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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 >> Onea v Alegbe & Ors (Re Contingent & Future Technologies Ltd and Companies Act 2006) [2023] EWHC 2451 (Ch) (06 October 2023) URL: http://www.bailii.org/ew/cases/EWHC/Ch/2023/2451.html Cite as: [2023] EWHC 2451 (Ch) |
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BUSINESS AND PROPERTY COURTS OF ENGLAND AND WALES
INSOLVENCY AND COMPANIES LIST (ChD)
IN THE MATTER OF CONTINGENT & FUTURE TECHNOLOGIES LIMITED (Company No. 120350038)
AND IN THE MATTER OF THE COMPANIES ACT 2006
Royal Courts of Justice 7 Rolls Buildings London EC4A 1NL |
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B e f o r e :
____________________
IONUT COSMIN ONEA |
Petitioner |
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- and - |
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(1) TAIWO AYOYUNDE ALEGBE (2) RAJPAL SINGH WILKHU (3) CONTINGENT & FUTURE TECHNOLOGIES LIMITED |
Respondents |
____________________
Mr Daniel Lightman KC and Mr Mark Baldock (instructed by Claremont Litigation Limited) for the First and Second Respondents
Hearing dates: 13-14 July 2023
____________________
Crown Copyright ©
This judgment was handed down remotely at 4.00pm on 6 October 2023 by circulation to the parties or their representatives by e-mail and by release to the National Archives.
ICC JUDGE GREENWOOD:
[A] Introduction
4.1. First, on 8 November 2021, the Company began proceedings against Mr Onea in the Chancery Division of the High Court ("the Confidentiality Proceedings") claiming relief in respect of alleged breaches of confidentiality and unauthorised access to the Company's IT systems. Messrs Alegbe and Wilkhu are not parties to the Confidentiality Proceedings, which are listed for a five-day trial in a window between 30 October and 10 November 2023. In the meantime, by virtue of an order made by Ms Joanne Wicks QC (sitting as a Deputy Judge of the High Court) on 27 June 2022 (on the return date of an interim injunction made on 9 November 2021 on the Company's application on short notice to Mr Onea) the statements of case are not to be provided to any non-party. Accordingly, they were not in the evidence or materials before me, although as explained further below, I was referred to a case summary and list of principal issues which I understood to have been produced for the purposes of a CCMC before Deputy Master Teverson on 9 September 2022.
4.2. Second, on 28 January 2022, Mr Onea brought a claim in the Employment Tribunal claiming, amongst other things, constructive unfair dismissal ("the Employment Proceedings"). On Mr Onea's application, on 11 July 2023, by Order of Heather Williams J, the Employment Proceedings were stayed pending the outcome of the Petition and the Confidentiality Proceedings.
5.1. first, to strike out the Petition in its entirety because Mr Onea is not a member of the Company, and therefore does not have standing to present a petition under section 994 of the 2006 Act; it was argued that in consequence the Petition discloses no reasonable grounds for bringing the claim, and is bound to fail; on the same basis, the Applicants seek summary judgment on the whole claim under CPR Part 24;
5.2. second, alternatively, to strike out the Petition in its entirety as an abuse of the court's process because:
5.2.1. when he presented the Petition, Mr Onea knew that he was not a member, and therefore knew that he lacked standing; and/or,
5.2.2. it is an abuse to apply for rectification of the Company's register of members under section 125 of the 2006 Act by means of a petition presented under section 994, rather than by means of a Part 8 Claim Form, issued in accordance with paragraphs 2 and 5 of CPR PD 49A; and/or,
5.2.3. it is an abuse by means of an unfair prejudice petition under section 994 to advance a claim made primarily against the company, which is only ever a nominal party to such proceedings, with correspondingly limited freedom and entitlement to incur legal costs in that capacity;
5.3. third, again alternatively but on the same bases, to strike out paragraphs (1)-(4) of the Prayer (which concern rectification and its consequences) and, as in Re Starlight Developers Ltd, Bryan v Arpan [2007] EWHC 1660 (Ch), to stay the remainder of the Petition whilst directing Mr Onea to commence rectification or other appropriate proceedings in order first to establish his standing as a member, subject to a condition that a failure to commence such proceedings within a limited period would result in the automatic dismissal of the Petition;
5.4. and finally, alternatively, to stay the Petition pending the determination of the Confidentiality Proceedings. Given the Order of Heather Williams J referred to in the previous paragraph, a second further alternative, that the Petition be stayed pending the outcome of the Employment Proceedings, was not pursued.
9.1. at paragraphs 10-39, I set out the factual and procedural background to the dispute and Application;
9.2. at paragraphs 40-106, insofar as relevant, I set out the applicable legal principles in connection with: (i) standing in respect of unfair prejudice petitions, as to which my conclusions are summarised at paragraph 85, (ii) other procedural aspects of unfair prejudice proceedings at paragraphs 86-96, (iii) procedural aspects of rectification applications under section 125 of the 2006 Act at paragraphs 97-100, (iv) strike out, summary judgment and abuse of process at paragraphs 101-104, and (iv) stays pending the outcome of other civil proceedings at paragraph 105;
9.3. at paragraphs 107-126, I consider the parties' arguments and set out my conclusions.
[B] The Background
"In my judgment this evidence was seriously deficient. First, it makes no reference to access by Mr Wilkhu on 4 October. Indeed, the natural inference to be drawn was that the Claimant did not have full control over the IT systems until 9 October. Secondly, it characterises the actions of the Defendant, or purported actions of the Defendant, as "synonymous with downloading", which was not the case. Thirdly, it asserts that the Defendant was not correct to say that it was the IT administrator who had accessed the system when that plainly was correct in relation to the entries for 4 October, and the Claimant had not taken the basic steps I have outlined above to check whether what the Defendant was saying was accurate. Fourthly, the evidence implies that the Claimant had checked the system for records of the CTO or CEO taking steps in relation to the files, when it had not. These were further breaches of the duty of full and frank disclosure."
And at [33], she said:
"The 4 October allegations were material in two ways. First, they formed the vast majority of the allegations of unauthorised access. Otherwise, in Ms Kolasinska's own words, there were only a "handful of incidents", and these were all events for which the Defendant had an explanation. The sufficiency of that explanation is a matter for trial, but it was clearly key that there were apparently 57 unauthorised movements on the system for which he could not offer an explanation. Moreover, the apparent downloading of a large number of documents on a single day gives a completely different impression to the reality. It is suggestive of a disgruntled employee downloading a cache of confidential information to use in competition with or against an employer. Secondly, the 4 October allegations were material because the evidence relating to 4 October clearly influenced the Defendant's refusal to give an injunction (sic) and it was that refusal to give an undertaking which was the reason why Sir Anthony Mann granted an injunction."
"The overall picture, therefore, is one in which, firstly, there may well be an innocent explanation for the way in which the Access Spreadsheet was originally created. But, secondly, upon the Defendant raising the issue, the Claimant failed to take steps to check the accuracy of what the Access Spreadsheet said. Thirdly, no explanation at all has been given for the obviously false evidence in Ms Kolasinska's first witness statement. And, fourthly, the Claimant sought to hide the position by failing to give a proper explanation for the error to the Defendant or to produce the audit logs which would have shown the true position."
24.1. Pursuant to Article 11.1, if a Founder became a Bad Leaver, their entire shareholding, defined as "Founder Shares", would automatically convert into Deferred Shares as at the date of the Founder's dismissal or resignation, as the case may be. Deferred Shares confer no voting or dividend rights. A Bad Leaver was a Founder, on or before 9 October 2024, "who becomes a Leaver at any time during the Relevant Period as a consequence of: (a) such Founder's dismissal by the Company (or any member of the Group) for cause, where "cause" shall mean: (i) grounds of fraud or gross misconduct of the Founder …. (b) such Founder's voluntary resignation as an Employee …"
24.2. Pursuant to Article 11.2, if a Founder became a "Good Leaver", a set percentage, defined as the "Leaver's percentage", would be deemed unvested and automatically convert into Deferred Shares, but the balance would be retained by the Founder. A Good Leaver was, so far as is relevant, a "Leaver, other than (a) a Bad Leaver or whom the Board … determines is not a Bad Leaver."
24.3. On the basis that Mr Onea either resigned his appointment on 11 October 2021, or was dismissed on 12 October 2021, his Leaver's Percentage was 60%. In other words, the number of his shares which would convert into Deferred Shares would be 300,000 ordinary shares x 0.6, being 180,000. The balance, of 120,000 shares, would be retained by Mr Onea if - but only if - he was a Good Leaver.
24.4. Article 11.6. permitted the Founders, other than the departing individual, to determine that "a Transfer Notice shall be deemed to be given in respect of all (or part only) of their respective founder shares which were to convert into Deferred Shares …"
24.5. Article 11.9. provided that any shares in respect of which it is resolved there shall be a deemed transfer notice shall be offered to the remaining Founders "on a pro rata basis to the number of Equity Shares held by them."
24.6. Pursuant to Article 12.2, the conversion of shares into Deferred Shares "shall be deemed to confer irrevocable authority on the Company at any time after their … conversion ... without obtaining the sanction of such holder(s)" to "appoint any person to execute any transfer (or any agreement to transfer) such Deferred Shares to such person(s) as the Company may determine (as nominee or custodian thereof or otherwise)".
"We hereby give notice that, as a result of you being deemed a Bad Leaver under the Company's Articles of Association, the Company intends to apply Article 11.1 in respect of 84,000 of your shares (converting these shares to Deferred Shares), and Article 11.6 in relation to 216,000 of your shares (transferring these shares to Raj and Tai on a pro-rata basis).
We attach the documentation to implement the transfers. Please sign and return these at your earliest convenience.
To the extent that we do not hear from you by 5 pm on Tuesday 2nd November 2021, we note that the Articles contain a mechanic (sic) allowing the Board to convert your shares to Deferred Shares or sign the stock transfer forms on your behalf. If this is the case, then this will be done without reference to you.
We would be grateful for your co-operation here."
"Given I have been unfairly and unlawfully dismissed I do not intend to sign this as I don't believe it is the appropriate step until all matters are resolved.
If you intend to follow the mechanism within the articles I will lodge a claim with the Companies Court pending resolution of the Employment Tribunal. This will have to be disclosed to all shareholders and investors and will have an adverse impact on the Company. This is not what I propose and it's not the best for the Company.
Please defer from dealing with the shares until all the matters are resolved."
"Pending the trial or further Order in these proceedings, if the Defendant wishes to use the documents and information identified in Appendix I and (subject to paragraph 6 below) Appendix 2 to the Defendant's Defence and Counterclaim or any part thereof for any purpose other than:
...; or
for the purposes of making disclosure in the employment proceedings brought by the Defendant against the Claimant in the Employment Tribunal or in unfair prejudice proceedings that the Defendant may bring against the Claimant's shareholders and/or the Claimant;
the Defendant's solicitors must seek prior consent for any such use and purpose from the Claimant's solicitors ....."
35.1. he was not validly dismissed for any misconduct, because his dismissal was based on spurious allegations (including of unauthorised access on 4 October 2021) and false evidence, most of which the Company has admitted was wrong. Instead, his dismissal was pre-orchestrated by the Respondents in order to remove him as a shareholder and hence deprive him of his shares.
35.2. in any event, any misconduct which could be proven against him (which is denied) was not gross misconduct, and under the Articles, the only basis to find that he was a Bad Leaver, and appropriate his shares, was for gross misconduct. Short of that, he retains his Good Leaver Shares, or at any rate, should do so, and is entitled to their return.
"(1) That a declaration be granted that the Petitioner holds the Good Leaver Shares, namely 120,000 ordinary shares in the Company (out of the 300,000 shares currently which he formerly held and which are now registered as deferred shares held in the name of the Second Respondent);
(2) further or alternatively that a declaration be granted that the Second Respondent holds the Good Leaver Shares on trust for Mr Onea beneficially and/or is liable to account to Mr Onea for them, and orders be granted for the Second Respondent to transfer those shares to Mr Onea and that they be re-designed as ordinary shares;
(3) further or alternatively, that an order be granted for the rectification of the register of the Company, pursuant to section 125 of the 2006 Act, to show the Petitioner as the holder of the Good Leaver Shares, 120,000 ordinary shares in the Company, and that direct notice of such rectification be given to the Registrar of Companies;
(4) that the Respondents, or any of them, be ordered to pay the Petitioner damages sustained as a result of such incorrect entry in the register".
"(5) that, the First and/or Second Respondent may be ordered to purchase the Petitioner's Good Leaver Shares (as declared above) at their fair value, to be determined by the Court; alternatively by an independent firm of accountants agreed between the parties, or alternatively appointed by the Court or by the President of the Institute of Chartered Accountants of England and Wales".
38.1. he applied for, negotiated and signed a contract with the MoD on behalf of the Company using a false name and identity, in order (this being Mr Onea's "best inference") to conceal the fact of his personal relationship with one Fayola-Maria Jack, a senior official at the MoD, through whom, as a "personal connection", the "deal [was] done", and/or that he concealed from the MoD that Ms Jack was engaged at the time by the Company, as an advisor;
38.2. he caused the Company to pay him 15% commission in April and July 2020 in relation to the MoD contract and a contract subsequently signed with the Cabinet Office (where Ms Jack was a director, from April 2017 to November 2020, and in respect of which, again, Mr Onea infers that Mr Alegbe concealed his relationship and/or Ms Jack's conflict of interest) without Board permission or other entitlement;
38.3. he made false business expense claims in respect of what were, in fact, personal travel arrangements in November 2019 and January 2020, to Venice and Paris, and caused the Company to meet his personal rental obligations on an apartment in New York, where the Company had no office, business or employees.
[C] The Applicable Legal Principles
[C1] Unfair Prejudice Proceedings: Standing
"(1) A member of a company may apply to the court by petition for an order under this Part on the ground -
(a) that the company's affairs are being or have been conducted in a manner that is unfairly prejudicial to the interests of members generally or of some part of its members (including at least himself), or
(b) that an actual or proposed act or omission of the company (including an act or omission on its behalf) is or would be so prejudicial."
"(1) The subscribers of a company's memorandum are deemed to have agreed to become members of the company, and on its registration become members and must be entered as such in its register of members.
(2) Every other person who agrees to become a member of a company, and whose name is entered in its register of members, is a member of the company."
"In my judgment, there is no proper basis on which Mr or Mrs Barton could be joined as petitioners. There is some latitude in the range of respondents who can properly be joined, as will be seen from the discussion that follows: but there is no such latitude in the joinder of petitioners. The right to petition the court under s.459 is conferred only on members and those to whom shares have been transferred by operation of law, and neither Mr nor Mrs Barton falls within those categories. No rights are conferred on them by s.459, and although there may be room for nominal defendants in certain types of proceedings, there is in my view no room for nominal petitioners in this context. Furthermore, a procedural provision such as CPR, r.19.2(2)(a) cannot expand the class of claimants on whom a cause of action is conferred by primary legislation. Indeed, the very wording of the rule shows that that was not its intended purpose. The court's power to add parties under r.19.2(2)(a) is confined to cases where it is desirable "so that the court can resolve all the matters in dispute in the proceedings". Since it is impossible for a "dispute" under s.459 to arise at the suit of a person who is not a member, the rule cannot be invoked to support the joinder of a non-member as a party."
"(1) If -
(a) the name of any person is, without sufficient cause, entered in or omitted from a company's register of members, or
(b) default is made or unnecessary delay takes place in entering on the register the fact of any person having ceased to be a member,
the person aggrieved, or any member of the company, or the company, may apply to the court for rectification of the register.
(2) The court may either refuse the application or may order rectification of the register and payment by the company of any damages sustained by any party aggrieved.
(3) On such an application the court may decide any question relating to the title of a person who is a party to the application to have his name entered in or omitted from the register, whether the question arises between members or alleged members, or between members or alleged members on the one hand and the company on the other hand, and generally may decide any question necessary or expedient to be decided for rectification of the register."
"It became common ground before me, first, that the petitioner's claim to rectification raises triable issues and that it is not possible at this stage to describe the petitioner's prospects of obtaining rectification with retrospective effect as fanciful. Secondly, that the petitioner's claim to retrospective rectification is not suitable for summary determination within the procedure contemplated by s.359 of the Act and, thirdly, that his claim is not suitable to be dealt with by way of preliminary issue in the s.459 petition itself albeit that the petition seeks such relief as part of the prayer for relief. In my judgment, having looked at the evidence it seems to me that the concessions made by both sides, which are inherent in that common ground, were all rightly and sensibly made."
"The petitioner accepts that the petition must be stayed pending his pursuit of a rectification claim by separate proceedings, and offers to submit now to stringent case management directions for the prosecution of that claim with the sanction that non-compliance with those directions will, unless relieved, lead to the striking out of the petition with costs."
"Basically, the dispute is not between the company and a person claiming against the company, but between a shareholder and a person claiming to be a shareholder. Let that dispute be settled first before the company is brought on to the scene by the presentation of a petition. By being brought on to the scene I mean of course as a substantial party. By dismissing the petition the court is not driving a litigant from the judgment seat, or doing any injustice to him. The court will be merely requiring him to establish his right to present a petition before he is permitted to take a step which has such an immediate and potentially damaging effect on the company. In these circumstances I propose to dismiss the petition."
"The overriding objective in CPR, r. 1.1 is more likely to be furthered under CPR, r.1.4 by actively managing this case with appropriate directions than by simply striking it out, thereby leaving it open to Mr Keene to start a Chancery action. The critical issue of fact (i.e., the alleged oral agreement in April 1992) has been identified; full investigation and trial of that issue may be necessary, depending on how the case is pleaded; a timetable needs to be fixed to ensure that the case now progresses quickly and efficiently; it is likely to be more cost effective to proceed in this way than to put Mr Keene to the unnecessary expense of issuing fresh proceedings."
53.1. "First, before the coming into force of the Civil Procedure Rules there was a body of authority to the effect that firstly, the restriction as to the types of person with standing to present a s.459 petition should be firmly enforced by striking out non-qualifying petitions. Secondly, in relation to winding-up petitions, a bona fide dispute as to the petitioner's standing to present a petition should lead to the dismissal or striking out of the petition, leaving the petitioner first to establish his or her standing by separate proceedings. Thirdly, no case had established that the principle which I have just identified in relation to winding-up petitions should be applied to s.459 proceedings where no winding up is sought in the alternative. Fourthly, in none of the cases under s.459 was it alleged that the petitioner could have perfected his or her standing by retrospective rectification of the register of members and on their facts it seems to me that retrospective relief by way of rectification would not have been obtained even if the allegations relied upon by the petitioners in those cases had been made good."
53.2. that since the introduction of the CPR (and as illustrated by Re Hoicrest) there is a "possibly greater incentive to fashion a case management solution to the resolution of disputes which, although not raised by an appropriate form of proceedings, need to be resolved, and a case management solution falling short of the striking out or the dismissal of the inappropriate proceedings if some other solution would avoid an unnecessary increase in costs." He distinguished Re JN2 as a decision about winding-up petitions, which unlike unfair prejudice petitions, "produce potentially immediate and damaging consequences for the subject company well in advance of their determination".
53.3. that the petitioner's claim to retrospective rectification was "reasonable" (as had indeed been conceded) and that "there is therefore a risk that if the petition is struck out now, the time and money so far spent on it will have to be re-spent on a substituted identical fresh petition in due course if this petition is struck out. … [I]f the petition is dismissed with costs now but the petitioner shows later that it was only due to the respondents' fault that the petitioner was not registered as a member throughout, that order may work a real injustice. By contrast, if the petition is stayed now with costs reserved, neither of those two adverse consequences or risks would flow."
53.4. that "by contrast no prejudice would be caused to the respondents, still less to the company or third parties, by staying rather than striking out the petition. If the petitioner fails to pursue or to succeed in his rectification claim the petition will in due course be struck out or dismissed, in either case with costs, but if the petitioner succeeds then a fair order for costs reflecting a proper balance between the consequences of the facts then found and the adoption thus far of the wrong procedural course by the petitioner can be made by the court without having to guess at matters which have not yet been established one way or the other."
53.5. that in the result, he had a discretion whether to stay or dismiss the petition, and in the exercise of that discretion would stay it as "... a solution more in accordance with the overriding objective … on terms as already proffered on behalf of the petitioner, namely that the petitioner will now submit to firm case management directions for the pursuit of the rectification claim with the dismissal of the petition with costs as the sanction for non-compliance."
54.1. it is authority for the proposition that where an unfair prejudice petition is presented by a non-member and retrospective rectification of the register of members is sought within the proceedings on grounds that are arguable, the court is not driven inevitably to strike out the petition: the issue raised is one of discretionary case management, to be considered in accordance with the overriding objective;
54.2. it is not authority for the proposition that the court cannot direct a preliminary issue (or determine standing within the proceedings) - as stated at [7] of the judgment, it was common ground in that particular case, and was conceded by the petitioner, that the issue raised was not suitable to be dealt with by way of "preliminary issue". Accordingly, Briggs J did not need to decide whether or not that step was possible in principle (and merely expressed his view that the concession was rightly made).
55.1. First, it was not a case, unlike the present, in which the grounds for rectification also comprised or were relied upon as grounds of unfair prejudice; the two applications were factually and evidentially separate and distinct.
55.2. Second, it was not a case, unlike the present, in which the petitioner seems to have known conclusively before commencing the proceedings that he was not a member (although he sought relief as to membership in the prayer to the petition). However, whilst that is so, the petitioner's state of knowledge in that regard appears not to have been material to the outcome, because: (i) it was not referred to in his reasoning by Briggs J; had it been important, or indeed to any extent relevant, to his decision to stay rather than strike out the petition, I do not doubt that he would have said so explicitly; and (ii) that is all the more so given that he referred specifically to the respondents' argument that the petition was an abuse "committed by the petitioner with his eyes open", an argument which he did not refer to in setting out his conclusions. I infer that he thought it immaterial.
"There is no doubt that Mr Patel has locus standi to petition under s.994 as a "member", within the definition in s.112(2) of the 2006 Act, being a person who had agreed to become a member and whose name has been entered on the register of members. However, the same cannot be said of Intermedia whose name does not appear on the register of members, nor is locus standi conferred on Intermedia by s.994(2) of the 2006 Act. Even if, contrary to the petitioners' own now primary case, and the respondents' case, Intermedia was entitled to have the register rectified to show it as a member, the register would require to be formally rectified before locus standi could be conferred to present a petition under s.994, cf. Re Starlight Developers Ltd [2007] EWHC 1660 (Ch); [2007] B.C.C. 929. However, nothing probably turns on this given that one of the petitioners, Mr Patel, plainly does have locus standi in any event."
60.1. First, as the Deputy Judge said, nothing of substance in fact turned on the point, and in the event, it was unnecessary to devote particular attention to it. In fact, the petition was decisively dismissed for numerous reasons, and in his conclusions, the Deputy Judge described the pleaded case as "deeply flawed" not least because it was premised on Mr Patel and Intermedia having been majority shareholders entitled to control of the company, which meant that they had other more appropriate methods of vindicating their rights, and that the conduct complained of was not "unfair". An alternative case, seeking "a declaration as to share ownership in favour of Mr Patel, if necessary dismissing the petition at the same time upon the basis of a recital to the effect that I had found that Mr Patel was entitled to control of the company on the basis of the issued shares being held as to one share by him, and as to the other share by Ms Shah (as his nominee)" was also rejected, for a variety of reasons, including that it had been neither pleaded nor even raised in the petitioner's skeleton argument, but had emerged during the trial, and that not all interested parties had been joined or served (including, as to service, three of the named respondents, including Ms Shah herself) or were before the court; a further "fallback position" based on Mr Patel and Intermedia being minority shareholders was also rejected on various grounds, including that it was "not the case that the respondents came to trial to meet".
60.2. Second, it cannot be the case that rectification must be ordered before presentation (or otherwise the petition struck out) because otherwise Starlight Developers would have been wrongly decided, which is not what the Deputy Judge suggested; it is however common ground that no order can be made under section 994 in favour of a person who is not a member, and the language of the judgment in Intermedia is consistent with that proposition; the judgment did not need to deal with the issue of retrospective rectification, or with issues of case management in that regard.
64.1. first, whilst I accept that there is no report of the decision of Registrar Derrett or any explanation of her reasoning in the judgment of Roth J (or whether or not the approach was opposed) it can at least be observed that Roth J determined the issues without any adverse (or indeed, other) comment about the adopted procedure; it might reasonably be inferred that he did not consider it to have been fundamentally flawed or unworkable, or contrary to principle; moreover, having reached his conclusions, he suggested and was willing to allow, insofar as necessary, an amendment of the petition to seek rectification under section 125 - in that regard, he did not require a further originating process to be issued.
64.2. second, it is clear from the report that the allegations of unfair prejudice, concerning improper use of company moneys and the petitioner's exclusion from management and participation in the affairs of the company, raised issues which went well beyond those of the petitioner's standing.
"Rodda does not fall within the definition of member, and accordingly the oppression provisions are not engaged. It is not desirable that a proceeding of this kind continue as presently framed with the hope that the threshold issue will, as part of the proceeding, be established. This is not only inefficient and undesirable, but is a jurisdictional issue that prevents the matter from proceeding.
There is a dispute as to whether Rodda is a member of Lifestyle Loans, and this dispute needs to be resolved before the oppression proceeding continues. It is not desirable to use the very oppression proceeding, which presupposes uncontested membership, to establish the threshold requirement of membership. This is an antecedent issue that requires prior determination.
I have considered sealing with the issue relating to contested membership as a preliminary issue within this proceeding. Upon reflection, however, I do not think this is a desirable course. Such a case requires pleadings and appropriate discovery and is best dealt with as a commercial matter, whether in this Court or the County Court. Lifestyle Loans should not endure a proceeding under the oppression provisions, and which may result in its winding-up, in circumstances where the plaintiff does not have a right to bring the proceeding."
68.1. first, it is an Australian decision, and therefore, whilst manifestly worthy of respect, it does not bind an English court;
68.2. second, it seems to contemplate (as did Sifris J in Rodda) that the court has a discretion (despite the single reference to the issue being "jurisdictional") - the court considered issues of cost and appropriate, available procedures, such as pleadings and disclosure, and specifically recognised that at least in certain cases, standing could be established at the hearing of the substantive claim; in England, that discretion would be one to be exercised in accordance with the overriding objective;
68.3. third, in my view, the decision in Clearsprings Management, as explained above, whilst an illustration of the stated approach, is not authority for the proposition that it is the required or mandatory approach in every case;
68.4. fourth, in both Treadtel and Rodda, the court referred to the undesirability of a company being exposed to the prospect of a winding-up order in proceedings in which the applicant could not at the outset establish his standing. But as to that, first, there is no application in the present case to wind up the Company, and second, as I shall explain, the English court does not, invariably at least, adopt the same approach.
"The position as we see it, in the light of the authorities as affected by the current procedures of the Companies Court, is this. (1) A creditor's petition based on a disputed debt will normally be dismissed. (2) It will not be dismissed if the petitioning creditor has a good arguable case that he is a creditor and the effect of dismissal would be to deprive the petitioner of a remedy or otherwise injustice would result or for some other sufficient reason the petition should proceed. (3) On a contributory's petition where the locus standi of the petitioner is disputed, the court will consider all the circumstances, including the likelihood of damage to the company if the petition is not dismissed, in determining whether to require the petitioner to seek the determination of the dispute outside the petition."
"Whilst we accept that the judge could properly have regard to that factor, in our judgment in the light of the procedural changes since 1977 it is not a factor of great weight. More importantly, the rule of practice must, in the light of In re Claybridge Shipping Co. S.A. [1981] Com.L.R. 107, yield to the interests of justice when a petitioner would probably be left without an effective remedy if the petition were to be struck out. In our judgment the judge erred in not so concluding in the present case. It follows that this court is free to exercise its own discretion. We have no doubt, having regard to all the circumstances, that this is a case where the petition should not be dismissed, notwithstanding the dispute as to the petitioner's locus standi, but should be allowed to proceed so that the petitioner is not left without a remedy. It is still open to the directors to establish at the hearing of the petition that the petitioner is not an allottee. Mr. Joffe has not asked us to order a preliminary issue, nor has Mr. Kaye, and we would therefore make no such order."
"The Companies Court has repeatedly made clear that where the standing of the petitioner, and thus its right to invoke what is a class remedy on behalf of all creditors, is in doubt, it is the Court's settled practice to dismiss the petition. That practice is the consequence of both the fact that there is in such circumstances a threshold issue as to standing, and the nature of the Companies Court's procedure on such petitions, which involves no pleadings or disclosure, where no oral evidence is ordinarily permitted, and which is ill-equipped to deal with the resolution of disputes of fact."
"The vast majority of petitions to wind up a company are creditors' petitions. The Companies Court procedure on such petitions is ill-equipped to deal with the resolution of disputes of fact. There are no pleadings, there is no discovery and there is no oral evidence normally tolerated on such petitions, even though no doubt pleadings and discovery could be ordered and oral evidence received, and the Companies Court like any other court is perfectly capable of determining such disputes. But that it is only a rule of practice and not one of law for the Companies Court to refuse to determine a dispute on the creditor petitioner's locus standi was made clear in two cases."
"The claimants issued the proceedings, on the basis that they were registered shareholders of the fourth defendant Tellisford Limited (Tellisford). They seek relief on behalf of three subsidiaries of Tellisford. After a full hearing of the permission application, Mr Stephen Houseman QC, sitting as a Deputy Judge of the High Court, held that it was a suitable case in which to give permission, save that the claimants were not registered shareholders and did not otherwise have standing to pursue the derivative claims. The claimants had issued proceedings for rectification of the register of members of Tellisford to show them as shareholders and it appeared to the judge that they had at least a good arguable case for rectification. In those circumstances, by an order dated 28 May 2020, he granted permission to continue the action, on the condition that the claimants became registered as shareholders of Tellisford, whether pursuant to their rectification claim or otherwise."
83.1. first, it is a decision reached in a statutory and procedural context quite different from that of the present case; it is therefore not necessarily appropriate to treat it as describing the approach applicable in the present case;
83.2. second, in the context there under consideration, the point to emerge was that the court cannot (certainly should not other than in rare cases) purport finally to determine the merits of an application for permission, whilst at the same time postponing to a subsequent occasion, or leaving undecided, the disputed issue of the applicant's standing. Ordinarily, standing must first be determined, whether within (as a preliminary issue) or separately from the proceedings in question (which may for that reason be stayed);
83.3. third, I accept that in that context, the suggested usual practice is that the court should adjourn or stay the permission application, pending, within a reasonable time, determination of an application for rectification of the register of members or the taking of such other steps as may be necessary to give the claimant standing. But that is not inconsistent with the possibility (certainly in the context of other varieties of application) that standing might in some cases be determined on the same occasion as the application is finally determined - the possibility and propriety of that approach will depend on the particular case and context, as explained above in connection with creditors' and contributories' winding-up petitions;
83.4. fourth, I do not accept, as was suggested by Mr Lightman, that it undermines the proposal to determine Mr Onea's standing and questions of unfair prejudice on the same occasion, at the same trial; that, I think, would be to misconstrue, or attach undue breadth of significance to the words at [42], that unless "a claimant can cross the threshold, there is no warrant for examining and deciding the issues that are contingent upon it"; I understand those words to mean that in the particular context under consideration, the court ought not to examine and determine the application but leave outstanding the issue of the applicant's standing. But in any event, that is not what Mr Halban proposes. Neither does he deny the proposition that no order can be made under section 994 unless and until such time as the petitioner's standing has been established.
85.1. Subject to the provisions of section 994(2), the court is only able to make an order under section 994 on the application of a member; the point is one of jurisdiction; no other variety of person has standing to apply; there is "no room for nominal petitioners in this context" (per Mr Jonathan Crow QC sitting as a Deputy High Court Judge in Atlasview Ltd, above at paragraphs 43-44). In appropriate cases therefore, the court will exercise its undoubted power to strike out or otherwise dismiss a case brought by a person without standing, and certainly, "before the coming into force of the Civil Procedure Rules", there "was a body of authority to the effect that … the restriction as to the types of person with standing to present a [section 994] petition should be firmly enforced by striking out non-qualifying petitions", per Briggs J in Starlight Developers.
85.2. In certain cases in which membership and standing were known to be disputed, the putative petitioner has therefore chosen first to establish his rights in separate "preparatory" proceedings: see for example, Hunter and Re Clearsprings Management. No criticism was or could sensibly be made of that approach, which Mr Lightman said ought to have taken by Mr Onea. Although Mr Lightman described it as the "orthodox" approach, I would not adopt that description, because it tends to suggest the existence of a single universally or presumptively preferred approach to every case, which I would reject. I do however agree that in very many cases it will be an entirely appropriate course (and in many cases, in effect, the only appropriate course).
85.3. Nonetheless, in a case in which the petitioner's disputed right to membership is advanced in the petition itself (such as the present case, and such as Starlight Developers, where the claim was included in the prayer for relief) and particularly so if the claim is to retrospective rectification of the register and the petition does not raise a claim to a winding up order, the court is not driven inevitably to strike out the proceedings, but should give consideration to the possibility of fashioning an appropriate alternative case management solution to the resolution of a genuine dispute which needs to be resolved: the court is required to give effect to the overriding objective of dealing with cases justly and at proportionate cost.
85.4. Thus, in Starlight Developers, in the exercise of that discretion, Briggs J refused to strike out the proceedings, and instead stayed the petition on terms that the petitioner began and pursued expeditiously a separate claim to rectification; in Re I Fit Global, Roth J resolved issues of both standing and unfair prejudice at the same trial, on a single occasion, pursuant to the directions made by Registrar Derrett. Those possibilities cannot exhaust the various case management alternatives available to the court; each case will have its own features, and each will require separate consideration. The powers available to the court, set out at CPR Part 3, are extremely wide. They include powers to try two or more claims on the same occasion, to direct a separate trial of any issue, and to decide the order in which issues are to be tried. There is no reason in the present context to preclude the potential use of any of these or the court's other powers. I note for example that in Starlight Developers, Briggs J "having looked at the evidence" agreed with the concession made by counsel for the petitioner that his claim was not suitable to be dealt with by way of a preliminary issue in the unfair prejudice proceedings. He did not however suggest that such a step would in all cases be impermissible as a matter of principle, or that some other, quite different procedure might not be more appropriate (such as that adopted in Re I Fit Global); he merely decided between the two argued opposing alternatives - either to strike out or stay.
85.5. As explained above at paragraphs 59-60, I do not understand Intermedia Productions Ltd to contradict that position. In particular, I do not accept it is authority for the proposition that a petitioner or putative petitioner must necessarily, in every case, establish his standing before being permitted to pursue or continue an unfair prejudice petition (which must therefore either be struck out or stayed in the meantime); that would be to narrow, without any good reason, the court's wide powers of case management. Even in Treadtel International Pty Ltd, which is not in any event an authority in this jurisdiction, the court seems to have contemplated that it had a discretion to direct a preliminary issue or the determination of standing at the trial of the substantive claim itself. In that case, in deciding against the petitioner's proposed "cut-through" approach, the court therefore considered matters of cost and procedure, as well as that the petitioner sought a winding up order against the company - it weighed up matters of "efficiency" and "desirability"; it considered the particular features of the case before it. Further, I did not understand Mr Lightman to suggest that the approach taken in Re I Fit Global - the approach advocated by Mr Halban in the present case - was necessarily wrong or somehow, as a matter of principle, unavailable to the court in all cases, although he did submit that without any knowledge of the basis on which Registrar Derrett had directed a single trial, little or no weight should be attached to her decision or to the case as an example of a possible approach. Were it to be made, I would reject criticism of the approach in Re I Fit Global; Roth J, as I have noted, appears to have had no difficulty in applying it, even in a case in which the allegations of unfair prejudice went well beyond the issues raised in connection with standing; in my view it was an approach that was open to the court; it fulfilled a proper purpose.
85.6. Finally, the proposition that in the present context, if appropriate, the court is able to resolve disputed issues of standing within the proceedings themselves, whether as a preliminary issue or at the final hearing, is supported by the decision of the Court of Appeal in Alipour, in the somewhat analogous context of a contributory's winding-up petition, in which it was said that "where the locus standi of the petitioner is disputed, the court will consider all the circumstances, including the likelihood of damage to the company if the petition is not dismissed, in determining whether to require the petitioner to seek the determination of the dispute outside the petition", and that "It is hard to see why the Companies Court now should normally refuse to determine such a dispute, even if it does relate to the petitioner's locus standi, if the existence of the petition is not likely to cause substantial damage or inconvenience to the company." For good reason, creditors' winding up petitions are treated differently, as I have explained, both because of the nature of the Companies Court procedure on such petitions and because the court is astute to prevent creditors' petitions being used as an improper means of forcing payment of genuinely disputed debts. Neither consideration arises in the present case, where there is no claim to a winding up order, and where the court's procedure for the determination of the unfair prejudice claim (involving costs management, statements of case, disclosure and witness evidence) is eminently well suited to the determination of the disputed issue of membership.
85.7. In conclusion, the question is ultimately one of discretionary case management, to be decided in every case, in all the circumstances of that case. It is for the court and the parties to fashion an appropriate, just and proportionate process.
[C2] Unfair Prejudice Proceedings: Other Procedural Aspects
94.1. that unfair prejudice proceedings commenced by petition might provide an appropriate and proper means and occasion on which to litigate discrete common law claims which would otherwise be pursued by Part 7 claim form; no separate or parallel originating process is necessarily required; and,
94.2. that the company itself might, in the context of those claims, be compelled, as a respondent, or might itself choose, as a counterclaimant, to participate actively in the litigation.
[C3] Rectification Applications under Section 125 of the 2006: Procedural Aspects
99.1. first, at most, a claimant's failure to use a Part 8 Claim Form to apply for relief under section 125 would be a procedural irregularity which the court could waive or remedy under CPR Rule 3.10 by some appropriate means, as in Manolete Partners PLC v Hayward & Barrett Holdings Ltd [EWHC] 1481 (Ch), in which Chief ICC Judge Briggs allowed a claim under section 423 of the Insolvency Act 1986 which ought to have been commenced by Part 7 Claim Form, but which had in fact been commenced by Insolvency Act application, nonetheless to proceed subject to payment of the appropriate (Part 7 claim) fee. The position is fundamentally distinguishable from the use of the wrong originating process to commence a claim under section 994 (as in Re Osea Road Camp Sites Ltd) where the only available originating process is stated explicitly by statute.
99.2. second, as mentioned above, it is in any event at least doubtful that all claims to rectification, regardless of their nature and scope, are necessarily suitable for determination under section 125. But in such cases, the court would doubtless have the power to grant relief, and to do so in proceedings appropriately commenced by Part 7 Claim Form (and indeed, that appears to have been what was contemplated by Briggs J in Starlight Developers). Section 125 cannot be exhaustive of the court's power to grant relief in respect of a company's register of members.
99.3. third, as explained above, a claim for relief outside section 994 may, in appropriate circumstances, be raised and advanced by means of an unfair prejudice petition. In principle, that would include a claim directed at the establishment of company membership, whether made under section 125 or otherwise (and which would otherwise be made by Part 7 or Part 8 Claim Form). Re I Fit Global is an example of a case in which a single originating process, an unfair prejudice petition, was used to bring a claim to membership, and to relief under section 994.
[C4] Strike Out, Summary Judgment and Abuse of Process
[C5] Stay Pending Outcome of the Other Civil Proceedings
[D] Discussion and Conclusions
107.1. first, to strike out the Petition in its entirety because Mr Onea is not a member of the Company, and therefore does not have standing to present a petition under s.994 of the 2006 Act; it was argued that in consequence the Petition discloses no reasonable grounds for bringing the claim, and is bound to fail; on the same basis, the Applicants seek summary judgment on the whole claim under CPR Part 24;
107.2. second, alternatively, to strike out the Petition in its entirety as an abuse of the court's process because:
107.2.1. when he presented the Petition, Mr Onea knew that he was not a member, and therefore knew that he lacked standing; and/or,
107.2.2. it is an abuse to apply for rectification of the Company's register of members under section125 of the 2006 Act by means of a petition presented under section 994, rather than by means of a Part 8 Claim Form, issued in accordance with paragraphs 2 and 5 of PD 49A; and/or,
107.2.3. it is an abuse by means of an unfair prejudice under section 994 to advance a claim made primarily against the company, which is only ever a nominal party to such proceedings, with correspondingly limited freedom and entitlement to incur legal costs in that capacity;
107.3. third, again alternatively but on the same bases, to strike out paragraphs (1)-(4) of the Prayer (which concern rectification and its consequences) and, as in Starlight Developers, to stay the remainder of the Petition whilst directing Mr Onea to commence rectification or other appropriate proceedings in order first to establish his standing as a member, subject to a condition that a failure to commence such proceedings within a limited period would result in the automatic dismissal of the Petition.
107.4. and finally, alternatively, to stay the Petition pending the determination of the Confidentiality Proceedings.
The Applicants' First and Third Alternatives: the Establishment of Standing
116.1. it will avoid two different courts (judges) having to deal with very substantially similar facts and matters but for different purposes; there is advantage (both for the parties and the court) in one judge dealing comprehensively at a single trial with such closely related issues by reference to all of the available evidence, and in these issues being case managed together;
116.2. all relevant persons are joined to the Petition; all would be involved and entitled and to some extent bound to participate in the whole split trial process and all would be bound by the outcome; any risk of conflicting findings is avoided;
116.3. a split trial will be quicker and almost certainly cheaper than the alternatives; the Applicants' suggestion entails a very real risk of delay, duplication and wasted cost and time; indeed, the Applicants' proposals raise the possibility of three trials (one to establish membership, one to establish unfair prejudice, and one to deal with issues of share valuation if appropriate);
116.4. a split trial is unlikely to cause the Applicants prejudice, or sufficient prejudice, to outweigh its advantages: on any view there will be substantial and costly proceedings in which many of the same issues between the same parties will be raised and determined - short of compromise, that much is inescapable; given that inevitability, it is preferable that as many aspects and consequences of those same issues are considered in one set of proceedings, sooner rather than later; whilst true that if Mr Onea fails in respect of standing, the Applicants will have had to deal also with certain additional issues particular to the unfair prejudice claim, the risk and cost of that eventuality is outweighed by the described benefits;
116.5. it is the course adopted without obvious difficulty in Re I Fit Global Ltd - a case in which it which there appears to have been less common ground between the issues regarding standing and those regarding unfair prejudice than in the present case;
The Applicants' Second and Third Alternatives: Abuse of Process
119.1. to take that step would be inconsistent with the approach taken in Starlight Developers, in which, as I have explained, the claim to rectification was made in the petition itself, and in which therefore the petitioner must have known before commencement, to some degree, that he was not a member, and did not have standing;
119.2. in substance, it would also be inconsistent with Re I Fit Global Ltd, since in those proceedings there must have come a point at which the petitioner knew that he was not a member, and on Mr Lightman's argument, from that moment, it would have become and been an abuse of process to continue to pursue the proceedings (and indeed, with cases such as Alipour, in which standing is determined at trial);
119.3. if it is correct (as I have held) that the court has case management powers sufficient to direct the determination of the membership issue within the proceedings, then necessarily it is not abusive to ask the court to exercise them;
119.4. finally, even in cases of established abuse, the court has a discretion how to react - striking out, although commonplace, is not an inevitability; in my judgment, in the present case, as explained above, to strike out the Petition would be inefficient, unjust and disproportionate; the issue can be determined at trial.
120.1. as I have held, the Petition can be case managed to allow for the determination of the issue at a split trial, and in my view that is, in this case, the fair and appropriate course, as in Re I Fit Global; it is not abusive to seek that process; and,
120.2. even if I were wrong, and to seek rectification of the register by means of an unfair prejudice petition is invariably, or is in this case, a procedural irregularity, I would be prepared to waive it.
121.1. first, I do not accept that Mr Onea is in fact pursuing that course - the Petition seeks rectification and a damages remedy under section 125, but in addition seeks a share purchase order, which is relief that can only be given under section 994; whilst true that the prayer in the draft petition sent by DWF to Messrs Alegbe and Wilkhu under cover of letters before action dated 14 June 2022, contained a statement that "The Petitioner will elect at trial whether he pursues [a share purchase order] in addition to the relief [under section 125 of the 2006 Act]", those words were removed before presentation. The Petition simply seeks, as is commonplace, at paragraph (5), a share purchase order at a fair value. Indeed, I note that even in their letters before action, DWF said that "the most likely order to be granted (and that which our client will seek) is an order that the shareholders that have caused the unfair prejudice or the Company itself purchase our client's 120,000 shares in the Company for fair value".
121.2. second, as a matter of law, as I have explained above at paragraphs 95-96, there is in any event a distinction between the company's (ordinarily limited) role in respect of a claim under section 994, and its (quite possibly active, direct and costly) role in respect of claims advanced directly either by or against it outside the scope of section 994 but in the same proceedings, such as Mr Onea's claim to rectification of the register of the Company's members. As in Re Asa Resource Group plc, there is no necessary abuse (and no abuse in the circumstances of the present case) in the pursuit of a claim directly against the company advanced under the banner of an unfair prejudice petition.
The Applicants' Fourth Alternative: Stay Pending the Confidentiality Proceedings
Dated: 6 October 2023