra) and by Lord
Diplock in the House of Lords (supra). The popularity of Lord Diplock's
dictum, over the speeches of the other judges, rests in his willingness
to explain the reason behind it. His explanation merits repetition (1070):
"...Borstal training often fails to achieve its purpose of reformation... [T]rainees when they have ceased to be detained in custody revert to crime and commit tortious damage to the person and property of others. But so do criminals who have never been apprehended and criminals who have been released from custody upon completion of their sentences, or earlier pursuant to a statutory power to do so. The risk of sustaining damage from the tortious acts of criminals is shared by the public at large. It has never been recognised at common law as giving rise to any cause of action against anyone but the criminal himself. It would seem arbitrary and therefore unjust to single out for the special privilege of being able to recover compensation from the authorities responsible for the prevention of crime a person whose property was damaged by the tortious act of a criminal merely because the damage to him happened to be caused by a criminal who had escaped from custody before completion of his sentence instead of one who had been lawfully released or who had been put on probation or given a suspended sentence or who had never been previously apprehended at all".
This is then the public policy reason for preventing recovery. Rather, as Lord Diplock went on to state, what was needed to create a duty of care was:
"some relationship between the custodian and the person to whom the duty is owed which exposes that person to a particular risk of damage in consequence of that escape which is different in its incidence from the general risk of damage from criminal acts of others which he shares with all members of the public".
Lord Reid (at 1032) expressed the limitation in a quite different way by confining liability to instances where the wrong was a "natural and probable, as distinct from merely a foreseeable, result of the release". However, both Lord Morris (at 1038) and Lord Pearson (at 1055) agreed with Lord Diplock's formulation based on the "special relation" referred to in Smith v Leurs (supra, Dixon J at 261-2) and that is where the law has rested in this category of case.
[51] The
circumstances in Hill v Chief Constable of West Yorkshire (supra)
were described (Lord Keith at 62) as falling broadly into the "same category"
as those in Dorset Yacht Co. Following Lord Diplock's dictum, Lord
Keith (with whom Lords Brandon, Oliver and Goff agreed) stated:
"It appears... that in [Lord Diplock's] view no liability would rest upon a prison authority, which carelessly allowed the escape of an habitual criminal, for damage which he subsequently caused, not in the course of attempting to make good his getaway to persons at special risk, but in further pursuance of his general criminal career to the person or property of members of the general public".
It was Lord Keith's view that a young female could not be regarded as a person "at special risk" in the context of the activities of the Yorkshire Ripper.
[52] The need
for a special relationship between custodian and victim has continued to
dominate decision making in this category of case. Thus, looking to the Court
of Appeal in England, the dicta of both Lord Diplock in Dorset Yacht
Co and Lord Keith in Hill were quoted at length in Palmer v
Tees Health Authority [2000] PNLR 87 (Stuart-Smith LJ at paras 26 and 27),
where the "crucial point" in "striking out" a claim against the defendants for
releasing an allegedly dangerous psychiatric patient was the absence of a
"relationship between the defendant and the victim" (ibid at para 27;
Pill LJ at 108). The same consideration is evident in K v Secretary
of State for the Home Department [2002] EWCA Civ 775, which involved the
release of a dangerous sex offender recommended by the courts for deportation. Although
Arden and Simon Brown LJJ were perhaps not enthusiastic about the reasons of
principle advanced by Laws LJ (at para 23), it is clear that all considered
that a "nexus or special relationship between claimant and defendant" was
required (Laws LJ at para 26; Arden and Simon Brown LJJ concurring with this at
paras 35 and 47 respectively; see also Simon Brown LJ in Akenzua v Secretary
of State for the Home Department [2003] 1 WLR 741 at para 33).
[53] The ratio
of Dorset Yacht Co was strictly applied by the Australian courts in State
of New South Wales v Godfrey [2004] NSWCA 113, in which an escaped
prisoner robbed a shop many miles distant from the prison and some months after
the escape. Spigelman CJ (at para 21) referred, as had Lord Diplock, to Smith
v Leurs (supra). He noted that the need for a special
relationship, as observed by Dixon J in Smith, had been endorsed by the
High Court of Australia in Modbury Triangle Shopping Centre Pty v
Anzil (2000) 205 CLR 254 (Gleeson CJ at paras [29] and [30]) as follows:
"The unpredictability of criminal behaviour is one of the reasons why, as a general rule, and in the absence of some special relationship, the law does not impose a duty to prevent harm to another from the criminal conduct of a third party, even if the risk of such harm is foreseeable.
There may be circumstances in which, not only is there a foreseeable risk of harm from criminal conduct by a third party, but in addition, the criminal conduct is attended by such a high degree of foreseeability, and predictability, that it is possible to argue that the case would be taken out of the operation of the general principle and the law may impose a duty to take reasonable steps to prevent it...".
The latter proposition is one which comes close to the test for liability under Article 2 (supra) and which stresses the need for circumstances of almost immediate inevitability or, perhaps, at least that the damage be a natural and probable consequence (to use Lord Reid's formulation in Dorset Yacht Co) of the authority's negligence.
[54] The need
for the existence of a "distinct and special risk" to the victim was to the
forefront of the reasoning of the New Zealand Supreme Court in Couch v
Attorney-General [2008] 3 NZLR 725. This was an extreme situation
involving the murder of three persons. The alleged fault was with the parole
service in allocating a person on parole for aggravated robbery, during which
random and gratuitous violence had been inflicted, to work at commercial
premises where considerable quantities of alcohol and cash were located. This
was also a "striking out" application and one which ultimately failed because
the court held that, with appropriate amendment to the pleadings, there would
be "no clear impediment to [the case] succeeding at trial" (see Elias CJ at
para [40]). The court considered that, on the facts averred, it was possible
that the plaintiff would establish that the victims were known by the parole service
to be at special risk. The majority (Blanchard, Tipping and McGrath JJ)
conducted an extensive review of the authorities and concluded (para [112])
that:
"To establish a duty of care [the plaintiff] must demonstrate that, either as an individual or as a member of an identifiable and sufficiently delineated class, she was or should have been known by the defendants to be the subject of a distinct and special risk of suffering harm of the kind she sustained at the hands of [the wrongdoer]. The necessary risk must be distinct in the sense of being clearly apparent, and special in the sense that the plaintiff's individual circumstances or her membership of the necessary class rendered her particularly vulnerable to suffering harm of the relevant kind from [the wrongdoer]".
The court considered that the fact that the wrongdoer was known to be at high risk of re-offending and would require close supervision, especially in relation to alcohol, amounted to no more than averment of a general rather than a special risk. However, allowing the wrongdoer to be engaged on the premises, where he was able to study the security systems and arrangements, made the premises a "predictable target" for any further robbery. Hence, the majority reasoned (at para [124]):
"...anyone who might be present in the premises at the time of such robbery was at greater risk than members of the public generally and those present were particularly vulnerable because [the wrongdoer] had exhibited a tendency to commit random violence during a robbery".
A significant feature, of course, was that it was the defendants who had placed the eventual wrongdoer into the category of co-employee of the ultimate victims. They knew of the existence of the victims and, the court considered, it might be proved that they ought to have been aware of the distinct risk.
[55] This type
of case might be thought to assist a pursuer who can demonstrate a distinct and
special risk. This pursuer also attempts to gain support from O'Dwyer v
Chief Constable of the RUC [1997] NILR 403. Although the views of the Northern
Ireland Court of Appeal are highly persuasive, the fact that, as in Couch v
Attorney-General (supra), the decision was one made in the
context of the "strike out" rule (which is not the equivalent of a Scottish
decision on relevancy) may be significant. Only in "plain and obvious" cases can
the summary procedure of strike out be used. In any event, the facts in O'Dwyer,
as with those in Couch, were special, if not extraordinary. The
wrongdoer was a policeman, effectively in the employment of the defendant, who
was arrested on a charge of possession of his service revolver whilst drunk.
Notwithstanding that he was making specific threats in custody to shoot persons
with Irish Republican connections and was known to own a semi-automatic
shotgun, he was released from custody at a police station. He was re-admitted
to the police station, yet released again actually armed with the shotgun.
Only ten minutes later he entered the nearby Sinn Fein offices and killed the
plaintiff. It is not surprising that the court considered that the plaintiff
might establish liability in such circumstances. Carswell LCJ reviewed the
authorities and noted the "special relationship" test. He undoubtedly stated
(at 412) that, in relation to the need to identify a particular class of
potential victim, the court was "not convinced that it is necessary that such a
limitation must be imposed in a case such as the present". This may well have
been because the case involved releasing a person carrying an automatic firearm,
who was both in a deranged and an intoxicated state and who had made specific
threats against a class of persons, some of whom were known to occupy offices
nearby. Like the Court of Appeal in Northern Ireland, had such a combination
of events been present in this case, the court may well have ordered a proof
before answer, even upon the Article 2 case.
[56] The court
is content to proceed on the basis of the dicta expressed in all of the
cases quoted, even if there is some variance in the language used. In order to
succeed, the pursuer must establish a special relationship which exposed the
deceased to a particular risk of damage as a result of negligence by the
defenders in the context of that relationship (ie Dorset Yacht Co, Lord
Diplock at 1070 supra) or, put in another way, that she was the subject
of a special or distinct risk as a consequence of the defender's actions (ie
the majority in Couch at para [112] supra). Where there is an
immediate risk to a person's life as a consequence of a third party's
predictable activity, it may not be necessary to identify a particular class of
persons beyond those under immediate threat (eg O'Dwyer at 412 supra).
[57] The court
is conscious that it ought not to dismiss this action unless, even if the
pursuer were to prove all her averments, she is nevertheless bound to fail. However,
the court is satisfied that, applying the dicta set out above, this high
test has been met. The pursuer does not set out a relevant case which could
justify the court concluding that the deceased and the SPS were in a "special
relationship" with each other such that the SPS's actions in relation to Mr
Campbell placed her at a greater risk than that to which the general public
were exposed. She does not aver facts from which it could be said that the
deceased, or a class of persons of which she was a member, was at any distinct
or special risk as a result the SPS's actions relative to Mr Campbell's leave.
She does not aver facts whereby the negligent release of Mr Campbell
exposed the general public to immediate risk of death. In all of these
respects, the court agrees with the reasoning of the Lord Ordinary in his
determination that there was no "proximity" between the deceased and the SPS. The
court does not agree that the Lord Ordinary looked at "proximity" in isolation.
Foreseeability did not arise. It had been conceded by the defenders. Fairness,
justice and reasonableness are already ingrained in the defining principles
which apply to this category of case. There is no necessity for a court to
revisit these elements separately in every case in such a well-known and
understood category.
[58] There is no
basis in the pursuer's factual averments upon which it could be inferred that
the SPS ought to have considered that: (a) any person was at immediate risk of
harm from Mr Campbell beyond the general risk which, as an habitual and
occasionally violent criminal, he posed to the general public during his
periods at liberty (legitimate or otherwise); or (b) the deceased, or a class
of person, would be a particular target of his violence. The averment that he
posed a danger to persons with whom he would "have dealings" during his weekend
leave says little more than that any person with whom he came into contact,
from the moment of stepping off the bus in central Glasgow, could potentially
be at risk from him because of his underlying recidivism.
[59] Were the
court to consider separately the fairness, justice and reasonableness of the
situation, it would have reached the same view that the pursuer's case cannot
succeed. For the reasons given, whatever the particular consequences to the
pursuer, if liability were to be imposed upon the SPS on such a tenuous basis
as is advanced, it would potentially render the SPS and perhaps also the Parole
Board open to claims from any person who became a victim of a prisoner released
before the mandatory date of his/her liberty. Such a regime would have
potentially serious consequences for the proper functioning of both these
institutions in the care and rehabilitation of prisoners and hence to society
as a whole.
[60] For the
sake of completeness, the court does not consider that the case falls within the
category in which an institution, such as the police, has allowed an apparently
dangerous person to continue to have access to a firearm in circumstances
exposing the public to an immediate risk to life (eg Att Gen of the British
Virgin Islands v Hartwell [2004] 1 WLR 1273, Lord Nicholls at 1283;
and possibly also O'Dwyer (supra)). It does not agree that the
Lord Ordinary ought to have regarded the case separately as one in which the
SPS had created a danger in the same way as the courts would look at the escape
of a dangerous thing. The distinguishing feature of this type of case from
that of the escape of a dangerous thing is the very existence of third party
action as the proximate cause of the injury.
[61] For the
foregoing reasons, the reclaiming motion will be refused and the court will
adhere to the interlocutor of the Lord Ordinary dated 26 May 2011.