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You are here: BAILII >> Databases >> England and Wales Court of Appeal (Criminal Division) Decisions >> Surrey Trading Standards, R (on the application of) v Scottish and Southern Energy Plc [2012] EWCA Crim 539 (16 March 2012) URL: http://www.bailii.org/ew/cases/EWCA/Crim/2012/539.html Cite as: [2012] WLR(D) 89, [2012] EWCA Crim 539 |
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ON APPEAL FROM GUILFORD CROWN COURT
(HIS HONOUR JUDGE CRITCHLOW DL)
Strand, London, WC2A 2LL |
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B e f o r e :
MR JUSTICE NICOL
and
HIS HONOUR JUDGE KRAMER QC
____________________
The Queen (Surrey Trading Standards) |
Respondent |
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- and - |
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Scottish and Southern Energy PLC |
Appellant |
____________________
Nicholas Haggan QC and Timothy Moores (instructed by Surrey Trading Standards) for the Respondent
Hearing date : 16 February 2012
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Crown Copyright ©
Lord Justice Davis :
Introduction
Background Facts
The 2008 Regulations
"2(1) In these Regulations —
….
"business" includes a trade, craft or profession;
….
"commercial practice" means any act, omission, course of conduct, representation or commercial communication (including advertising and marketing) by a trader, which is directly connected with the promotion, sale or supply of a product to or from consumers, whether occurring before, during or after a commercial transaction (if any) in relation to a product;
"consumer" means any individual who in relation to a commercial practice is acting for purposes which are outside his business;
….
"trader" means any person who in relation to a commercial practice is acting for purposes relating to his business, and anyone acting in the name of or on behalf of a trader;
"transactional decision" means any decision taken by a consumer, whether it is to act or to refrain from acting, concerning—
(a) whether, how and on what terms to purchase, make payment in whole or in part for, retain or dispose of a product; or
(b) whether, how and on what terms to exercise a contractual right in relation to a product.
….
(2) In determining the effect of a commercial practice on the average consumer where the practice reaches or is addressed to a consumer or consumers account shall be taken of the material characteristics of such an average consumer including his being reasonably well informed, reasonably observant and circumspect."
"5(1) A commercial practice is a misleading action if it satisfies the conditions in either paragraph (2) or paragraph (3).
(2) A commercial practice satisfies the conditions of this paragraph—
(a) if it contains false information and is therefore untruthful in relation to any of the matters in paragraph (4) or if it or its overall presentation in any way deceives or is likely to deceive the average consumer in relation to any of the matters in that paragraph, even if the information is factually correct; and
(b) it causes or is likely to cause the average consumer to take a transactional decision he would not have taken otherwise.
(3) A commercial practice satisfies the conditions of this paragraph if—
(a) it concerns any marketing of a product (including comparative advertising) which creates confusion with any products, trade marks, trade names or other distinguishing marks of a competitor; or
(b) it concerns any failure by a trader to comply with a commitment contained in a code of conduct which the trader has undertaken to comply with, if—
(i) the trader indicates in a commercial practice that he is bound by that code of conduct, and
(ii) the commitment is firm and capable of being verified and is not aspirational,
and it causes or is likely to cause the average consumer to take a transactional decision he would not have taken otherwise, taking account of its factual context and of all its features and circumstances.
…."
Regulation 9 is in these terms
"9. A trader is guilty of an offence if he engages in a commercial practice which is a misleading action under regulation 5 otherwise than by reason of the commercial practice satisfying the condition in regulation 5(3)(b)."
Regulation 16, which is in these terms, may also be noted:
"16(1) This regulation applies where a person "X"—
(a) commits an offence under regulation 9, 10, 11 or 12, or
(b) would have committed an offence under those regulations but for a defence under regulation 17 or 18,
and the commission of the offence, or of what would have been an offence but for X being able to rely on a defence under regulation 17 or 18, is due to the act or default of some other person "Y".
(2) Where this regulation applies Y is guilty of the offence, subject to regulations 17 and 18, whether or not Y is a trader and whether or not Y's act or default is a commercial practice.
(3) Y may be charged with and convicted of the offence by virtue of paragraph (2) whether or not proceedings are taken against X."
Regulation 17 provides for a "due diligence" defence - which in fact Mr Pollak invoked.
The Indictment
"Statement of Offence
MISLEADING COMMERCIAL PRACTICE contrary to regulation 9 of the Consumer Protection from Unfair Trading Regulations 2008, made under section 2(2) of the European Communities Act 1972.
Particulars of Offence
SCOTTISH & SOUTHERN ENERGY PLC being a trader, between the 30th day of September 2008 and 19th January 2009 did engage in a commercial practice which was a misleading action (by virtue of regulation 5(2) of the Consumer Protection from Unfair Trading Regulations 2008) in that its sales staff and agents were trained to deliver an "Energy Script" (version 4) for use in all doorstep sales to consumers which in its overall presentation, that is to say taken as a whole script and performance, deceived or was likely to deceive the average consumer in relation to:-
(a) the motives for the commercial practice in implying that the visit by the representative of Scottish and Southern Energy Plc was simply to explain about de-regulation and get the consumer crossed off a list and not bothered in this way again.
(b) The nature of the sales process by implying that the presentation was mostly about payment method and that all the consumer was committing to was getting a bill from a different office with a different logo, and applying for a discounted tariff rather than making clear they were signing a binding contract to switch energy supplier.
(c) The existence of a specific price advantage by implying that the representative was in possession of a printout of information about the consumer's current energy supply and tariff and that he could get the consumer on a lower tariff and save the consumer money,
and thereby caused or was likely to cause the average consumer to take a transactional decision he would not have taken otherwise."
Count 7 is identically worded, save that it relates to a different period (January 2009 to July 2009) and to version 5 of the Energy Script.
The Corporate Structure
1.4.1 Competent and prudent management
1.4.2 Sound planning
1.4.3 An adequate system of internal control
1.4.4 Compliance with statutory and regulatory obligations"
Paragraph 9 (titled "Regulatory") reserved:
"9.1. Approval of tariffs and other related matters as required by the appropriate legislation
9.2. Approval of the electricity distribution and transmission price control reviews proposed by Ofgem."
Paragraph 10 reserved to the Board approval of the Group's policies and standards.
The first ground of appeal
Ground 2
"In Counts 6 and 7 answer the following questions.
1. Was the PLC a trader?
If no return a NG verdict
2. If yes to Question 1
Did it engage in a commercial practice that was a misleading action as alleged in Count 6 (and/or as alleged in Count 7) in training the sales staff to deliver the Energy Script Version 4 (or Version 5 in Count 7)?
If no return a NG verdict
3. If yes to Question 1 and 2 was the overall presentation of the whole script and sales performance likely to deceive the average customer in relation to either a or b or c of the Particulars of the Offence?
You must all agree on any one of a, b, or c.
If no, return a NG verdict.
4. If yes to Questions 1, 2 and 3 was the script and performance likely to cause the average consumer to switch energy supplier?"
Ground 3
Ground 4
Ground 5
Conclusion