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You are here: BAILII >> Databases >> England and Wales High Court (Commercial Court) Decisions >> United States of America (USA) v Abacha & Ors [2014] EWHC 993 (Comm) (08 April 2014) URL: http://www.bailii.org/ew/cases/EWHC/Comm/2014/993.html Cite as: [2014] EWHC 993 (Comm) |
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QUEEN'S BENCH DIVISION
COMMERCIAL COURT
Fetter Lane London EC4 1NL |
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B e f o r e :
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United States of America |
Claimant |
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- and - |
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(1) Mohammed Sani Abacha (2) Abubakar Atiku Bagudu (31) Mecosta Securities, Inc (4) Ridley Group Limited (5) Blue Holding (1) Pte Limted (6) Blue Holding (2) Pte Limited (7) Standard Bank plc (8) HSBC Bank plc (9) HSBC Life (Europe) Limited (10) Waverton Investment Management Ltd (11) James Hambro & Partners LLP |
Defendants |
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Ian Wilson (instructed by Macfarlanes LLP) for the 7th Defendant
Alexia Knight (instructed by the legal department of HSBC) for the 8th and 9th Defendants
Henry Garfield of Baker & McKenzie LLP for the 10th Defendant
Aidan Casey (instructed by Mishcon de Reya) for the 11th Defendant
Hearing date: 28 March 2014
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Crown Copyright ©
Mr Justice Field:
Introduction
The Parties and the assets[1]
The earlier Noga, Ajaokuta and Security Votes Fraud proceedings
The regime for the enforcement of "external orders" under Part 5 of the Proceeds of Crime Act 2002 (External Requests and Orders) Order 2005 ("the 2005 Order")
Section 25 of the 1982 Act
Interim relief in England and Wales and Northern Ireland in the absence of substantive proceedings.
(1) The High Court in England and Wales or Northern Ireland shall have power to grant interim relief where—
(a) proceedings have been or are to be commenced in a Brussels or Lugano Contracting State or a Regulation State other than the United Kingdom or in a part of the United Kingdom other than that in which the High Court in question exercises jurisdiction; and
(b) they are or will be proceedings whose subject-matter is within the scope of the Regulation as determined by Article 1 of the Regulation (whether or not the Regulation has effect in relation to the proceedings).
(2) On an application for any interim relief under subsection (1) the court may refuse to grant that relief if, in the opinion of the court, the fact that the court has no jurisdiction apart from this section in relation to the subject-matter of the proceedings in question makes it inexpedient for the court to grant it.
(3) Her Majesty may by Order in Council extend the power to grant interim relief conferred by subsection (1) so as to make it exercisable in relation to proceedings of any of the following descriptions, namely—
(a) proceedings commenced or to be commenced otherwise than in a Brussels or Lugano Contracting State or Regulation State;
(b) proceedings whose subject-matter is not within the scope of the Regulation as determined by Article 1 of the Regulation;
(c). . . . . .
I recognise that an ancillary jurisdiction ought to be exercised with caution, and that care should be taken not to make orders which conflict with those of the court seised of the substantive proceedings… The principle which underlies article 24 is that each contracting state should be willing to assist the courts of another contracting state by providing such interim relief as would be available if its own courts were seised of the substantive proceedings: see Alltrans Inc v Interdom Holdings Ltd [1991] 4 All ER 458, 468 per Leggatt LJ. …
In other areas of law, such as cross-border insolvency, commercial necessity has encouraged national courts to provide assistance to each other without waiting for such co-operation to be sanctioned by international convention. International fraud requires a similar response. It is becoming widely accepted that comity between the courts of different countries requires mutual respect for the territorial integrity of each other's jurisdiction, but that this should not inhibit a court in one jurisdiction from rendering whatever assistance it properly can to a court in another in respect of assets located or persons resident within the territory of the former.
As the authorities show, there are five particular considerations which the court should bear in mind, when considering the question whether it is inexpedient to make an order. First, whether the making of the order will interfere with the management of the case in the primary court e.g. where the order is inconsistent with an order in the primary court or overlaps with it. That consideration does not arise in the present case. Second, whether it is the policy in the primary jurisdiction not itself to make worldwide freezing/disclosure orders. Third, whether there is a danger that the orders made will give rise to disharmony or confusion and/or risk of conflicting inconsistent or overlapping orders in other jurisdictions, in particular the courts of the state where the person enjoined resides or where the assets affected are located. If so, then respect for the territorial jurisdiction of that state should discourage the English court from using its unusually wide powers against a foreign defendant. Fourth, whether at the time the order is sought there is likely to be a potential conflict as to jurisdiction rendering it inappropriate and inexpedient to make a worldwide order. Fifth, whether, in a case where jurisdiction is resisted and disobedience to be expected, the court will be making an order which it cannot enforce.
The opposition to the continuation of the Freezing Injunction
Discussion and Decision
Consequential matters
Note 1 This part of the judgment draws on the skeleton argument of the Claimant put before Teare J which in turn is based on the evidence contained in the affidavits of Debra Lynn LaPrevotte, an FBI Supervisory Special Agent. [Back] Note 2 TSB Private Bank International SA v Chabra [1992] 1 WLR 231. See also The Mahakam [2012] 2 All ER (Comm) 513. [Back] Note 3 A new limitation period of 20 years was substituted by the Police and Crime Act 2009 with prospective, not retrospective effect. [Back] Note 4 “Subject to Rules 44 to 46, a court of a foreign country outside the United Kingdom has jurisdiction to give a judgment in personam capable of enforcement or recognition as against the person against whom it was given in the following cases: First Case – If the person against whom the judgment was given was, at the time of the proceedings were instituted, present in the foreign country. Second Case – If the person against whom the judgment was given was claimant, or counterclaimed, in the proceedings in the foreign court. Third Case – If the person against whom the judgment was given, submitted to the jurisdiction of that court by voluntarily appearing in the proceedings. Fourth Case - If the person against whom the judgment was given, had before the commencement of the proceedings agreed, in respect of the subject matter of the proceedings, to submit to the jurisdiction of that court or of the courts of that country.” [Back]