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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 >> Jinxin Inc v Aser Media PTE Ltd & Ors [2022] EWHC 2431 (Comm) (30 September 2022) URL: http://www.bailii.org/ew/cases/EWHC/Comm/2022/2431.html Cite as: [2022] EWHC 2431 (Comm) |
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BUSINESS AND PROPERTY COURTS
OF ENGLAND AND WALES
COMMERCIAL COURT (KBD)
Strand, London, WC2A 2LL |
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B e f o r e :
(sitting as a Deputy Judge of the High Court)
____________________
JINXIN INC |
Claimant |
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- and - |
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(1) ASER MEDIA PTE LIMITED (2) MEDIA PARTNERS AND SILVA, LLC (3) SU HYEON CHO (4) LARA VANJAK (5) MARCO AULETTA (6) RICCARDO SILVA HOLDING DESIGNATED ACTIVITY COMPANY (7) ROBERTO DALMIGLIO (8) FONG LEE YUH (9) RICCARDO SILVA (10) ANDREA RADRIZZANI |
Defendants |
____________________
Andrew Hunter KC and Shane Sibbel (instructed by Bird & Bird LLP) for the First and Tenth Defendants
Ruth den Besten and Nicholas Goodfellow (instructed by Kingsley Napley LLP) for the Second Defendant
Hugh Norbury KC and Tim Benham-Mirando (instructed by Fladgate LLP) for the Fifth Defendant
Laurence Rabinowitz KC, Simon Colton KC and Sophie Weber (instructed by Allen & Overy LLP) for the Sixth and Ninth Defendants
Hearing date: 20th, 21st and 22nd September 2022
____________________
Crown Copyright ©
Peter MacDonald Eggers KC:
Introduction
(1) An application for a split trial, with each of the three trials envisaged dealing with specified issues ("the split trial application").
(2) An application for the striking out of certain parts of Jinxin's Particulars of Claim on the grounds that they plead reliance on the decisions of a Swiss Court and an Italian tribunal which are inadmissible pursuant to the rule in Hollington v Hewthorn [1943] KB 587 ("the Hollington v Hewthorn application").
Jinxin's claims
(1) The Business Practice Representations concerning the honesty, legality and lawfulness of the conduct of the MPS Group business, including as to the absence of bribery, corruption or similar misconduct.
(2) The Serie A Representations that the MPS Group had won the Serie A rights as a result of its long-standing and legitimate relationship with the Italian League and that the Group's Management were confident that the rights would be renewed in 2017 and beyond.
(3) The Investigation Representations as to the limited nature of a criminal investigation then being conducted in respect of the Ninth Defendant (Mr Silva) and its irrelevance to the business of the MPS Group.
(4) The EBITDA Representations concerning the truth, material accuracy and completeness of the financial information, including EBITDA forecasts, provided to Baofeng, Everbright and Jinxin.
The split trial application
The application
(1) The "first trial" would deal with the identification of the representations made, their meaning, Jinxin's awareness of the representations, and Jinxin's reliance on the representations. In particular, the following issues were proposed to be determined at the first trial:
(a) What representations were made in the Sale Documents and/or by the provision of the Sale Documents and what were the terms of those representations? (Paragraph 17 of the agreed List of Issues).
(b) Are the alleged representations inconsistent with the terms of the warranties contained in the SPA? (Paragraph 18 of the agreed List of Issues).
(c) If any of the representations were made, (i) were they made to Jinxin or to a class of persons to which Jinxin belonged, (ii) were the representations continuing representations which were repeated and continued until completion of the transaction, and (iii) could Jinxin rely and was it reasonable for Jinxin to rely on the alleged representations allegedly made in or by the provision of the Sale Documents, (iv) what is the effect of certain letters (including duty of care and non-reliance letters), and (v) did the Sale Documents contain disclaimers and other terms preventing reliance on the representations and, if so, were such terms unenforceable pursuant to section 3 of the Misrepresentation Act 1967? (Paragraph 19 of the agreed List of Issues).
(d) Did Jinxin waive any claim it might have in relation to the falsity of the EBITDA representations and/or is Jinxin contractually estopped from asserting that the alleged EBITDA representations were false by reason of the SPA and the Deed of Variation? (Paragraph 30.5 of the agreed List of Issues).
(e) If any of the alleged representations were made, did Jinxin rely on those representations and did the alleged representations induce Jinxin to enter into the SPA and/or proceed to completion? In particular, (i) which individuals (if any) were aware of the alleged representations and how did the said individuals understand the alleged representations, (ii) which individuals relied on the representations and did such reliance constitute reliance by Jinxin, (iii) can Jinxin rely on the presumption of inducement, (iv) is Jinxin contractually estopped from contending that it relied on the alleged representations by clause 19.2(a) of the SPA, (v) would Jinxin have proceeded with the acquisition in the absence of or regardless of the truth or falsity of the alleged representations because it was instead motivated by Chinese investment policy and/or a desire to complete the transaction expeditiously, and (vi) was Jinxin aware or did Jinxin suspect prior to signing the SPA and/or completion that some or all of the alleged representations were false and/or did Jinxin accept the risk that the alleged representations may be false? (Paragraph 32 of the agreed List of Issues).
(2) The "second trial" would deal with, amongst other issues, the questions of the falsity of the alleged representations, the knowledge and intention of the Tort Defendants, and the Tort Defendants' responsibility for the representations. (Paragraphs 15, 16, 21, 22, 23, 25, 26, 27, 28, 29, 30.1-30.4, 31, 34.1, 34.2 and 34.3 of the agreed List of Issues).
(3) The "third trial" would deal with remedies and quantum (paragraph 33, 34, 34.4, 35, 36, 37 and 38 of the agreed List of Issues).
(1) The alleged representations were false.
(2) The Tort Defendants fraudulently intended the alleged representations to be relied on.
(3) The Tort Defendants were aware that the alleged representations were false.
The Court's discretion to order separate trials for separate issues
"65. The ambiguities of this order are only too obvious. No attempt was made to distinguish between the factual investigation required for the purposes of the limitation plea as opposed to the issue of foreseeability. It was wholly impractical for there to have been a full trial of the factual issues pertinent to foreseeability. It was an issue that should have been presented on agreed or assumed facts. If this was not a practical proposition, the issue of foreseeability should never have been taken separately.
66. In my judgment, the right approach to preliminary issues should be as follows. (a) Only issues which are decisive or potentially decisive should be identified. (b) The questions should usually be questions of law. (c) They should be decided on the basis of a schedule of agreed or assumed facts. (d) They should be triable without significant delay, making full allowance for the implications of a possible appeal. (e) Any order should be made by the court following a case management conference."
(1) Whether the prospective advantage of saving the costs of an investigation of the issues to be determined at a second trial if the determination of the first trial renders it unnecessary to determine such issues outweighs the likelihood of increased aggregate costs if a further trial is necessary.
(2) What are likely to be the advantages and disadvantages in terms of trial preparation and management?
(3) Whether a split trial will impose unnecessary inconvenience and strain on witnesses who may be required in both trials.
(4) Whether a single trial to deal with all issues will lead to excessive complexity and diffusion of issues, or place an undue burden on the Judge hearing the case.
(5) Whether a split may cause particular prejudice to one or more of the parties (for example by delaying any ultimate award of compensation or damages).
(6) Whether there are difficulties of defining an appropriate split or whether a clean split is possible.
(7) What weight is to be given to the risk of duplication, delay and the disadvantage of a bifurcated appellate process?
(8) Generally, what is perceived to offer the best course to ensure that the whole matter is adjudicated as fairly, quickly and efficiently as possible?
(9) Whether a split trial would assist or discourage mediation and/or settlement.
"a case in which the court directs determination of a preliminary issue that will require resolution of disputed issues of fact, including disclosure, witness statements and cross-examination, must be regarded as an exception to the general rule, and one that requires careful consideration by the court and very clear justification."
"… It represents yet another cautionary tale about the dangers of preliminary issues. In particular, it demonstrates that (i) while often attractive prospectively, the siren song of agreeing or ordering preliminary issues should normally be resisted, (ii) if there are none the less to be preliminary issues, it is vital that the issues themselves, and the agreed facts or assumptions on which they are based, are simply, clearly and precisely formulated, and (iii) once formulated, the issues should be answered in a clear and precise way."
The Tort Defendants' submissions
(1) Given the likely length and burden of dealing with a single trial, it is unlikely to be reasonable or appropriate to have a single trial of all issues in these proceedings. The number of parties, the wide-ranging scope of the allegations, and the multitude of issues, as well as the need for complex expert evidence required to address some of those issues, make it inappropriate to seek to determine all issues in a single trial. The disclosure required for a single trial will be extensive; there will be a large number of factual witnesses and experts drawing on eight separate disciplines.
(2) The burdensome nature of the disclosure and evidence, and the consequent time at trial, will relate mainly to the question of the falsity of the representations and the Tort Defendants' responsibility for any misrepresentation, and also the issues of remedies and quantum. These issues will need to be determined at the second and third trials only if the more limited inquiry into Jinxin's reliance and inducement does not dispose of the action.
(3) Counsel for the Sixth and Ninth Defendants currently estimate that a single trial of all issues would take 21 weeks and the cost estimate for those defendants alone is almost £25 million. Jinxin has not provided any costs estimates although there is little doubt that Jinxin's costs would be enormous and substantially in excess of those that will be incurred by the Sixth and Ninth Defendants. Jinxin has acknowledged that its disclosure alone would cost in the region of £3.9 million to £6.6 million, given that the disclosure would relate to documents created over an extended period (2004-2016). The First and Tenth Defendants estimate their costs of a single trial to be £12.6 million. The Fifth Defendant estimates his costs of a single trial to be £7.5 million. The Second Defendant estimates its costs of a single trial to be £7.1 million.
(4) The first trial is concerned only with the interpretation of the representations, which were made only in writing, although some of these representations are said to have been implied, and only with the factual question whether Jinxin relied on the alleged representations. The first of these issues - the meaning of the representations - would require no evidence and limited disclosure. The second of these issues - that of Jinxin's alleged reliance - would require factual evidence, at least that adduced by Jinxin. The Tort Defendants observe that Jinxin is unable to identify the individuals who read and were aware of the representations on behalf of Jinxin. The Tort Defendants indicated that if a split trial is ordered, they would not be adducing factual evidence at the first trial.
(5) In addition, Jinxin relies on the "presumption of inducement". Mr Hunter KC on behalf of the First and Tenth Defendants submitted that the presumption can be engaged only if the representation is shown to have been read or heard and understood by the representee in its deceptive sense and/or the representee would have entered into the contract even if the misrepresentation had not been made; if the representation did not influence its mind, or if the representee understood it in some different sense and it was by reference to that different meaning that it acted, the presumption does not arise (see ACL Netherlands BV v Lynch [2022] EWHC 1178 (Ch), para. 515(7)).
(6) During his submissions, Mr Rabinowitz KC described Jinxin's case on reliance and inducement as "tenuously constructed" (for example because the Sale Documents were prepared before Jinxin was incorporated and because Jinxin has not identified all of the individuals who were allegedly induced by the representations) and submitted that one purpose of the first trial is to test the mettle of the allegation; if it is found wanting, the Tort Defendants will be saved considerable expense of a second trial. Mr Rabinowitz KC questioned whether Jinxin could prove their allegations of reliance or inducement by reason of Baofeng and Everbright being the controlling mind. Further, Mr Hunter KC submitted that it would be unfair for the Tort Defendants to undergo the expense of a single trial, if the claims were to fail at the first hurdle, being Jinxin's case on inducement and reliance.
(7) Even if the first trial were not determinative, it may at the very least serve a very useful definitional function by defining the representations that were made, or by filtering out those alleged representations that were not made out in the Sale Documents or were not relied upon. This would mean that the second trial would have a narrower ambit and be more focused, concerned only with the parts of the claim (if any) that survive, avoiding the need to produce disclosure, witness statements and expert evidence covering eight separate disciplines, or spend time during a hearing, on topics that are irrelevant.
(8) If all of the issues were dealt with at a single trial, it would be unmanageable. If the trials were split, the first trial would reduce the burden on the Court and the parties at the second trial. Even if Jinxin were wholly successful at the first trial, the Court will uphold Jinxin's primary case, and not any alternative case.
(9) The second trial would only be necessary if the Court were satisfied that there was at least one alleged representation both (i) made in or by the provision of the Sale Documents and (ii) understood as such and reasonably relied upon by Jinxin. In that event, the issues for determination at the second trial would relate to the truth and falsity of, and each Defendant's individual responsibility for and state of mind regarding, any such representation.
(10) The third trial, if required, would deal with remedies including whether Jinxin is entitled to rescission or damages. This would require consideration of Jinxin's post-acquisition conduct and what (if any) loss may have been caused by any proven misrepresentation or conspiracy.
(11) The proposed split is clean in that the demarcation of the issues for each of the three trials, and the first trial in particular, is neat. However, both Mr Rabinowitz KC on behalf of the Sixth and Ninth Defendants and Mr Hunter KC on behalf of the First and Tenth Defendants recognised that the split may not be perfectly clean, but the Court can manage any such division of issues by adopting a pragmatic approach.
(12) Not only does the first trial have the benefit of being potentially dispositive or at least definitional, comparatively limited work or expense will be needed in its preparation. There would be limited disclosure and evidence. The Sixth and Ninth Defendants estimate that it would take 12 days to complete the first trial and that the first trial would cost them £3.5 million. The First and Tenth Defendants estimate their costs for the first trial to be £2.2 million. The Fifth Defendant estimates his costs of the first trial to be £1.1 million. The Second Defendant estimates its costs of the first trial to be £1.3 million.
(13) The first trial is likely to be heard by January 2024, assuming that the parties are ready for the trial by the summer of 2023. By comparison, a single trial would not be ready to take place until January 2025.
(14) The split trial has the possible benefit of promoting settlement both prior to and after the first trial and/or the second trial, thus maximising the chances of a negotiated resolution.
(15) The Tort Defendants took issue with Jinxin's submissions as to the degree to which the issues arising in each trial overlap or are interlocking (which I set out below). For example, it is said that the representors' intention in making the alleged representations is not relevant to the reasonableness of Jinxin's reliance on the representations. Further, the meaning of the representations is not related to the intention of the representors.
(16) The Tort Defendants oppose the proposal for alternative split trials advanced by Jinxin (as explained below), because it has all the disadvantages of a single trial without any of the benefits or advantages of the split trial proposed by the Tort Defendants.
Jinxin's submissions
(1) The first trial - which is to deal with the meaning of the representations made and the issue of Jinxin's inducement - is broader in scope and more evidentially complicated than the application contemplates. Jinxin contemplates that the first trial will involve three or four witnesses.
(2) The issues to be determined at the first and second trials overlap and are interlocking in that the meaning and effect of the representations must be assessed in their overall context, including having regard to the Tort Defendants' responsibility for the alleged misrepresentations, for example:
(a) The identification and meaning of the representations made cannot be divorced from the representors' intention (European Real Estate Debt Fund (Cayman) Ltd v Treon [2021] EWHC 2866 (Ch), para. 342, 347). At paragraphs 15 and 20 of the Particulars of Claim, Jinxin pleads that the Sale Documents were prepared for the purpose of facilitating the sale of the shares in the MPS Group and did in the event facilitate the SPA and the acquisition of the MPS Group, and that it is to be inferred that the Sale Documents were prepared and provided with the knowledge and with the express, alternatively with the implied, authority and approval of the Tort Defendants. These pleas are put in issue by the First and Tenth Defendants at paragraph 34 of their Defence, by the Fifth Defendant at paragraphs 69 and 74(1) of his Defence, and at least in part by the Sixth and Ninth Defendants at paragraph 28.1 of their Defence.
(b) The identification of the persons to whom the representations were made is bound up with the question of the representors' intention (European Real Estate Debt Fund (Cayman) Ltd v Treon [2021] EWHC 2866 (Ch), para. 366; ACL Netherlands BV v Lynch [2022] EWHC 1178 (Ch), para. 496). There was therefore an equivalence between issue no. 19.1 of the agreed List of Issues (which the Tort Defendants propose for the first trial) and issue no. 26 (which the Tort Defendants say should be determined at the second trial).
(c) The reasonableness of Jinxin's reliance on the representations raises issues as to the representors' intention. Mr Beltrami KC on behalf of Jinxin pointed to the fact that at paragraphs 28.5 and 28.6 of the Sixth and Ninth Defendants' Defence, it is alleged that it was not reasonable for Jinxin to rely on the alleged representations made in the Sale Documents prepared months before the SPA and that the Tort Defendants could not be reasonably understood to have so intended. Jinxin itself pleads at paragraph 11.1 of the Reply that it was intended by all concerned (including the Tort Defendants) that Jinxin would be entitled to rely on certain representations contained in certain reports.
(d) There are issues relating to the effect of the alleged disclaimers and the impact of section 3 of the Misrepresentation Act 1967. This will give rise to questions as to the scope of the relevant disclaimers and considerations of reasonableness under the Unfair Contract Terms Act 1977.
(e) The presumption of inducement is dependent on the materiality of the representation and on any findings of intentional deceit (Zurich Insurance Co plc v Hayward [2016] UKSC 48; [2017] AC 142, para. 34-35; European Real Estate Debt Fund (Cayman) Ltd v Treon [2021] EWHC 2866 (Ch), para. 369; ACL Netherlands BV v Lynch [2022] EWHC 1178 (Ch), para. 515(2), 515(7)).
(f) The issue of inducement must be judged by reference to the meaning and alleged falsity of the representations. For this purpose, it is legitimate to consider what the representee would have done had the truth been known (European Real Estate Debt Fund (Cayman) Ltd v Treon [2021] EWHC 2866 (Ch), para. 373).
(3) The assumptions to be made are likely to be insufficient or meaningless for the purpose of properly determining the issues at the first trial.
(4) It is unlikely that the first trial will be dispositive of the issues sufficient to forestall a second trial. This is because there are numerous representations alleged to give rise to the claim in deceit. Accordingly, if any one of the representations are established, and Jinxin's reliance on that representation is proved, a second trial will be necessary.
(5) The issues for the first trial are insufficiently defined and an agreed statement of facts is unlikely to be feasible.
(6) An appeal from one or more issues arising for decision at the first trial is likely and if there were such an appeal it will further delay the proceedings.
(7) It is likely that the witnesses who are to be called at one trial will also have to give evidence at a later trial (Lexi Holdings plc v Pannone & Partners [2009] EWHC 3507 (Ch), para. 10). That said, Mr Beltrami KC did not develop this submission to any substantial extent in oral argument.
(8) Splitting the trial of the action into three trials will vastly increase the costs, involving multiple disclosure exercises, rounds of witness statements, brief fees, and extended time for interlocutory disputes. Jinxin's estimate for the first trial is 3-4 weeks, for the second trial is 8-9 weeks, and for the third trial is 3 weeks. By comparison, a single trial is estimated to take 12-14 weeks.
(9) As an alternative, if the Court were minded to order a split trial, there should be two trials either of liability and quantum or two trials dealing with a larger number of issues at the first trial and leaving the second trial to address reliance and inducement, causation, remedies and quantum.
Discussion
(1) Did the defendant make an alleged representation and, if so, what did it mean to a reasonable representee?
(2) Was the representation untrue?
(3) Did the defendant know that the representation was untrue?
(4) Did the defendant intend the claimant to rely on the representation in the sense that it was false?
(5) Did the claimant rely on the representation in the belief that it was true?
(1) The alleged inducement of Jinxin is to be tested by determining what Jinxin would or might have done had the representations not been made. Nevertheless, it is or may be material to consider in applying this test what Jinxin would or may have done had it known the truth (although I recognise that this may be a matter for argument at trial). In European Real Estate Debt Fund (Cayman) Ltd v Treon [2021] EWHC 2866 (Ch), Miles, J said at para. 373:
"Further, if the making of the representation in fact influenced the claimant, it is not open to the defendant to argue that the claimant might have acted in the same way had the claimant been told the truth. However, the claimant can adduce evidence as to what they would have done if they had been told the truth in order to establish inducement: Parabola Investments Ltd v Browallia Cal Ltd [2009] EWHC 901 (Comm), at [105]-[106], where Flaux J said that Hobhouse LJ in Downs v Chappell [1997] 1 WLR 426 was seeking "to protect the victim of the fraud from the argument by the fraudster that the fraud had not induced the victim, because he would have done the same thing even without the fraud. Hobhouse LJ was in effect saying the fraudster cannot be heard to say, even if I had told you the truth, you would still have acted as you did. What he was not saying was that, if the claimant demonstrates, by cogent evidence, that it would not have acted as it did if it had known the true position, that evidence cannot be relied upon by the claimant as demonstrating inducement by the fraudulent misrepresentations"."
See also Leni Gas & Oil Investments v Malta Oil Pty Ltd [2014] EWHC 893 (Comm), para. 17-20. As the truth or falsity of the alleged representations is not to be determined until the second trial, if the application for a split trial were allowed, it is difficult to see how the Court could satisfactorily and finally determine the issue of reliance and inducement at the first trial. Indeed, as mentioned above, I think Mr Rabinowitz KC acknowledged that there was a real risk that the issue of reliance and inducement might have to be revisited at the second trial. If I misunderstood Mr Rabinowitz KC, I certainly think there is a real risk that the issue of reliance and inducement could not be fully resolved at the first trial.
(2) This issue will not be alleviated by the mere device of the Court drawing assumptions at the first trial that all of the alleged representations were false because the true position was as pleaded by Jinxin. That is because the result of the second trial may be that some of the representations were untrue and some were true, and any such findings would come too late for the judge presiding at the first trial and would run counter to the assumption made at the first trial that all of the representations were untrue. Indeed, the permutation of the possible different findings which might be made at the second trial might well undermine the utility of the assumptions made at the first trial.
(3) The falsity of any representations when made, which would be an issue for the second trial, would affect the issue of inducement insofar as it concerns Jinxin's knowledge of the same, which would be an issue for the first trial (paragraphs 32.5 and 32.6 of the agreed List of Issues), and would also affect the issues to be determined at the third trial (see paragraph 35.1 of the agreed List of Issues).
(4) As to the reasonableness of Jinxin's reliance on the representations, I see the force of the Tort Defendants' submission that the reasonableness of Jinxin's reliance could be determined without consideration of the issues at the second trial. However, insofar as this is a relevant issue (about which I express no views), I can see that the nature and degree of any falsity of an alleged representation might be said to influence the representee's reliance on the representation and therefore the reasonableness of such reliance.
(5) The identification of the persons to whom the representations were made is connected with the question of the representors' intention (European Real Estate Debt Fund (Cayman) Ltd v Treon [2021] EWHC 2866 (Ch), para. 366; ACL Netherlands BV v Lynch [2022] EWHC 1178 (Ch), para. 496). There is therefore an equivalence between issue no. 19.1 of the agreed List of Issues to be determined at the first trial) and issue no. 26 (to be determined at the second trial). That said, Mr Rabinowitz KC on behalf of the Sixth and Ninth Defendants suggested that this could be resolved by confining issue no. 26 to the second trial insofar as it bore on the issue at paragraph 19.1.
The alternatives proposed to the main application
The Hollington v Hewthorn application
The application
(1) Para. 79-81 and the first sentence of para. 82, which record findings made by the Italian Anti-Trust Authority ("the IAA") that MPS Dublin had colluded with two other media rights agencies, B4 and IMG, to coordinate their bid submissions in tenders for the international broadcasting rights to certain Italian football matches, including those for Serie A. The IAA held that such conduct restricted competition for the rights, in violation of Article 101 of the Treaty on the Functioning of the European Union (Art 101 TFEU), and imposed fines on MPS and the other media rights agencies. It should be noted that MPS Dublin, B4 and IMG are not parties to the present proceedings.
(2) The reference to "the conclusions of the Bellinzona Court" in the fifth sentence of paragraph 94, paragraph 95(d), paragraphs 96 to 97, the second sentence of paragraph 98(b) and paragraph 101 of the Particulars of Claim. These pleas refer to the findings of the Federal Criminal Court of Switzerland, established in Bellinzona, following a trial in September 2020 of charges brought by the Office of the Attorney General of Switzerland against (amongst others) Mr Jérôme Valcke, a former senior FIFA official, and an intermediary engaged by MPS London. The Bellinzona Court found that Mr Valcke was instrumental in enabling MPS to enter into negotiations with FIFA to conclude a sales representation agreement and that the intermediary had paid Mr Valcke €500,000 using funds originating from MPS in return for him doing everything in his power to ensure that MPS London secured the sales representation agreement in respect of the Italian rights for the FIFA 2018 and 2022 World Cups. The Bellinzona Court further held that Mr Valcke had thereby solicited an undue advantage and abused his position, in breach of his duties to FIFA and contrary to Article 321 of the Swiss Code of Obligations.
"39. As the judge rightly recognised the foundation on which the rule must now rest is that findings of fact made by another decision maker are not to be admitted in a subsequent trial because the decision at that trial is to be made by the judge appointed to hear it ("the trial judge"), and not another. The trial judge must decide the case for himself on the evidence that he receives, and in the light of the submissions on that evidence made to him. To admit evidence of the findings of fact of another person, however distinguished, and however thorough and competent his examination of the issues may have been, risks the decision being made, at least in part, on evidence other than that which the trial judge has heard and in reliance on the opinion of someone who is neither the relevant decision maker nor an expert in any relevant discipline, of which decision making is not one. The opinion of someone who is not the trial judge is, therefore, as a matter of law, irrelevant and not one to which he ought to have regard.
40. In essence, as the judge rightly said, the foundation of the rule must now be the preservation of the fairness of a trial in which the decision is entrusted to the trial judge alone."
"The court may strike out a statement of case if it appears to the court –
(a) that the statement of case discloses no reasonable grounds for bringing or defending the claim;
(b) that the statement of case is an abuse of the court's process or is otherwise likely to obstruct the just disposal of the proceedings; or
(c) that there has been a failure to comply with a rule, practice direction or court order."
The Competition Act 1998
"PART 1
INTERPRETATION
1. This Part of this Schedule contains definitions and other provisions about interpretation which apply for the purposes of this Schedule.
Competition law, etc
2. (1) "Competition law" means—
…
(c) the prohibition in Article 101(1) …
(2) "Competition claim" means a claim in respect of loss or damage arising from an infringement of competition law (whatever the legal basis of the claim) which is made by or on behalf of—
(a) the person who suffered the loss or damage, or
(b) a person who has acquired that person's right to make the claim (whether by operation of law or otherwise) …
(4) "Competition proceedings" means proceedings before a court or the Tribunal to the extent that they relate to a competition claim.
(5) Where the context requires, references to an infringement of competition law and to loss or damage (however expressed) include an alleged infringement and alleged loss or damage.
Competition authority etc
(5) A decision of a member State competition authority becomes "final"—
(a) when the time for appealing against it expires without an appeal having been brought, or
(b) where an appeal has been brought against the decision, when—
(i) the appeal and any further appeal in relation to the decision has been decided or has otherwise ended, and
(ii) the time for appealing against the result of the appeal or further appeal has expired without another appeal having been brought.
PART 7
USE OF EVIDENCE
Decisions of member State competition authorities
35. (1) For the purposes of competition proceedings, a final decision of a member State competition authority or review court that there has been an infringement of Article 101(1) or Article 102 by an undertaking is prima facie evidence of the infringement.
(2) "Review court" means a court of a member State other than the United Kingdom which—
(a) hears appeals in connection with a decision of a competition authority of the member State that there has been an infringement of Article 101(1) or Article 102, or
(b) reviews judgments made by another court of the member State in connection with such decisions,
and paragraph 3(5) (when a decision becomes final) applies in relation to a decision of a review court as it applies in relation to a decision of a member State competition authority …"
"Article 1
Subject matter and scope
1. This Directive sets out certain rules necessary to ensure that anyone who has suffered harm caused by an infringement of competition law by an undertaking or by an association of undertakings can effectively exercise the right to claim full compensation for that harm from that undertaking or association. It sets out rules fostering undistorted competition in the internal market and removing obstacles to its proper functioning, by ensuring equivalent protection throughout the Union for anyone who has suffered such harm.
2. This Directive sets out rules coordinating the enforcement of the competition rules by competition authorities and the enforcement of those rules in damages actions before national courts.
Article 2
Definitions
For the purposes of this Directive, the following definitions apply:
…
(4) 'action for damages' means an action under national law by which a claim for damages is brought before a national court by an alleged injured party, or by someone acting on behalf of one or more alleged injured parties where Union or national law provides for that possibility, or by a natural or legal person that succeeded in the right of the alleged injured party, including the person that acquired the claim;
(5) 'claim for damages' means a claim for compensation for harm caused by an infringement of competition law;
(6) 'injured party' means a person that has suffered harm caused by an infringement of competition law …
Article 3
Right to full compensation
1. Member States shall ensure that any natural or legal person who has suffered harm caused by an infringement of competition law is able to claim and to obtain full compensation for that harm.
2. Full compensation shall place a person who has suffered harm in the position in which that person would have been had the infringement of competition law not been committed. It shall therefore cover the right to compensation for actual loss and for loss of profit, plus the payment of interest …
Article 9
Effect of national decisions
1. Member States shall ensure that an infringement of competition law found by a final decision of a national competition authority or by a review court is deemed to be irrefutably established for the purposes of an action for damages brought before their national courts under Article 101 or 102 TFEU or under national competition law.
2. Member States shall ensure that where a final decision referred to in paragraph 1 is taken in another Member State, that final decision may, in accordance with national law, be presented before their national courts as at least prima facie evidence that an infringement of competition law has occurred and, as appropriate, may be assessed along with any other evidence adduced by the parties …"
The parties' submissions
(1) Jinxin's claim in the current action is not a competition claim, because it is not in respect of loss or damage arising from an infringement of competition law. It is a claim for deceit and conspiracy. It is not alleged that any of the defendants infringed competition law, nor that Jinxin suffered loss as a result of any infringement of competition law.
(2) To the extent it is necessary to have regard to the provisions of the Damages Directive to assist on this point, Article 1 provides that the Directive "sets out certain rules necessary to ensure that anyone who has suffered harm caused by an infringement of competition law by an undertaking or by an association of undertakings can effectively exercise the right to claim full compensation for that harm from that undertaking or association". The IAA investigation and decision related to MPS Dublin, and other agencies and related companies, not any of the Tort Defendants (paragraph 77 of the Particulars of Claim).
(3) The true nature of competition law claims is described in chapter 19 of the Chancery Guide. The present proceedings do not fall within that description.
(4) Even if these were competition proceedings, the statutory exception which renders decisions of competition authorities admissible before the English Courts, applies only in respect of addressees of those decisions.
(5) The rationale for the rule in Hollington v Hewthorn consists in the obvious injustice of a person being affected by findings which he did not have an opportunity to defend in whatever manner he thought fit. Moreover, unless the Court goes into the facts for itself, it cannot actually assess what weight it should properly attach to the previous decision.
(6) It would be unfair if a defendant to a civil claim who had no involvement in an earlier investigation by a competition authority, nor the opportunity to challenge or appeal any decision resulting, was nonetheless subject to such decision. The Tort Defendants are not addressees of the IAA decision. They have not had the opportunity to defend the allegations leading to the IAA decision, nor to challenge nor appeal it. The statutory exception therefore does not apply to them. See Emerson Electric Co v Mersen UK Portslade Ltd [2012] EWCA Civ 1559, [2013] Bus LR 342.
(1) The infringement of competition law need not form the legal basis of a claim for it to be a competition claim. This is made clear in the definition, which requires only that the claim is "in respect of loss or damage arising from an infringement of competition law (whatever the legal basis of the claim)…" (emphasis added). Thus, the fact that Jinxin's claims are brought in deceit and unlawful means conspiracy does not mean that they cannot be competition claims.
(2) The words "in respect of loss or damage arising from an infringement of competition law" must be construed in accordance with the policy of the Damages Directive to give full effectiveness to Art 101 TFEU by ensuring that anyone who has suffered harm caused by an infringement of competition law can effectively exercise their right to full compensation. The Court should not adopt an unduly restrictive approach by interpreting these words to require that the infringement must be the legally direct or only cause of the claimant's loss. Any causal connection between the infringement and the loss is, and should, given that the legal basis of the claim is expressly said to be irrelevant, be sufficient to engage the provision.
(3) Jinxin's claim is brought in respect of loss and damage which has been caused by infringements of competition law in that the infringements of competition law occurring at MPS prior to the acquisition are (at least) a factual cause of Jinxin's loss and insolvency. Jinxin's case is that the MPS Group's business model relied on and could not succeed without the system of bribery and anti-competitive arrangements which Jinxin alleges to have existed before the acquisition (paragraph 42 of the Particulars of Claim and paragraph 52.2.2 of the Reply).
(4) On Jinxin's case, the infringements of competition law are therefore causative of its loss in at least two ways: (a) the infringements caused Jinxin to enter into the acquisition, since but for those anti-competitive practices the MPS Group would not have had a viable or seemingly successful business model and would not have been an attractive target to Jinxin or any other bidder. In the absence of the infringing conduct, Jinxin would not have suffered loss because it would not have entered into the SPA, and (b) Jinxin suffered additional loss and damage after the acquisition arising from the insolvent failure of the MPS Group.
(5) There is no requirement in paragraph 35 that the relevant decision of the IAA must be addressed to the Tort Defendants.
(1) The admissibility of evidence is a matter to be determined at trial, not an earlier stage (Rogers v Hoyle [2014] EWCA Civ 257; [2015] QB 265, para. 39-40).
(2) When pleading a factual case, it is open to counsel to rely on inadmissible material (Medcalf v Mardell [2002] UKHL 27; [2003] 1 AC 120, para. 21-22, 79).
(3) It is legitimate to plead a finding of a foreign court in order to justify an allegation of fraud or dishonesty as required by the Commercial Court Guide, para. C1.3(c). In ?Crypto Open Patent Alliance v Wright [2021] EWHC 3440 (Ch), in connection with the similar pleading requirements of the Chancery Guide, where the statement of case relied on a finding made in US proceedings that a document had been backdated to justify an allegation of forgery, HHJ Paul Matthews (sitting as a judge of the High Court) said at para. 60-61 that (the emphasis is the judge's):
"In other words, part of the basis upon which the claimant claims to be justified in pleading the serious allegation of forgery is that the US judge so found. But the decision of the judge will not be admissible at trial to prove the allegation. That proof must be achieved, if at all, by other admissible evidence. In the circumstances, there is no justification for striking out the second part of the sentence."
(1) The decision in Medcalf v Mardell is concerned with the material on which counsel, before pleading fraud, may rely in the discharge of their duty to have a credible basis for such a plea. That decision is not about, and did not address, whether a party is entitled to include any such inadmissible material in the statement of case. Nor did the case concern itself as to what useful purpose (if any) could be served by allowing a party to plead inadmissible material if it cannot rely on such material at trial.
(2) In Crypto Open Patent Alliance v Wright, the Court allowed the pleading of 24 words upon which the claimant's counsel relied for the express purpose of meeting the requirements of the Chancery Guide. Jinxin's argument confuses, on the one hand, the material that can be used in order to justify compliance with one's professional obligations when drafting a serious plea, and on the other hand, the plea itself. The pleader can take all of the facts from a foreign judgment and plead them. That, however, is not a basis for pleading the foreign judgment itself, which is inadmissible and adds nothing. Whilst a pleader may take comfort from this judgment in view of his own obligations, it has no place in the pleading itself.
Discussion
"This Directive sets out certain rules necessary to ensure that anyone who has suffered harm caused by an infringement of competition law by an undertaking or by an association of undertakings can effectively exercise the right to claim full compensation for that harm from that undertaking or association. It sets out rules fostering undistorted competition in the internal market and removing obstacles to its proper functioning, by ensuring equivalent protection throughout the Union for anyone who has suffered such harm."
"(i) Full and specific details should be given of any allegation of fraud, dishonesty, malice or illegality; and
(ii) where an inference of fraud or dishonesty is alleged, the facts on the basis of which the inference is alleged must be fully set out."
Conclusion
(1) I dismiss the Sixth and Ninth Defendants' split trial application and the alternative application put forward by the First and Tenth Defendants. However, I have invited the parties to consider an alternative form of split trials, essentially based on liability and quantum.
(2) I allow the Sixth and Ninth Defendants' Hollington v Hewthorn application to strike out references in Jinxin's Particulars of Claim to the decisions of the IAA and the Bellinzona Court.