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You are here: BAILII >> Databases >> England and Wales High Court (Commercial Court) Decisions >> Kazakhstan & Anor v The Bank of New York Mellon SA/NV, London Branch & Ors [2018] EWHC 3282 (Comm) (04 December 2018) URL: http://www.bailii.org/ew/cases/EWHC/Comm/2018/3282.html Cite as: [2018] EWHC 3282 (Comm) |
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BUSINESS AND PROPERTY COURTS OF ENGLAND AND WALES
QUEEN'S BENCH DIVISION
FINANCIAL LIST
COMMERCIAL COURT
Rolls Building, 7 Rolls Buildings Fetter Lane, London EC4A 1NL |
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B e f o r e :
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(1) National Bank of Kazakhstan (2) The Republic of Kazakhstan |
Claimants |
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- and - |
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The Bank of New York Mellon SA/NV, London Branch Anatolie Stati Gabriel Stati Ascom Group SA Terra Raf Trans Traiding Limited |
Defendants |
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Tom Sprange QC, Ben Williams and Kabir Bhalla (instructed by King & Spalding LLP) for the Second to Fifth Defendants
Hearing date: 15 November 2018
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Crown Copyright ©
Mr. Justice Teare:
INTRODUCTION
BACKGROUND
The underlying arbitral proceedings
Enforcement proceedings in England
Enforcement proceedings in Belgium
"Although (legal predecessors of) BNYM entered into a Global Custody Agreement dated 24 December 2001 ("Global Custody Agreement") with the National Bank of Kazakhstan (the "NBK") which is a 'state entity' of the Republic of Kazakhstan […], as counterparty, the Bank cannot fully exclude that the Republic of Kazakhstan (including the National Fund) has or will have claims on BNYM or that BNYM holds assets of or for the Republic of Kazakhstan (including the National Fund) which are the subject of the garnishment in view of its contractual relationship with the NBK and uncertainties of the legal relationship existing between the latter and the Republic of Kazakhstan.
Pursuant to the Global Custody Agreement BNYM holds "certain securities of the National Fund and Cash on behalf of the [NBK] as Custodian and banker respectively".
In addition, it is BNYM's current understanding that, under Kazakh law, the NBK is not capable of owning any assets which are not owned by the Republic of Kazakhstan, although NBK has the power to possess, use and dispose of assets of the National Fund pursuant to an agreement between the NBK and the Republic of Kazakhstan with the government as beneficiary. BNYM has been informed that this is the case even though the NBK, pursuant to Kazakh law, has separate legal personality towards third parties, has legal standing in courts and can hold and possess assets and liabilities that are separate from the Republic of Kazakhstan. […] ."
Part 8 proceedings in England
Further proceedings in Belgium
"3.1.4. Lack of legal relationship with the garnishee
Kazakhstan asserts that there exists no legal relationship between itself and the garnishee and that the garnishee also does not have a restitution obligation towards itself. […]
The argument that is raised by Kazakhstan is about the subject-matter and the consequences of the attachment. Kazakhstan's contention is actually that the garnishment could not have any subject-matter, and that the garnishee still wrongly froze the accounts.
The fact that the garnishee [BNYM(L)] is not the debtor of the seized-debtor [RoK] is not a ground for the withdrawal of the authorisation order nor for the lifting of the garnishment that has been authorised. The absence of a debt from the garnishee towards the seized-debtor only leads to the conclusion that the garnishment has no subject-matter.
In the current case the attachment judge can only consider that the garnishment that has been authorised does indeed have a subject-matter. The subject-matter of the garnishment follows in fact from the declaration of the garnishee. […]
The seized-debtor is entitled to challenge the declaration from the garnishee before the attachment judge. However, this challenge relates to the debt of the third party and must be referred to the trial court in the proceedings on the merits, under article 1456, 2nd para. BJC.
The competent trial court is, as stated by Kazakhstan itself, the English court who must apply its own national substantive law. […].
3.3 The Arguments by BNYM
The garnishee BNYM is seeking to obtain a declaration that as a matter of law it has properly executed the garnishment order and that it is discharged towards the NBK and Kazakhstan.
Both requests relate to the subject-matter of the attachment, notably whether or not a debt exists from BNYM towards Kazakhstan. Kazakhstan disputes the existence of such debt. The attachment judge cannot and may not settle such dispute, but only the judge on the merits. The judge on the merits is, as already mentioned above, the English court who must apply its own national law."
"If the third-party debtor disputes the debt claimed by the creditor, the case is brought before the competent trial judge or, as the case may be, the case is referred to the competent trial judge by the enforcement court."
The present proceedings
"a. The contracting parties to the GCA are BNYM London and NBK (and not Kazakhstan).
b. The obligations owed by BNYM London under the GCA are owed solely to NBK (and not Kazakhstan).
c. BNYM London has no obligation to pay any debt due under the GCA to Kazakhstan.
d. BNYM London has no obligation to transfer any security, or any interest in any security, held under the GCA to Kazakhstan.
e. The BNYM Declaration:
i. was materially inaccurate as to its description of the relationship between Kazakhstan and BNYM London; and
ii. ought to have stated in terms that BNYM London was not indebted towards and held no assets of Kazakhstan capable of forming a valid subject-matter under the Garnishment Order."
JURISDICTION: SECOND TO FOURTH DEFENDANTS
Serious issue to be tried
The scope of the declarations being sought
The "referral" question
"The seized-debtor is entitled to challenge the declaration from the garnishee before the attachment judge. However, this challenge relates to the debt of the third party and must be referred to that trial court in the proceedings on the merits, under article 1456, 2nd para. BJC.
The competent trial court is, as stated by Kazakhstan itself, the English court who must apply its own national substantive law.
[…]
Both requests relate to the subject-matter of the attachment, notably whether or not a debt exists from BNYM towards Kazakhstan. Kazakhstan disputes the existence of such debt. The attachment judge cannot and may not settle such dispute, but only the judge on the merits. The judge on the merits is, as already mentioned above, the English court who must apply its own national law."
"In the current case the attachment judge can only consider that the garnishment that has been authorised does indeed have a subject-matter. The subject-matter of the garnishment follows in fact from the declaration of the garnishee. […]
The seized-debtor is entitled to challenge the declaration from the garnishee before the attachment judge…"
Res judicata / abuse of process
"(1) The assets of the National Fund are held by BNYM subject to the terms of the GCA, which are governed by English law.
(2) The situs of the cash and securities held under the GCA is England.
(3) The debt and trust obligations owed under the GCA are governed by English law. All questions as to the performance and discharge of those obligations are to be determined by English law.
(4) England (and not Belgium or the Netherlands) is the place of performance of the debt and trust obligations under the GCA.
(5) No attachment or garnishment or charging order (or any other order to the like effect) in respect of the debt due from, and assets held by, BNYM London by virtue of the GCA made by any Court outwith England and Wales will be recognised by the courts of England and Wales; nor would any such order operate to discharge BNYM London from its obligations under the GCA.
(6) Notwithstanding the Dutch Order and the Belgian Order (and any further Order that may be made in the courts of either of those countries):
(i) BNYM London remains obliged to hold and deal with the assets of the National Fund pursuant to the terms of the GCA and on the instructions of the NBK;
(ii) BNYM London is not entitled to freeze those assets; and
(iii) BNYM London is not entitled to transfer any of those assets to the Stati Parties.
(7) The assets of the National Fund are immune from enforcement as property of a central bank and/or as property of a state not being in use or intended for use for commercial purposes."
"Abuse of process was considered by the House of Lords in Johnson v Gore Wood & Co [2002] 2 AC 1 . As Lord Bingham of Cornhill explained at p 23:
"the abuse in question need not involve the reopening of a matter already decided in proceedings between the same parties … but, as Somervell LJ put it in Greenhalgh v Mallard [1947] 2 All ER 255 , 257, [it] may cover 'issues or facts which are so clearly part of the subject matter of the litigation and so clearly could have been raised that it would be an abuse of the process of the court to allow a new proceeding to be started in respect of them'."
At p 31a, he described "the underlying public interest" as being that "there should be finality in litigation and … a party should not be twice vexed in the same matter".
As Lord Bingham emphasised at p 31 c , it would be "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". He then went on to say that the question of whether later proceedings were an abuse involved "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". Lord Bingham also rejected the notion that the fact that the first proceedings had been settled, rather than going to trial, made any difference; indeed as he said at p 33 a : "often … that outcome would make a second action all the more harassing."
In his opinion Lord Millett explained at p 59 that "it does not at all follow" from the fact that a potential claimant " could have brought his action as part of or at the same time as the [earlier] action … that he should have done so or that his failure to do so renders [a later] action oppressive … or an abuse of the process of the court". He then made the point, at pp 59h -60 a , that there was no "presumption against the bringing of successive actions", and the "burden should always rest upon the defendant to establish that it is oppressive or an abuse of process for him to be subjected to the second action". Lord Millett also agreed with Lord Bingham that the principle applied equally where the first action had ended in a settlement rather than a judgment, saying, at p 59 b-c , that it was "necessary to protect the integrity of the settlement and to prevent the defendant from being misled into believing that he was achieving a complete settlement of the matter in dispute when an unsuspected part remained outstanding".
In relation to abuse of process we were also referred to the subsequent decision of this court in Stuart v Goldberg Linde [2008] 1 WLR 823 . At para 65, Lloyd LJ referred to the fact that the cases "include many reminders that a party is not lightly to be shut out from bringing before the court a genuine cause of action". At para 71, he rejected the "general proposition" that a claimant who "comes to know" in the course of proceedings "of an additional cause of action … which is quite different from that asserted in his existing claim" comes under an obligation to inform the defendant of that additional cause if "it would not be reasonable … to expect [the claimant] to seek to combine" the two causes of action. As Lloyd LJ indicated, the issue is highly fact-sensitive.
Sir Anthony Clarke MR considered that "parties should [not] keep future claims secret merely because a second claim might involve other issues", and, "In particular", they "should not keep quiet in the hope of improving their position in respect of a claim arising out of similar facts or evidence in the future": para 96. However, as he went on to indicate in para 98, much depended on the particular facts, and "the question is not simply whether the claimant acted unreasonably in not raising [the second] claim … or indeed whether his failure to do so was an abuse of process". "The question is", as he said, "whether the second action is an abuse of the process, which involves a consideration of all the circumstances"."
Declaratory relief
"For the purposes of the present case, I think that the principles in the cases can be summarised as follows.
(1) The power of the court to grant declaratory relief is discretionary.
(2) There must, in general, be a real and present dispute between the parties before the court as to the existence or extent of a legal right between them. However, the claimant does not need to have a present cause of action against the defendant.
(3) Each party must, in general, be affected by the court's determination of the issues concerning the legal right in question.
(4) The fact that the claimant is not a party to the relevant contract in respect of which a declaration is sought is not fatal to an application for a declaration, provided that it is directly affected by the issue; (in this respect the cases have undoubtedly "moved on" from Meadows).
(5) The court will be prepared to give declaratory relief in respect of a "friendly action" or where there is an "academic question" if all parties so wish, even on "private law" issues. This may particularly be so if it is a "test case", or it may affect a significant number of other cases, and it is in the public interest to decide the issue concerned.
(6) However, the court must be satisfied that all sides of the argument will be fully and properly put. It must therefore ensure that all those affected are either before it or will have their arguments put before the court.
(7) In all cases, assuming that the other tests are satisfied, the court must ask: is this the most effective way of resolving the issues raised? In answering that question it must consider the other options of resolving this issue."
Jurisdictional Gateways
Necessary or proper party
Claim in respect of a contract
Forum Conveniens
JURISDICTION: FIFTH DEFENDANT
Article 5(5): "as regards a dispute arising out of the operations of a branch, agency or other establishment in the courts for the place in which the branch, agency or other establishment is situated."
Article 6(2): "as a third party in an action on a warranty or guarantee or in any other third party proceedings, in the court seised of the original proceedings, unless these were instituted solely with the object of removing him from the jurisdiction of the court which would be competent in his case."
"In my judgment … where domestic procedure permits a third-party to be joined in proceedings, this is likely to be on the grounds which justify overriding the basic right of the Third Party to be sued separately in the country of his domicile and that those grounds are almost certain to be some form of nexus between the Plaintiff's claim against the defendant and the defendant's claim against the Third Party. Absent such nexus I would agree that domestic Third Party proceedings cannot properly be described as "any other third-party proceedings" in Art.6(2)."
"In my judgment it is beyond dispute that a connection must exist between the proceedings commenced by the claimant and the proceedings commenced by the defendant against a Pt 20 defendant before the Pt 20 proceedings can be considered to fall within Art.6(2) . It is not possible to define the nature of that connection notwithstanding the understandable desire that Art.6(2) is understood and applied by all contracting states in the same way. It seems clear, however, that the connecting factor must be a close one—see [11] in Hagen —and there must be good reason to conclude that the efficacious conduct of proceedings is best promoted by both the claim between claimant and defendant and claim between defendant and Pt 20 defendant being considered by one court."
"A close connection is required between the original and third party proceedings. A close connection may occur where it is necessary to avoid the risk of irreconcilable judgments, but the connection must be such that it is rational, and that the harmonious and efficacious administration of justice requires the Court to hear both claim and third party proceedings in the same action."
CONCLUSION