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Minister for Arts, Heritage, the Gaeltacht and the Islands v. Kennedy [2001] IEHC 180 (20th December, 2001)
THE
HIGH COURT
1997 No. 3740P
BETWEEN
THE
MINISTER FOR ARTS, HERITAGE, THE GAELTACHT AND THE ISLANDS
PLAINTIFF
AND
JOHN
KENNEDY, JAMES KENNEDY, AND PATRICIA KENNEDY
DEFENDANTS
JUDGMENT
of Mr. Justice Roderick Murphy delivered the 20th day of December, 2001.
1.
Introduction
1. The
second and third named defendants are the registered owners of certain lands at
Castlemaine Harbour, Dingle Bay, County Kerry which include Inch Spit. The
first named defendant, the brother the second named defendant, from time to
time grazes in excess of one hundred sheep on the said lands and is the
caretaker thereof. Some development had already taken place for the layout of
a golf course. The Minister then opposed what her Department believed to be
further development. She says that the lands form part of a special area of
conservation.
2.
Interim
Injunction
2.1 By
Order of Mr. Justice Kelly made on the 27th March, 1997 the intended plaintiff
obtained an Order against the intended defendant (at that time the first named
defendant), his servants or agents or anyone acting in consort with him or
having notice of the making of the order from engaging, commencing or
continuing any works of any nature or kind on lands or premises which
constitute special area of conservation No. 343 pursuant to the Habitats
Directive 92/43 EEC of 21st May, 1992 (“the Directive”) and
European Community (Natural Habitats) Regulations, 1997 (S.I. No 94 of 1997)
(“the Regulation”) situate at Castlemaine Harbour, County Kerry.
It was further ordered that the plaintiff's Solicitor be at liberty to notify
the making of the Order by telephone, letter and fax by any member of the
Wildlife Service or of the Garda Síochána or the Solicitor.
Short service of the Notice of Motion for an Interlocutory Injunction was also
ordered.
2.2 By
Order of Mr. Justice Smith made on the 21st April, 1997 the second and third
named defendants were joined and the plaintiff was granted liberty to issue
concurrent Plenary Summonses. The plaintiff's continuing undertaken as to
damages was referred to. The Motion was adjourned to the 9th June, 1997.
Concurrent Plenary Summonses issued on the 16th May, 1997 and the Statement of
Claim was served on the 6th October, 1997.
3.
Pleadings
3.1.1 The
Statement of Claim states that prior to the 15th October, 1996 the defendants
or some of them in collaboration with Mr. Arthur Spring of Golf Design Limited
lobbied Kerry County Council for a decision that development of an 18 Hole Golf
Course and/or clubhouse or other facilities upon the said lands at Inch Spit
comprised exclusively in Folio 2165OF or part thereof constituted the exempt
development. By letter of the 15th October, 1996 Kerry County Council, as the
planning authority, indicated that the development was, in their opinion,
exempt development which did not require planning permission.
3.1.2
The plaintiffs further state that the said lands are listed in Annex I of the
Directive at reference L206/7 and is (a proposed candidate for) designation as
a special area for conservation No. 343 within the European Communities
(Natural Habitats) Regulations, 1997 (S.I. No. 94 of 1997) which came in to
force the 26th February, 1997. In addition, it is stated that the bird and
flora species of the said habitat are listed in Annex II of the Directive.
Inch Spit is described as the most intact example of a dune system in the
region with a rich and diverse range of habitats and species and is a site of
major ecological importance.
3.1.3 The
plaintiff apprehends that the construction and maintenance of a golf course on
this natural habitats site would immediately annihilate the ecological system
and result in a massive loss in biodiversity.
3.1.4 In
apprehending that the proposed development would result in incalculable and
irreversible loss to the amenity of the natural habitat unless such development
or interference is restrained by perpetual Order of the Court the plaintiff
sought an Interlocutory Order in terms of that granted by Mr. Justice Kelly on
the 27th March, 1997 and further sought a similar Order with the following rider:
“Except
by or with leave furnished in writing by the plaintiff in accordance with the
procedures and provisions set out in the European Communities (Natural
Habitats) Regulations 1997.”
3.2.1 The
original defence delivered on the 4th February, 1998 consisted of a series of
denials and,
-
allegations that the factors for inclusion in a candidate list of European
sites were not satisfied on the basis of the criteria set out in Annex III to
the Directive,
-
that the Minister failed to take account of economic, social and cultural
requirements,
-
that the Minister improperly delegated or abdicated to an official the task of
preparing a list of sites and failed to notify the defendants of the proposal
to include the defendant’s property in the Candidate List of European
sites contrary to Article 4(2)(a) of the Regulations.
2. Notwithstanding,
the defence acknowledges that the defendants were notified, by letter dated the
26th March, 1997, that their property was included in the Candidate List of
European sites.
3. Within
two months, on the 23rd May, 1997, the defendants objected to the inclusion of
their property in the list and complained that the plaintiff had failed,
neglected and refused to introduce any, or any appropriate, appeal or objection
procedure and have not processed the defendants’ objection, not permitted
the defendants to make any objection on the basis of economic, social and
cultural requirements and/or on the basis of regional and local
characteristics, nor had taken account of the defendants’ ligitimate
expectation. No adequate compensation package was in place.
4. In
the premises the defendants say that the plaintiff's decision is
ultra
vires
and void.
3.2.2 Alternatively
they say that the plaintiff's decision to include the property of the
defendants in the list was arbitrary and unreasonable. By reason on the
foregoing the plaintiff is not entitled to the relief pursuant to Article 17 of
the Directive.
5. In
the alternative the regulations do not apply to the development of the
defendants’ property as a golf course as the development commenced in or
about the month of April, 1994 prior to the coming into force of the
regulations and is, alternatively, in breach of the defendants’
constitutional rights in that it has a retroactive effect.
6. The
defendants counterclaimed for damages.
3.2.3 An
amended draft defence and counterclaim was delivered by way of an amendment on
the 25th May, 2001 without leave of the Court. The plaintiff did not object
and, indeed, delivered a reply. That amendment expanded the defence of
inadequate notice and the failure to consider objections. In addition it was
pleaded that no operation or activity within the meaning of the regulations was
being carried out at the time when the proceedings were instituted; that there
were no site conservation objectives in place within the meaning of Article 17
of the Regulations and that, even if an appropriate assessment was carried in
accordance with Article 17, the plaintiff did not or was not entitled to form
the opinion that the operation or activity would adversely affect the integrity
of the site. The plaintiff replied to the amended defence by way of denial.
4.
The
Habitats Directive
4.1 The
Directive on the conservation of natural habitats and of wild fauna and flora,
and the European Communities (Natural Habitats) Regulation, 1997 (S.I. No. 94
of 1997) were referred to by both parties. Article 23 of the Directive provides
that Member States are obliged to bring into force the laws, regulations and
administrative provisions necessary to comply with the Directive within two
years of its notification.
4.2 Ireland
failed to fulfil its obligations under this provision as was recently
determined by the Sixth Chamber of the European Court of Justice on the 11th
September, 2001 in
Commission
of the European Communities -v- Ireland
,
Case C-67/99.
4.3 Article
3 of the Directive requires that a coherent European ecological network of
special areas of conservation should be set up under the title Natura 2000.
This network, comprised of sites hosting the natural habitats listed in Annex I
and habitats of the species in Annex II should enable the natural habitat types
and the species’ habitats concerned to be maintained or, where
appropriate, restored at a favourable conservation status in their natural range.
4.4 Article
4 of the Directive requires each member state to propose a list of sites
indicating which natural habitat types and which species (that are native to
its territory) the sites host. The list was to have been transmitted to the
Commission within 3 years of the notification of the Directive together with
information on each site, a map, name, location, extent and the data resulting
from the application of the specified criteria provided in a format established
by the Commission in accordance with the procedures laid down by the Directive
(Article 21).
4.5 Castlemaine
Harbour is listed at Annex I and Annex II of the Directive as at 21st May, 1992.
5.
The
Regulations
7. The
Regulations of 1997 purported to bring into force in Ireland the laws,
regulations and administrative provisions necessary to comply with the
Directive albeit within 5 rather than 2 years of notification.
5.1 Identification
and notification of sites.
5.1.1
Regulation 3 provides for the selection of sites for identification as sites of
community importance. That regulation provides as follows:-
“3(1)
The Minister shall, for the purpose of identifying as sites of Community
importance and based on the criteria set out in Annex III (Stage 1) to the
Habitants Directive and relevant scientific information, prepare a list of
sites (in these regulations referred to as a “ candidate list of European
sites”) indicating in respect of each such site or both -
(a)
the natural habitat type or types in Annex I to the Habitats Directive which
the site hosts, and
(b)
the species in Annex II to the Habitats Directive that are native to the
State which the site hosts.
....
(3)
Where appropriate the Minister may purpose modification of the candidate list
of European sites having regard to the surveillance carried out pursuant to
Regulation 7(1) or if the Minister receives a request that a site be included
in the list
.”
5.1.2 Regulation
7 provides that the Minister undertake or cause to be undertaken surveillance
of the conservation status of the natural habitats and species referred to in
Article 2 of the Habitats Directive with particular regard to priority natural
habitat types and priority species and the Minister shall have regard to such
surveillance in the adaptation of the list transmitted to the Commission
5.1.3 Regulation
4 contains provisions relating to the notification to person concerned, other
Ministers and every owner and occupier of any land mentioned in the Candidates
Lists.
5.1.4 Regulation
5 allows a person on whom a Notice is served to object on scientific grounds to
the inclusion of a site in the Candidate List of European sites. Such
objection must be made within three months from the date the Notice was served.
The Minister may, having considered the objections and requests, amend the
Candidate List of European sites and shall transmit it to the Commission in
accordance with Article 4(1) of the Habitats Directive.
5.1.5 Regulation
14 restricts the carrying out of operations or activities in the following
terms:-
“14(1)
A person shall not carry out, cause to be carried out or continue to carry out,
on any land included in a special area of conservation or a site placed on a
list in accordance with Chapter 1 of this Part an operation or activity
mentioned in a notice issued under Regulation 4(2) unless the operation or
activity is carried out, or caused or permitted to be carried out or continued
to be carried out, by the owner, occupier or user of the land and -
(a) one of them has given the Minister written notice of a proposal to
carry out the operation, or activity, specifying its nature and the
land on which it is proposed to carry it out, and
(b) one of the conditions specified in paragraph (2) is fulfilled.
(2)
The conditions referred to in paragraph (1) are as follows-
(a)
that the operation or activity is carried out with the written consent of
the Minister, or
(b) that the operation or activity is carried out in accordance with the
terms of a management agreement provided for under Regulation 12
(for the management, conservation, restoration or protection of the
site
or any part of it).”
5.2
Prohibition
of works on certain lands
5.2.1 Regulation
17 provides that where the Minister considers there is an operation or activity
being carried out or that may be carried out on -
(a)
a
site placed on a list in accordance with Chapter 1 of this Part (Regulations 3
to 7 inclusive), or
(b)
a
site where consultation has been initiated in accordance with Article 5 of the
Habitat’s Directive, or
(c)
a
European site,
which
is neither directly connected with nor necessary to the management of such
sites but likely to have a significant effect thereon either individually or in
combination with other operations or activities, the Minister shall ensure that
an appropriate assessment of the implications for the sites in view of the
sites conservation objectives is undertaken.
8. An
environmental impact assessment in respect of a proposed operation or activity
shall be an appropriate assessment for the purpose of this regulation.
5.2.2
If
the Minister, having regard to the conclusions of the assessment undertaken
under paragraph (1), is of the opinion that the operation or activity will
adversely effect the integrity of the site concerned, then the Minister shall
make application to a court of competent jurisdiction to prohibit the
continuance of the operation or activity.
6.
Application
for Injunctive Relief
6.1 On
the 27th March, 1997, the date of notification to the first named plaintiff of
the inclusion of the site, the Minister applied and was granted an injunction
by this Court as detailed above. While neither the draft Notice of Motion nor
the Interim Order referred to Regulation 17, the Grounding Affidavit of Thomas
Curtis, the Research Science Officer in the Department of the Minister,
referred, at paragraph 6 of the Affidavit, to that regulation.
6.2.1 Dr.
Curtis referred to his familiarity with the site as a special area of
conservation long before the coming into effect of the Directive. He deposed
to the great ecological, geological and geomorphological interest of the site
as holding the finest dune belt in County Kerry and made reference to a
catalogue of areas of scientific interest complied by An Foras Forbhatha, to a
two page synopsis and to Corine Biotopes.
6.2.2 He
made reference to the planning application for a golf course and the decision
of An Bord Pleanala which the Deponent averred was not an exempt development,
(in fact by letter of the 15th October, 1996 Kerry County Council had deemed
the development exempt by reason of it having been commenced prior to the 16th
May, 1994 when a change in planning requirements for golf courses was
implemented).
6.2.3 The
Deponent referred to three letters, two of which, dated the 26th March, 1997
from the Heritage Council and from Coast Watch Europe Network, signed by Karin
Dubsky, were exhibited and the third by telephone and confirmed by fax from a
representative of An Taisce was available only in a faxed copy. All three
referred to an apprehension that development would take place over the Easter
weekend.
6.2.4 The
Deponent referred to the certified copy of the Habitat’s Directive
wherein Inch Spit at Castlemaine Harbour is listed in Annex I of the Directive
and the bird species are listed in Annex II of the said Directive of the 21st
May, 1992. The development referred to in the letter would irretrievably harm
the site.
6.3 A
short replying Affidavit of the first named defendant, the only defendant at
the time of the grant of the interim junction, was filed on the 11th April,
1997. That defendant denied that he had an interest in or was the owner of
the land the subject matter of the proceedings; that the registered owners were
his brother and sister-in-law, the second and third named defendants joined by
Order of Mr. Justice Smith of the 21st April, 1997; that any reasonable enquiry
carried out by the plaintiff would have established that he was not the owner
but looked after the land on behalf of the other defendants, had occasionally
grazed animals on the land or intended to develop a golf course project on the
lands with the assistance of Dr. Arthur Spring, who was mentioned in the
grounding Affidavit.
6.4 No
replying Affidavit was received from either the second or the third named
defendants.
6.5 The
Second and Third Named defendants lodged an objection to the inclusion of their
lands, including the dunes at Inch. They await the decision of this Court
before proceeding with their objection.
7.
Correspondence
7.1 Extensive
discovery was made on a voluntary basis by the plaintiff.
7.2 By
letter dated the 8th May, 1992, Mr. Fitzgibbon, on behalf of the predecessor to
the Minister wrote to Messrs. Philip O’Sullivan, the then Solicitors for
the second and third named plaintiffs. The letter reads as follows:
“Dear
Mr. O’Sullivan,
I
refer further to the above matter.
Officers
of the Service have recently visited the site, and have confirmed in their view
that the site is of very high conservation interest, and everything possible
must be done to ensure its integrity.
Accordingly
the National Parks and Wildlife Service, of the Office of Public Works, regards
the necessary topic for discussion as being how best to secure the long-term
future of the site. Naturally, your client may have different priorities, and
the Service is fully prepared to attend a meeting of which any suggestion or
proposal of your client will be given careful consideration.
In
the absence of any detailed information on your clients plans or intentions,
the National Parks and Wildlife Service cannot be more specific than this with
regard to our agenda.
We
look forward to developing the issue with you, and hope that you will be in a
position to agree to a meeting on the issue at your earliest convenience.
Yours
sincerely,
Patrick
Fitzgibbon
National
Parks & Wildlife Service
8th
May, 1992.”
9. No
reply was received to this letter.
7.3 There
was further correspondence between the officials of the Wildlife Service and
Kerry County Council regarding the conservation of the site.
7.4 There
was no further correspondence with any of the defendants until the letter of
the 26th March, 1997 from Mr. Michael Kelly, Director of Wildlife Services to
Mr. John Kennedy, the first named defendant. The following day the plaintiff
applied for and was granted the interim injunction.
7.5 That
letter was as follows:
“Dear
Mr. Kennedy,
I
understand that you are one of the beneficial owners of a site at Inch,
Castlemaine Harbour, County Kerry, on which it is proposed to develop a golf
course in the near future. I must advise you that the National Parks and
Wildlife Service would have concerns regarding any proposed new development on
this site. As you may be aware from recent public notices, this site is
proposed as a candidate special area of conservation (SAC) (No. 343,
Castlemaine Harbour) and such is now protected under the recently signed
European Communities (Natural Habitats) Regulations, 1997. The Minister for
Arts, Culture and the Gaeltacht has power under these regulations to control or
prohibit activities or developments which would damage a SAC.
I
enclose a formal notice of the proposal to designate this area.
Please
be advised that any attempt to alter or to interfere in any significant way
with the natural ecology of this site without prior consultation with the
National Parks and Wildlife Service will result in legal measures being taken
under the above regulations to have the work discontinued and to have the site
fully restored. A development such as a golf course, on a site of such
ecological importance as this, is unlikely to be compatible with the nature
conservation objectives of this service and would require prior environmental
impact assessment.
Furthermore,
on the basis of recent legal precedent, any golf course development on this
site would require Planning Permission.
Yours
Sincerely
Michael
Kelly
Director
26th
March, 1997”
8.
Oral
Evidence
8.1 Dr.
Coleman O’Criodain, Senior Ecologist of the Department of the plaintiff
visited the site in April, 1992 for the first time having become aware through
Dr. Curtis of the importance of Inch when he joined the Department in 1990. He
referred to the letter of the 8th May, 1992 from Mr. Fitzgibbon to the
defendant’s Solicitor.
10. He
also referred to a “list of candidate SAC’s” which was
prepared by him on 29th June, 1995 prior to his departure to the Review and
General Section of the Department. That list included Castlemaine Harbour, as
No. 343, describing five types of dunes, banks, mud flats, inlets, bays etc.
It also contains a reference to that
petalophyllum
ralfsii
which was designated as subject to further within boundary field checking; that
the site is selected for at least one priority habitat; that the site is or
contains or is contained within an SPA; that the site requires a full boundary
survey and that there is a requirement for a seaward boundary to be drawn for
the site in consultation with a marine biologist.
11. That
list followed a draft interim list of candidate SAC’s which was a paper
by Dr. O’Criodain of April, 1995 which form the basis of a Wexford
Conference of the research branch of the Wildlife Service. Dr.
O’Criodain points out in his paper that there was much uncertainty
surrounding the high proportion of unsurveyed or inadequately surveyed national
heritage areas and that this seriously weakened the validity of the list. It
is certain that some key sites are missing from it and the habitats and species
sited for each candidate site may not always be appropriate. Castlemaine
Harbour, Inch, Ross Bay is included with the shorter narrative than that
contained in the list of candidates SAC’s of the 7th September, 1995.
12. The
third document entitled “SAC’s with priority habitats (MPSU
list)” of the 5th November, 1996 includes Castlemaine Harbour without any
comments as there are in relation to a few of the areas listed.
13. It
was clear from Dr. O’Criodain’s evidence that what was to be sent
to the Commission of the European Communities was a standard data form in
respect of each of the sites identified rather that a list. This appears to
have been completed as a Natura 2000 Standard Data Form for special protection
areas in July, 1999.
8.2 The
Court has also had the benefit of the evidence given by Dr. Curtis, and Mr.
Michael Canny, Assistant Secretary who had been Director for the National Parks
and Wildlife Service.
14. Taking
their evidence together with that of Dr. O’Criodain, the genesis of the
Proposed Candidate Special Areas of Conservation Ireland appears to be as
follows:
19th
January 1994
Up
to date list of sites. Containing Annex I habitats and Annex II species
distinguishing between priority and non priority habitats both of which include
Inch.
7th
April 1994
First
list of Candidate SACs by County (includes Castlemaine Harbour including Inch
with details).
15. April
1995
Draft
interim list of Candidates SACs (includes Castlemaine with similar details)
(Wexford Document)
20th
June 1995
List
of sites by County with explanatory notes (includes Castlemaine Harbour as No
343) with greater detail
5th
November 1996
SACs
with priority habitats (MPSU list) includes Castlemaine, indicating boundary
dunes and natura 2000 not done. (Sligo Document)
29th
November 1996
Proposed
Candidate Special Areas of Conservation (Maps including Castlemaine as Proposed
Candidate Special Area of Conservation (PCSAC))
8.3 Dr.
Curtis, Ms. Karin Dubsky, Mr. Patrick Foley, Mr. James Kelly and Mr. Barry
Murphy gave evidence with regard to the basis of the plaintiff’s
apprehension that development was about to take place when the interim
injunction was sought.
16. There
is some ground for finding that the three letters referred to in Dr.
Curtis’ grounding Affidavit emanated from a common source. Moreover, the
information was itself hearsay. The application followed the day after
notification was given to the occupier and not to the owner. The letter
accompanying the notification itself did refer to the golf course development
and to the requirement for an environmental impact assessment.
17. While
no operation was being carried out, evidence as to an operation that might be
carried out was, of course, to the development of a golf course which had been
the subject of previous correspondence.
8.4 Mr.
John Kennedy, the first named defendant gave evidence that he was the only one
who used the land but had no interest in the land.
18. He
had no knowledge of any work on the lands at Easter. He didn’t speak nor
have any contact with his brother following the service of the notice and Court
injunction. He had no connection with Dr. Arthur Spring. He did not read the
legal papers. He refused to take them despite the reference to Dr.
Curtis’ Affidavit in his Affidavit where he said that, up to the day he
gave evidence, he had not read the papers.
8.5 Mr.
James Kennedy, the second named defendant, who is a builder in New York, said
he purchased the lands in 1987 for about £200,000 with the intention to
return to live there and to “develop the land as the law allows”.
He said that Dr. Arthur Spring, who contacted him shortly after the purchase of
the lands, had authority to carry out works on the land. He gave no
instructions to carry out work over Easter 1997. He was appalled, that as an
Irish citizen that an injunction was sought.
19. Dr.
Spring, he said, had full control to develop courses and a hotel which he would
finance. They didn’t specify 1, 2 or 3 courses but Dr. Spring gave him a
ballpark figure per golf course. He said that he told Dr. Spring to live
within the law.
20. He
said that he told his solicitor to welcome Duchas and the Wildlife Service on
board. He was not aware whether his solicitor had put proposals on paper. He
was never told that the site was an area of high amenity and that planning
would not be forthcoming. He had looked at the development plan before the
purchase and didn’t need planning permission. He was unaware of problems
until 1994 when the Council had “put a stop when we had 8 to 10 holes
laid out”. He could not recall when work commenced. He did not have
detailed plans. He was not aware that the Wildlife Service was looking for
information. Their key man, he said, wouldn’t meet him. He did not know
the name of the contractor who carried out the work in 1994. He did not pay
him. Dr. Spring dealt with the layout of the 8 - 10 holes. He had not
discussed the 1992 Directive. Either Dr. Spring or Mr. O’Sullivan, the
Solicitor, would have told him of the injunction. He was amazed at what he
termed “fabrication and hearsay.”
21. In
May, 1997 he lodged an objection to the site being listed.
22. He
said that he was not aware of the allegation in his defence that the Minister
had not dealt with the objection nor with what counsel for the plaintiff termed
the widespread attack on the Minister. He had not discussed this.
23. When
asked if he was prepared to abide with the regulations he replied that he could
not answer, that he did not know where he was with the law. He was not aware
of the injunction proceedings.
24. He
had no trust in the Minister giving consent pursuant to Regulation 14. He said
that the Department had tried to confiscate his property. He agreed that no
proposals had been sent to the Minister.
8.6 Dr.
Arthur Spring, a golf course designer and professional golfer also gave
evidence. To his knowledge there was no anticipated development at the time of
the application for the injunction.
9.
Written
Legal Submissions
25. Both
the plaintiff and the defendant submitted extensive legal submissions.
9.1.1 The
Plaintiff’s submissions
.
26. Mr.
McDonagh SC, on the behalf of the Minister submitted that the Minister is
obliged to take certain minimum steps to preserve sites which are placed on a
list in accordance with the EC (Natural Habitats) Regulations, 1997. However,
even in the absence of any implementing regulation it is clear, he submits,
that the obligations on the Member State arise from the Directive. This
requires Ireland to take the steps, whether by way of legislation or
administrative decision, as outlined in the Directive. The obligations arise
not by virtue of a duty created by the Regulations only, but also by virtue of
the provisions of the Directive itself. This was made clear by the decision of
the Court of Justice on the 11th September, 2001 in case C-67/99
Commission
-v- Ireland
.
9.1.2 Having
regard to the provisions of Annex III of the Directive, and pursuant to
Regulation 3, the Minister compiled a list of candidate European Sites or
special areas of conservation (SAC). The list has a somewhat lengthy gestation
period having regard to Annex III of the Directive.
27. The
plaintiff has prepared a list, which at all times included Castlemaine Harbour
and, within that designation, Inch Spit, and has further notified the land
owners of the listing by publication in local newspapers. Indeed the second
and third defendants have pleaded in their defence that they have been served
pursuant to Regulation 4. Accordingly there is no issue regarding service.
9.1.3 Moreover,
the Minister is not merely entitled but has actually a statutory obligation to
make an application to the Court for protection of a listed site.
28. The
protection that the Minister is obliged to give relates to the list even if, on
being forwarded to the European Commission, the Commission itself forms a view
that the site does not come within the criteria set out in Annex III.
29. The
Minister is obliged under Regulation 17 to take appropriate action where she
considers that an operation or activity was about to be carried out on the site
which had been placed on a list. Appropriate Orders were granted by the Court.
Whether the Court granted such an injunction pursuant to Regulation 17 or
pursuant to its general powers is not necessarily a decision that the Court has
to decide. The Order granted was directed against the first named defendant,
the only defendant at that time, his servants or agents and otherwise
howsoever. Mr. McDonagh SC says that Mr. Justice Kelly added the words “
or
any persons having notice of the making of the Order”.
The second and third named defendants were joined as co-defendants by Order of
Mr. Justice Smith.
9.1.4 The
relief now sought is in terms of the second injunction prayed for that is by
the addition of the words
“except
by or with the leave furnished in writing by the plaintiff in accordance with
the procedures and provisions set out in Regulation 14 of the Regulations
”.
30. Certain
submissions were made with regard to the right of the Minister rather than the
Attorney General, to seek injunctive relief.
9.2 Defendants’
submissions:
9.2.1 Mr.
McBratney SC, on behalf of the defendants, submitted that in May, 1994
construction began on a new golf course prior to the adoption of the Planning
Regulations, 1994 at a time when it was exempted development. On the 14th May,
1994 the Planning Authority served a warning notice. Subsequently, in October,
1996, the Planning Authority accepted that the golf course was exempted
development. That decision was referred by the National Wildlife and Parks
Service to An Bord Pleanala under Section 5. An Bord Pleanala, on the 9th
October, 1997 held that it was exempted development.
9.2.2 On
the 26th February, 1997 the Habitats Regulations came into force implementing
the Habitats Directive. By letter of the 26th March, 1997 the first named
defendant was notified that the site was proposed as a candidate Special Area
of Conservation (SAC) and enclosed what purported to be a formal notice of the
proposal to designate the site.
9.2.3 The
proceedings which the Minister applied for and was granted were expressly
brought pursuant to Regulation 17 as is evident from paragraph 6 of the
Grounding Affidavit of Thomas Curtis. Accordingly, the Minister has only the
powers conferred on her by the regulations. The powers, duties and
responsibilities enjoyed by the Minister with respect to habitats are those
limited by the regulations. A member of the public, which includes the
Minister for this purpose, is not entitled to assert public rights unless he or
she can show special damage. The unquestioned rule regarding such a suit was
that the plaintiff must be the public, represented by the Crown, which sued by
its officer, the Attorney General.
R.
-v- Attorney General
[1930]
IR 471
at
497 applied
the
rule in
Weir
-v- Fermanagh County Council
[1913] 1 IR 193. Kennedy C.J. concluded at p.499 that “
The
Attorney General is exclusively the legal representative of the public, and
(of) the rights of the public, whether for the purpose of bringing an action to
assert those rights, or of defending an action in which the rights of the
public are assailed or called in question.”
31.
Keane J., as he then was, in
Irish
Permanent Building Society -v- Caldwell
[1979] ILRM 273 at p.275 stated that
“in
the absence of an expressed Statutory Provision, a private individual cannot
maintain an action such as the present
”,
(where the plaintiffs' sought to challenge the validity of a decision of the
defendant Registrar of Building Societies).
32. In
the circumstances, Mr. McBratney submits, that insofar as any jurisdiction may
exist in common law to prevent the apprehended harm to habitats, proceedings
can be brought only by the Attorney General and the plaintiff does not have the
requisite
locus
standi
to maintain the proceedings.
9.2.4 Counsel
further points out that there was no appropriate assessment of the implications
for the site and no site conservation objectives determined as required by
Regulation 17. Paragraph 2 of that Regulation provides that an environmental
impact assessment in respect of a proposed operation or activity shall be an
appropriate assessment for the purpose of the regulation.
33. Moreover,
paragraph 3 only permits the Minister to make an application to Court to
prohibit the
continuance
of the operation or activity.
In the present case Mr. McBratney submits no operation or activity had taken
place.
“In
making an Order under that section the Court cannot exceed the jurisdiction
conferred by that section. It is a clear and comprehensive code which should
be construed strictly. The Court has a discretion to exercise in a Section 27
application but that is within the ambit of the section and is not to extend
the jurisdiction. (Per Denham J at p.290)
...
The
Planning Code should be construed strictly. Actions can and do have grave
financial and social repercussions. The Oireachtas has legislated to give
power to planning authorities and to members of the public in certain
circumstances. Section 27 is written in clear and plain language. It is not
for the Courts to legislate. If there is a lacuna in legislation then it is
appropriate to indicate that gap - but not to fill it. If there is a policy
decision in the legislation then that is a matter for the Oireachtas. (At
289)”
9.2.6 Counsel
for the defendant submits that an analysis of Regulation 17 indicates that
before the Minister can apply for relief and before the Court is conferred with
jurisdiction to grant any relief sought a number of preconditions must be
satisfied.
9.2.6.1 The
first of these is that the site must be placed on a list.
34. It
is submitted that the only category into which the site could fit would be the
first category (See 5.1.1 above). The defendant submits that there is no
evidence before the Court that the site was placed on a list in accordance with
Chapter 1 of Part II of the Regulations. This is so because it is a database
and not a list defined as “
a
number of connected items or names written consecutively
”
as in the 10th Edition of the Concise Oxford Dictionary at page 828. Moreover
the database was capable of being altered on a daily basis, according to the
evidence of Mr. Kelly. It is not, accordingly, an exhaustive or complete list.
Accordingly it does not constitute compliance with the Directive.
In
R.
-v- Secretary of State for the Envionment, Ex Parte First Corporate Shipping
Limited
(2000) ECR 1-9235, the European Court of Justice held, at paragraph 22, that:-
“To
produce a draft list of sites of Community importance, capable of leading to
the creation of a coherent European ecological network of SACs, the Commission
must have available an exhaustive list of the sites which, at national level,
have an ecological interest which is relevant from the point of view of the
Habitats Directive’s objective of conservation of national habitats and
wild fauna and flora. To that end, that list is drawn up on the basis of the
criteria laid down in Annex III (Stage 1) to the Directive”.
35. That
reasoning, Counsel submits, was subsequently endorsed in
Commission
-v- Ireland
(case C-67/99) at paragraphs 15, 17, 30 and 32.
36. In
that case the Court found that a first partial definitive list of only 39 sites
was transmitted by 30th September, 1998. For this reason the Court held that
Ireland had failed to comply within the prescribed period ending on that date
and that the content of the Irish National List sent to the Commission was
“
manifestly
inadequate
”.
37. Counsel
for the defendant submitted that there is a continuum from the creation of the
initial list towards transmission to the Commission with provisions made for,
at most, some modifications to the list during the process. Therefore, if the
list which is sent to the Commission is required to be exhaustive and
definitive, it follows that the initial list drawn by the Minister must also be
exhaustive and definitive (subject to the possibility of minor amendments) and
that anything short of such a list does not constitute a “list”
within the meaning of Regulation 3. In circumstances where the purported list
is a database, subject to the possibility of daily amendment, it is not
apparent how this can constitute compliance with the regulations.
38. In
the circumstances where the Directive has been interpreted as requiring Member
States to submit an exhaustive list, then under the regulations the list of
candidates sites drawn up by the Minister should also be exhaustive. This is
the interpretation which most closely accords with the purpose of the Directive
and achieves the results envisaged by the Directive. The principles of
European law stipulate that legal measures implementing a Directive must be
construed so far as possible in accordance with the Directive (
Von
Colson -v- Land Nordrhein/Westfalen
(1984) ECR1891, (1986) CMLR 430 approved in
Marleasing
SA -v- La Comercial Internacional de Alimentación
SA
(1990) ECR 1-4135, (1992) 1 CMLR 305. Moreover these principles have been
approved by the Irish Courts in
Lawlor
-v- Minister for Agriculture
[1990] 1 IR 356;
Bosphorus
Hava -v- Minister for Transport
[1994] 2 ILRM 551 and
Nathan
-v- Baily Gibson Ltd
,
the Supreme Court, 29th February, 1996, where Hamilton C.J. said at page 23 of
his judgment:-
“It
is also well established that national or domestic Courts in interpreting a
provision of national law designed to implement the provisions of a Directive,
should interpret their national law in the light of the wording and the purpose
of the Directive in order to achieve the results envisaged by the
Directive.”
39.
The
defendants also submit that the procedure must be strictly adhered to because
of the very severe interference with the second and third named defendants
proprietary rights.
9.2.6.2. The
second precondition is that there should be an appropriate assessment of the
site. In addition, conservation objectives should be undertaken in respect of
the site. There is no evidence before the Court that there was any
conservation objectives in place for the site at the time the application for
the injunction was made. If there were no conservation objectives in place,
then it was not possible for any person to carry out an appropriate assessment.
This, counsel submits, is confirmed by Dr. Curtis’ Affidavit, paragraph
6, which grounded the application for an interim injunction where he states:-
“I
say that nevertheless having regard to the whole irreversible damage caused to
the flora and fauna of the special area of conservation by even only a few
hours of digging and levelling by heavy machinery and notwithstanding that the
detailed assessment procedures envisaged by the regulations have not yet had an
opportunity of coming into being that the plaintiff is nevertheless obliged for
the immediate preservation of the amenity pending elaboration by or on behalf
of the defendant as to any objection he might take to the designation of the
Inch Spit as a special area and conservation.”
9.2.6.3 Thirdly,
the jurisdiction to grant relief can only be made “
to
prohibit the continuance of the operation or activity
”.
Thus, in counsels submission, the Court can only make an Order under
Regulation 17 where the operation or activity in question has commenced and is
continuing. The analogy between the provision of
Section 27(1) of the
Local
Government (Planning and Development) Act, 1976, as originally enacted, refers
to development
being
carried out ,
was
considered by Gannon J. in
Dublin
County Council -v- Kirby
[1985] ILRM 325 who held that an Order under the section could only be made
where the unauthorised development complained of was ongoing.
40. It
is clear from the evidence before the Court, which was accepted by the
plaintiff, that nothing had happened on the site. The plaintiff's apprehension
on this regard was entirely misconceived. Accordingly, there is no basis on
which relief could be granted pursuant to Regulation 17. There was not a
reasonable, well grounded apprehension that any work would be carried out.
In
Attorney
General (Boswell) -v- Rathmines and Pembroke
Joint
Hospital Board
[1994] 1 IR 161, the plaintiff sought an injunction to restrain the defendant
from building a smallpox Hospital in Clonskea. Charterton V.C. stated that, in
order to obtain a
quia
timet
injunction it must be shown that the complainants entertain a reasonable, well
grounded apprehension that the work which the defendants are carrying would, if
allowed to proceed, result in substantial damage to the complainants. A mere
apprehension would not be of sufficient grounds for obtaining relief, but it
must be shown that the work is, or would be, a substantial injury to the
persons or property of the complainants.
41. A
similar approach was taken by the Court of Appeal. Fitzgibbon L.J. stressed,
at p 171, that:-
“To
sustain the injunction, the law requires proof by the plaintiff of a well
founded apprehension of injury - proof of actual and real danger - a strong
probability, almost amounting to moral certainty, that if the hospital be
established, it will be an actionable nuisance
.”
42. More
recently, Mr. Justice Geoghegan in
Szabo
-v- Esat Digifone Limited
[1998] 2 ILRM 102 held that .. “
for
a quia timet injunction to be granted there would have to be a proven
substantial risk of danger
”
(p.110).
43. In
his submission Counsel for the defendants submit that the evidence in this case
falls well short of satisfying that standard. The evidence is entirely hearsay
- a story upon a story. There is not any evidence from any person with first
hand knowledge of any act or event which could constitute an indication by the
defendants, or any of them, that they were on the verge of carrying out any
activity in or about the 27th March, 1997 or the period leading up to it.
10.
Decision
of the Court
10.1 It
is clear from the Affidavit of Thomas Curtis grounding the application that
Regulation 17 is the basis for the application. I accept counsel for the
defendant’s submission that the Minister in exercising executive powers
of the State is purely a creature of statute and that the Minister is the
persona
designata
(See Judgment of Walsh J. in
Murphy
-v Dublin Corporation
[1972] IR 215 at 238.)
10.2 The
fact that the Minister was the person designated by the Oireachtas to carry out
the function does not per se confer upon the function the character of the
exercise of the executive power of the State. Otherwise the rule regarding
suits to assert public rights should be in the name of the Attorney General
who, in the words of Kennedy C.J. in
Moore
-v- Attorney General
[1930] IR 471 at 499 that “
the
Attorney General is the only legal representative of the public in the
Courts.”
44. Accordingly,
the obligation on the Minister to make application to a Court of competent
jurisdiction, pursuant to Regulation 17(3) is circumscribed by that Regulation.
10.3. It
seems to me that three conditions are required:-
- The site must have been placed on a list in accordance with Chapter 1 of this
Part;
-The Minister must consider that an operation or activity is being carried or
may be carried out which is likely to have a significant effect on the
site, and
-An appropriate assessment of the implications for the site in view of the
sites conservation objectives is undertaken.
45. In
those events, if the Minister, having regard to the conclusions of the
assessment undertaken, is of the opinion that the operation or activity will
adversely effect the integrity of the site, she shall make an application to a
Court of competent jurisdiction to prohibit the continuation of the operation
or activity.
10.3.1 Regarding
the first condition, I am satisfied from the evidence from Dr.
O’Criodain, Dr. Curtis and Mr. Kelly that the site in question was
appropriately listed as of the 7th September, 1995 at the latest and possibly
before that date though not in the form envisaged by the regulations. In any
event it is clear that at all material times Castlemaine Harbour, and Inch Spit
in particular, was regarded by the Minister as an area of conservation and that
this was made known to the defendants.
46. While
it is clear that the Minister had not, at the time of the application of the
injunction, submitted an exhaustive list to Europe for their consideration, as
is evidenced of the
Commission
-v- Ireland
case referred to above, the site in question was listed appropriately at the
time of that application.
47. Moreover,
by letter dated the 8th May, 1992 the predecessor of the Minister wrote to the
second and third named defendant’s Solicitor regarding the conservation
of the lands in question.
48. Accordingly,
the lands the subject matter of this application were included in a list, the
defendants were aware of such listing and, indeed, have appealed the inclusion
of the lands on such list.
10.3.2 The
second condition which needs to be considered is whether an operation or
activity was, at the time of the application, being carried out or might have
been carried out which was likely to have had a significant effect on the site.
The only development which had been carried out predated the coming into effect
of the regulations and, indeed, was immediately prior to the change in Planning
Regulations (on 16th May, 1994). However, such development occurred after the
coming into effect of the notification of the Directive to Ireland on the 21st
May 1992. I have no doubt that, had there been grounds for the
Minister’s apprehension, that the anticipated operation or activity would
have had a serious effect on the site.
10.3.3 In
relation to the third condition it appears that, for special areas of
conservation, Member States are required to establish the necessary
conservation measures involving, if needs be, appropriate management plans
specifically designed for the sites to be integrated into other development
plans, and appropriate statutory, administrative or contractual measures which
correspond with the ecological requirements of the natural habitats types and
species present on the sites. (Article 6(1)).
49. Member
States are also required to take appropriate steps to avoid, in the special
areas of conservation, the deterioration of natural habitats and the habitats
species insofar as such a disturbance could be significant in relation to the
objectives of this Directive (Article 6(2)).
50. In
any event it is clear that Regulation 17 is prospective rather than
retrospective. The Minister is entitled and, indeed, obliged, to apply for
injunctive relief even thought the activity is not been carried out but may be
carried out in the future. While not expressly stated this is the probable
interpretation notwithstanding the wording of Regulation 17(3) that the
Minister shall make an application to a Court of competent jurisdiction to
prohibit the
continuance
of the operation or activity. Paragraph (3) might be interpreted within the
wider scope of Regulation 17(1);
“where
the Minister considers that an operation or activity is been carried out
or
may be carried out
...”.
51. If
I am wrong in interpreting Regulation 17(3) in such a broad sense - and I do so
with some doubt, given the legal principle recognised in
Mahon
-v- Butler
[1998] 1 ILRM 284 at 291, the Minister would be restricted to seek an
injunction to prohibit the continuance of land use which is in any event
exempted development as so found by An Bord Pleanala.
52. Operation
or activity is defined broadly as:-
“Any
use of -
(a)
land
(including the foreshore and the seabed out to the exclusive fishery limits of
the State), and
(b)
water
covering such land,
What
is not considered
“operation
or activity”
is
inter
alia
,
(i)
development which is not exempted development within the meaning of
the
Local Government (Planning and Development) Acts, 1963 to 1993.”
(ii)
development by a local authority...
53. In
this regard the definition of operation or activity meaning any use other than
development which is not exempted development or development by a local
authority etc. within the meaning of the Local Government (Planning and
Development) Acts, 1963 to 1993 renders the definition of operation or activity
to exclude rather than to include development under the said Acts.
10.3.4 The
Minister was informed, albeit on the basis of hearsay and probably from one
common source of an apprehension of bulldozers arriving on the site. Another
source reported the positioning of fencing and the removal of animals. Only
the former could be categorised as likely to have a significant effect on the
site. The defendants and Dr. Arthur Spring have denied that there were any
grounds for such apprehension.
54. Even
if there were credible evidence of a threat of such operation or activity - and
I do not need to make a finding in this regard - the obligation on the Minister
is to ensure that an appropriate assessment of the implications for the site is
undertaken in view of the sites conservation objectives. The regulation gives
an example of such appropriate assessment by referring to an environmental
impact assessment. There may be other appropriate assessments but it seems
unlikely, given the example in Regulation 17(2), that a mere opinion, however
expert, would be appropriate given the reference to the requirement regarding
conservation objectives. Conservation is defined as a series of measures
required to maintain or restore the natural habitats and the populations of
species of wild fauna and flora at a favourable conservation status of a
natural habitat and of a species. There would appear to have been nothing
approaching such “a series of measures” with regard to Site 343,
the subject matter of this application. Taking the two concepts together it
would appear that a formal assessment relative to the objectives is an
obligation to be undertaken by the Minister when she considers that an
operation or activity is been carried out which is likely to have a significant
effect on a site listed.
10.4 It
is clear that the obligations on the Minster under the Directive are onerous.
The obligation arising under Regulation 17 requires a formal assessment of the
implications of such operation or activity for the site relative to the
conservation objectives set for the site.
55. Whatever
doubts that might exist regarding future operations or activities that are
covered by Regulation 17(3) there is no doubt that the Minister has to have
regard to the conclusions of the assessment undertaken. She must form the
opinion that the operation or activity will adversely affect the integrity of
the site concerned. Only in these circumstances can the Minister make an
application to Court to prohibit the continuance (or if I am right in a broader
interpretation), to prohibit the commencement of an operation or activity.
10.5 The
defendants have not filed a replying affidavit. No averment was made at the
time of the interlocutory application that no operations or activities were
planned. The defendant’s attitude was to challenge the inclusion of the
site and the list (as they are entitled to).
56.
However, it is not helpful to a Court of equitable jurisdiction to leave until
the time of application for a perpetual injunction, four years later the giving
of evidence that no operation or activity was proposed when at the same time
objecting to the inclusion of the site in a list and the postponing of the
dealing with such objection until the hearing of this Motion.
57. Moreover,
the defendants have not shown that they or any of them have suffered damage.
The second named defendant was somewhat ambiguous with regard to his complying
with the regulations (see 8.5 above). The letter of 8th May, 1992 sent to his
solicitor was not replied to. No proposals were made by or on his behalf
regarding the site.
10.6 Most
of the hearing dealt with the issue of the listing provisions where the Court
has decided in favour of the Minister (10.3.1 above). However, giving the
decision regarding the failure to establish the necessary conservation measures
and the appropriate management plan, and measures at the time of the
Minister’s application the application for a perpetual injunction will be
refused.
© 2001 Irish High Court
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