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England and Wales High Court (Chancery Division) Decisions |
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You are here: BAILII >> Databases >> England and Wales High Court (Chancery Division) Decisions >> Deloitte & Touche Llp & Anor v Dickson & Ors [2005] EWHC 721 (Ch) (29 April 2005) URL: http://www.bailii.org/ew/cases/EWHC/Ch/2005/721.html Cite as: [2005] EWHC 721 (Ch) |
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CHANCERY DIVISION
Strand, London, WC2A 2LL |
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B e f o r e :
____________________
(1) DELOITTE & TOUCHE LLP (2) Another |
Claimants |
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- and - |
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(1) CHRISTOPHER DICKSON (2)WILLIAM MORRISON (3) THE INSTITUTE OF CHARTERED ACCOUNTANTS IN ENGLAND AND WALES (4)VNU BUSINESS PUBLICATIONS LIMITED |
Defendants |
____________________
Mr Michael Beloff QC and Mr Jonathan Evans (instructed by Stephenson Harwood) for the First to Third Defendants
Ms Joanne Cash (instructed by DMA Legal LLP) for the Fourth Defendant
Hearing dates: 7 8 March, 2005
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Crown Copyright ©
The Hon Mr Justice Laddie :
"An investigation into other matters relating to Capital has now been completed, and a decision will be announced shortly."
"any information concerning the First Respondent's investigation and or the Joint Disciplinary Scheme proceedings against the First Applicant (i.e. Deloitte), its partners and staff referred to in the draft Press Notice save to the extent that disclosure is necessary for the purpose of the said proceedings."
"(1) An injunction to restrain the Defendants and each of them whether by themselves, their employees agents or any other person howsoever, until the last to occur of i) the dismissal of all the Complaints ii) the publication pursuant to paragraph 7(i) of the Scheme of all the reports of the Joint Disciplinary Tribunal following the hearing of the Complaints or any of them iii) the publication of all of the Appeal Tribunal's reports on the Complaints or any of them pursuant to paragraph 9(m) of the Scheme:
a) from publishing, publicising or disclosing the embargoed Press Notice provided by the First Defendant to the Fourth Defendant on or about 4 February 2005 or the contents thereof; and
b) from publishing, disclosing or using any information concerning the First Defendant's investigation and or the Joint Disciplinary Scheme proceedings against the First Claimant, its partners and staff referred to in the said Press Notice save to the extent that disclosure is necessary for the purpose of the said proceedings.
(2) a Declaration that the issue of the Press Notice was a breach of the Scheme and of Regulation 52 of the Regulations and of the duty of confidence owed to the Claimants by the First and or Second and or Third Defendant.
(3) As against the Fourth Defendant, delivery up of all documents and materials which are in its possession power custody or control the use or disclosure of which would offend against the foregoing injunctions or any of them."
The Power to Issue a Press Notice
"3 Scope
This Scheme embraces the professional and business activities of all Members and Member Firms and sets out the procedures for investigating and regulating their professional and business conduct, efficiency and competence in circumstances which give rise to public concern in the United Kingdom.
4 Objectives
The objectives of this Scheme are to promote the highest possible standards of professional and business conduct, efficiency and competence:
a. by Members in the performance of their professional or business activities (including duties as a director, servant, partner or employee of any organisation); and
b. by Member Firms in the provision of the services which they offer to the public;
by providing a system for the investigation and regulation of the activities of Members and Member Firms so as to secure their adherence to all professional criteria including but not limited to all relevant recommendations and standards promulgated from time to time by or with the approval of the Councils of the Participants."
"Whenever the Executive Committee receives a report from an investigation committee of a Participant which concerns, or which in the opinion of the investigation committee may concern, the professional or business conduct, efficiency or competence of one or more Members and/or Member Firms (whether or not referred to specifically in the report) and the investigation committee making the report certifies that in its opinion the circumstances of the matter are ones which give rise to public concern in the United Kingdom, the Executive Committee shall refer the report to the Executive Counsel to be dealt with in accordance with this Scheme. The Executive Committee shall at the same time make public the reference to the Executive Counsel of the matter." (italics added)
"f. If, following his enquiry, the Executive Counsel is of the opinion that there are grounds upon which a Joint Disciplinary Tribunal could make an adverse finding concerning the professional or business conduct, efficiency or competence of a Member or Member Firm he shall request the Executive Committee to appoint such a Tribunal at the same time delivering to the Executive Committee a formal complaint specifying the manner in which he alleges that the conduct or quality of work of the Member or Member Firm concerned fell below that which was to be expected of such a Member or Member Firm at the time of the activities in question and giving particulars sufficient to enable it to be properly understood by a Joint Disciplinary Tribunal.
j. If the Executive Counsel concludes from his enquiry that there is no case to answer against any Member or Member Firm he shall report to the Executive Committee accordingly. Any such report shall be dated and signed by the Executive Counsel. The Executive Committee may, and shall if so requested by the Member or Member Firm concerned, cause the result of the enquiry or the report to be published as soon as practicable in such manner as it thinks fit." (italics added)
"7 i. Any order made under paragraph 7(f) or 7(g) shall take effect from the date of the order.
i. (i) Subject to sub-paragraphs (ii) and (iii) below the Executive Committee shall cause the report or reports to be published as soon as practicable in such manner as it thinks fit.
ii. No publication shall be made of any report incorporating an adverse finding or any order until the expiry of the appeal period referred to in paragraph 9(a).
iii. If notice of appeal is received then no publication shall be made of any report incorporating a finding or order which is the subject of appeal until the appeal is determined." (italics added)
"15 Amendment of this Scheme
This Scheme may be altered or amended with the consent of the Council of each of the Participants but no such alteration or amendment which, in the opinion of the Council of any of the Participants, would fundamentally alter this Scheme shall become effective unless and until the same shall have been further approved by general meetings of each of the Participants and by Her Majesty's Privy Council."
"5d. The Executive Committee shall have power:
xii. to do all such other things as the Executive Committee may consider necessary or conducive to attain the objectives of this Scheme, including power to lend or to invest on such terms and in such manner as the Executive Committee may consider appropriate any moneys not immediately required for the purposes of this Scheme and to vary any such loan or investment;"
The parties' arguments
The powers of the Executive Committee and the Executive Counsel
"13. The JDS is a public interest scheme, dealing only with cases which have given rise to public concern in the United Kingdom. Most JDS cases involve the behaviour of auditors, and this is usually a significant part of the investigation. Auditors play a most important role in the financial affairs of public limited companies, particularly those which are listed on the Stock Exchange. Such companies play a vital part in the lives of most people in the United Kingdom, not only in the provision of employment and the supply of goods and services, but also in terms of investment, principally by pension funds and other institutional investors. Public confidence in the integrity of such companies and the reliability of their financial statements is of the greatest importance. One of the ways in which such public confidence can be maintained is through the audit process."
"26. There has been far less speculation, because journalists know that appropriate information will be released at three separate points. The date of the referral of a case and the publication of the Tribunal Report are typically several years apart. If there can be no information about a case between those dates, such a period of silence is likely to lead both to uninformed speculation, and to public concern that nothing is happening."
Breach of confidence
"Insofar as the Press Notice contains information which came to Mr Dickson's attention in the course of his investigation, which information shall be treated as confidential (subject to the proviso in regulation 52(a), which does not apply to the present case) the issue of the Press Notice was in breach of a duty of confidence owed by the First Third Defendants to the Claimants. For example, Mr Dickson only became aware of the information which gave rise to the complaint against Mr Scicluna in the course of his investigation and because of his use of his coercive powers. That information is to be treated as confidential within Regulation 52."
"In my judgment, three elements are normally required if, apart from contract, a case of breach of confidence is to succeed. First, the information itself, in the words of Lord Greene MR in Saltman Engineering Co Ltd v Campbell Engineering Co Ltd (1948) 65 RPC 203, 215, must 'have the necessary quality of confidence about it'. Secondly, that information must have been imparted in circumstances importing an obligation of confidence. Thirdly, there must be an unauthorised use of that information to the detriment of the party communicating it."
The creation of the obligation of confidence
"52 (a) Information, whether oral or in writing, which comes to the knowledge of the Executive Counsel, the Executive Committee, a Joint Disciplinary Tribunal or an Appeal Tribunal in the course of an investigation or disciplinary proceedings under the Scheme shall be treated as confidential save to the extent that disclosure is necessary for the purposes of such investigation or proceedings.
(b) Any disclosure of such information, whether oral or in writing, by the Executive Counsel, the Executive Committee, a Joint Disciplinary Tribunal or an Appeal Tribunal (save in a report to be published pursuant to the terms of the Scheme) shall be on terms that it is confidential and no such information shall be disclosed (directly or indirectly) by the person provided with it except:
(i) to his legal advisers for the purposes of the investigation or disciplinary proceedings;
(ii)
(iii) to any other person to whom disclosure is necessary for the purposes of obtaining evidence, information or assistance in connection with the investigation or disciplinary proceedings."
"It seems to me that if the circumstances are such that any reasonable man standing in the shoes of the recipient of the information would have realised that upon reasonable grounds the information was being given to him in confidence, then this should suffice to impose upon him the equitable obligation of confidence. In particular, where information of commercial or industrial value is given on a business-like basis and with some avowed common object in mind, such as a joint venture or the manufacture of articles by one party for the other, I would regard the recipient as carrying a heavy burden if he seeks to repel a contention that he was bound by an obligation of confidence " (p 48)
Does the 2005 Press Notice consist of or contain information covered by the obligation of confidence?
"CAPITAL CORPORATION PLC
DELOITTE & TOUCHE and MR MARTIN ANTHONY SCICLUNA FCA
The Executive Counsel to the Joint Disciplinary Scheme, Mr Christopher Dickson, has completed his investigation into the case of Deloitte & Touche ("D&T"), the auditor of Capital since 1989, and Mr Scicluna, the Chairman of D&T, and has laid Complaints against them, as follows:
(a) (D&T only) at the time of Capital's 1996 interim announcement, acquiescing in Capital's misleading amendments to the disclosures D&T had recommended that Capital make to the market;
(b) (D&T only) at the time of Capital's 1996 interim announcement, failing to resign as auditor of Capital, amongst other reasons because of Capital's failure to disclose to the market that D&T was unable to form a view on whether or not Capital's interim accounts were materially correct;
(c) (Mr Scicluna only) in September 1996, failing to report Mr Stephen Edward Ives, at the time a D&T partner, to the Institute of Chartered Accountants in England and Wales ("ICAEW"), or failing to ensure that the senior partner of D&T reported him.
A Joint Disciplinary Tribunal will be appointed to hear the Complaints. The Tribunal's report will be published."
"8. The only reference to me in the press in any of these stories is a brief reference in the Guardian on 11 February 2005 to the fact that I was the person to whom information was provided by Mr Ives. The fact that I am the subject of a complaint to the Tribunal is not yet within the public domain. Nor is it something that will be apparent to anyone reading any of the press comment about Capital Corporation.
10. ... However, it would be very damaging to me now if it become (sic) known that the First Defendant had investigated and formed the view that there was sufficient evidence to justify a Complaint against me in circumstances in which I had not been able to defend myself and the subsequent repeated comment about the Complaint would exacerbate the damage to me.
21. Although the Complaint is one that I strongly reject and will contest vigorously, the reality is that the damage caused to my professional standing would have been suffered whatever the outcome of the Tribunal decision. I will be obliged to inform the audit clients for whom I work of the complaint together with target clients of the firm for whom I may wish to work. A listed company will inevitably wish to consider very carefully whether it wishes to have as its main audit partner someone known to be facing a complaint before the JDS (even though that complaint is not related to the quality of my audit work). There is no doubt that there is a professional stigma that attaches to those known to be facing proceedings brought by the JDS, particularly in relation to PLC clients.... Further the role of Chairman of the Board of Partners is one that I hold because of the trust and respect of my fellow partners. However supportive my fellow partners are likely to be, the role will inevitably become more difficult if the details of the complaint against me are made public."
"18. There is no question but that publicity in the form of that proposed by the First Defendant is damaging to Deloitte. There will inevitably be damage to the firm's brand value caused by the publicity. It is difficult to quantify the precise damage. However, Deloitte, like its competitors, is obliged to go out into the market and win new work. This process can take a number of years with some potential clients who may be in no rush to appoint new auditors or advisers. Publicity such as that proposed is highly damaging to that process of winning new clients.
19. Further there is particular damage in this case where the publicity involves the naming of one of Deloitte's senior audit partners and the Chairman of its Board of Partners as party to a disciplinary complaint. Mr Scicluna is a high-profile partner who regularly represents the firm at proposals and at marketing events (including to major listed companies). Mr Scicluna is also at the forefront of the firm's charitable and other community programs. His ability to perform these roles for the firm will be handicapped in the event of the First Defendant's proposed press notice."
"Mr Scicluna's involvement in the examination of Mr Ives' conduct, such information being derived from the interviews conducted by the First Defendant and Deloitte's confidential Board papers".
"(a) (D&T only) at the time of Capital's 1996 interim announcement, acquiescing in Capital's misleading amendments to the disclosures D&T had recommended that Capital make to the market;
"The fact that Deloitte had recommended that Capital make disclosures to the market is confidential information derived from Deloitte's audit working papers and/or interviews conducted by the First Defendant; the fact that Capital amended those proposed amendments is confidential information obtained from Deloitte's audit working papers and/or interviews conducted by the First Defendant; the suggestion that Deloitte 'acquiesced' in those amendments is based on confidential information contained within Deloitte's audit working files and/or interviews conducted by the First Defendant."
"(b) (D&T only) at the time of Capital's 1996 interim announcement, failing to resign as auditor of Capital, amongst other reasons because of Capital's failure to disclose to the market that D&T was unable to form a view on whether or not Capital's interim accounts were materially correct"
"The reference at sub-paragraph (b) of the proposed Press Notice to Capital's failure to disclose to the market that Deloitte & Touche were unable to form a view on whether or not Capital's interim accounts were materially correct is confidential information derived from Deloitte's audit working files and/or interviews conducted by the First Defendant."
"The Executive Counsel to the Joint Disciplinary Scheme, Mr Christopher Dickson, has completed his investigation into the case of Deloitte & Touche ("D&T"), the auditor of Capital since 1989, and Mr Scicluna, the Chairman of D&T, and has laid Complaints against them.
A Joint Disciplinary Tribunal will be appointed to hear the Complaints. The Tribunal's report will be published."
"The Executive Counsel to the Joint Disciplinary Scheme, Mr Christopher Dickson, has completed his investigation into the case of Deloitte & Touche ("D&T"), the auditor of Capital since 1989, and Mr Scicluna, the Chairman of D&T, and has laid Complaints against them, as follows:
(a) (D&T only) at the time of Capital's 1996 interim announcement, acquiescing in certain of Capital's actions;
(b) (D&T only) at the time of Capital's 1996 interim announcement, failing to resign as auditor of Capital, in view of certain matters known to them;
(c) (Mr Scicluna only) as a result of certain failures on his part in September 1996.
A Joint Disciplinary Tribunal will be appointed to hear the Complaints. The Tribunal's report will be published."
Public Interest considerations
"[the] third limiting principle is of far greater importance. It is that, although the basis of the law's protection of confidence is that there is a public interest that confidences should be preserved and protected by the law, nevertheless that public interest may be outweighed by some other countervailing public interest which favours disclosure. This limitation may apply, as the learned judge pointed out, to all types of confidential information. It is this limiting principle which may require a court to carry out a balancing operation, weighing the public interest in maintaining confidence against a countervailing public interest favouring disclosure." (p 282).
"The weaker the claim for privacy the more likely that the claim for privacy will be outweighed."
"The starting point is the right of freedom of expression. In a democracy it is the primary right: without it an effective rule of law is not possible. Nevertheless, freedom of expression is not an absolute right. Sometimes it must yield to other cogent social interests.
Freedom of expression is, of course, intrinsically important: it is valued for its own sake. But it is well recognised that it is also instrumentally important. It serves a number of broad objectives. First, it promotes the self-fulfilment of individuals in society. Secondly, in the famous words of Holmes J. (echoing John Stuart Mill), 'The best test of truth is the power of the thought to get itself accepted in the competition of the market:' Abrams v United States (1919) 250 U.S. 616, 630, per Holmes J. (dissenting). Thirdly, freedom of speech is the lifeblood of democracy. The free flow of information and ideas informs political debate. It is a safety valve: people are more ready to accept decisions that go against them if they can in principle seek to influence them. It acts as a brake on the abuse of power by public officials. It facilitates the exposure of errors in the governance and administration of justice of the country: see Stone, Seidman, Sunstein and Tushnet, Constitutional Law, 3rd ed. (1996), pp. 1078 1086." (pp 125 6)
"The rights guaranteed by [Articles 8 and 10 of the Convention] are qualified rights. Article 8(1) protects the right to respect for private life, but recognition is given in Article 8(2) to the protection of the rights and freedoms of others. Article 10(1) protects the right to freedom of expression, but Article 10(2) recognises the need to protect the rights and freedoms of others. The effect of these provisions is that the right to privacy which lies at the heart of an action for breach of confidence has to be balanced against the right of the media to impart information to the public. And the right of the media to impart information to the public has to be balanced in its turn against the respect that must be given to private life." (para 105)
"The case being one which affects the Convention right of freedom of expression, section 12 of the Human Rights Act 1998 requires the court to have regard to article 10 (as, in its absence, would section 6). This, however, cannot, consistently with section 3 and article 17, give the article 10(1) right of free expression a presumptive priority over other rights. What it does is require the court to consider article 10(2) along with article 10(1), and by doing so to bring into the frame the conflicting right to respect for privacy. This right, contained in article 8 and reflected in English law, is in turn qualified in both contexts by the right of others to free expression. The outcome, which self-evidently has to be the same under both articles, is determined principally by considerations of proportionality." (p 1005, para 137)
"Article 10 of the Convention does not, however, guarantee a wholly unrestricted freedom of expression even with respect to press coverage of matters of serious public concern. Under the terms of paragraph 2 of the Article the exercise of this freedom carries with it 'duties and responsibilities' which also apply to the press. These 'duties and responsibilities' are liable to assume significance when, as in the present case, there is question of attacking the reputation of private individuals and examining the 'rights of others'. As pointed out by the government, the seal hunters' right to protection of their honour and reputation is itself internationally recognised under Article 17 of the International Covenant on Civil and Political Rights. Also of relevance for the balancing of competing interests which the Court must carry out is the fact that under article 6(2) of the Convention the seal hunters had a right to be presumed innocent of any criminal offence until proved guilty. By reason of the 'duties and responsibilities' inherent in the exercise of the freedom of expression, the safeguard afforded by article 10 to journalists in relation to reporting on issues of general interest is subject to the proviso that they are acting in good faith to provide accurate and reliable information in accordance with the ethics of journalism."