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You are here: BAILII >> Databases >> England and Wales High Court (Queen's Bench Division) Decisions >> Bailey & Anorv Glaxosmithkline UK Ltd [2020] EWHC 1766 (QB) (03 July 2020) URL: http://www.bailii.org/ew/cases/EWHC/QB/2020/1766.html Cite as: [2020] EWHC 1766 (QB), [2020] Costs LR 795, (2020) 175 BMLR 171 |
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QUEEN'S BENCH DIVISION
Strand, London, WC2A 2LL |
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B e f o r e :
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Sandra Bailey and others |
Claimant |
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- and - |
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GlaxoSmithKline UK Limited |
Defendant |
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Mr Malcolm Sheehan QC, Mr Adam Heppinstall and Mr James Williams (instructed by Addleshaw Goddard) for the Defendant
Hearing dates: 12 and 13 May 2020
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Crown Copyright ©
Mrs Justice Lambert:
Introduction
i) first, whether the general rule that the successful party should recover its costs should apply. The unsuccessful Claimants submit that the general rule concerning recovery of costs (CPR 44.2(2)(a)) should not apply and the appropriate costs order in this case is no order for costs, save for payment of £250,000 representing the Defendant's costs of an application for summary disposal. This argument is advanced on the basis that neither party complied with the duty imposed in CPR 1.1 to further the overriding objective in enabling the Court to deal with the case justly and proportionately by seeking a pre-trial ruling from the Court on the lawfulness of the Claimants' case;
ii) second, if the general rule should apply, the basis of the assessment: the Defendant submits that from 21 June 2018 (that being 28 days following the handing down of the judgment of Andrews J in Colin Gee and others v Depuy International Limited [2018] EWHC 1208 (QB)) the assessment of costs should be on the indemnity basis as from that point (if not earlier) the Claimants ought reasonably to have appreciated that the action was so speculative or weak or thin that it should no longer be pursued; and
iii) third, if the Defendant should recover its costs on either basis, whether there should be a payment on account of costs.
Procedural Background
The Pleadings
Phase 1 of the Litigation:
"(a) Does Seroxat have a capacity "to cause adverse effects consequent upon or following discontinuance (withdrawal) such as to prevent or make more difficult the ability of users to discontinue, withdraw from or remain free from taking" Seroxat to a greater extent than all other [SSRIs]?
(b) Should the alleged defect in Seroxat, a prescription only medicine, be established by comparing the incidence and/or severity of adverse reactions associated with that medicine against the incidence and/or severity of adverse reactions associated with another prescription only medicine?"
Phase 2 of the Litigation
Foskett J's Judgment: 4 February 2016
Foskett J's Judgment: 1 March 2017
(a) at [3] that he had given permission for experts to be substituted in order to enable the Claimants to put forward what should be the high point of their case on the generic issues as he had previously listed them;
(b) at [11] it was common ground that he had summarised the essential nature of the case advanced on behalf of the Claimants accurately in his judgment of February 2016;
(c) at [12] that the Claimants' primary and secondary case had been translated into the agreed issues set out in the GLO;
(d) at [13] that Mr Gibson QC (for the Defendant) had characterised the primary allegation as being that Seroxat was "worst in class," in other words that Seroxat was the worst in the class of SSRIs because of the greater difficulty relative to other SSRIs of a user of Seroxat discontinuing his/her use of the drug and the consequent prolongation of discontinuation symptoms. Foskett J approved this characterisation of the Claimants' case, stating it to be accurate;
(e) at [23] that no application had been made by the Claimants to amend the claim or the issues identified in his judgment of February 2016 and that any dispensation that he may have made in the Claimants' favour thus far had been purely to enable the effective resurrection of the issues as they had come to rest in 2011;
(f) at [24] that it followed that any attempt by the Claimants to move the case outside those well-defined parameters would not have his approval;
(g) at [27] that the litigation had proceeded in such a way as to enable the issues to be "closely defined." Subject only to updating the disclosure exercise and the expert evidence in the light of it "the parameters for the forthcoming trial have not changed";
(h) at [27] that the Claimants' new legal team had not sought to change things. He remarked however that "although there was a hint in some of Mr Lambert's (junior counsel for the Claimants) submissions that there is now a desire to engage, at least to some extent, in a risk/benefit analysis. something which had previously been expressly disavowed. If there is any such a desire or intention, then the short answer to it is that it is now too late to do so."
Judgment: 14 February 2019
"1. Is it appropriate in principle to assess whether the prescription only medicine Seroxat is defective pursuant to s.3 of the Consumer Protection Act 1987 by seeking to establish whether it is "worst in class" in that:
a. it causes adverse effects on discontinuation which are (i) of a greater incidence (ii) a greater severity and (iii) a longer duration than the other medicines in the class; and that
b. such adverse effects prevent or make more difficult the ability of users to discontinue, withdraw from or remain free from Seroxat than is the case with the other medicines in the class?"
"57 It must be made clear from the outset that it is not and has never been the Claimants' case that a product can be shown to be defective within the CPA 1987 merely by identifying one negative and/or undesirable aspect of it whilst ignoring any advantages. It is a reductio ad absurdum on the part of the Defendant that fails to recognise the case being advanced by the Claimants.
58. Rather, there is in truth no inconsistency between the 'comparative' and 'holistic' approaches. The Claimants' case is indeed inherently comparative; but it does not exist in a vacuum divorced from either the marketplace or clinical reality. Thus, what is being advanced herein is indeed a holistic approach, namely that whatever the benefits asserted by the Defendant for this product in these proceedings, they are outweighed by the risks and problems associated with DS, having regard to inter alia the existence of equally efficacious products which do not have those risks/problems."
Day 1 of Trial
Court of Appeal Judgment
i) at [38] that Foskett J had made it clear that the Claimants' pleaded case on defect was limited to the "worst in class" case, as reflected in the GLO issues; that the case would go forward on the basis of those clearly and closely defined issues and that it was now too late for the Claimants to expand their case to cover an analysis of risks/benefits;
ii) at [41] that Foskett J had set out his interpretation of the Claimants' pleaded case and, on that basis, had made determinations as to the legitimate ambit of expert evidence, had identified the issues for trial and had set out how the case was to be case managed going forward. He had stated in terms that he would not approve any expansion of the case. Unless and until therefore his decision as to scope was challenged the case had to be conducted and managed in the light of that determination. Hamblen LJ observed that if the Claimants were to challenge that approach that was the time to do so: the Claimants could have sought to appeal against the judge's decision as to scope but did not do so. There was no necessity for that ruling to be expressly reflected in the terms of the order made in order to be able to appeal. It was a decision "fundamental to the case management of the case and was manifestly capable of being appealed, albeit that the prospects of a successful appeal against such a decision would have been slight;"
Concerning my judgment of February 2019, he remarked:
iii) at [44] that I had ruled in terms that the risks/benefits case would not feature at trial and that it was now too late for it to do so. The list of issues had made it clear, as had the judgment, that any risks/benefits analysis would be limited to the "worst in class" case;
iv) at [46] that had the Claimants wished to challenge my ruling and my order as to the issues to be determined at trial, then this was the time to do so. On this occasion the decision as to scope was expressly reflected in the order made. No attempt was made to appeal against the decision or order and, as Hamblen J remarked, "No doubt this was done advisedly. The prospects of succeeding on appeal in introducing a risks/benefits case, in circumstances where no such application had been made before the judge, and she had made it clear that it would be far too late to seek to do so, were obviously very remote;"
v) at [47] Mr Kent had submitted on appeal that there was no need to raise the risks/benefits case as an issue because in the light of the pleadings it was effectively a non-issue. However, this involved ignoring the considered way in which the case had been case managed and the issues carefully defined and delineated. It also ignored the fact that it would necessarily mean the issue of particular benefits featuring at the trial in circumstances where the judge had expressly determined that it would not.
vi) against the background of the unappealed prior rulings, it was "plainly impermissible for the Claimants to seek to raise the risks/benefits case in opening their case at trial. Although this was done under the guise of an assumed "level playing field" with regard to the benefits and (by implication) the risks associated with Seroxat and its comparator drugs, this involved seeking to introduce the risks/ benefits case as an issue at trial and would have necessitated evidence relating to it. It is obvious that any issue of relative risks/benefits would raise a wide ranging factual and expert inquiry, which all parties accepted had not been carried out;" (My emphasis).
vii) Further, I had been correct to decide that my judgment was merely confirmatory of the unappealed prior rulings. He agreed with the observation that if there was a concern arising from the judicial analysis of the claim, then the proper course would have been to have appealed the relevant rulings and that it was now too late to do so.
viii) Although not necessary for the determination of the appeal, Hamblen LJ confirmed that he was in "complete agreement" with the analysis of the pleadings carried out by both Foskett J and the judge. Given that no positive case as to risks/benefits had been raised by either party on the pleadings, there had been no need for the Defendant to do so in order to meet the Claimants' case. No conceded or agreed case on benefits could be inferred from the Defendant's failure to raise such a positive case. The pleaded case had always been limited to "worst in class".
Should the Defendant Be Awarded its Costs of the Action?
"44.2
(1) The court has discretion as to –
(a) whether costs are payable by one party to another;
(b) the amount of those costs; and
(c) when they are to be paid.
(2) If the court decides to make an order about costs –
(a) the general rule is that the unsuccessful party will be ordered to pay the costs of the successful party; but
(b) the court may make a different order…
(4) In deciding what order (if any) to make about costs, the court will have regard to all the circumstances, including –
(a) the conduct of all the parties;
(b) whether a party has succeeded on part of its case, even if that party has not been wholly successful; and
(c) …
(5) The conduct of the parties includes –
(a) conduct before, as well as during, the proceedings and in particular the extent to which the parties followed the Practice Direction – Pre-Action Conduct or any relevant pre-action protocol;
(b) whether it was reasonable for a party to raise, pursue or contest a particular allegation or issue;
(c) the manner in which a party has pursued or defended its case or a particular allegation or issue; and
(d) whether a claimant who has succeeded in the claim, in whole or in part, exaggerated its claim."
i) in 2015, at the two case management hearings before Foskett J which led to his judgment of February 2016, one of the major planks of the Defendant's submission that the claim should not be permitted to be revived was its poor prospects of success. There had however been no application for summary disposal, rather the Defendant had submitted that the Court should exercise its case management powers to either stay the action permanently or to strike it out.
ii) In July 2016, the Court referred expressly to the Defendant making an application for summary judgment and Foskett J anticipated that the directions he was making may lead to an assessment by the Defendant about whether it would apply for summary judgment or not.
iii) The Order made by Foskett J in September 2016 provided for the possibility of the Defendant making a summary judgment application.
Decision on Application of General Rule:
i) Although the approach to defect under s. 3 of the CPA was addressed by Hickinbottom J in Wilkes, I was told by Mr Sheehan (and accept) that all involved in the world of product liability were aware that the case of Gee was due to come on for trial in the autumn of 2017 and that it was possible that Andrews J may have disagreed with the approach of the Court in Wilkes, or added a gloss which may have assisted the Claimants. There was therefore (until Gee was handed down) at least an element of uncertainty or fluidity as to the lawful approach to defect militating against the Defendant making an application for summary disposal.
ii) As Mr Gibson informed me in the first pre-trial review, his client wanted to have all of the issues in this long-running litigation dealt with by the Court once and for all. Mr Fetto relies upon the fact that on Day 2 of the trial in April 2019, Mr Gibson apparently invited me to deal with Question 1 of the list of issues as a preliminary point. Having re-read the transcript, I am by no means certain that Mr Gibson was inviting me to proceed in this way. It is not clear. However even if he was, it would be scarcely surprising given that, by this stage, Ms Perry had, in her opening, accepted that if the Claimants' case was as characterised by the Defendant, it was doomed to failure or, as she put it "Can I say at the start here we say we agree. Just because the product is per se the worst of five comparators doesn't of itself make it a defective product… that can't be right".
iii) Also, again as Mr Gibson informed me in autumn 2018, the Defendant had chosen to buttress its legal argument with expert evidence touching upon the logic of the Claimants' pleaded approach to defect. As I understood the position running up to trial, the Defendant was submitting that the Claimants' approach to defect was wrong as a matter of law, logic and evidence.
Should the costs be assessed on the Indemnity Basis?
(1) The court should have regard to all of the circumstances of the case and the discretion to award indemnity costs is extremely wide.
(2) The critical requirement before an indemnity order can be made in the successful defendant's favour is that there must be some conduct or some circumstance which takes the case out of the norm.
(3) Insofar as the conduct of the unsuccessful claimant is relied on as a ground for ordering indemnity costs, the test is not conduct attracting moral condemnation but rather unreasonableness.
(4) The court should have regard to the conduct of an unsuccessful claimant during the proceedings, both before and during the trial, as well as whether it was reasonable for the claimant to pursue particular allegations and the manner in which the claimant pursued its case and its allegations.
(5) Where a claim is speculative, weak, opportunistic or thin, a claimant who chooses to pursue it is taking a high risk and can expect to pay indemnity costs if it fails.
(6) The following circumstances take a case out of the norm and justify an order for indemnity costs, particularly when taken in combination with the fact that a defendant has discontinued only at a very late stage in proceedings…
(g) Where a claimant commences and pursues large-scale and expensive litigation in circumstances calculated to exert commercial pressure on a defendant and during the course of the trial of the action the claimant resorts to advancing a constantly changing case in order to justify the allegations it has made, only then to suffer a resounding defeat."
Decision on Indemnity Costs:
Payment of Costs on Account