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You are here: BAILII >> Databases >> England and Wales High Court (Queen's Bench Division) Decisions >> Mather v Ministry of Defence [2021] EWHC 811 (QB) (31 March 2021) URL: http://www.bailii.org/ew/cases/EWHC/QB/2021/811.html Cite as: [2021] EWHC 811 (QB) |
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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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MARK MATHER |
Claimant |
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- and – |
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MINISTRY OF DEFENCE |
Defendant |
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Caroline Harrison QC and Niazi Fetto (instructed by Government Legal Dept) for the Defendant
Hearing date: 10 March 2021
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Crown Copyright ©
MR JUSTICE FREEDMAN:
I Introduction
(a) defining a preliminary issue on causation with the Claimant's best case on exposure being the assumed facts, and limiting oral evidence to medical causation; or
(b) formally opening the trial, limiting oral evidence to that relevant to medical causation, and then making a ruling on causation, with other issues to follow if necessary.
II Causation
(a) Factual background
(i) The Defendant's case
(ii) The Claimant's case
(b) Medical causation
(i) The Defendant's case
"(a) MS is a disease which is generally regarded as of unknown aetiology; and (b) when asking the question of whether an exogenous environmental factor has caused a naturally occurring disease (such as MS or cancer), the first step is to prove that the exogenous factor in question is capable of causing the disease. That requires proof that the exogenous factor more than doubles the risk of the index condition…. If it were otherwise, endogenous factors could provide a complete explanation for the manifestation of the disease. The Defendant's position is that there is no probable let alone provable, link between organic solvents and the Claimant's MS [see e.g. Professor Silman's evidence in the Joint Statement, at page 2, 3rd and 5th bullet points]."
(ii) The Claimant's case
(c) Legal arguments on causation
(i) The Defendant's case
(ii) The Claimant's case
(1) Whether MS is a divisible or indivisible condition. The Defendant's case is that it is indivisible and the Claimant's answer to this is that it is often not simple to say whether a given disease is or is not indivisible. Attention is drawn to Bonnington which was assumed to be a divisible disease case (pneumoconiosis), but the Privy Council in Williams v Bermuda [2016] AC 888 stated at [32] that there was no suggestion that it was divisible in Bonnington. It is therefore submitted that there is scope for uncertainty as to what is divisible and what is not.
(2) Whether the psychiatric injury in this case is divisible even if the MS is indivisible. Generally psychiatric injury has been treated as divisible. Despite this, it is difficult to understand if in fact the psychiatric injury is a consequence of the MS, how it could be treated as anything other than the designation of the MS. If the MS were then treated as indivisible, it may be difficult for the Claimant to show that the psychiatric injury was divisible.
(3) If in fact MS is indivisible, there is said still to be scope for an argument that a material contribution test may be applied to an indivisible case. This appears to be contrary to the understanding of the Court of Appeal in Heneghan at para. 23. However, in Williams v Bermuda, there is scope for this argument. There have been subsequent authorities doubting the approach of Williams v Bermuda, but the authorities have not all spoken with one voice.
(4) Alternatively, if MS is indivisible and even if there is no scope for the material contribution test, an issue might arise as to whether this case nonetheless comes within the third category of Heneghan such that causation may be established if it is proved that the exposure to solvents materially increased the risk of the Claimant contracting an indivisible disease. This would involve the extension of the Fairchild exception to a case of MS.
(5) The Claimant submits in respect of various diseases the Court has not required the doubling of risk to be proven e.g. mesothelioma: see Sienkiewicz v Greif [2011] UKSC 10; palmar arch disease: see Transco v Griggs [2003] EWCA Civ 564 per Hale LJ at para. 35; dermatitis; see McGhee v National Coal Board [1973] 1 WLR 1. Whether it is required in connection with lung cancer is questionable: yes, per Smith LJ in the CA, but obiter no, per the Supreme Court at para. 35. A potentially important case of a claimant succeeding against the Ministry of Defence even although doubling of risk was not proven is the case of Wood v Ministry of Defence [2011] EWCA Civ 792 (a case about exposure to organic solvents and Parkinson's disease). This is therefore a controversial area which provides a focus for a debate as to whether a claimant is required to prove doubling of risk in the context of contracting MS.
(1) Laws LJ in the Court of Appeal in Rahman v Arearose [2001] QB 351, albeit a case dealing with contribution between respective tortfeasors, who said:
"31. The problem at the heart of this case rests in the law's attempts to contain the kaleidoscopic nature of the concept of causation within a decent and rational system for the compensation of innocent persons who suffer injury by reason of other people's wrongdoings. The common law has on the whole achieved just results, but the approach has been heavily pragmatic…
32. … Once it is recognised that the first principle is that every tortfeasor should compensate the injured claimant in respect of that loss and damage for which he should justly be held responsible, the metaphysics of causation can be kept in their proper place: of themselves they offered in any event no hope of a solution of the problems which confront the courts in this and other areas…."
(2) A broader approach to causation in Lord Hoffmann's extra-judicial writing in Perspectives on Causation and rejecting the notion that there is one legal concept of causation, and that the cause may vary according to the context. On this basis, context may give rise to an interpretation where even but-for is not required. That is the case of the Fairchild exception.
(iii) Discussion about law
"Not only is the claim of high value and complexity, and thus of considerable importance to the parties; but it is likely to have a much wider public interest and significance. It has the potential to become a leading precedent on causation in the law and could open the way for other sufferers with MS to argue that their own conditions were 'caused' by similar environmental exposures. It is therefore especially important that the trial judge should have the most complete evidence that it is feasible for the parties to provide."
III Impact on the preliminary issue
(1) the exposure to solvents post-1994 is irrelevant. The amount of exposure, even if falling below the maximum permitted under the regulations, is still relevant in assessing the overall exposure. This is also bearing in mind that there is an argument that insofar as it was reasonably practicable to have exposed the Claimant to a level of exposure beneath the maximum permitted under the regulations, there may have been a breach of duty in not keeping the exposure to the reasonable minimum.
(2) the level of exposure after 2000 is irrelevant. It does matter in the event that (without deciding at this stage which party bears the burden of proof) continued exposure after 2000 affects the progress of the MS thereafter.
(3) the case on exposure can be no stronger than that propounded by Professor Cherrie. He is not stating the law: that is for the Court, and it is quite possible that the Court's view of what would be expected would be higher than that pitched by Professor Cherrie. Further, hearing the factual evidence may inform more as to the level of exposure which is the starting point of the case on causation. It is dangerous to cut this out (perhaps on assumptions that it is so old and anecdotal that it will not carry much weight). Such assumptions may turn out not to be justified when the evidence has been heard and the experts have given such admissible opinions about the same.
(4) the case on breach of duty does not overlap with causation. This connects with the points in time to take into account (see sub-paragraph (1) and (2) above). Such is the overlap that in the event that there was a preliminary issue on agreed or assumed facts and the Claimant won the preliminary issue, stage 2 might be embarrassing in the event that any such facts were invalidated on analysis of the breach of duty and a re-evaluation of causation. One only has to state this to imagine how the case could become more expensive and unwieldy because of the attempted shortcut.
(5) there would be no duplication of witnesses between stage 1 and stage 2. The Defendant has already said that it was unlikely that it would be necessary to call the occupational hygiene evidence in both trials. Just saying that opens up the possibility that it would be necessary to have them called twice. Further, the Defendant assumes that the factual witnesses would not be required at stage 1, but it might be dangerous to believe that a case could not be made out for the admission of their evidence on causation. As this is evaluated, the real possibility of witnesses being called twice emerges. What if a witness is reliable at stage 1 before judge A, but not reliable at stage 2 before judge B (if the logistics do not allow for the same judge to be retained for stage 2)? It could even be a problem if judge A heard both stages, but the evidence came over less reliably at stage 2? These difficulties would be avoided by not splitting the trial between stages 1 and 2.
IV Power to direct trial of a preliminary issue
(1) The Court's general powers of management extend to the discretion to "direct a separate trial of any issue" (CPR Part 3.1(2)(i)).
(2) However, the exercise of that discretion is always subject to the overriding objective which, itself includes the need to ensure that litigation is dealt with both 'expeditiously' and 'fairly' (CPR 1.1(2); CPR 1.2(a)).
(3) The making of such a direction is an order against the norm in which the Court should be careful to avoid 'delay, anxiety and expense'. The editors of the White Book summarise the position in this way and emphasise:
(i) The greater the need for findings of fact, the less likely it is that the preliminary hearing is appropriate;
(ii) Where the health of the Claimant makes it relevant, the fact that resolution of the preliminary issue may be delayed pending appeals is relevant.
(4) It is necessary to be able to formulate the preliminary issue with 'precision and care' (Lahey v Pirelli Tyres Ltd [2007] EWCA Civ 91 @ [4]).
"In McLoughlin v Grovers (A Firm) [2001] EWCA Civ 1743; [2002] QB 1312 at [66], David Steele J gave the following guidance: (i) only issues which are decisive or potentially decisive should be identified; (ii) the questions should usually be questions of law; (iii) they should be decided on the basis of a schedule of agreed or assumed facts; (iv) they should be triable without significant delay, making full allowance for the implications of a possible appeal; (v) any order should be made by the court following a case management conference.
…
As to (iii) (see above, preliminary issues should be decided on the basis of a schedule of agreed or assumed facts), the first draft of the schedule is often prepared by the claimant and sent to the defendant for agreement or amendment. Before directing a preliminary issue, the court should consider how much effort will be involved in identifying the relevant facts. The greater the effort the less likely it is that the preliminary issue will lead to a saving in costs. If there are serious disputes of fact giving judgment at a trial of the preliminary issue may be unsafe or useless (see generally Steele v Steele [2001] C.P. Rep 106 in which Neuberger J (as he then was) declined to give judgment at a separate trial previously directed by a deputy judge of the High Court).
As to (iv) (see above, triable without significant delay, making full allowance for the implications of a possible appeal) in Re Kenyan Emergency Group Litigation [2016] EWHC 600 (QB) (in which a direction for the trial of preliminary issues was allowed in part only) one of the factors considered was that, in the event of an appeal on one of the preliminary issues sought, the trial of all remaining issues might be delayed by three or four years by which time most of the lay witnesses for both sides (who were very elderly) may not have been capable of giving evidence."
(1) This is a case where a finding in favour of the Defendant on causation, whether generic or individual (as referred to in paragraph 16 above), would be decisive. However, a finding in favour of the Claimant on causation would involve going back to have to consider the nature of the duty and breach of duty, and then having to visit causation all over again to assess whether the specific breaches (if any) of the duties (to the extent that any were found) caused the loss. This would bring with it the possibility of the Judge trying stage 2 having a different view of the evidence from those found at stage 1. There would then be issues as to how far those findings bound the court at stage 2. This would create especial difficulties if stages 1 and 2 were tried by different judges but might even be challenging if they were tried by the same judge.
(2) The issue on causation involves questions of law. However, it also involves complex factual and scientific issues. In the end, it is not a crisp issue to be decided, but it is multi-factorial, where the factors are a mixture of law and fact.
(3) This then gives rise to the difficulty of agreeing facts for a preliminary issue. There are issues regarding the period of the exposure to take into account and in particular the issues as to whether there should be disregarded (a) any exposure after 1994, and (b) any exposure after 2000. There is the issue as to whether the evidence of the 25 factual witnesses is required and the occupational hygiene experts in the first trial. At lowest, there is great effort in identifying the relevant facts. There is no reasonable prospect of agreeing them.
(4) A split trial between causation and other liability issues would be likely to cause significant delay as a result of a likely appeal. The prospects of an appeal at the end of stage 1 are significant, and the effect of that on the trial issues is considerable and possibly intolerable delay. Further, if the Claimant succeeds at stage 1, there are the difficulties of managing the case at stage 2 (see point (i) above), especially if that follows a long delay following an appeal.
(5) Master Thornett was right to reserve this matter to a case management conference. Many issues have been thrown up. A decision not to order a trial of a preliminary issue does not mean that nearer trial matters cannot be revisited if there are changes in circumstances. However, it would have to take into account the matters set out in this judgment.
V Conclusion
VI Application for addendum report of Professor Cherrie