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England and Wales Court of Appeal (Criminal Division) Decisions |
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You are here: BAILII >> Databases >> England and Wales Court of Appeal (Criminal Division) Decisions >> Gibbins, R v [2004] EWCA Crim 311 (20 February 2004) URL: http://www.bailii.org/ew/cases/EWCA/Crim/2004/311.html Cite as: [2004] EWCA Crim 311 |
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COURT OF APPEAL (CRIMINAL DIVISION)
ON APPEAL FROM SOUTHWARK CROWN COURT
(FIELD J)
Strand, London, WC2A 2LL |
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B e f o r e :
MR JUSTICE HOOPER
and
MR JUSTICE ASTILL
____________________
R |
Respondent |
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- and - |
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GIBBINS |
Appellant |
____________________
Mr Victor Temple QC and Mr Tom Forster (instructed by the Serious Fraud Office) for the respondent
Hearing date : 10 & 11 February 2004
____________________
Crown Copyright ©
Lord Justice Potter:
"(b) any question as to the admissibility of evidence and
(c) any other question of law relating to the case."
"An appeal shall lie to the Court of Appeal from any order or ruling of a judge under subsection (3)(b) or (c) above, but only with the leave of the judge or the Court of Appeal."
"Counsel has herewith copies of:
1. A bundle of typical draft agreements.
2. A bundle of typical so-called exhibits to the agreements.
3. …
4. …
5. Law Society correspondence."
"Counsel will no doubt be aware that there has been or reported to have been a great deal of fraud involved with Bank Instruments and "front-end fees" of "advanced fee scams and so forth."
"The Law Society has carried out an inspection of the files of instructing solicitors in relation to some of the transactions carried out in which they, instructing solicitors, were involved and has not found there to be any difficulty or wrongdoing with those transactions. The Law Society indeed investigated a number of firms of solicitors involved in this business and clearly is concerned about that business. Indeed instructing solicitors together with many other firms received what has been called a "warning letter" a copy of which together with instructing solicitors response thereto is included in counsel's papers (item 4) [sic]. The Law Society is aware that instructing solicitors continue to act in this business of Stakeholders."
"Also it is not as if the contracting party is in an impossible position since he/they will have made his/their arrangements for delivery of the Bank Instruments and approving the terms of the Bank Advice prior to entering into the agreement and putting at risk the Arrangement Fee, and also the market in Bank Instruments is a market that does exist. However, instructing solicitors are concerned as to the possibility of it being said that taken as a whole the business is fraudulent by reason of none of the Contracting Parties in any of the agreements having in practice been able to perform by delivery of the Bank Instruments."
"Michael, the opinion needs to cover:
1. Front end fees. I am paid after the issue of the Advice and after authentication.
2. My function is to arrange for the issue of the Advice, what if any other responsibilities do I have?
3. The fact that I am approached by clients to arrange funds on transactions that the clients cannot themselves perform, is this a problem? Is there any further liability?
4. If we sign off-shore does this take away liability?"
"This may weaken the opinion."
"The principle which runs through … [the] cases … is that a man must be able to consult his lawyer in confidence, since otherwise he might hold back half the truth. The client must be sure that what he tells his lawyer in confidence will never be revealed without his consent. Legal professional privilege is thus much more than an ordinary rule of evidence, limited in its application to the facts of a particular case. It is a fundamental condition on which the administration of justice as a whole rests. "
"When [s.8 of the 1865 Act] is applied in civil cases, the civil standard of proof is used, and when it is applied in criminal cases the criminal standard should be used."
"Solely for the purpose of this argument it is accepted that in relation to the first issue the Prosecution have proved beyond reasonable doubt that on their case there is sufficient evidence on which a reasonable jury properly directed could convict" (emphasis added), while adding this rider in respect of the second question:
"However, there is no sufficient and indeed wholly speculative evidence that in pursuance of that fraudulent enterprise the Instructions to Counsel were produced to facilitate the fraud."
"36. Mr Mitchell maintains in his closing argument that the draft instructions were prepared in response to the concerns of the Law Society. This accords with Mr Gibbins's evidence given in the Halley trial (20 November 2001, page 16). Proceeding on this basis, in my judgment, if Mr Gibbins had wanted advice because of concern expressed by the Law Society, the only sensible, reasonable and straightforward thing to have done was to draw the terms of the Law Society's concern to the attention of counsel and to have counsel deal specifically with that concern. I also think that the words "This may weaken the opinion", particularly the word 'weaken', are quite inapt to signal apprehension on the part of Mr Gibbins that counsel might be induced by the Law Society correspondence not to give his own independent view on whether the transactions were fraudulent but instead would be unduly influenced by the fact that the Law Society had expressed concerns.
37. In my judgment, having regard to all of the evidence before me and adopting the approach set out in paragraph 33 ["strong prima facie case"], the prosecution has established a prima facie case that: (1) Mr Gibbins appreciated the relevance of the Law Society correspondence to the questions on which Counsel was being asked to advise and thought that if Counsel were sent this correspondence, he was more likely to give an unfavourable than a favourable opinion; (2) in writing the words that he did next to item 5, Mr Gibbins was telling Mr Wilson-Smith not to send the Law Society warning letter and the related correspondence and to remove from the body of the instructions the reference to those documents and any suggestion that the Law Society had advised that agreements of the sort in which Mr Wilson-Smith was involved were invariably fraudulent; (3) in acting in this manner, Mr Gibbins was intent on obtaining an opinion on an incomplete and therefore false basis which opinion he hoped would be favourable so that it could be used to give a false impression about the transactions he had already been involved in and about those he wanted to be involved in the future; and (4) in acting in this manner, Mr Gibbins was acting dishonestly and in furtherance of the conspiracy to defraud charged against him in count 1 of the Indictment.
38. Accordingly, I find that the annotated instructions come within the fraud exception and are therefore not protected by LPP.
39. Mr Mitchell submitted that, even if the fraud exception applies, the annotated instructions should be excluded under s.78 of PACE on the ground that it was pure speculation that Mr Gibbins intended to seek advice for a fraudulent purpose and it would be unfair for Mr Gibbins to have to defend himself in relation to a document that was produced so long ago, has few of his scribblings on it and was never used for any purpose. In my view this argument is part and parcel of that advanced by Mr Mitchell on the fraud exception issue and I reject for the reasons I have given for finding that the annotated instructions are not protected by LPP. In my judgment, it would not be unfair for the prosecution to adduce that document at trial in support of the allegation that Mr Gibbins sought legal advice for a fraudulent purpose in the course of carrying out the conspiracy with which he is charged."
"a. Was there a strong prima facie case of fraud made out on the papers? If yes,
b. Was the disputed document beyond reasonable doubt produced to facilitate or further the fraudulent purpose?" (emphasis added)
"We have one other matter to notice. We were greatly pressed with the argument that, speaking practically, the admission of any such exception to the privilege of legal advisors as that it is not to extend to communications made in furtherance of any criminal or fraudulent purpose would greatly diminish the value of that privilege. The privilege must, it was argued, be violated in order to ascertain whether it exists. The secret must be told in order to see whether it ought to be kept. We were earnestly pressed to lay down some rule as to the manner in which this consequence should be avoided. The only thing which we feel authorised to say upon this matter is, that in each particular case, the court must determine upon the facts actually taken in evidence or proposed to be given in evidence, whether it seems probable that the accused person may have consulted his legal advisor, not after the commission of the crime for the legitimate purpose of being defended, but before the commission of the crime for the purpose of being guided or helped in committing it. We are far from saying that the question whether the advise was taken before or after the offence will always be decisive as the admissibility of such evidence. Courts must in every instance judge for themselves on the special facts of each particular case, just as they must judge whether a witness deserves to be examined on the supposition that he is hostile, or whether a dying declaration was made in the immediate prospect of death." (emphasis added)
"… the proposition that no privilege comes into existence with regard to communications made in order to get advice for the purpose of carrying out a fraud … is clear law, and, if such guilty purpose was in the client's mind when he sought the solicitor's advice, professional privilege is out of the question. But it is not enough to allege fraud. If the communications to the solicitor were for the purpose of obtaining professional advice, there must be, in order to get rid of privilege, not merely an allegation that they were made for the purposes of getting advice for the commission of a fraud, but there must be something to give colour to the charge. The statement must be made in clear and definite terms and there must further be some prima facie evidence that it has some foundation in fact. … It is obvious that it would be absurd to say that the privilege could be got rid of merely by making a charge of fraud. The Court will exercise its discretion, not merely as to the terms in which the allegation is made, but also as to the surrounding circumstances, for the purpose of seeing whether the charge is made honestly and with sufficient probability of its truth to make it right to disallow the privilege of professional communications. In the present case it seems to be clear that the appellant has not shown such a prima facie case as would make it right to treat the claim of professional privilege as unfounded." (emphasis added)
" … he clearly holds that a prima facie case must be "made out", without purporting to define in what "mode" this is to be done, and without sanctioning a mere pleaded allegation as sufficient … It is therefore the business of the party claiming production to meet a properly framed claim of professional privilege by showing that the privilege does not attach because it is being asserted for documents which were brought into existence in furtherance of a fraud, and he can only do this by establishing a prima facie case of fraud in fact. " (emphasis added)
Having also referred to the judgment of Lord Halsbury, Lord Parmoor stated at 623:
"Whether the circumstances brought to the notice of the Court in a particular case are sufficiently explicit to establish a prima facie case of definite fraud, either by allegation, affidavit, or in some other way, will depend on the special facts in each case … " (emphasis added)
"If I may venture to express this in my own words I should say that to obtain discovery on the ground of fraud the plaintiff must show to the satisfaction of the court good ground for saying that prima facie a state of things exists which, if not displaced at the trial, will support a charge of fraud." (emphasis added)
"There is a continuous spectrum and it is impossible to, as it were, calibrate or express in any simple formula the strength of the case that the plaintiff must show in each of these categories. An order to disclose documents for which legal professional privilege is claimed lies at the extreme end of the spectrum. Such an order will only be made in very exceptional circumstances but it is, I think, too restrictive to say that the plaintiff's case must always be founded on an admission or supported by affidavit evidence or that the court must carry out the preliminary exercise of deciding on the material before it whether the plaintiff's case will probably succeed, a task which may well present insurmountable difficulties in a case where fraud is alleged and the court has no more than affidavit evidence."
"… as at present advised we can see no objection to the magistrate looking at the documents, if necessary, in order to determine whether they came into existence in furtherance of a criminal purpose. Indeed, Steven J in Cox and Railton (1884) 14 QB D 153, 175, appears expressly to contemplate the court looking at matters "proposed to be given in evidence"."
"If one rejects the bare relevance test, as I have done, then what has to be shown prima facie is not merely that there is a bona fide and reasonably tenable charge of crime or fraud but a prima facie case that the communications in question were made in preparation for or in furtherance or as part of it."
"My own view is that in considering that limited question [i.e. admissibility] the judge is required to do no more than to satisfy himself that a prima facie case of originality has been made out by evidence which defines and describes the provenance and history of the recordings up to the moment of production in court. If that evidence appears to remain intact after cross-examination it is not incumbent on him to hear and weigh other evidence which might controvert the prima facie case. To embark on such an enquiry seems to me to trespass on the ultimate function of the jury. It is true that in determining whether an alleged confession is admissible or not, the judge has the duty of deciding a contentious issue and he has to apply the same criteria as a jury would have to do; but this is an anomalous case deriving from its own special history and from considerations peculiar to confessions."
" … the judge is called on to decide the narrow but vital issue whether or not the so-called original tapes are shown prima facie to be original. It is difficult, if not impossible, to draw the philosophical or theoretical boundary between matters going to admissibility and matters going properly to weight and cogency; but, as I have already said, it is simple enough to make a practical demarcation and set practical limits to an enquiry as to admissibility if the correct principle is that the prosecution are required to do no more than set up a prima facie case in favour of it. If they should do so, the questioned evidence remains subject to the more stringent test that the jury must apply in the context of the whole case, namely that they must be sure of the authenticity of that evidence before they take any account of its content."
It seems to us that, by analogy, those observations are applicable to question (ii) in this case.