[Home] [Databases] [World Law] [Multidatabase Search] [Help] [Feedback] | ||
England and Wales High Court (Chancery Division) Decisions |
||
You are here: BAILII >> Databases >> England and Wales High Court (Chancery Division) Decisions >> Brake & Ors v Swift & Ors [2020] EWHC 1071 (Ch) (04 May 2020) URL: http://www.bailii.org/ew/cases/EWHC/Ch/2020/1071.html Cite as: [2020] EWHC 1071 (Ch) |
[New search] [Printable PDF version] [Help]
BUSINESS AND PROPERTY COURTS IN BRISTOL
INSOLVENCY AND COMPANIES LIST (ChD)
2 Redcliff Street, Bristol, BS1 6GR |
||
B e f o r e :
(sitting as a Judge of the High Court)
____________________
(1) NIHAL MOHAMMED KAMAL BRAKE (2) ANDREW YOUNG BRAKE (as trustees of the Brake Family Settlement) (3) NIHAL MOHAMMED KAMAL BRAKE ANDREW YOUNG BRAKE |
Applicants |
|
- and - |
||
(1) DUNCAN KENRIC SWIFT (as trustee of the estates of Nihal Brake and Andrew Brake) (2) THE CHEDINGTON COURT ESTATE LIMITED |
Respondents |
____________________
Andrew Sutcliffe QC and William Day (instructed by Stewarts Law LLP) for the Second Respondent
The First Respondent was not present or represented
Hearing date: 1 May 2020
____________________
Crown Copyright ©
Covid-19 Protocol: This judgment was handed down by the judge remotely by circulation to the parties' representatives by email and release to Bailii on the date shown at 11:10 am.
HHJ Paul Matthews :
"37. On the merits of the application, Mr Day [counsel for Chedington] deals with each of the three grounds put forward by the Brakes (in summary) as follows. First, whether Chedington has a legitimate interest in the section 283A issue is a question which cannot be dealt with summarily in the way desired by the Brakes. It must be tried, and therefore the May trial (at which it will be dealt with) should not be stayed. Second, the Brakes assume both that their appeal will succeed and that then their summary judgment application will also succeed. But this is not self-evident, not even after reading the Brakes' skeleton arguments. Chedington unsurprisingly disputes the Brakes' analysis. Third, the prediction (if it be correct) that a party will appeal a decision that goes against it is not a good reason to adjourn the hearing of that issue before the decision can be made.
38. On each of these three points, I think Chedington is right. Having re-read the Chedington skeleton dealing with the matter, I consider that the question whether Chedington has a legitimate interest in the section 283A issue is a matter of some importance, which cannot be dealt with by a brief side-wind (and especially not just on the papers) on the way to deciding to stay or adjourn the determination of that issue. It needs a full trial."
1. The second respondent was joined as a party to the Bankruptcy Application by order of Mr Jarvis QC in April 2019, by consent. No condition was imposed upon such joinder that the second respondent should go on to prove its title at trial. If there had been an opposed application under CPR rule 19.2(2), the second respondent would still have been joined, because it claimed to be a successor in title to the first respondent: see Hunt v Conwy County Borough Council [2015] EWHC 3072 (Ch), [27], [38] (discussed further below). It is enough that it makes that claim, and it does not have to go on to prove it at the trial.
2. The 'legitimate interest' test established by the case law, represented by cases such as Deloitte & Touche AG v Johnson [1999] 1 WLR 1605, PC, Re Edennote Ltd [1996] BCC 718, CA, and Mahomed v Morris [2001] BCC 233, CA, only applies to applicants in insolvency proceedings, and not to respondents. Re Loquitor [2002] EWHC 430 (Ch) relied on by the applicants, is not an exception to this, because it was the respondents to the main insolvency application who were making ordinary applications in those proceedings, and it was their standing as such applicants that was being challenged.
3. In any event, the second respondent is directly affected by the relief sought, as was the landlord in Re Hans Place Ltd [1992] BCC 737, where a liquidator disclaimed an onerous lease, which meant that the landlord ceased to be, or could not be, a creditor in the liquidation and, therefore, his financial interests in the liquidation were affected. The second respondent would be directly affected by the revesting of the cottage and the strip in the applicants, because it claims to have acquired such interests as the first respondent had in them, but the applicants claim that they have a prior right to the revesting of such assets in them.
4. There is no authority in law for the applicants' submission that the test for standing for the second respondent is whether it is a bona fide purchaser for value without notice. In any event, this cannot apply now that the applicants' case in impugning the transactions in January 2019 concerning the cottage and the strip has been struck out.
5. It would be an abuse of process for the applicants to object to the second respondent's participation in the section 283A proceedings. This is because any such objection should have been taken at the time of joinder on 10 April 2019. It is also because to bring this issue into the trial of the section 283A issue would be a collateral attack on the decisions which I made on 2 and 3 March 2020. The complaints about the actions of the liquidators of the partnership and the first respondent in selling the cottage to the second respondent in January 2019 were struck out at that hearing, and they should not be allowed to be made again in relation to the section 283A issue.
1. The position of the Attorney General in the Hunt case was very important. Once the Attorney General ceased to have an interest, he could no longer be a party. Joinder is not the end of the story. The applicants had no real choice but to consent to the joinder of the second respondent in April 2019, as the second respondent wanted to run a case on having an interest. Now the second respondent wanted to have its cake and eat it, by being a party but not having to prove its case.
2. If there is a test to be applied, then it should be "directly affected". But it begs the question, what is "directly affected"? It must refer to the second respondent's rights. But the second respondent has to establish them.
3. The second respondent is not directly affected. There is no analogy with Re Hans Place Ltd.
4. The second respondent needs to show that it has title to the properties.
5. If the second respondent were to say that it was no longer asserting an interest in the assets, the applicants would apply to strike out the second respondent as a party. So, as they have not said that, so the applicants have not applied to strike them out.
"It appears to me that it would be extending litigation beyond all possible limits if every person who may have a right with respect to property which belongs to a company could come here and say that the winding-up will interfere with his rights…
In the meantime, the winding-up order, according to my view of the law, does not in the slightest degree derogate from any right whatever which a third person, a stranger, has in respect of the property; therefore, the winding-up order is not an order which affects the Appellant, and I am bound to refuse the Petition of Appeal on this ground."
It was clear that the winding-up order made in that case did not abolish, reduce or otherwise affect the statutory rights of passage claimed by the appellant. Hence James LJ referred to the order made as one which did not affect the appellant. So it is important to look at the particular relief claimed by applicants in insolvency proceedings such as the Bankruptcy Application, to see whether rights (or claimed rights) of third parties are derogated from or otherwise affected.
"37. Mr Hunt's submissions on this application fail for multiple reasons. First, his analysis of the position as to title is wrong. Mr Hunt was correctly registered as proprietor of the pier following his purchase of it. When he became the subject of a bankruptcy order and a trustee was appointed, the freehold title to the pier vested in the trustee under section 306 of the 1986 Act and Mr Hunt ceased to be the owner of the pier. There was an effective disposition, by operation of law, in favour of the trustee even though the trustee did not apply to be registered as the proprietor: see the Land Registration Act 2002, section 27(5)(a). [ … ] If I hold that the freehold in the pier, registered under WA727155, was effectively disclaimed by the trustee, then that title came to an end and the Land Registry will close the registered title. As explained earlier, the Crown has created a new freehold title which was transferred to Conwy. I understand that Conwy has applied to be registered in relation to that new freehold title but the Land Registry has not yet completed that registration in view of an objection from Mr Hunt. Accordingly, the question as to the ownership of the pier will be answered by the determination of the various disputes between Mr Hunt and Conwy. The answer all depends on the outcome of this litigation. [ … ]
38. Conwy is the obvious respondent both to Mr Hunt's appeal and to his application for a vesting order. It was correctly joined as a respondent to the appeal under CPR r. 19.2(2). There was no appeal against the order joining Conwy. Indeed, there were no possible grounds for such an appeal. Further, there has not been a change of circumstances which would arguably allow me to vary or revoke, pursuant to CPR r. 3.1(7), the order for joinder made on 20 January 2015. Mr Hunt's application of 9 October 2015 is hopeless, totally without merit and will be dismissed. I add that Mr Hunt has raised a similar point on previous occasions and his point has previously been rejected. His attempt to raise it again was an abuse of process.
39. Apart from all of the above, Mr Hunt's attempt to remove Conwy as a respondent to the appeal would be pointless. The result would be that Conwy would not be bound by the result of the appeal as it would not have been a party to the appeal."
"41. … The approach is pragmatic. It is not a matter of jurisdiction. It is a matter of discretion. The deployment of negative declarations should be scrutinised and their use rejected where it would serve no useful purpose. However where a negative declaration would help to ensure that the aims of justice are achieved the courts should not be reluctant to grant such declarations. They can and do assist in achieving justice. For example where a patient is not in a position to consent to medical treatment declarations have an important role to play."