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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 >> Marine Rescue Technologies Ltd & Anor v Burchill & Ors [2007] EWHC 1976 (Ch) (15 August 2007) URL: http://www.bailii.org/ew/cases/EWHC/Ch/2007/1976.html Cite as: [2007] EWHC 1976 (Ch) |
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CHANCERY DIVISION
PATENTS COURT
Strand, London, WC2A 2LL |
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B e f o r e :
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MARINE RESCUE TECHNOLOGIES LTD. (1) DAVID MARSHALL RESCUE CONCEPTS LLC (2) |
Claimants |
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- and - |
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MICHAEL BURCHILL (1) COMMERCIAL FINANCE (UK) LIMITED (2) SEA MARSHALL RESCUE SYSTEMS LTD (3) |
Defendants |
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Between |
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COMMERCIAL FINANCE (UK) LIMITED |
Part 20 Claimant |
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and |
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MARINE RESCUE TECHNOLOGIES |
Part 20 Defendant |
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Mr Michael Burchill (the 1st Defendant) appeared in person
Hearing date: 27th July 2007
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Crown Copyright ©
Mr Justice Warren :
Introduction and background
"In particular, they must bear in mind CPR31.7, which is the duty to search and to provide in the list an indication whether they have not, in fact, searched for a category or class of document on the grounds that to do so would be unreasonable. I make that observation because in the witness statement in opposition to this application there has been reference to thousands of documents, the implication being that they are either all irrelevant or that a search of them would be disproportionate. I do think that it is incumbent on the claimants to explain whether they have been searched and are not relevant or whether they have not been searched because a search would be disproportionate."
I went on to say that if Mr Burchill was dissatisfied with the standard disclosure resulting from this requirement that the solicitors for the Claimants reconsider the issue of standard disclosure, it would be open to him to make a further application.
"If the claimants are going to take a point about the distinction between themselves on the one hand, and Mr and Mrs Marshall, on the other hand, with the result that disclosure of documents that might be relevant is not dealt with on the footing that they are not and never have been under the control of the claimants but are under the control or have been under the control of Mr and Mrs Marshall, they should - and I direct that this be done – in the supplemental disclosure that they give, expressly explain the position, so that Mr Burchill will have the opportunity to take whatever steps he thinks appropriate to obtain disclosure from the individuals."
a. First, it is to be noted that a party discloses a document by stating that the document exists or has existed: CPR 31.2.
b. A party is entitled to inspect a disclosed document unless it is no longer in the control or the party disclosing it. If a party considers inspection would be disproportionate, he may withhold inspection but must state as much in his disclosure statement: CPR 31.3(2).
c. The scope of documentation which has to be given under standard disclosure is set out in CPR 31.6.
d. When giving standard disclosure, a party is required to make a reasonable search for documents falling within rule 31.6(b) or (c): CPR 31.7(1). The factors relevant in deciding the reasonableness of a search include the matters set out in rule 31.7(2). And where a party has not searched for a category or class of document on the grounds that to do so would be unreasonable, he must state this in his disclosure statement and identify the category or class.
e. The procedure for disclosure is set out in CPR 3.10. Each party must make and serve a list on the relevant practice form. The list must include a disclosure statement: see rule 31.10(6). The statement must set out the extent of the search that has been made to locate the documents.
a. The interests of the administration of justice. It is, of course, the case that the courts now expect parties to get on with their cases and that unreasonable delays are not acceptable. I have already described many of the delays in my judgment on Mr Burchill's strike-out application. The fact that a delay is not sufficient to justify the strike out of a claimant's case does not mean that that delay is to be ignored when, the action having been struck out, the claimant seeks to re-instate. The interests of justice require that the effect which the conduct of a case has on other litigants in other cases to be taken into account. I do not, of course, place the whole of the blame for the delay in these proceedings on the Claimants, but it would be idle to suppose that they have not been responsible for some of it.
Deliberate breach of court orders was considered under this head in Stolzenberg v CIBC Mellon Trust Co [2004] EWCA Civ 827. I will consider this aspect under paragraph c below.I note that Mr Burchill submits that the present case has been a matter of controversy in the press and is being widely used as an example of the delays still possible: there is a risk that public confidence in the administration of justice will be shaken. I do not take any account of what has appeared in the press which seems to me to be irrelevant. The interests of justice require, of course, that there should be public confidence in the administration of justice. I do not need any persuading that serious and contumelious delays, if left without the imposition of sanction, might undermine that confidence. But this is not a case where the delays, taken in the context of the actual conduct of the case, are so long as to lead to only one result, namely to leave the matter struck out. The delay is, however, a factor which I take into account.b. Whether the application for relief has been made promptly. The application clearly was made promptly.
c. Whether the failure was intentional. In the present case, the failure being referred to in rule 3.9(1)(b) is the failure to comply with the "unless" order. It is clear that Mr Davis knew about the "unless" order. He may have thought that the letter of 1 May was sufficient, although he now accepts that a fresh disclosure statement was required. I do not consider that his conduct was a deliberate flouting of the order. He did not, I am sure, say to himself "This order requires a fresh disclosure statement but I am not going to arrange for my clients to give one"; and the Claimants themselves obviously relied on him for advice. Nonetheless, the disclosure statement was, in my opinion, very important since it is that document which commits the Claimants to the list provided as being full disclosure in accordance with the court order. There would be serious sanctions if the statement had been made knowing it to be untrue. So, although the failure was not intentional in the sense that it was a deliberate flouting of the order, it was a failure of substance and not a merely formal failure.
d. Whether there is a good explanation for the failure. Mr Davis is frank about his responsibility for the failure. There is no good explanation in the sense that the Claimants were somehow prevented by unforeseen circumstances from providing disclosure. Mr Davis does not really have an explanation at all other than that the letter of 1 March was thought to be enough. Mr Edwards says that Mr Davis' explanation is better than no explanation at all: Mr Davis takes responsibility. Mr Davis should, it is submitted, be given credit for that. I do, of course, give him credit personally for being straightforward. But it is not an excuse for non-compliance with the order. I do not have any idea why the matter was left to the very last moment especially as no additional disclosure was to be given. No doubt there are issues of privilege which would prevent him giving a full explanation, particularly in relation to what searches he advised should be carried out and when that advice was given.
e. The extent to which the Claimants (not the Defendants) have complied with other rules and orders. The Claimants have not breached any orders since the strike-out application; prior to that there was a period when both parties ignored directions about exchange of witness statements. I attach very little weight indeed to that.
f. Whether the failure was caused by the party or his legal representative. It can be seen that the failure can probably be laid at the door of Mr Davis. I say probably, because there is no evidence about what the Claimants were advised. Mr Davis' evidence shows why the disclosure and disclosure statement came late but it does not explain why it is considered that it is properly so restricted. I have read the Note at CPR 3.9.2 at page 117 of the White Book (2007) and referred to the cases there cited. I do not attach much weight to the fact that the fault is that of Mr Davis rather than his clients. The clients knew, or ought to have known, that they had to comply with the order and of the consequences if they did not. This, it seems to me, is the sort of case where the client cannot escape the consequences of his own adviser's shortcomings.
g. Whether the trial date can still be met if relief is granted. No trial date has been fixed so this factor does not arise. However, a related consideration is the effect that the failure has had on the overall trial timetable. The failure to comply with the "unless" order has resulted in a delay from 5 March to the date of this judgment. It is no answer to that delay to say that, if the Defendants had not opposed the granting of relief, the action would probably have been reinstated in March and virtually no time would have been lost. I take account of this additional delay in the exercise of my discretion.
h. The effect of the failure to comply on each party. Mr Burchill has given evidence about the devastating effect that this litigation has had on his health and his finances. I have no doubt that he has been under great stress and it may be that this has contributed to or even been the major cause of health problems. That, however, is a consequence of the whole litigation. I cannot begin to say the extent to which that sort of stress has been exacerbated by the delays in this action (for not all of which the Claimants are responsible). Further, this aspect has not been made worse by the failure to comply with the "unless" order save as to the extent that there has been an additional delay from 5 March to the date of this judgment and the additional worry caused to Mr Burchill by this application. There does not appear to me to be any effect on the Claimants of their own failure which needs to be taken into account.
i. The effect which granting the relief would have on each party. The effects seem to me to be limited to these. First, there is the obvious effect of enabling the Claimants' claim to proceed to trial and thus enabling justice to be done on the facts as between the parties. Secondly, there is the obvious effect of depriving the Defendants of having the claim struck out. This carries in particular the advantage for him that it eliminates the constant, and he says damaging, interruption of his work in Kiev. Thirdly, the Defendants will need to bring yet further disclosure applications to require a search of the Marshalls' home and the equipment which I have mentioned. They would be no further on in relation to disclosure than they were in December.
"I do think that it is incumbent on the claimants to explain whether [the documents] have been searched and are not relevant or whether they have not been searched because a search would be disproportionate."
No such explanation has been given.