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England and Wales High Court (Commercial Court) Decisions |
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You are here: BAILII >> Databases >> England and Wales High Court (Commercial Court) Decisions >> Avanesov v Shymkentpivo [2015] EWHC 394 (Comm) (25 February 2015) URL: http://www.bailii.org/ew/cases/EWHC/Comm/2015/394.html Cite as: [2015] 1 All ER (Comm) 1260, [2015] 2 Costs LO 289, [2015] EWHC 394 (Comm) |
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QUEEN'S BENCH DIVISION
COMMERCIAL COURT
7 Rolls Building, Fetter Lane London, EC4A 1NL |
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B e f o r e :
____________________
AGADZHAN AVANESOV |
Claimant |
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- and - |
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TOO SHYMKENTPIVO |
Defendant |
____________________
Ms Blair Leahy (instructed by Field Fisher LLP) for the Defendant
Hearing dates: 16 & 17 February 2015
____________________
Crown Copyright ©
The Hon. Mr Justice Popplewell :
Introduction
"(1) …the Court may set aside or vary a judgment entered [in default of acknowledgement of service] if
(a) the defendant has a real prospect of successfully defending the claim; or
(b) it appears to the court that there is some other good reason why –
(i) the judgement should be set aside or varied; or
(ii) the defendant should be allowed to defend the claim
(2) In considering whether to set aside or vary a judgment entered [in default of acknowledgement of service], the matters to which the court must have regard include whether the person seeking to set aside the judgment made an application to do so promptly.
(Rule 3.1(3) provides that the court may attach conditions when it makes an order.)"
Chronology
The shareholdings
(1) The Bank was required to call an AGM of its current shareholders in order to obtain approval for the increase in share capital.
(2) Following such shareholder approval, the Bank's supervisory board of directors had then to pass a resolution for an increase in share capital.
(3) Following board approval, the Bank then had to register the proposed new issue of shares with the Centre of Coordination and Development of the Securities Market ("the Regulator").
(4) Following such registration, the Bank was required to publish a prospectus inviting offers to purchase the new shares.
The agreements and addenda
Subsequent events
The proceedings
(1) there be judgment in default in the sum of US$ 3,834,224.62 in relation to the JAY SPA, as amended, together with interest;
(2) that there be judgment for damages to be assessed for breach of the Nealet SPA;
(3) that the order be served, together with a certified Russian translation, at the identified registered office of SP in Kazakhstan or elsewhere in Kazakhstan;
(4) that SP could make an application to set aside or vary the default judgment within 21 days of the date of service of the order.
Issue 1: Is there a defence with a real prospect of success?
(1) The Court must consider whether the defendant has a "realistic" as opposed to a "fanciful" prospect of success: Swain v Hillman [2001] 1 All ER 91.
(2) A "realistic" defence is one which carries some degree of conviction. This means a defence which is more than merely arguable: E D & F Man Liquid Products v Patel [2003] EWCA Civ 472 at paragraph [8].
(3) In reaching its conclusion the Court must not conduct a "mini trial": Swain v Hillman.
(4) This does not mean that the Court must take at face value and without analysis everything that a deponent says in his statements before the Court. In some cases it may be clear that there is no real substance in factual assertions made, particularly if contradicted by contemporaneous documents: E D & F Man Liquid Products v Patel at paragraph [10].
(5) However, in reaching its conclusion the Court must take into account not only the evidence actually placed before it on the application for summary judgment, but also the evidence which can reasonably be expected to be available at trial: Royal Brompton Hospital NHS Trust v Hammond (No 5) [2001] Lloyd's Rep PN 526.
(6) Although a case may turn out at trial not to be really complicated, it does not follow that it should be decided without the fuller investigation into the facts at trial than is possible or permissible on summary judgment. Thus the Court should hesitate about making its final decision without a trial, even where there is no obvious conflict of fact at the time of application, where reasonable grounds exist for believing a fuller investigation into the facts of the case would add to or alter the evidence available to a trial judge and so affect the outcome of the case: Doncaster Pharmaceuticals Group Limited v Bolton Pharmaceutical Co 100 Limited [2007] FSR 3.
(1) During the course of negotiations Mr Avanesov and those on his behalf expressly represented that what was being sold was a majority voting stake which represented a controlling interest in the Bank.
(2) Mr Avanesov was aware that Darhan was not interested in purchasing anything other than a controlling interest in the Bank.
(3) At the time of the conclusion of the SPAs, Mr Avanesov knew that an increase in authorised share capital had already taken place by approval by the shareholders at the AGM and a resolution of the supervisory board for the purposes of raising capital by a public offering. He knew and intended that the dilution would be implemented by the take up in the new shares which was imminent and inevitable. Before the additional agreements had all been entered into he knew that the share issue had been registered with the Regulator and that the issue of the Prospectus had occurred or was imminent. Accordingly Mr Avanesov was aware that what was being sold was not and would not be a controlling interest.
(4) No one at Darhan was aware of the issue or imminent issue of new shares which would dilute the shareholding so as to prevent the stake being sold by Jay and Nealet being a controlling stake.
(5) Mr Avanesov was aware that no one at Darhan was aware of the steps being taken to dilute the shareholding and deliberately suppressed it. He knew that if the dilution were revealed Darhan would not enter into the SPAs.
Issue 2: exercise of discretion
"[20] Before the introduction of the Civil Procedure Rules judgment could be entered in default of notice of intention to defend under O.13 of the Rules of the Supreme Court. Applications to set aside default judgment were governed by O.13, R.9, which provided as follows:
"without prejudice to Rule 7(3) and (4) the court may, on such terms as it thinks just, set aside or vary any judgment entered in pursuance of this Order."
[21] The authorities relating to setting aside default judgments laid considerable emphasis on the desirability of doing justice between the parties on the merits. Delay in making an application to set aside rarely appears to have been a decisive factor if the defendant could show that he had a real prospect of defending the claim against him. Thus in J H Rayner (Mincing Lane Limited) v Café Norte S.A. Importadora e Exportadora S.A. [1999] EWCA Civ 2015 judgement was set aside after 7½ years on the applicants' showing that they had a defence with a real prospect of success.
[22] The Civil Procedure Rules were intended to introduce a new era in civil litigation, in which both the parties and the courts were expected to pay more attention to promoting efficiency and avoiding delay. The overriding objective expressly recognised for the first time the importance of ensuring that cases are dealt with expeditiously and fairly and it is in that context that one finds for the first time in Rule 13.3(2) an explicit requirement for the court to have regard on an application of this kind to whether the application was made promptly. No other factor is specifically identified for consideration, which suggests that promptness now carries much greater weight than before. It is not a condition that must be satisfied before the court can grant relief, because other factors may carry sufficient weight to persuade the court that relief should be granted, even though the application was not made promptly. The strength of the defence may well be one. However, promptness will always be a factor of considerable significance, … and if there has been a marked failure to make the application promptly, the court may well be justified in refusing relief, notwithstanding the possibility that the defendant might succeed at trial."
"On an application for relief from any sanction imposed for a failure to comply with any rule, practice direction or court order, the court will consider all the circumstances of the case, so as to enable it to deal justly with the application, including the need-
(a) for litigation to be conducted efficiently and at proportionate cost; and
(b) to enforce compliance with rules, directions and orders. "
"More recently the rigour of the decision in Mitchell has been tempered by the decision in Denton. In that case the court recognised that Mitchell had been the subject of criticism and, while holding that the guidance it provided remained substantially sound, sought to explain in rather more detail how it should be interpreted and applied. In doing so it identified three stages of enquiry: (i) identifying and assessing the seriousness and significance of the default which engages Rule 3.9; (ii) identifying its cause; and (iii) evaluating all the circumstances of the case including those specifically mentioned" [i.e. the need for litigation to be conducted efficiently and at proportionate cost and the need to enforce compliance with the Rules]"
Seriousness and significance of the delay
Explanation for the delay
(1) My order of 31 July 2013 provided on its face that any application to set aside the judgment should be made within 21 days. It was served with a Russian translation. When it came to the attention of the senior management of SP in September 2013, the time limit within which action needed to be taken must have been apparent. It is not suggested otherwise by Mr Mukhatov or elsewhere in SP's evidence. Instead of taking such action to apply to set aside the judgment, a decision was taken to ignore the English proceedings and the judgment whilst negotiations were instigated, assuming in SP's favour that the disputed meeting in November took place.
(2) There is no suggestion that such negotiations consisted of more than the single meeting in Tashkent in mid November 2013, which was already two months after receipt of the judgment. The prospect of a negotiated settlement disappeared at the meeting. It was not until late January 2014 when the Russian speaking partner at FFW returned from paternity leave that the process of obtaining English law advice got under way. This suggests indifference to the existence of the judgment and is in any event a lengthy period of virtual inactivity.
(3) The alleged difficulties in collecting documentation, acquiring information, and securing funds to be transferred on account, do not justify a further delay of well over two months between the FFW partner returning from paternity leave and FFW coming on the record, nor a further 6 weeks thereafter before the application was issued.
(4) Even once FFW had specific notice of the second judgment on 22 April 2014, there was a delay of something of the order of a month in issuing the application. A delay of this length cannot be excused by the need to prepare the application, especially against the background of the previous delays and FFW's involvement since January 2014.
(5) I would expect FFW to have explained the urgency of the matter to their client at an early stage when considering the terms of engagement, and for this to have been repeated, especially following receipt on 22 April 2014 of the order of Mr Robin Knowles QC. In the unlikely event that FFW did not do so, the fault is still to be treated as that of the client: see Mullock v Price [2009] EWCA Civ 1222.
(6) The decision of the secretary at SP to refuse to accept service of the application for an assessment of damages on two occasions in December 2013 is unlikely to have been taken of her own initiative. I infer that the senior management of SP had given instructions that service of English court papers was not to be accepted. The inference is that this was pursuant to a deliberate strategy of not engaging with the English legal process but rather of seeking to hinder and delay it.
(7) SP received notice by post of the assessment of damages hearing, and the documents in support, by letters in February and March 2014, which came to the attention of senior management at the time. Whatever difficulties may have been encountered by SP in concluding the instruction of FFW, no attempt was made to participate in the assessment of damages hearing on 11 April 2014 or to seek an adjournment. Again SP simply refused to engage.
All the circumstances of the case
(1) SP has a defence with a real prospect of success. If the judgments are not set aside, SP will be required to pay a very large sum for which there is a real prospect that it is not liable. The amount involved would make refusal to set aside the judgments a disproportionate sanction for the degree of fault involved. It is submitted that this is by far the most important factor to be taken into account.
(2) Moreover if the judgments are not set aside, SP may well be unable to pursue its valuable cross claim for return of the purchase price paid, or damages, as a result of the operation of principles of res judicata and/or limitation. It will therefore potentially be deprived of a cross claim for some $18.2 million plus interest.
(3) The prejudice to Mr Avanesov in setting aside the judgments can be met by an award of costs in relation to the steps taken to enter judgment and to have damages assessed. Those costs are very small by comparison with the amount of the judgments and potential forfeit of the cross claim for return of the price paid or damages.
(4) Little if any weight should be attached to any delay caused by setting aside the judgments because Mr Avanesov has not pursued the claim with any alacrity. The causes of action arose in the autumn of 2007. Proceedings were not commenced until November 2012, despite letters before action almost a year earlier in December 2011, and the Claim Form was not then validly served for over six months (necessitating an extension of time of the validity of the Claim Form which was granted by HH Judge Mackie QC).
(5) Mr Avanesov's conduct is itself to be criticised. On 22 September 2014 (i.e. after SP's application to set aside the judgments had been issued and served) Mr Avanesov made an ex parte application to the Kazakhstan Courts to seek to enforce the JAY default judgment of 31 July 2013 on the basis that the judgment could be treated as a New York Convention award. SP had to come to the English Court to secure an order of Singh J on 21 November 2014 (which was not opposed by Mr Avanesov) declaring that the judgment was not such an award. The Kazakh Court initially recognised the judgment, but not on the footing that it was a New York Convention award. A subsequent appellate decision on 29 December 2014 cancelled the recognition order. SP submits that this attempt to enforce the judgment pending the hearing of the application to set it aside, whilst Mr Avanesov failed to serve his evidence in opposition to the set aside application until December 2014, involved not engaging in the current application but seeking to outflank it by taking abusive enforcement proceedings in Kazakhstan on obviously spurious grounds.
(1) The culpable delay in making the application to set aside the judgments is compounded by the failure to enter an acknowledgement of service, which was itself a serious and significant default resulting from the deliberate decision not to engage in the proceedings. The affidavits of service demonstrate that the Claim Form was served twice and was twice signed for by "Mezina". The current application, which is not being made under Rule 13.2, accepts that such service occurred on 15 May 2013. I do not find credible Mr Mukhatov's statement that the Claim Form cannot be found in the files of SP, if by that he means that the Claim Form did not come to the attention of senior management on either of the occasions on which it was served in January 2013 or May 2013. The contrary is indicated by the fact that the Claim Form and accompanying documents were served twice; that DHL recorded that they were signed for on both occasions; that all other documents served at Darhan/SP's registered address in Kazakhstan were admittedly received, including the letters before action and default judgment; that the next time documents were sought to be served by courier the secretary had instructions to refuse to accept service; and that the failure to respond to the Claim Form is of a piece with SP's prior failure to engage by not responding to the Collyer Bristow letters threatening proceedings sent in December 2011 and subsequent failure to engage when served with the default judgment.
(2) There is significant prejudice to Mr Avanesov if the judgments are set aside, apart from losing the benefit of those judgments. There will have been over 18 months of delay caused. There will be the wasted costs of seeking to enforce the judgment in Kazakhstan. There will be the wasted costs of the applications, including the application to have the damages assessed. As is apparent from Strachan v The Gleaner Co Ltd [2005] 1 WLR 3204, the fact that damages have been assessed is not a jurisdictional bar to an application to set aside a judgment but is "highly relevant" to the exercise of discretion and it is not to be assumed that prejudice can be met by putting the defendant on terms to pay the costs thrown away: see per Lord Millett at paragraph [23]. The public interest in the efficient and fair allocation of resources is also here engaged.
(3) SP's inability to pursue its counterclaim if the judgments are not set aside is not prejudice which can properly be prayed in aid by SP. SP has done nothing to pursue such a claim timeously and suffers no injustice if it is unable to advance a claim it has chosen not to articulate or pursue until a limitation period has expired. If anything the relevant prejudice in relation to SP's cross claim is to Mr Avanesov if the judgments are set aside, in being deprived of arguable defences of res judicata or limitation as a result of the effect of s. 35 of the Limitation Act 1980.
(4) There was nothing improper in Mr Avanesov's conduct in pursuing the enforcement proceedings in Kazakhstan in the autumn of 2014 or in the timing of service of evidence in opposition to the set aside application. As to the latter, the delay is explained in part by Mr Robertson based on Mr Avanesov's ill health, but in any event since the date for the hearing was fixed well in advance, and the evidence served in sufficient time before the hearing, there is little weight in the criticism of the delay which caused no prejudice to SP. As to the former, SP was able to take, and did take, appropriate steps to protect its own position in the Kazakhstan proceedings. There is no basis for contending that the proceedings were an abuse of process under Kazakh law and procedure in the light of the fact that the first decision of the Kazakh Court was in Mr Avanesov's favour.
Conclusion