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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 >> Sumner & Anor v Costa Ltd & Anor [2013] EWHC 4116 (Ch) (24 July 2013) URL: http://www.bailii.org/ew/cases/EWHC/Ch/2013/4116.html Cite as: [2013] EWHC 4116 (Ch), [2014] WLR(D) 15 |
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CHANCERY DIVISION
7 Rolls Buildings Fetter Lane London EC4A 1NL |
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B e f o r e :
Sitting as a Judge of the High Court
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BRENDA SUMNER | ||
NICK MAKIN | Claimants/Applicants | |
- and - | ||
COSTA LIMITED | ||
P A DICKINS | Defendants/Respondents |
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8th Floor, 165 Fleet Street, London, EC4A 2DY
Tel No: 020 7421 4036 Fax No: 020 7404 1424
Web: www.merrillcorp.com/mls Email: [email protected]
(Official Shorthand Writers to the Court)
MR A ROSENTHAL (instructed by Plexus Law) appeared on behalf of the Defendants
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Crown Copyright ©
JUDGE SIMON BARKER QC :
"9.4 Ms. Bapty states that the Card Factory letting should not be attributed any significant weight due its timing post subject review date and could not have had any secondary effect of influencing a prospective tenant bidding for the subject property at the review date. Mr. Calder contends the transaction was agreed closest to the subject review date by inference drawn from the date on which the agreement to lease was signed.
9.5 On the basis of the evidence presented to me by Mr. Calder it was not until 4 months after the subject review date that the Card Factory signed a binding contract on 33 Market Street. Accordingly for this reason, having regard to the established case law on post review date evidence, I prefer Ms. Bapty's approach and have not accordingly attributed any weight to this transaction.
9.6 The transaction which I find to be most helpful based on the evidence presented to me is the Mountain Warehouse letting two doors away from the subject premises, 11 months before the subject reviewed it. I therefore feel that I can do no better than take the Zone A rate of £47,71 psf ITZA demonstrated by this letting transaction in relation to the ground floor retail unit."
The words to emphasise, in particular, from those three paragraphs containing the critical reasoning are from paragraphs 9.5: "... having regard to the established case law on post review date evidence".
"...evidence of open market lettings taking place after the review date is admissible but that there remains at least one difference between pre-and post review date transactions, namely that post-review date lettings cannot have any 'secondary effect' on market sentiment at the review date."
(1) under sections 57, 68 and 70 of the 1996 Act that : (a) the arbitrator be required to clarify his award and set out his full reasoning and case law to which he had regard and how he regard to it; and, (b) remitting the award to a different arbitrator or to the second defendant generally or at least as to the Zone A determination and its consequences;
(2) under sections 57, 69 and 70 of the 1996 Act : leave to appeal and determination of the three questions referred to above on an appeal. Those are the three questions that were put in the letter of 24 February from the claimants' agents to the second defendant;
(3) under section 24 of the 1996 Act, for removal of the second defendant; and,
(4) for an order that the first defendant, or if not the first defendant then the second defendant, pay the costs or that the costs be costs in the arbitration.
(a) conceded that the reference to "case law" was not well chosen, i.e not technical in the way that a lawyer would refer to "case law" and confirmed that nothing was relied on beyond that provided by the parties ~ I observe that this confines the references to "case law" to the commentary from the Handbook cited by Miss Bapty and correctly summarised in paragraph 7.2 of her report;
(b) referred to volatility and falls in retail rents, as commented on by Miss Bapty, who had observed that it had been falling in the South West throughout 2009 and 2010 and that Falmouth had been consistent with the South West in that regard, and Mr Calder, who had observed that the market had been affected in 2008 and 2009 by the banking crisis but after 2009 confidence had been re-stabilised;
(c) referred to his continued view that the letting 12 months prior to the review date with market conditions being known is a more reliable indicator of value than one concluded seven months after the review date by reference to undisclosed terms four plus months after the review date; and,
(d) confirmed that in fact he did weigh Card Factory against the other comparables and decided to attach no weight to it for reasons including : (i) there was no independent evidence as to the date when the terms for the transactions were agreed, as to which he observed that Miss Bapty and Mr Calder disagreed; (ii) there was no evidence of 33 Market Street being openly marketed at the review date; (iii) there was no evidence as to the terms of the agreement for lease containing conditions to be fulfilled prior to grant of the lease or whether terms were varied between agreement and grant; and, (iv) there was no evidence that the previous lease, which had been to Toni and Guy and was extant at the review date, was contracted out of the Landlord Tenant Act 1954.
~ It is fair to observe that none of these considerations as to what was not in evidence were commented on in the award and that open marketing for a review date would be likely to attract rather than to deter offers and tenants.
(1) the application for cross-examination is only partly about the arbitrator being required to give reasons; it is also a matter within the court's province, or inherent power, to control its own process in order to ensure that matters before it are dealt with justly. In this context, the general principle set out at section 1(c) of the 1996 Act, that the court should not intervene except as provided by the 1996 Act, should be understood as not inhibiting the court's general power over its own process;
(2) section 70(4) of the 1996 Act provides for the court to order a tribunal which has given either no reasons or inadequate reasons, with the result that the matter in issue on an application or under appeal cannot be considered properly, to state the reasons in sufficient detail for that purpose;
(3) in principle there is no jurisdictional objection to an order for cross-examination;
(4) authority, Lendon v Keen [1916] 1 KB 294, exists for the proposition that an arbitrator may be compelled to appear before a court by subpoena, albeit that it is not clear from the report itself whether that subpoena was confined to the production of documents;
(5) the instant hearing, apart from this application and the question of whether or not permission should be given to appeal, is a final hearing. It is accepted that for the purposes of an appeal or an application it would be a rare and special case for oral evidence to be taken, but even then the jurisdiction exists (see CPR, Part 32.7 in relation to cross-examination of a witness on an application or hearing other than a trial);
(6) in this case the court may be satisfied that the claims are not 'fishing', there are material inconsistencies crying out for explanation : (a) as to what were the full reasons for the award, and (b) in order to reconcile the apparent inconsistencies between the award and the letter of 16 March, on the one hand, and the second defendant's statement, on the other hand; and,
(7) the position of an arbitrator is quite different from that of a judge, and the policy reasons for 'protecting' a judge in cross-examination about his or her determinations are not applicable.
(1) as to the law, the jurisdiction is at best questionable, and he submits that, in the light of section 1(c) of the 1996 Act, the limits of the court's power to require reasoning is that set out at section 70(4);
(2) that power is a power to state, not a power to be examined upon, reasons. Logically, it envisages only written material being ordered;
(3) although a final hearing, these proceedings are not a trial, they are applications under section 68 and, subject to permission to appeal being granted, section 69 and section 24 (for removal);
(4) accordingly, the relevant Part in the CPR is Part 32.7(2), and the notes thereto make clear that, whilst no guidelines are given in relation to cross-examination, it will only be in an exceptional case where such an order is made;
(5) there is no escaping that an order would be equivalent to an order for cross-examination of a judge on his or her judgment, which would be improper;
(6) the court has appropriate powers to correct inadequacy in an award and/or in arbitrators under sections 68 (serious irregularity) 69 and 24 (removal) of the 1996 Act. Cross-examination is not usual, even on an application for removal;
(7) as to the circumstances of the case, it is clear from the second claimants third statement and Mr Dagnall's skeleton argument that the purpose of cross-examination is or includes to attack the second defendant's professional character, going beyond partiality and embracing dishonesty. There is no or no sufficient basis for any such concerns to be harboured and cross-examination would be speculative and 'fishing' to attempt to make good a case put too high;
(8) the claimants have been driving at this high level of attack on the second defendant since their letter of 24 February 2012 which sought an explanation as to "case law", required an admission of irregularity, and sought the second defendant's agreement to withdraw and reconsider hisaward. Mr Rosenthal accepts that the second defendant should have answered the first request and explained the reference to "case law" by stating that in fact no reliance had been placed on case law. He submits that the second defendant correctly refused to admit irregularity; and, in relation to the third point, that there is no jurisdiction for an arbitrator to withdraw his or her award. Thus, properly understood, the second defendant's letter of 16 March 2012 states that he will not respond to either the required admission of irregularity or the request to withdraw his award;
(9) the second defendant's witness statement is not a response to a request for clarification under section 57(3) of the 1996 Act, but is an answer to the three questions raised in the letter of 24 February 2012 and pursued in the third action to which the second defendant is joined as a party;
(10) responding by way of written evidence was and is the appropriate course for an arbitrator in such a situation; requiring an arbitrator to give oral evidence goes too far;
(11) the context of the award is a dispute conducted and decided on paper only by non-lawyers who are all specialists in valuation. Accordingly their awards are not to be expected to be to the standard of a judgment, nor are they expected to give rise to oral evidence;
(12) paragraph 18 of the second defendant's statement addressing how weight would have been given is included only in the context of the second and third points raised under the letter of 24 February 2012, the latter of which specifically asks the second defendant to reconsider his award, and the claim under section 24 for his removal in the third action, from which it is clear that all the second defendant was doing was stating what would or might have been the result had it been necessary or appropriate for him to take into account the Card Factory, without in any way undermining his decision to attach no weight to that letting in arriving at his decision in his award;
(13) the key criteria by which an award is to be judged are those identified or referred to by Morgan J in the recent case of Compton v Spence [2013] EWHC 1101 (Ch) citing from speeches of Lord Phillips, then Master of the Rolls, in English v Emery Reimbold & Strick Ltd [2002] EWCA Civ 605, and Lord Brown in South Bucks District Council v Porter (No 2) [2004] 1 WLR 1953, and in particular Lord Phillips' observation that the award must identify the issues vital to the conclusion and explain their resolution but need not be comprehensive, and Lord Brown's observation that the reasoning must give rise to substantial doubt as to whether there has been an error in law;
(14) what the claimants are really seeking are further reasons sufficient to undermine the award. That that is an approach and purpose which is improper because 'further reasons' are addressed by Parliament through the provisions of section 70(4) of 1996 Act, under which a court may compel the statement of further reasons where those given are not sufficient for the court to consider the matter before it; and,
(15) finally, there is no basis for the attack made on the second defendant's integrity.