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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 >> Pell Frischmann Consultants Ltd & Anor v Prabhu & Ors [2013] EWHC 2203 (Ch) (25 July 2013) URL: http://www.bailii.org/ew/cases/EWHC/Ch/2013/2203.html Cite as: [2014] ICR 153, [2013] EWHC 2203 (Ch), [2013] Pens LR 325 |
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CHANCERY DIVISION
Royal Courts of Justice The Rolls Building 110 Fetter Lane EC4A 1ES |
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B e f o r e :
(SITTING AS A DEPUTY JUDGE OF THE CHANCERY DIVISION)
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(1)PELL FRISCHMANN CONSULTANTS LIMITED (2)PELL FRISCHMANN CIVIL AND STRUCTURAL ENGINEERING |
Claimants |
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- and - | ||
(1) MR ASHU PRABHU (2) MR RICHARD LOCK (3) MS LINDA ROBERTS (4) DR RICHARD LAMB |
Defendants |
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Mr. Andrew Short QC (instructed by Bevan Kidwell LLP ) for the First, Second and Third Defendants
Mr. David E. Grant (instructed by Shoosmiths LLP) for the Fourth Defendant
Hearing dates: 9th and 10th July 2013
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Crown Copyright ©
Miss Penelope Reed QC
Background
"SUBJECT to the payment by the Employer of such additional contributions (if any) as the Trustees on the advice of the Actuary may consider appropriate and subject to any undertakings given by the Trustees to the Board of the Inland Revenue the Trustees may with the consent of the Employer and (if appropriate) the Member augment any of the Relevant Benefits to which any person may be entitled... as the Trustees may determine but so that the amount of any Relevant Benefits shall not exceed the appropriate maximum referred to in Part I of the Schedule to the Rules."
"The Trustees have received a request from your Employer, Pell Frischmann Consulting Engineers Ltd. to enhance your pension benefits with effect from 1st of April 1991.
I am now pleased to inform you of the Trustees' approval to the request and to confirm the change as follows:-
With effect from the 1st of April 1991, the annual rate of accrual for pension benefit is increased from one sixtieth of final pensionable salary to such factor as necessary in order to achieve at age 65, the maximum pension entitlement of twothirds of final pensionable salary. The enhancement will accrue at an equal annual rate between the 1st of April 1991 and the 19th February 2012.
This letter should be retained by you with your other Pension Scheme documents as confirmation of your enhanced future entitlement."
The Lead up to the Proceedings
"I am writing in the hope that you may be able to shed further light on this matter. If you have any further documentation or information regarding the award of this enhancement please let me have it as soon as possible. I stress that this is not an attempt to deny you what is properly due. We simply need to satisfy ourselves as to what is properly due..."
Strike out: Preliminary Points
The court may strike out a statement of case if it appears to the court –
(a) that the statement of case discloses no reasonable grounds for bringing or defending the claim;
(b) that the statement of case is an abuse of the court's process or is otherwise likely to obstruct the just disposal of the proceedings; or
(c) that there has been a failure to comply with a rule, practice direction or court order.
"any dispute of fact or law [...] 5 in relation to an occupational or personal pension scheme between—
(i) a person responsible for the management of the scheme, and
(ii) an actual or potential beneficiary.
"The Pensions Ombudsman shall not investigate or determine a complaint or dispute—
(a) if, before the making of the complaint or the reference of the dispute–
(i) proceedings in respect of the matters which would be the subject of the investigation have been begun in any court or employment tribunal, and
(ii) those proceedings are proceedings which have not been discontinued or which have been discontinued on the basis of a settlement or compromise binding all the persons by or on whose behalf the complaint or reference is made;
Therefore once proceedings have been issued the Pensions Ombudsman is prevented from investigating a complaint unless the proceedings are discontinued other than as part of a compromise. As Lewison J (as he then was) stated in Arjo Wiggins Limited v Henry Thomas Ralph [2009] EWHC 321 the existence of the Pensions Ombudsman does not oust the jurisdiction of the Courts. The matter is quite the reverse: his ability to investigate a dispute is precluded when an application to the Court is made.
Striking Out for Abuse
(a) It is clear that if a party has a genuine grievance for which he is entitled to seek redress, the use of all remedies available to him by the law cannot be an abuse of process (Goldsmith v Sperrings Ltd [1977] 1 WLR 498)
(b) Motive and intention are irrelevant except where malice is in issue. The fact that a party who asserted a legal right was activated by feelings of personal animosity, vindictiveness or general antagonism was irrelevant. (Broxton v McClelland [1995] EMLR 485)
(c) An action was only an abuse if the Court's processes were being misused to obtain something not properly available to the claimant in the course of properly conducted proceedings either by achieving a collateral purpose beyond the proper scope of the proceedings themselves or the conduct of the proceedings so as to cause the defendant problems of expense, harassment, commercial prejudice or the like beyond those normally encountered in the course of properly conducted litigation (Broxton)
(d) A purpose will not be regarded as illegitimate if it is no more than the natural consequence of the action succeeding and if the claim is commenced with a legitimate and an illegitimate purpose the fact that there one purpose is legitimate justifies the claim continuing. (JSC BTA Bank v Ablyazov (No. 6) [2011] 1 WLR 2966)
(e) Only in the clearest and most obvious case will the Court strike out the claim as an abuse (Broxton).
The Fourth Defendant's case on Abuse of process
The court's approach to what is an abuse of process has to be considered today in the light of the changes brought about by the C.P.R. Those changes include a requirement that a party to proceedings should behave reasonably both before and after they have commenced proceedings. Parties are now under an obligation to help the court further the overriding objectives which include ensuring that cases are dealt with expeditiously and fairly: C.P.R., rr. 1.1(2)(d) and 1.3. They should not allow the choice of procedure to achieve procedural advantages. The C.P.R.are, as r. 1.1(1)states, a new procedural code. Parliament recognised that the C.P.R. would fundamentally change the approach to the manner in which litigation would be required to be conducted. That is why the Civil Procedure Act 1997(section 4(1) and (2)) gives the Lord Chancellor a very wide power to amend, repeal or revoke any enactment to the extent he considers necessary or desirable in consequence of the C.P.R.
My second reason is tied up with the first and is that s146(6)(a) of the 1993 Act prevents the Pensions Ombudsman from investigating a complaint if before the complaint is made proceedings have been begun in court in respect of the matters which would be the subject of the investigation. That suggests that the two are intended to be mutually exclusive alternatives and it would be strange if it was contemplated that the alternatives would or might produce different results as to the substance of the dispute. I can well imagine that the two tribunals would be contemplated as having radically different procedures and it may be types of relief but I would not expect differences on such fundamental matters as whether there was a liability to repay capital sums. Also there would be a possibility of abuse if it were possible to avoid an impending complaint to the Pensions Ombudsman by a well timed application for the determination of a dispute of fact or law.
(1) exchange sufficient information about the matter to allow them to understand each other's position and make informed decisions about settlement and how to proceed;
(2) make appropriate attempts to resolve the matter without starting proceedings, and in particular consider the use of an appropriate form of ADR in order to do so.
6.2 The parties should act in a reasonable and proportionate manner in all dealings with one another. In particular, the costs incurred in complying should be proportionate to the complexity of the matter and any money at stake. The parties must not use this Practice Direction as a tactical device to secure an unfair advantage for one party or to generate unnecessary costs.
Before starting proceedings –
(1) the claimant should set out the details of the matter in writing by sending a letter before claim to the defendant. This letter before claim is not the start of proceedings; and
(2) the defendant should give a full written response within a reasonable period, preceded, if appropriate, by a written acknowledgment of the letter before claim.
If, in the opinion of the court, there has been non-compliance, the sanctions which the court may impose include –
(1) staying (that is suspending) the proceedings until steps which ought to have been taken have been taken;
(2) an order that the party at fault pays the costs, or part of the costs, of the other party or parties (this may include an order under rule 27.14(2)(g) in cases allocated to the small claims track);
(3) an order that the party at fault pays those costs on an indemnity basis (rule 44.4(3) sets out the definition of the assessment of costs on an indemnity basis);
(4) if the party at fault is the claimant in whose favour an order for the payment of a sum of money is subsequently made, an order that the claimant is deprived of interest on all or part of that sum, and/or that interest is awarded at a lower rate than would otherwise have been awarded;
(5) if the party at fault is a defendant, and an order for the payment of a sum of money is subsequently made in favour of the claimant, an order that the defendant pay interest on all or part of that sum at a higher rate, not exceeding 10% above base rate, than would otherwise have been awarded
The Global Multimedia Point
Conclusions on Application to Strike Out
Prospective Costs order
(a) That the claim comes within category 2 of Re Buckton [1907] 2 Ch 406.
(b) By extension of the Buckton categories
(c) On the basis that having regard to the Claimants' conduct or otherwise the likely costs order at trial would be that Dr. Lamb would receive his costs in any event.
(d) Pursuant to the discretion of the court under CPR rule 44.2(4) having regard to the Claimants' conduct and breach of the various provisions of the CPR.
There is a second class of cases differing in form, but not in substance, from the first. In these cases it is admitted on all hands, or it is apparent from the proceedings, that although the application is made, not by trustees (who are respondents), but by some of the beneficiaries, yet it is made by reason of some difficulty of construction, or administration, which would have justified an application by the trustees, and it is not made by them only because, for some reason or other, a different course has been deemed more convenient.
The court may sometimes feel sufficiently confident that the case is clearly within the first or second category to be able to make a prospective order that parties other than the trustees are to have their costs in any event. Such orders have been made at the request of, or with the support of, the trustee or other fiduciary bringing the proceedings: see In re Exchange Securities & Commodities Ltd. (No. 2) [1985] B.C.L.C. 392, 395. This is not an interference with discretion because it is clear that the discretion can only be exercised in one way. In such cases, however, the parties are by the same token unlikely to require the assurance of a prospective order and they are in practice unusual. In cases in which it is not clear that the judge would be bound to make an order in favour of the applicant, the court is very reluctant to make a prospective order
I think that before granting a pre-emptive application in ordinary trust litigation or proceedings concerning the ownership of a fund held by a trustee or other fiduciary, the judge must be satisfied that the judge at the trial could properly exercise his discretion only by ordering the applicant's costs to be paid out of the fund. Otherwise the order may indeed fetter the judge's discretion under Ord. 62, r. 3(3) .
The Court then went on to grant a prospective costs order to the plaintiffs but on the basis not that their claim fell within the Buckton categories because it was hostile litigation but by analogy with derivative actions. Mr. Grant accepts that Dr. Lamb's claim does not fall into that latter category of case.
(a) If the testator has been the cause of the litigation, then the costs might come out of the estate;
(b) If there have been reasonable grounds on which to investigate the validity of the will, then the costs lie where they fall.
Conclusions