BAILII is celebrating 24 years of free online access to the law! Would you consider making a contribution?
No donation is too small. If every visitor before 31 December gives just £1, it will have a significant impact on BAILII's ability to continue providing free access to the law.
Thank you very much for your support!
[Home] [Databases] [World Law] [Multidatabase Search] [Help] [Feedback] | ||
England and Wales High Court (Chancery Division) Decisions |
||
You are here: BAILII >> Databases >> England and Wales High Court (Chancery Division) Decisions >> XX & Ors v YY & Ors [2021] EWHC 1833 (Ch) (02 July 2021) URL: http://www.bailii.org/ew/cases/EWHC/Ch/2021/1833.html Cite as: [2021] EWHC 1833 (Ch) |
[New search] [Printable PDF version] [Help]
BUSINESS AND PROPERTY COURTS OF ENGLAND AND WALES
BUSINESS LIST (ChD) AND INSOLVENCY AND COMPANIES LIST (ChD)
Fetter Lane, London, EC4A 1NL |
||
B e f o r e :
____________________
XX & Others |
Claimants |
|
- and - |
||
YY & Others |
Defendants |
____________________
Iain Quirk QC (instructed by Bivonas Law LLP) for the First Defendant
Hearing dates: 28 June 2021
____________________
Crown Copyright ©
Mr Justice Miles:
Introduction
The applications
The claims
Procedural history
The legal expenses application
(i) Constructive trust claims against solicitors who act in the defence of proprietary claims
"[Counsel for the plaintiff's] contention was that the defendant solicitors knew where the moneys that they received came from and knew that the source was trust funds. In my view this contention fails at the outset. What the defendant solicitors knew was that the moneys came from the West German foundation and they knew of the allegations contained in the proceedings brought against that foundation by the plaintiffs in which they were instructed to act as solicitors for the West German foundation. They knew that claims were being made against the West German foundation that all their property and assets belonged to the plaintiffs or were held on trust for them. But claims are not the same thing as facts. [The plaintiffs' counsel] contended that for the purposes of the present issue all the allegations contained in the statements of claim in both the actions must be taken as true. That will not do. What we have to deal with is the state of the defendant solicitors' knowledge (actual or imputed) at the date when they received payments of their costs and disbursements. At that date they cannot have had more than knowledge of the claims above mentioned. It was not possible for them to know whether they were well-founded or not. The claims depended upon most complicated facts still to be proved or disproved, and very difficult questions of German and English law. It is not a case where the West German foundation were holding property upon any express trust. They were denying the existence of any trust or any right of property in the assets claimed by the plaintiffs. Why should the solicitors of the West German foundation assume anything against their clients?"
"Firstly, and to my mind decisively, whatever be the nature of the knowledge or notice required, cognisance of what has been termed 'a doubtful equity' is not enough. This phrase is to be found in Lewin on Trusts, 16th ed. (1964), p. 658, and Underhill's Law Relating to Trusts and Trustees 11th ed (1959) p. 606: it appears first to have been used by Lord Grant M.R. in Parker v. Brooke (1804) 9 Ves. 583, 588. The rule, as I understand it, is that no stranger can become a constructive trustee merely because he is made aware of a disputed claim the validity of which he cannot properly assess. Here it has been rightly conceded that no one can foretell the result of the litigation even if the plaintiffs were to prove all the facts they allege."
"As to facts alleged in a statement of claim, [counsel for the defendants] was, to my mind, correct in submitting that a defendant's solicitor is under no duty to the plaintiffs to inquire into their accuracy for the purposes urged by [counsel for the plaintiff], nor, where there is a likelihood of a conflict of evidence between his client's witnesses and those of the plaintiffs is he under any such duty to assess the result. In coming to this conclusion, I am content to adopt the approach, albeit obiter, of Lush J in La Roche v Armstrong [1922] 1 KB 485, 491, where he said:
"Here the solicitor has received a sum of money from his client for the purpose of his resisting on her behalf a claim by A, who says it is trust money and that the client is under a duty to return it. Under such circumstances I should be very loath to say that the solicitor, who cannot know the real truth of the matter, inasmuch as he hears one story from his client and another from A, is bound to hold the money, not for his client, but for A whose claim is not yet established."
That approach was correct, because the solicitor was under no duty to A either to make inquiries or to assess the results of them".
"The law being reluctant to make a mere agent a constructive trustee, as Lord Selborne L.C put in in Barnes v. Addy, 9 Ch. App. 244, 251-252, mere notice of a claim asserted by a third party is insufficient to render the agent guilty of a wrongful act in dealing with property derived from his principal in accordance with the latter's instructions unless the agent knows that the third party's claim is well-founded and that the principal accordingly had no authority to give such instructions".
(ii) Exceptions in freezing and proprietary injunctions for legal fees
"In the Mareva case, since the money is the defendant's subject to his demonstrating that he has no other assets with which to fund the litigation, the ordinary rule is that he should have resort to the frozen funds in order to finance his defence. In the proprietary case, however, the judgment is a more difficult one because in the plaintiff's contention the money on which the defendant wishes to rely to finance his litigation is not the defendant's money at all but represents money which is held on trust for the plaintiff. That, of course, gives rise to an obvious risk of injustice if the plaintiff, successful at the end of the day, finds that his own money has been used to finance an unsuccessful defence. As these authorities make plain, a careful and anxious judgment has to be made in a case where a proprietary claim is advanced by the plaintiff as to whether the injustice of permitting the use of the funds by the defendant is outweighed by the possible injustice to the defendant if he is denied the opportunity of advancing what may of course turn out to be a successful defence".
"Lewison J (as he then was) in Independent Trustee Services Ltd v GP Noble Trustees Ltd [2009] EWHC 161 (Ch) helpfully summarised the proper approach at para. 6 by setting out the four questions which should be addressed:
(1) does the claimant have an arguable proprietary claim to the funds in issue?
(2) if yes, does the defendant have arguable grounds for denying that claim?
(3) if yes, has the defendant demonstrated that without the release of the funds in issue he cannot effectively defend the proceedings (or, it may be added, meet his legitimate living expenses)?
(4) if yes, where does the balance of justice lie as between, on the one hand, permitting the defendant to expend funds which might belong to the claimant and, on the other hand, refusing to allow the defendant to expend funds which might belong to it?"
"A trustee has no right to have recourse to trust money to defend himself against a claim for breach of trust unless he has an arguable case for saying that he has a beneficial interest in the funds in question. No man has a right to use somebody else's money for the purpose of defending himself against legal proceedings. Just as the Court's jurisdiction to grant the injunction in the first place depended on the plaintiff's establishing an arguable case that the money belonged to it, so its willingness to permit the defendant to have re-course to the money depends upon his establishing an arguable claim to the money …"
(iii) United Mizrahi Bank Ltd v Doherty [1998] 1 WLR 435 ("United Mizrahi").
"The hearing before Rattee J ended very abruptly because the plaintiff pointed out that it had no objection to the use of the assets in question for the purpose of legal costs so far as there could be any suggestion that there was a breach of the Mareva order because it asserted that, as there was a specific proviso allowing the expenditure of legal costs, there could not be a breach of the order in the defendants so doing. Consequently, Rattee J was persuaded to make an order that Mr and Mrs Doherty should not be in breach of the order of Robert Walker J dated 8 November 1996 by utilising certain assets held by them to fund their reasonable legal expenses of defending the action. But he added the proviso that nothing in that order should deprive the plaintiff of any proprietary claim it might have to those assets. That, of course, did not satisfy the needs and concerns of Mr and Mrs Doherty and Lewis Silkin, but it was all they could obtain on the basis of the notice of motion before Rattee J. Consequently, they have issued this fresh notice of motion which has come on before me today, effectively seeking the court's determination that the expenditure of such costs thus allowed by the order should deprive the plaintiff of such claim".
"the question that [counsel for the defendant] is here raising is not one which is even limited to cases where there are injunctions either with or without provisos, but could and would apply in any case in which there is a claim by a plaintiff against the defendant, based on constructive trust or equivalent, that the defendant is holding its property … [Such] a question has nothing, or at any rate nothing necessarily, to do with the fact that there happen to be injunctions claimed in these proceedings. The situation would be exactly the same if a plaintiff brought an action against a defendant without seeking an injunction, based upon the assertion that funds which the defendants were in possession of were the plaintiff's property; and the solicitors of the defendants were concerned that the moneys that they were being paid by the defendants might be moneys which would turn out at the end of the day to be the plaintiff's moneys".
"The issue is … not whether the defendants are permitted to use moneys to spend on legal costs, for they are so permitted so far as the order is concerned, but whether in so doing they are to have the court's sanction that such an act of disposal of the costs cannot hereafter be complained of either against them or against the recipient as being a continuation or perpetuation of a breach of trust or constructive trust as against the plaintiff … I am satisfied that in none of the cases to which reference has been made to me has there been any express consideration of … the question as to whether there was to be an exemption from the provisions of the law of constructive trust, as opposed to a sanctioning of what would otherwise have been contempt for breach of the order".
"[Counsel for the defendant] tells me that his present instructions are that unless Lewis Silkin obtain from the court today the sanction that is sought in the notice of motion they would, or at any rate may, feel obliged to come off the record, thus leaving the defendants without legal representation when, on the face of the order, they are permitted to incur legal costs out of moneys which are otherwise covered by the order and which may otherwise turn out to be the plaintiff's".
"If [counsel for the defendant] be right, then this would not be a limited jurisdiction, and indeed what I referred to perhaps frivolously in the course of the hearing as a United Mizrahi Bank order would become common practice. It would be the case that in many cases where claims were brought by a plaintiff against a defendant in constructive trust, or conversion or if some proprietary claim were made, and the defendant were concerned, or more likely his solicitors were concerned, that the moneys with which he was paying his solicitor could turn out to be the plaintiff's moneys, a pre-emptive United Mizrahi Bank order could be applied for. That has never happened yet … As I have indicated, I do not see any stopping point between on the one hand cases of injunctions or particular kinds of injunctions, applications for provisos, or applications for permissions to extend provisos, or clarify provisos, and on the other hand every case where a solicitor and/or a defendant is concerned that he may be putting the solicitor at risk of a claim in constructive trust".
"That, of course, would be extremely regrettable in relation to a case two months away from trial, but analysed by me as it has been I do not consider the situation to be different in this case, as I have indicated, from that in any other case. I hope that solicitors do not have to worry about a claim in constructive trust in any case, or certainly only in a rare one … But, if that is a worry that solicitors have, it is a worry that they will have in all such cases, and not simply in cases where there are injunctions. In this case, as I have indicated, the defendants are permitted to expend money on legal costs even if it should turn out that the assets belong to the plaintiff so far as being in contempt is concerned, and therefore the question of whether there might be some claim in constructive trust will be no different in this case from that in any other similar case where there is no injunction".
"in which the court, if I may say so with respect entirely rightly, has emphasised that the merits should not be gone into in great detail, or indeed in any detail, unless it is for the purpose of showing that, for example, the defence is virtually non-existent, and that the balance of justice should be considered rather than the merits, as in any injunctive situation".
"there may well be a difference between a solicitor who is simply finding it difficult to be confident that his client will succeed, perhaps even beginning to think that his client is going to lose on the one hand (situation A) and a solicitor who has information in his possession, which perhaps he is under no obligation to disclose, but which nevertheless leads him to conclude that his client is certain to lose (situation B). It seems to me wrong that the court should sanction blind in advance the conduct of the solicitor in situation B in the same way as the solicitor in situation A. But all that, of course, would come out in the wash afterwards, if the plaintiff were unsuccessful in recovering money in execution and wanted to seek to pursue a solicitor as a third party, as an extra defendant after judgment".
"If there be jurisdiction for a solicitor to have that cleared up pre-emptively then it may well be there can be such cases. But in my view this is not such a case, namely a case in which the court has no idea whether there is any conceivable risk for the solicitors for the defendant. I could have no idea whether there is any danger such that it would be positively wrong to exempt that liability. In those circumstances I come to the conclusion that, sympathetic though I am in the particular facts of this case both to the solicitors and to the defendants (and, knowing, as I do, the solicitors in question, such as to believe that there is no possible risk of situation B in this case), and keen as I am that this action should go ahead in two months' time with legal representation on the part of the defendants, I am satisfied that it is not a case where I can or should say, in advance, that there would be no breach of trust by the expenditure of these moneys, and I content myself with saying, as Rattee J did, that so far as the existence of the injunction is concerned, it can be disregarded. The defendants can act as they would have done if there had been no injunction against expending legal costs on their defence to this action which will come to trial very shortly."
(iv) The court's power to grant ancillary orders
"Bearing in mind we are exercising a jurisdiction which is statutory, and which is expressed in terms of considerable width, it seems to me that the court should not shrink if it is of the opinion that an injunction is necessary for the proper protection of a party to the action, from granting relief, notwithstanding it may, in its terms, be of a novel character."
"I have no hesitation in saying that there is no limit to the practice of the court with regard to interlocutory applications so far as they are necessary and reasonable applications ancillary to the due performance of its functions, namely, the administration of justice at the hearing of the cause."
The parties' submissions
Analysis
The living expenses exception
Extension of time for the first defendant's defence
Result