BAILII is celebrating 24 years of free online access to the law! Would you consider making a contribution?
No donation is too small. If every visitor before 31 December gives just £1, it will have a significant impact on BAILII's ability to continue providing free access to the law.
Thank you very much for your support!
[Home] [Databases] [World Law] [Multidatabase Search] [Help] [Feedback] | ||
England and Wales High Court (Commercial Court) Decisions |
||
You are here: BAILII >> Databases >> England and Wales High Court (Commercial Court) Decisions >> Otkritie Capital International Ltd & Anor v Threadneedle Asset Management Ltd & Anor [2015] EWHC 2329 (Comm) (07 August 2015) URL: http://www.bailii.org/ew/cases/EWHC/Comm/2015/2329.html Cite as: [2015] EWHC 2329 (Comm) |
[New search] [Printable RTF version] [Help]
QUEEN'S BENCH DIVISION
COMMERCIAL COURT
Rolls Building, Fetter Lane London EC4A 1NL |
||
B e f o r e :
____________________
(1) Otkritie Capital International Ltd (2) JSC Otkritie Holding |
Claimants |
|
- and - |
||
(1) Threadneedle Asset Management Limited (2) Threadneedle Management Services Limited |
Defendants |
____________________
Ali Malek QC and Michael Lazarus (instructed by Brown Rudnick LLP) for the Defendants
Hearing dates: 10 and 11 June 2015
____________________
Crown Copyright ©
Mr Justice Knowles :
Introduction
"… for the future, if a similar issue arises in complex commercial multi-party litigation, it must be referred to the court seized of the proceedings. It is plainly not only in the interest of the parties, but also in the public interest and in the interest of the efficient use of court resources that this is done. There can be no excuse for failure to do so in the future."
The 2011 Litigation and the 2014 Litigation
The application
The principles
"The[re] is [an] underlying public interest … that there should be finality in litigation and that a party should not be twice vexed in the same matter. This public interest is reinforced by the current emphasis on efficiency and economy in the conduct of litigation, in the interests of the parties and the public as a whole. The bringing of a claim or the raising of a defence in later proceedings may, without more, amount to abuse if the court is satisfied (the onus being on the party alleging abuse) that the claim or defence should have been raised in the earlier proceedings if it was to be raised at all. I would not accept that it is necessary, before abuse may be found, to identify any additional element such as a collateral attack on a previous decision or some dishonesty, but where those elements are present the later proceedings will be much more obviously abusive, and there will rarely be a finding of abuse unless the later proceeding involves what the court regards as unjust harassment of a party. It is, however, wrong to hold that because a matter could have been raised in earlier proceedings it should have been, so as to render the raising of it in later proceedings necessarily abusive. That is to adopt too dogmatic an approach to what should in my opinion be a broad, merits-based judgment which takes account of the public and private interests involved and also takes account of all the facts of the case, focusing attention on the crucial question whether, in all the circumstances, a party is misusing or abusing the process of the court by seeking to raise before it the issue which could have been raised before. As one cannot comprehensively list all possible forms of abuse, so one cannot formulate any hard and fast rule to determine whether, on given facts, abuse is to be found or not. … [I]t is in my view preferable to ask whether in all the circumstances a party's conduct is an abuse than to ask whether the conduct is an abuse and then, if it is, to ask whether the abuse is excused or justified by special circumstances. Properly applied, and whatever the legitimacy of its descent, the rule has in my view a valuable part to play in protecting the interests of justice."
"49. … (i) Where A has brought an action against B, a later action against B or C may be struck out where the second action is an abuse of process. (ii) A later action against B is much more likely to be held to be an abuse of process than a later action against C. (iii) The burden of establishing abuse of process is on B or C or as the case may be. (iv) It is wrong to hold that because a matter could have been raised in earlier proceedings it should have been, so as to render the raising of it in later proceedings necessarily abusive. (v) The question in every case is whether, applying a broad merits based approach, A's conduct is in all the circumstances an abuse of process. (vi) The court will rarely find that the later action is an abuse of process unless the later action involves unjust harassment or oppression of B or C.
50. Proposition (ii) above seems to me to be of importance because it is one thing to say that A should bring all his claims against B in one action, whereas it is quite another thing to say that he should bring all his claims against B and C (let alone against B, C, D, E, F and G) in one action. There may be many entirely legitimate reasons for a claimant deciding to bring an action against B first and, only later (and if necessary) against others.
51. Those reasons include, for example, the cost of proceeding against more than one defendant, especially where B is apparently solvent and the case against B seems stronger than against others. More defendants mean more lawyers, more time and more expense. This is especially so in large commercial disputes. It by no means follows that either the public interest in efficiency and economy in litigation or the interests of the parties, including in particular the interests of C, D and E, is or are best served by one action against them all.
52. It seems to me that the courts should be astute to ensure that it is only in a case where C can establish oppression or an abuse of process that a later action against C should be struck out. I could not help wondering whether the defendants in this case would have given their lawyers the same instructions on the question whether they should have been sued in the first action if they had been asked before that action began as they have given now that a later action has been begun.
53. It is clear from the speeches of both Lord Bingham and Lord Millett that all depends upon the circumstances of the particular case and that the court should adopt a broad merits based approach, but it is likely that the most important question in any case will be whether C, D, E or any other new defendant in a later action can persuade the court that the action against him is oppressive. It seems to me to be likely to be a rare case in which he will succeed in doing so."
"… However desirable it may be for a party to bring all his claims forward in one go, the abuse principle, as the judgments in the Stuart case … underline, does not bar a claim simply because someone fails to raise a claim when he could have done so. The facts must be such that the second action amounts to an abuse of process before it can be struck out.
The importance of the general principle that every person with an arguable claim should be able to pursue it in court is enshrined in article 6 of the Convention for the Protection of Human rights and Fundamental Freedoms. As Sir Anthony Clarke MR indicated in the Stuart case, at para 98, if the court is not satisfied that a claimant's attempt to raise his claim is actually abusive in the light of his previous failure to raise it, the claim cannot be barred from proceeding however desirable it might have been for the claimant to have raised it earlier."
Threadneedle's position on the significance, as a matter of principle, of breach of the Aldi requirement
Abuse of process and breach of the Aldi requirement
The Claimants' conduct and the Aldi requirement
Abuse of process: a "broad merits-based judgment"
(1) The Claimants plainly could have raised the issue they now seek to raise (the alleged liability of Threadneedle) long before they did, and at least by 1 March 2012.
(2) The Aldi requirement plainly applied. The Claimants were required to raise with the Commercial Court, and as part of the case management of the 2011 Litigation, the question of when and how the issue of the alleged liability of Threadneedle should be determined. They failed to do so.
(3) The present case does not involve a collateral attack by the Claimants on a previous decision, or some dishonesty by the Claimants, for example towards the court or Threadneedle. Had such "additional elements" been present they would have been important in the present assessment. At the same time, their presence is not necessary before abuse may be found. This is clear from Johnson v Gore-Wood (at p31C).
(4) Mr Malek QC and Mr Lazarus realistically accepted that "some prejudice to [Threadneedle] or to other court users is probably required to constitute [the 2014 Litigation] an abuse of the process in the light of [the Claimants'] failure to notify the court".
(5) They submitted that this prejudice "need not be substantial and does not have to amount to oppression". I accept, on the authorities, that the presence of unjust harassment or oppression is not necessary before abuse may be found, however "there will rarely be a finding of abuse unless the later proceeding involves" unjust harassment (Lord Bingham in Johnson v Gore-Wood at p31C) or oppression (Clarke LJ in Dexter at [49]).
(6) The present case does not involve unjust harassment (Lord Bingham in Johnson v Gore-Wood at p31C) or oppression (Clarke LJ in Dexter at [49] and [52]) of a party, in any sense additional to the failure to comply with the Aldi requirement acknowledged at (2) above.
(7) Compliance with the Aldi requirement is however a matter of public interest. It also goes to the interests of other litigants, including Threadneedle, and to the interests of other court users with claims waiting for determination by the courts.
(8) The conduct of the Claimants deprived the court of an opportunity to weigh "[t]he underlying public interest … that there should be finality in litigation" and to look closely at the "efficiency and economy in the conduct of litigation, in the interests of the parties and the public as a whole" (Johnson v Gore-Wood at p31B).
(9) The underlying fraud for which the Claimants seek to make Threadneedle liable has now been the subject of detailed findings by Eder J on the basis of evidence that has not all been provided to Threadneedle (although some has) and following a long trial in which Threadneedle did not participate (although it did observe).
(10) On at least one important factual issue, concerning a meeting on 18 March 2011, Threadneedle would seek to persuade a judge to reach a different conclusion from Eder J (the Claimants have confirmed that they are able to and will tender Mr Gersamia for cross examination at a trial of the 2014 Litigation). There may be more such issues in time, as well as reopened questions of credibility of the Claimants' witnesses. The risk of different findings in two related pieces of litigation is not academic. That is however a risk that in some cases has to be taken, to make litigation manageable.
(11) In my judgment, had the Claimants complied with the Aldi requirement it is likely, but not certain, that the court in the 2011 Litigation would, as a matter of case management, have been persuaded to allow the Claimants to have their choice, which was to conduct two sets of proceedings. This is because the court was concerned to get on with the 2011 Litigation, and there were legitimate and objective reasons for bringing an action against Mr Gersamia and others first and, only later (and if successful against Mr Gersamia) against Threadneedle.
(12) These reasons included the fact that adding Threadneedle would bring in two substantial parties and their legal team, to little purpose if Mr Gersamia was not found liable in the event. In addition the Claimants would, it appears, have had to change their legal team, a team that had spent substantial time and acquired substantial knowledge of the proceedings.
(13) Of course there were reasons going the other way too, as Mr Malek QC submitted. These included the fact that the 2011 Litigation was at a (reasonably) early stage (in March 2012), that the addition would (or might) not substantially lengthen the proceedings, and that the large sums claimed would suggest that suing Threadneedle would be necessary if full recovery was to be achieved (and if Mr Gersamia was found to be liable as alleged).
(14) I do not believe these latter reasons would have been enough to cause the court to insist that the 2011 Litigation be expanded by the addition of Threadneedle. Clarke LJ brought out the point in Dexter that legitimate reasons may exist "for a claimant deciding to bring an action against B first and, only later (and if necessary) against others"; see also Thomas LJ in Aldi at [25]. Contribution proceedings are another example of circumstances where a second piece of litigation will sometimes await the outcome of the first.
(15) Moreover it is Threadneedle's case that had it been joined in the 2011 Litigation it would have wished to make claims in those proceedings for contribution (on the basis of fraud and negligence) against seven employees of the Claimants' group and (on the basis of vicarious liability) against three companies from the Claimants' group. Whilst these contribution claims would be against those who were already defendants, their effect would still have been further to increase the size and complexity of the 2011 Litigation. And among other things the contribution proceedings would have brought back into the 2011 Litigation an employee with whom the Claimants had reached a settlement and an employee against whom the Claimants had obtained judgment in default. These considerations would likely have tended against the court's expanding the 2011 Litigation by the addition of Threadneedle.
(16) It is not as if the case against Threadneedle is one that follows straightforwardly from a finding against its employee. Mr Malek QC and Mr Lazarus describe matters as follows in their written submissions: "It is … a remarkable feature of this case that [the Claimants] seek[] to make Threadneedle liable for the whole of its unrecovered losses because Threadneedle's employee participated in the first stage of a two stage fraud in which the primary participants were five [Claimants' group] employees and where the unconsummated second stage would have resulted in Threadneedle's becoming (at least) a significant victim of the fraud." This is, understandably, a feature that Threadneedle emphasises as regards the merits of the litigation as a whole. However for the purposes of the present application the feature shows that to add Threadneedle into the 2011 Litigation would be to make a substantial addition.
(17) The legal teams on the present application take opposite views on whether there is a "normal practice" about suing employee and employer together or separately, and if separately in what sequence, where vicarious liability is involved, and if so what that normal practice is. Threadneedle contends "that it would be extraordinary if claimants could generally pursue claims against an employee to judgment in one action and, if successful, pursue a second action against an employer on the basis of vicarious liability. This type of case cries out for determination in a single set of proceedings." The Claimants contend that "where it is alleged that D1 is vicariously liable for the wrongdoing of D2, a rational approach is to sue D2 before suing D1". In my view, the position depends on the case. I would often be with Threadneedle's position in a straightforward case. But this is not a straightforward case. And the very argument over "normal practice" between the Claimants and Threadneedle is one of the reasons why compliance with the Aldi requirement is important. Argument about "normal practice" in a simple vicarious liability context (with a claimant, an employee and an employer) does not take things very far in the present case, which involves more. Lloyd J (as he then was) sitting at first instance in Dexter showed ([2002] EWHC Ch 1561 at [18]) that there are circumstances it which "it could have been rational" to hold back from suing someone liable only on a secondary basis (such as vicarious liability) until after proceedings had been taken against someone "more obviously liable", and there are other circumstances in which "it would be natural" to join both as parties to the same proceedings.
(18) In fairness to the Claimants, it is also appropriate to note that the nature of the present case is such that, notwithstanding the failure of the Claimants to comply with the Aldi requirement, the possibility that the Claimants intended to sue Threadneedle if the Claimants succeeded in the 2011 Litigation must have been in the mind of Threadneedle too, and indeed the court itself.
(19) I am asked by Threadneedle to accept evidence on its behalf that Threadneedle's board would have been advised to consent to being joined to the 2011 Litigation, and that Threadneedle would have sought directions from the court to avoid the situation in which the Claimants' claim against Threadneedle would be resolved in separate proceedings. I can accept that the advice would have been given, but not, on the balance of probabilities, that it would have been taken. Threadneedle regards the case against it as "very thin", and with that would come the consideration that the Claimants might not in the event bring a claim after the 2011 Litigation. Threadneedle did not take the initiative to ask to be joined, and that is understandable; but the same reluctance to be involved in litigation of considerable scale, and with reputational implications, would likely have influenced it against giving the consent it would have been advised to give. Its appetite to consent would also no doubt have been reduced if, as I consider likely, the court would not have been prepared to allow Threadneedle to expand the 2011 Litigation to include the contribution claims that Threadneedle would wish to make.
(20) It is nonetheless objectionable that the Claimants did not take the steps that it was their duty to take, and which are spelt out by the Aldi requirement, to cause Threadneedle to be heard on this at the appropriate time, and to enable the court to have a full perspective on case management at the appropriate time.
Conclusion
The Aldi requirement and a defendant
Postscript