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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 >> Arif & Ors v Berkeley Burke Sipp Administration Ltd [2017] EWHC 3108 (Comm) (15 November 2017) URL: http://www.bailii.org/ew/cases/EWHC/Comm/2017/3108.html Cite as: [2017] EWHC 3108 (Comm) |
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BUSINESS AND PROPERTY COURTS IN BRISTOL
CIRCUIT COMMERCIAL COURT
B e f o r e :
Between:
____________________
MOHAMMED ARIF and Others | Claimants | |
- and - | ||
BERKELEY BURKE SIPP ADMINISTRATION LIMITED |
____________________
Jonathan Kirk QC and Thomas Samuels (instructed by Spearing Waite LLP) appeared for the Defendant
Hearing Date: 15 November 2017
____________________
Crown Copyright ©
His Honour Judge Russen QC
Introduction
(1) an Application dated 26 September 2017 and made by the Claimants in the largest group Claim which seeks the making of a Group Litigation Order within the meaning of CPR 19.10 and 19.11 "the GLO Application"; and
(2) an Application dated 1 November 2017 and made by the Defendant (in both that largest Claim and the second largest one involving 28 claimants) which seeks the transfer of the proceedings from the Bristol District Registry to the Royal Courts of Justice pursuant to CPR 30.2(4)(b) "the Transfer Application".
The Claims in Outline
a. a claim under section 27 of FSMA on the ground that the Relevant Introducer in question was, despite its non-authorisation, carrying on a regulated activity and the SIPP was an agreement made "in consequence of something said or done" by that introducer. If those essential elements of section 27(1) are established then the Defendant's counterparty to the agreement (namely the investor in the SIPP) is entitled to recover any money transferred under it and to compensation for any loss sustained as a result of having parted with it. But this is subject to the provisions of section 28(3) of the Act which (and again I summarise) recognises that the court has a discretion to deprive the investor of either result if it is "satisfied that it is just and equitable" to do so "in all the circumstances of the case";
b. alleged breaches of COBS Rules (i.e. Rules, identified as such in the Financial Conduct Authority ("FCA") Conduct of Business Sourcebook) which, at the instance of a retail client who is a "private person", are actionable in damages under section 138D of FSMA. COBS 2.1.1R (the duty to act honestly, fairly and professionally) and COBS 2.2.1R(1)(b) (the duty to provide appropriate information in a comprehensible form) are relied upon; and
c. a claim against the Defendant as a joint tortfeasor (this on the basis that the Relevant Introducer gave negligent advice to the investor in recommending the Defendant's SIPP, or as the Defendant might say, the onward investment underpinning each particular SIPP) because the Defendant was, so the Claimants say, acting in a (separate) joint enterprise with each Relevant Introducer.
The Hearing
a. "As of 15 November 2017, we have been instructed by approximately 80 Claimants to investigate their potential claims against Berkeley Burke SIPP Administration Ltd.
b. We are completing preliminary investigations in respect of approximately 74 of the 80 claims therefore no letter of claim has been served on Berkeley Burke SIPP Administration Ltd as yet. We expect to our investigations [sic] to be completed within the next two to three months.
c. If the claims have sufficient merit to proceed, we intend to serve formal Letter of Claims on Berkeley Burke SIPP Administration accordingly.
d. Our investigations have been completed in respect of the 80 claims and a Letter of Claim has been served on Berkeley Burke SIPP Administration accordingly, we await a Letter of Response in respect of the same."
The GLO Application
"In deciding the terms of the GLO it is important not to confuse the GLO issues with the formulation of the issues which will ultimately have to be determined in order to decide the litigation. I say that because it seemed to me that from time to time the claimant and possibly others, confused those two concepts. GLO issues define common elements in the litigation by reference to the scope of the litigation in a number of ways the trial of preliminary issues, the trial of test cases, the trial of lead cases, and so on. At that stage, it might make the sort of orders proposed by the formulation in Appendix 2 (though hopefully without the complexity)"
GLO issue 1: In carrying out the terms of the non-regulated introducer agreement, did the relevant introducer make "arrangements" within Article 25 of the Regulated Activities Order?
GLO issue 2: If issue 1 is answered in the affirmative:
(a) Is Berkeley Burke relieved of any liability which might arise under s27, FSMA by reason of COBS 11.2.19?
(b) Is Berkeley Burke relieved of any liability which might arise under s27, FSMA by reason of Article 29 of the Regulated Activities Order?
(c) Is Berkeley Burke relieved of any liability which might arise under s27, FSMA by reason of Article 33 of the Regulated Activities Order?
GLO issue 3: If GLO issue 1 is answered in the affirmative, did Berkeley Burke know that the SIPP was being arranged by the relevant introducer in contravention of the general prohibition?
GLO issue 4: If issue 3 is answered in the affirmative, does it follow it would not be just and equitable to allow Berkeley Burke to enforce the SIPP agreement or is further inquiry into each claimant's circumstances required?
GLO issue 5: In establishing SIPPs in relation to those claimants who were introduced by (1) TPS Land and (2) SJ Stone and (3) Jackson Francis, was Berkeley Burke carrying on a joint enterprise with that introducer?
GLO issue 6: Was the standardised documentation produced by Berkeley Burke sufficient to comply with their duties under COBS 2.2.1R?
GLO issue 7: In relation to each of the 3 causes of action relied on by the claimants (s27, FSMA, breach of COBS and joint venture liability) when did time start to run for the purposes of ss2 and 9 of the Limitation Act 1980?
GLO issue 8: In assessing any claimant's loss, should the value of the single asset SIPP be deemed to be "zero" or if it has no current, realisable market value, should any assessment of damages be adjourned or should the court make an interim award of damages?
(1) the significant number of present Claimants and the number of further ones who might reasonably be anticipated. If a GLO is made and publicised it is not unreasonable to assume, on the basis of the present evidence, that there might be around 200 claimants in total, and quite possibly considerably more. Their number gives impetus to the next two reasons;
(2) in considering the balance (or imbalance) between common issues and those which are discrete ones pertaining to individual claimants, the significance of the common issues as they are presently identified in paragraph 28 above when compared with claimant-specific issues. The latter might (as appropriate to the particular case) include such questions as (a) what advice, if any, the Relevant Introducer gave to a particular investor; (b) whether the investment (in or through the SIPP) was or was not suitable for that particular investor; (c) whether there are grounds for relieving the Defendant of the effect of section 27 of FSMA (cf. the "just and equitable" relieving provision in section 28); (d) whether the Claimant was contributorily negligent; and (e) any potential ex turpi causa defence. My view is that the determination of an individual Claimant's case will be far advanced by a determination of the common issues even if that claimant still has to face many of these potential individual issues and perhaps others too. On this point, it is in my judgment important to bear in mind that the claimants have chosen to sue on the basis that the relevant investment (which is said to have triggered the relevant regulatory provisions and the agreement for which is said to be unenforceable as a result by reason of section 27) is the SIPP itself and not the onward investment (or suggested "single asset") made through the SIPP. The court should not therefore be deflected from its view about the value of a trial of issues which are common to claims presented on that basis by the Defendant's rival and beguiling submission that it is more appropriate to case manage the litigation by identifying lead cases which relate to particular Relevant Introducers and particular underlying SIPP investment(s) and in which attendant disclosure could be ordered;
(3) in relation to that last concept of "conclusiveness" in its loose sense, the potential for some of the GLO issues to dispose of the claims without the further need for a trial of any claimant-specific issues (if the issue is resolved in favour of the Defendant) or so many trials, or perhaps lead trials, of such issues (if resolved in favour of the GLO Claimants). Suggested issues 1, 2, 6 and 7 have the potential to see the Defendant freed from liability or accountability whereas Nos. 3, 4, 5 and 8 should see the determination of the claims considerably advanced even if it is not. In other words, CPR 19.12(1) providing that a judgment on a GLO issue binds all parties on the group register should have real "bite" in this case;
(4) the ability of the court, in its future case management, to consider directing that the trial of certain GLO issues should take place before others so that the block of court and party time required for particular hearings can be considerably less than the 6 week (plus) trial estimate contemplated by the Defendant in its evidence on the Transfer Application for a trial of the whole. As appears from the evidence filed on the Transfer Application, the parties are acutely aware of considerations of convenience and cost for the litigants and their lawyers when it comes to travel to and attendance at hearings;
(5) in a case where the individual SIPP investments made by the existing Claimants range from approximately £6,000 to £160,000, there are obvious advantages in adopting a procedure which provides that the Defendant's disclosure on GLO issues will be good for all parties on the register (CPR 19.12(4)) and which, presumptively at least, provides that each group litigant is severally liable only for his share of the common costs (CPR 46.6(3)). The nature and size of the individual claims in this litigation is such that, so far as is possible in advancing the litigation to the stage where the individual investor's circumstances may fall to be considered, the parties' costs and the individual investor's exposure for the group's own costs and, potentially, those of the Defendant need to be kept in proportion; and
(6) lastly, the obvious case management of future claims, which might be scattered around other courts, being grouped together in one court (see CPR PD 19B para. 9.1) which, as Mann J observed in Tew, provides that management court with the means to control other claims by means of stays.
The Transfer Application
" . the Transfer Application was subsequently returned to the Bristol District Registry by a court officer at the RCJ. Accordingly, insofar as this court is satisfied it has jurisdiction to make such an order, the Defendant is content to proceed accordingly."
Disposal
(1) On the GLO Application, that a GLO is desirable. I therefore propose to write to the President in accordance with PD 19B 3.4. Before I do so, and now that no forensic pitfall prevents the Defendant from doing so, I would invite the parties to engage with each other over the formulation of the issues as those are presently identified in paragraph 28 above. A period of 14 days from the handing down of this judgment should be sufficient for that purpose.
(2) On the Transfer Application, I dismiss the application so far it seeks a transfer to the London Circuit Commercial Court and, so far as it seeks a transfer to the Commercial Court and in accordance with PD 58 para. 4.4 and Appendix 14 to the Commercial Court Guide), I express my view that a transfer is not appropriate.
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