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You are here: BAILII >> Databases >> England and Wales High Court (Commercial Court) Decisions >> Pineway Ltd v London Mining Plc [2010] EWHC 1143 (Comm) (20 May 2010) URL: http://www.bailii.org/ew/cases/EWHC/Comm/2010/1143.html Cite as: [2010] EWHC 1143 (Comm) |
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QUEEN'S BENCH DIVISION
COMMERCIAL COURT
Strand, London, WC2A 2LL |
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B e f o r e :
____________________
PINEWAY LIMITED |
Applicant |
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- and – LONDON MINING COMPANY LIMITED - and - |
First Respondent |
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LONDON MINING PLC |
Second Respondent |
____________________
(instructed by THE KHAN PARTNERSHIP) for the Applicant
MISS SARAH HARMAN
(instructed by MEMERY CRYSTAL SOLICITORS) for the Respondent
Hearing date: 30th April 2010
____________________
Crown Copyright ©
MR JUSTICE DAVID STEEL :
i) US$3.5 million on or before 15 November 2006.
ii) US$1.4 million on or before 31 December 2007.
iii) US$2.9 million on or before 31 July 2009.
i) London Mining to pay Tecsbaco US$700,000 by 23 May 2008.
ii) A further sum of US$700,000 within 14 days of the conditions of the Deed of Assignment being satisfied.
iii) (Without prejudice to the conditions in the Deed) the provision in regard to the third instalment (US$2.9 million) to remain in full force and effect.
iv) That the agreement constituted full and final settlement in respect of any claims which Tecsbaco might have against London Mining in regard to the first two instalments.
No payment was made of either the second $700,000 or $2.9 million tranches by London Mining.
"28. The applicant contends that it has a cause of action against the respondent on the basis of a failure by the respondents to fulfil a contractual condition to use "all reasonable commercial endeavours" to procure the licences as set in Clause 5.4 of the Deed of Assignment which would have obligated the first and second defendants to make payments of US$700,000 and US$2.9 million respectively.
29. By virtue of their contractual obligation to use "all reasonable commercial endeavours" to ensure that the licences are obtained, before the applicant can reasonably assess whether this contractual obligation has been satisfied it needs disclosure of the relevant documentation.
30. In the absence of clear evidence to the contrary it is the applicant's contention that either the licence has been obtained and the first and second respondents have failed to make the payments due. Alternatively that the licences have not been obtained as a result of the failure by the first and second respondents to use "all reasonable commercial endeavours" to obtain them and therefore the applicant should be entitled to damages from them as a consequence of the breach of their contractual obligation."
"60.1 The documents sought by way of this application would evidence what steps the applicants have taken to obtain the licences and hence would allow the applicant to make a reasoned assessment of whether they are in breach of their contractual obligation to use "all reasonable commercial endeavours" to obtain the relevant licences. Currently the applicant has no idea from the respondents as to the nature or substance of the steps taken by them and the applicant has not been able to assess whether it has a claim against the respondents for breach of the agreement…"
"1. All written and email communications between the First/Second Respondents/their agents or otherwise and the persons/government departments and or their agents or otherwise that can grant the licences referred to in Clause 5.2 of the Deed of Assignment;
2. All notes that exist of any meetings and telephone conversations (including the date and times of such meetings and telephone conversations) between the First/Second Respondents their agents or otherwise and the persons/government departments and or their agents or otherwise that can grant the licences referred to in Clause 5.2 of the Deed of Assignment;
3. All documentation that evidences the steps taken by the First and Second Respondents to comply with their obligation under Clause 5.2 of the Deed of Assignment to "use all reasonable commercial endeavours""
"4. The Memorandum of Understanding between First/Second Respondent entered into on 27 August 2007;
5. The surveys and studies that the First and Second Respondents conducted in relation to the port facilities, locomotives and rolling stock and Pepel;
6. Documents evidencing the expenditure the First and Second Respondents claim to have incurred as a result of work undertake at paragraph 5. above and documents evidencing of the "obligations to the Government" as stated in the letter of 4 September 2009;
7. Correspondence between London Mining and the Government of Sierra Leone in respect of the 'feasiblility study' referred to in the letter from the Second Respondent's solicitors dated 4 September 2009. Copies of correspondence with African Minerals limited ancillary to this correspondence;
8. A copy of the completed feasibility study (August 2008) and copy of the recommendation that London Mining refurbish and operate the port and railway.
9. Any correspondence to and from the Government of Sierra Leone in respect of the subsequent agreement to award the exclusive right of the use of the railway and port facilities to African Minerals."
a) The tone of correspondence emanating from the applicant's solicitors had been unduly, if not wildly, aggressive.
b) The applicants failed to make any realistic attempt to grapple with the legitimate queries that the respondents were raising.
c) The initial statements furnished by the applicants were prolix and discursive.
d) The applicant's conduct was in flagrant disregard to the Commercial Court Guide.
"3) 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 31.6 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."
"Courts should be hesitant in the context of an application for pre-action disclosure about embarking upon any determination of substantive issues in the case. In our view it will normally be sufficient to found an application under CPR rule 31.16(3) for the substantive claim pursued in the proceedings to be properly arguable and to have a real prospect of success and it will normally be appropriate to approach the conditions in CPR 31.16(3) on that basis:"
i) the fact that with legal assistance two assignments were prepared as part of an "overarching" agreement yet were signed on different days and witnessed by different people all in different jurisdictions;
ii) the fact that the second assignment was only produced three months after the first and two months after the complaint that the initial assignment was champertous;
iii) the fact that neither assignment was consistent with the letter before action.
"We've been contacted by Pineway Limited who has told us that your lawyers raised objections to the Deeds of Assignment that we entered into with Pineway in December 2008. We simply wish to confirm that in December 2008 we entered into two assignments with Pineway to assign our rights to conduct litigation against you, and also our commercial rights under the Deed of Assignment dated 15 September 2006. We hope that this now puts an end to the argument ".
"It was also agreed there should be at least three signatories who should sign on behalf of the company in any international negotiations. In the instance when negotiations done outside of Sierra Leone the person negotiating on behalf of the company should have a Power of Attorney from the Board signed by the two or all three of the authorised signatories. The three people to sign on behalf of the company are the Board Chairman, the secretary and one director".
"Upon perusal of the referred discountenanced Deed, our clients attention has been drawn to signature thereon suggested to be that of one Mrs. Admira Brown. For your edification and records our clients had an agreement with one Admira Brown dated 24 January 2005. Mrs. Admira Brown's nomenclature in that agreement is expressly stated. Although Mrs. Admira Brown is a director of our client's company she has never been authorised by the same to initiate or enter into contracts with any third parties, more so the nature claimed by Pineway. Any Board resolution purportedly signed by Mrs. Admira Brown on behalf of our clients is similarly nugatory".
"76. In general, however, it should in my judgment be remembered that the extent of standard disclosure can not easily be discerned without clarity as to the issues which would arise once pleadings in the prospective litigation had been formulated. This court touched on the question in Bermuda v. KPMG when Waller LJ there said (at para 26) that –
"The circumstances spelt out by the rule show that it will "only" be ordered where the court can say that the documents asked for will be documents that will have to be produced at the standard disclosure stage. It follows from that, that 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.
77. It also seems to me to follow that if there would be considerable doubt as to whether the disclosure stage would ever be reached, that is a matter which the court can and should take into account as a matter of its discretion."
"83. It is plain not only that the test of "desirable" is one that easily merges into an exercise of discretion, but that the test of "dispose fairly" does so too. In the circumstances, it seems to me that it is necessary not to confuse the jurisdictional and the discretionary aspects of the sub-rule as a whole. In Bermuda v. KPMG Waller LJ contemplated (at para 26) that sub-rule (d) may involve a two-stage process. I think that is correct. In my judgment, for jurisdictional purposes the court is only permitted to consider the granting of pre-action disclosure where there is a real prospect in principle of such an order being fair to the parties if litigation is commenced, or of assisting the parties to avoid litigation, or of saving costs in any event. If there is such a real prospect, then the court should go on to consider the question of discretion, which has to be considered on all the facts and not merely in principle but in detail.
84. Of course, since the questions of principle and of detail can merge into one another, it is not easy to keep the two stages of the process separate. Nor is it perhaps vital to do so, provided however that the court is aware of the need for both stages to be carried out. The danger, however, is that a court may be misled by the ease with which the jurisdictional threshold can be passed into thinking that it has thereby decided the question of discretion, when in truth it has not. This is a real danger because first, in very many if not most cases it will be possible to make a case for achieving one or other of the three purposes, and secondly, each of the three possibilities is in itself inherently desirable.
85. The point can be illustrated in a number of ways. For instance, suppose the jurisdictional test is met by the prospect that costs will be saved. That may well happen whenever there are reasonable hopes either that litigation can be avoided or that pre-action disclosure will assist in avoiding the need for pleadings to be amended after disclosure in the ordinary way. That alternative will occur in a very large number of cases. However, the crossing of the jurisdictional threshold on that basis tells you practically nothing about the broader and more particular discretionary aspects of the individual case or the ultimate exercise of discretion. For that, you need to know much more: if the case is a personal injury claim and the request is for medical records, it is easy to conclude that pre-action disclosure ought to be made; but if the action is a speculative commercial action and the disclosure sought is broad, a fortiori if it is ill-defined, it might be much harder."