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You are here: BAILII >> Databases >> England and Wales High Court (Chancery Division) Decisions >> Hays Specialist Recruitment (Holdings) Ltd & Anor v Ions & Anor [2008] EWHC 745 (Ch) (16 April 2008) URL: http://www.bailii.org/ew/cases/EWHC/Ch/2008/745.html Cite as: [2008] EWHC 745 (Ch), [2008] IRLR 904 |
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CHANCERY DIVISION
Strand, London. WC2A 2LL |
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B e f o r e :
Between :
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1. Hays Specialist Recruitment (Holdings) Ltd 2. Hays Specialist Recruitment Ltd |
Claimants |
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-and- |
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1. Mark Ions 2. Exclusive Human Resources Ltd |
Defendants |
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Julian Wilson (instructed by Jonathan Stokes Solicitors) for the Defendants
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Crown Copyright ©
The Hon. Mr Justice David Richards:
"You must not, during the course of your employment or at any time thereafter, make use of, or disclose or divulge to any person, firm or company, any trade secrets, business methods or information which you know, or ought reasonably to have known to be of a confidential nature concerning the businesses, finances, dealings, transactions, client database or other affairs of the Company or the Group or of any person having dealings with the Company which may have come to your knowledge during the course of your employment unless it is necessary for the proper execution of your duties hereunder, and you shall use your best endeavours to prevent the publication or disclosure of any such information."
Clause 20 contained covenants against soliciting, canvassing, dealing with or accepting instructions from clients or applicants with whom he dealt or had contact during his employment, subject to certain restrictions. The covenants were binding during his employment and for a period of six months after its termination.
"Mark
Id like you to act on my behalf to find suitable interim or permanent HR/Training positions in the north east.
I am still registered with HAYS and another agency but I don't see any conflict of interest as I want as many people seeking work for me as possible.
Regards
Rob"
The exhibited reply has no date, but Ms Sullivan proceeds in her witness statement on the basis that it was sent while Mr Ions was still employed by Hays and that he has told Mr Grinter that he is setting up his own recruitment agency. The copy of Mr Grinter's e-mail exhibited by Mr Ions shows it as sent on 15 October 2007. Mr Ions states that it followed a telephone call to him on that day. On this evidence Hays can show no more than that on 18 May 2007 Mr Ions invited Mr Grinter to join his network with LinkedIn.
"The court may make an order under this rule only where-
(a) the Respondent is likely to be a party to subsequent proceedings;
(b) the Applicant is also likely to be a party to those proceedings;
(c) if proceedings had started the Respondent's duty by way of standard disclosure, set out in rule 31.16, would extend to the documents or classes of documents of which the Applicant seeks disclosure; and
(d) disclosure before proceedings have started is desirable in order to-
(i) dispose fairly of the anticipated proceedings;
(ii) assist the dispute to be resolved without proceedings; or
(iii) save costs."
"the court must be clear what the issues in the litigation are likely to be i.e. what case the claimant is likely to be making and what defence is likely to be being run so as to make sure the documents being asked for are ones which will adversely affect the case of one side or the other, or support the case of one side or the other." (Bermuda International Securities Ltd v KPMG [2001] Lloyd's Rep PN 392 at para 26 per Waller LJ)
Mr Wilson submitted that Hays' complaints lack the degree of clarity and identity of issues required before the test in 31.16(3) (c) can be satisfied. For the reasons given earlier in this judgment, I consider that Hays has demonstrated possible claims as regards uploading contact details on to Mr Ions' LinkedIn network and the subsequent use of those contact details in his competing business, and breach of the restrictive covenants at least as regards Avecia and GE Energy PII, with sufficient clarity to meet the requirements of this test.
"1. All LinkedIn "business contacts" referred to in the letter from Jonathan Stokes to Mishcon de Reya dated 31 August 2007.
2. All emails and/or other communications sent to or received by the Respondents' LinkedIn Account from the Applicants' computer network between 1 May 2007 to date.
3. All documents (including but not limited to timesheets, invoices, bank statements, emails, terms of business) evidencing the use made and business obtained by the Respondents from the "business contacts" referred to at paragraph 1 above.
4. The Respondents' database of client and candidate contacts for the period 18 May 2007 to date, together with all documents evidencing the source and use of the clients and candidates listed on the said database."
"LinkedIn "business contacts" - namely all details of persons who have been registered or otherwise recorded onto the Respondents' linked-in network between 1 May 2007 to date. This information is required to determine the extent of Mr Ions' transfer of confidential information and breach of covenant."
An order for the provision of information is not an order for the disclosure of documents. As it seems to me, paragraph 1 is outside CPR 31.16.
discretion. It will be satisfied if "there is a real prospect in principle" that disclosure would meet one or more of the objects set out in para (d): para 81 per Rix LJ.
"the concept of disclosure being ordered at other than the normal time is presented as something differing from the normal, at any rate where the parties at the pre-action stage have been acting reasonably."
Like David Steel J, I consider it academic whether this arises when deciding whether an order is desirable for the purposes of 31.16(3)(d) or when exercising the overall discretion under the rule.
"That discretion is not confined and will depend on all the facts of the case. Among the important considerations, however, as it seems to me, are the nature of the injury or loss complained of; the clarity and identification of the issues raised by the complaint; the nature of the documents requested; the relevance of any protocol or pre-action inquiries; and the opportunity which the complainant has to make his case without pre-action disclosure."
"In my judgment, the more focused the complaint and the more limited the disclosure sought in that connection, the easier it is for the court to exercise its discretion in favour of pre-action disclosure, even where the complaint might seem somewhat speculative or the request might be argued to constitute a mere fishing exercise. In appropriate circumstances, where the jurisdictional thresholds have been crossed, the court might be entitled to take the view that transparency was what the interests of justice and proportionality most required. The more diffuse the allegations, however, and the wider the disclosure sought, the more sceptical the court is entitled to be about the merit of the exercise."
The allegations here are not diffuse (contrast those in Black v Sumitomo Corporation) nor is the disclosure which I would contemplate wide. Nor do I think that such disclosure would be a fishing exercise or that the complaint against the respondent can be described as speculative.