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High Court of Ireland Decisions |
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You are here: BAILII >> Databases >> High Court of Ireland Decisions >> Doyle -v- Gibney & Ors [2011] IEHC 10 (18 January 2011) URL: http://www.bailii.org/ie/cases/IEHC/2011/H10.html Cite as: [2012] 1 ILRM 194, [2011] IEHC 10 |
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Judgment Title: Doyle -v- Gibney & Ors Composition of Court: Judgment by: Hogan J. Status of Judgment: Approved |
Neutral Citation Number: [2011] IEHC 10 THE HIGH COURT 1997 4837 P BETWEEN SIOBHAN DOYLE PLAINTIFF AND
GEORGE GIBNEY, IRISH AMATEUR SWIMMING ASSOCIATION LIMITED, OLYMPIC COUNCIL OF IRELAND LIMITED AND IRISH AMATEUR SWIMMING ASSOCIATION (LEINSTER BRANCH) LIMITED DEFENDANTS JUDGMENT of Mr. Justice Hogan delivered on the 18th January, 2011 1. Should this Court permit the plaintiff to continue with proceedings which issued in 1997 and which relate to events which are alleged to have occurred in 1991 even though almost no steps have been taken by her to prosecute this litigation for the last thirteen years? This is the issue which now presents itself in the two motions whereby the second and third named defendants, while seeking slightly different relief, both effectively ask the Court to strike out these proceedings on the grounds of inordinate delay. 2. The plaintiff was born in January, 1972. She appears to have been a very promising swimmer and she was a member of prominent Dublin swimming club, Trojan Swimming Club. That club organised a training camp in Orlando, Florida in 1991. The essence of the plaintiff’s case is that she was sexually assaulted by the first defendant while at that camp and that the others defendants were negligent in their role or supervision of the first defendant or the camp. In September 1997, the plaintiff’s then solicitors wrote to both the Irish Amateur Swimming Association (“IASA”) and to the Olympic Council of Ireland (“OCI”) setting out the details of the claim. A month later, a plenary summons (which had issued on 27th April, 1997) was served on both IASA and the OCI. The respective solicitors for both organisations wrote to inform the plaintiff’s solicitors that their respective clients were limited companies, so that the service was invalid. Both sets of solicitors suggested that the proceedings should be amended to reflect the corporate status of their respective clients. 3. As it happens, the plaintiff’s solicitors took up this suggestion, with the result that the Master of the High Court made an order on 24th June, 1998, granting the plaintiff liberty to amend the title of the proceedings. That order was further amended on 11th November, 1998, whereby the time for the service of the summons was extended for a further three weeks. For reasons which are not easy to fathom, neither defendant was ever served - either at that point or at any stage thereafter - until December 2009, some eleven years later. It appears that in July, 2009 an application was made ex parte to this Court (Peart J.) to renew the summons and on 13th July, 2009, Peart J. made an order pursuant to O. 8, r. 1 renewing the summons for a six month period. 4. Following the service of the summons, the two defendants took a slightly different approach to this turn of events. IASA filed an appearance and then brought a motion in which the principal relief sought is that the proceedings should be struck out by reason of inordinate and inexcusable delay in both the commencement and prosecution of the proceedings. The OCI did not actually file an appearance, but they instead elected to bring a motion pursuant to O. 8, r.2 whereby they sought to have the order of Peart J. renewing the summons set aside. Nothing really turns on these different approaches, since the relevant principles are in many respects concurrent and overlapping. I propose to deal first with the application to set aside the order renewing the summons. The OCI motion
8. In Behan, Morris J. held that any party moving the court under O. 8., r. 2 must demonstrate:
11. I respectfully agree with this analysis and I note that similar views were also expressed by Feeney J. in Bingham v. Crowley [2008] IEHC 453, by Peart J. in O’Keeffe v. G & T Crampton Ltd. [2009] IEHC 366 and by Clarke J. in Moloney v. Lacey Building and Civil Engineering Ltd., 21 January 2010. I would merely add that, in my opinion, the approach taken by Morris J. in Behan cannot be regarded as having survived two separate Supreme Court decisions, Adam v. Minister for Justice [2001] 3 IR 53 and DK v. Crowley [2002] 2 I.R. 744. 12. Adam was concerned with the status of the ex parte grant of leave in judicial review proceedings. The judgments of McGuinness and Hardiman JJ. both stress the provisional nature of any orders made ex parte and how, in the interests of fair procedures, a person affected by such orders must have the right to apply to the High Court have such orders set aside. The judgment of the Supreme Court in DK is, perhaps, even more in point. In DK the Supreme Court held that s. 3 of the Domestic Violence Act 1996, was unconstitutional, chiefly because the section empowered the District Court to make a barring order ex parte without any of the necessary safeguards, such as would attend the grant of an interim injunction in the High Court. Specifically, the Court considered that the fact that the barring order was open-ended was itself an objectionable factor which pointed to the existence of a disproportionate interference with the right to fair procedures. It was true that a person affected by the order could apply to discharge such an order, but even then this effectively reversed the burden of proof. As Keane C.J. explained ([2002] 2 I.R. 744 at 760):
14. While accepting that the decision to renew a summons may not be strictly comparable in all respects with a decision to grant an injunction, as it happens the question of whether the summons in this case should be renewed is a decision of immense importance to all parties to this litigation. It may equally be instructive to observe that where an interim injunction is granted ex parte by this Court, it has never been the case that at the subsequent hearing of the application for interlocutory relief the Court would be somehow bound to continue the injunction unless it were shown that new material had come to light which would have affected the original decision to grant the interim relief. For all the reasons expressed in cases as different in their own way as Chambers, Adam and DK, I believe that the same must be true - at least by way of analogy - so far as applications under O.8, r.2. It follows that, with the benefit of an inter partes hearing, it falls to me to consider the matter afresh. 15. In the light of this, one may thus again pose the question starkly: what “good reason” could there possibly be for renewing a summons after an interval of eleven years? It is important to note here that no steps whatever were taken by the plaintiff in the interval. I do not overlook the fact that there may possibly have been difficulties in serving the first defendant (who appears to reside in the United States). But none of this could excuse the pall of inactivity which appears to have descended on this case from a relatively early stage. 16. Article 34.1 of the Constitution assigns the administration of justice to the courts. Quite apart from any considerations of the personal rights contained in Article 40, the speedy and efficient dispatch of civil litigation is of necessity an inherent feature of the court’s jurisdiction under Article 34.1 if. As I ventured to suggest in my own judgment in O’Connor v. Neurendale Ltd. [2010] IEHC 387, this constitutional imperative means that the courts have a jurisdiction (and, in an appropriate cases, a duty) to exercise their powers in a way which will best ensure that a litigant’s right to a hearing within a reasonable time is best vouchsafed. In any event, and for good measure, the same right is guaranteed by Article 6 ECHR: see Gilroy v. Flynn [2005] 1 ILRM 290 and McFarlane v. Ireland [2010] ECHR 1272. 17. Against that background, it would be almost impossible to envisage circumstances in which the courts could or should be prepared to resurrect this litigation by renewing the summons after such a remarkable lapse of time, not least given that nothing at all has happened in the interval between November, 1998 and July, 2009. Certainly, nothing by way of explanation has been offered. 18. To make matters even worse, it should be recalled that the events complained of were said to have occurred in July, 1991 at a time when the plaintiff was of full age. The plenary summons was issued in April, 1997 towards the end of a (not ungenerous) limitation period. By virtue of O.8, r.1 the plaintiff had 12 months in which to serve the summons and the first intimation which the OCI had that a claim was to be made was in September 1997, some two months after the limitation period had already expired, even if the summons had already issued some five months earlier. These considerations made it all the more incumbent on the plaintiff to proceed with speed: cf. the comments of Henchy J. regarding the duties imposed on a plaintiff who has commenced the litigation towards the end of a limitation period in Sheehan v. Amond [1982] I.R. 235 at 237. 19. As it happens, therefore, the renewal of the summons in November, 1998 meant that the time for service was extended at time when the limitation period had already expired some seventeen months earlier. Of course, once the summons has been issued within the limitation period, the plaintiff has twelve months within which to effect service: see O. 8, r.1. In other circumstances, one might however query whether it was even appropriate to have sanctioned a further extension of the time permitted for service at a time when the limitation period had expired. As Clarke J. put it (at para. 5.11) in Moloney:
21. For all of these reasons, in view of this striking delay, I find myself coerced by fundamental constitutional (and, for that matter, ECHR) principles to set aside the order of Peart J. which renewed the summons. Any other conclusion would be manifestly at odds with the courts’ fundamental duty under Article 34.1 to ensure the timely administration of justice. Nor could the OCI be realistically expected to defend a case on the merits after a lapse of well nigh twenty years. In any event, no obvious “good reason” for renewing the summons under O. 8, r.1 has been advanced. The IASA motion 23. In these circumstances, I can move immediately to the third limb of the Primor test (Primor plc v. Stokes Kennedy Crowley [1996] 2 I.R. 459) and consider the balance of justice as between the parties. 24. The risk of injustice and prejudice to IASA is obvious. Quite apart from the inherent unfairness of being required to defend a case on the merits after the passage of a remarkably long period of time which was entirely caused by the inaction of the plaintiff, the affidavit of Ms. Sarah Keane sets out concisely the particular prejudice which IASA are likely to suffer as a result. Specifically, IASA has been re-structured during the intervening years and it is plain that the present members of the IASA Board knew nothing of this claim prior to the receipt of the plenary summons in December, 2009. 25. Further prejudice is likely to be caused by reason of the fact that IASA could not now realistically seek to join a potential third party, the Trojan Swimming Club, to the proceedings. Moreover, while many abuse claims arising from the sexual abuse of female swimmers were settled in 2008, IASA also reached a settlement at the same time with its insurers in respect of these claims. The consequence of this is that IASA has no insurance cover which would be available to meet a new claim of this kind. Quite obviously, IASA is prejudiced by reason of the fact that had it been aware of this existing claim in 2008 it might have been able to factor this issue into the settlement equation, but this opportunity has now vanished. 26. The plaintiff will naturally suffer prejudice if the summons is not renewed. Thus, if her substantive case is correct, she has been the victim of reprehensible conduct which cannot now be the subject of an adjudication by this court. Of course, it has been clear for some time that merely because the proceedings would otherwise be statute-barred cannot in itself be a ground for holding that a plaintiff has suffered such prejudice such that the third limb of the Primor test must be resolved in her favour. As Clarke J. said in Rogers v. Michelin Tyres plc [2005] IEHC 294:
28. One may therefore look at the question of prejudice in the following way. If the plaintiff was personally culpable for the delay (by, for example, not giving appropriate instructions to her solicitors), then she is not in a position to complain if the third limb of the Primor test is resolved against her. If, on the other hand, the fault is that of her legal advisers, then the fact that she is pursuing a professional negligence action against her former solicitors is a factor which, as both O’Domhnaill and Moloney make clear, I am entitled to take into account in assessing the question of prejudice. Thus, the fact that she may have an alternative remedy significantly mitigates the potential prejudice which she would otherwise suffer. 29. Whichever way one looks at the matter, it is plain that the prejudice which IASA will suffer significantly outweighs the prejudice which would be visited on the plaintiff by reason of a gross delay which - it must again be recalled - she has not explained. Conclusions
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