![]() |
[Home] [Databases] [World Law] [Multidatabase Search] [Help] [Feedback] | |
England and Wales High Court (Technology and Construction Court) Decisions |
||
You are here: BAILII >> Databases >> England and Wales High Court (Technology and Construction Court) Decisions >> Carillion JM Ltd v Phi Group Ltd [2011] EWHC 1379 (TCC) (15 June 2011) URL: http://www.bailii.org/ew/cases/EWHC/TCC/2011/1379.html Cite as: [2011] EWHC 1379 (TCC) |
[New search] [Printable RTF version] [Help]
QUEEN'S BENCH DIVISION
TECHNOLOGY AND CONSTRUCTION COURT
Strand, London, WC2A 2LL |
||
B e f o r e :
____________________
CARILLION JM LIMITED |
Claimant |
|
- and - |
||
PHI GROUP LIMITED |
Defendant |
|
-and- |
||
ROBERT WEST CONSULTING LIMITED |
Third Party |
|
CARILLION JM LIMITED |
Claimant |
|
-and- |
||
ROBERT WEST CONSULTING LIMITED |
Defendant |
____________________
Martin Bowdery QC and Ronan Hanna (instructed by Mills & Reeve LLP) for the Defendant in HT-10-11
Simon Hughes QC (instructed by Fishburns) for the Defendant in HT-09-152
Hearing dates: 21-4, 28-31 March and 4-6, 15 April 2011
____________________
Crown Copyright ©
Mr Justice Akenhead:
The Site, the Works and the Site Investigations
"Groundwater indicated from the site investigation activities, and subsequent instrument monitoring is summarised in Table 7.2.
The groundwater observations indicate no consistent trend in water level across the site. However, generalisations may be made for incorporation in the geotechnical design, as follows:
- Where encountered, groundwater bodies tend to be associated with relatively high permeability claystone bands. These tend to be of local occurrence, and it may be anticipated that the water represents perched bodies of a minor lateral extent.
- The highest standing water level recorded was at c. 36.0m OD [Ordinance Datum] in RW4. This lies below the maximum extent of anticipated excavation within the works, but may affect pile design.
On the basis of groundwater observations to date, it is concluded that groundwater will not significantly affect near surface excavations or the design of shallow foundations. Local bodies of perched near surface water should be anticipated during construction, although these are likely to be of minor extent and drain rapidly as works progress. Piles should be designed for a water table at 38 m OD (i.e. 2 metres above the highest recorded level). The assessment of the stability of slopes should be undertaken incorporating a suitable ru value to allow for local perched water conditions, and infiltration into the slope…"
RW4 was one of the deeper boreholes, located along the slope which was to be created, and Table 7.2 recorded that water seepage was noted during the boring at 17.8 and 28.10 m below ground level but the piezometer, which extended only to 10 m below ground level noted water at a level of 5.09 m below ground level.
Facts prior to the Contracts
"indemnify and keep indemnified the Employer against all claims, proceedings, damages, costs, losses, charges and expenses of whatever nature arising from the Contractor's failure to comply with its obligations under this Clause 8…"
Clause 8(9) stated:
"The Contractor shall be deemed to have satisfied himself as to, and to adopt and accept responsibility for, any design contained in and/or reasonably to be inferred from the Employer's Requirements as though such design had been carried out by or on behalf of the Contractor. In particular, but without prejudice to the generality of the foregoing, the Contractor hereby warrants:-
(i) that the design contained in and/or reflected by the Employer's Requirements and/or design prepared by or on behalf of the Contractor does, or as the case may be, will meet in all respects the requirements of the Contract.
(ii) that he will exercise all reasonable skill care and diligence in the design, construction, testing and commissioning of the Works and all parts thereof."
"The depot site is adjacent to a residential area and the contractor shall ensure that any disturbance from construction activity be kept to a minimum. Particular attention should be made regarding noise during the construction of the works as well as minimising light pollution to the adjacent properties (e.g. Low level lighting in lieu of tower/mast lighting)."
It went on in relation to "Depot Operation" at Paragraph 2.3:
"The general direction of Depot operation will be from South (London end) to North (Country end). The layout, signalling and design must allow for bidirectional running should the depot be used in the North to South direction. The carriage wash is to be used for cleaning operations in the South to North direction only but must allow unrestricted travel in the reverse direction…."
"We are proposing to use timber permacrib walls for a project at Wembley Depot (LUL). I believe that you may have helped us with this when the project was tendered approximately one year ago. When the project resurfaced the client mentioned a little unease with timber crib walls, although this probably was mainly due to unfamiliarity with the system. I believe that you have helped Andy Kenyon of Mowlem by issuing examples of crib walling in a rail environment.
We need to make sure that the client is completely happy with this proposal in order to progress. We believe that the client may have spotted the 6m height limit in the BBA Certificate. To this end it would be extremely useful to get a preliminary design to back up the proposal, or at least a statement confirming that the proposal is a workable solution. We would be extremely grateful if you could assist us in this, with time as always being critical. I have attached a section through the proposed wall and a copy of the soils data for the site …"
(a) Section 2.5 indicated that amongst other materials to be used soil nailing was to be provided and that it was to "be designed by a specialist subcontractor" and that the design had to provide the required durability of 120 years.
(b) Section 3.3 provided as follows:
"Organisation proposed to be responsible for the detail of design: Robert West Consulting Ltd. Design of specialist retained walls by specialist contractor, with a review by Robert West Consulting Ltd. Robert West Consulting Ltd will ensure that the specialist designers have addressed slip circle issues adequately."
(c) Section 4 identified as one of the "Design Standards" BS 8002 which deals with Earth Retaining Structures.
(d) Section 5 identified various Geotechnical Considerations including soil properties which were to be used for analysis which were "based on URS Report 49810-007".
(e) Section 6 set out a "Design Statement" which included at Section 6.2 "proposed earth pressure coefficients" to be used for earth retaining elements" Section 6.5 provided as follows:
"Compliance with the AIP: the AIP (Form A) will be used as the basis of design."
(f) Section 7 of the document dealt with the subject of accompanying documents and drawings: Section 7.1 specifically referred to the "Site Investigation Report No. 49810/007 by URS, dated September 2003."
The original draft AIP was submitted to M40's consultants and others for their comments which were received over the following few weeks and which led to some amendments (partly reflected above).
"Further to our meeting of 11 March, and your subsequent provision of sections and site investigation, we have undertaken a basic design at each section, and consider that a soil nailed solution and geotextile facing, given the site constraints, is historically acceptable for a 120 year design life. We do not consider that a crib wall solution will provide for this life expectancy, since it cannot provide long term resistance to the movement effect of deep-seated slope failure …"
(i) The Second Schedule, Appendix 1 provided a list of "general documents" forming part of the proposed sub-contract.
(ii) Appendix 2 provided a list of "specific documents" which were also proposed to form part of the intended sub-contract. Aside from a series of numbered drawings, the specific documents intended to form part of the sub-contract between the Claimant and Phi were Appendix C, Environmental Desk Study Report, Appendix D, Site Investigation Report, Construction Programme No. C 5402.6/001; Fitzpatrick Contractors Ltd's Geo-Environmental Interpretive Report and also the Oakley Soils & Concrete Engineering Ltd Factual Report.
What was envisaged was that the basic excavation of the slopes would be done by Carillion.
"Further to the recent site meeting…we have carried out a preliminary design appraisal of your retaining wall requirements at the above development based on the following:-…
Wall 2 (Between chainages 8210.0.0-8480.0m)
Based on the use of soil nailing techniques to provide both the short and long-term stability for the strength and embankment. The existing levels are reduced in a series of stages, at each stage, the excavated face is stabilised prior to reducing levels to the next stage.
We note from the Engineers that the excavated face is proposed to be clad in a geotextile facing, however, in order to prevent localised 'sloughing' and face instability between the nail plates we would discourage the use of a geotextile alone and for this reason have therefore also included with our quotation for the supply and installation of structural facing mesh…
Wall 4 (Between chainages 8630.0-8700.0m)
As Soil Nailing Wall 2 above…
We have based our preliminary design proposals and Quotations on the information provided. Details of our design proposal are as stated in our Preliminary Technical Appraisal attached hereto.
The Site investigation shows that the in-situ soils consist of stiff LONDON CLAY. These soils have potentially poor effective shear strengths. In order to provide a 'safe' temporary earthworks profile during wall construction and to minimise the earth pressures applied to the wall and thereby achieve the most cost-effective solution we have assumed that the in-situ soils will be removed back to a minimum 60° profile. The resulting void, to the rear of the wall, should be filled in accordance with the Permacrib backfill specification."
The prices were quoted and a programme proposed for the "preparation on design calculations and working drawings", procurement and construction. It was made clear that the quotation walls "based upon our own design for the Soil Nailed…Walls".
"The proposal seems fine. Comments as below:
Soil Nailing-Option B seems sensible given small cost difference…
Programme-allow at least one week for RWC to check Phi design and coordinate interfaces with Phi."
"… at present we have based our design on the soil parameters specified in the site investigation. Although these seem reasonable it would be prudent to carry out the additional testing in line with the site investigation recommendations to determine the long term design parameters for the in-situ material. We will carry out proof load testing of the soil nails to confirm the nail design assumptions are correct, but we will need confirmation of the soils …"
Phi stated, at Paragraph 5.1:
"…soil parameters differ slightly for our design, see our calculations at section 3.0.
Phi reasonable parameters (f = 27°,c' = 4kPa, ru = 0.15)
Phi worst credible parameters (f = 23°, C = 3kPa, ru = 0.2) …"
"…our calculations are based on similar parameters to the SI but not those exact ones. We took a slightly more optimistic approach on stress parameters, but a much more pessimistic approach on the water regime. However, if we rerun the design again with the SI's worst credible values of Ø?= 21 and C =2kN/m2 our design still exceeds an FOS of 1.2. However, with these low parameters, and having re-analysed the SI with respect to water, we have used a ru of 0.05.
Thus we confirm the current design can meet the AIP's requirements…"
(i) In Section 1 – Design Statement, Phi explicitly stated that:
"We have used the soil parameters as specified in the site investigation, and have not considered the possibility of existing slip surfaces ..."
(ii) At Paragraph 2.1.2, within Section 2 – design reference, Phi identified the site investigations upon which the calculations were based. Phi also identified, at Paragraph 2.1.3, that these calculations were also based upon Form A (Approval in Principle) which was dated 5 March 2004 and drafted by RWC.
(iii) In the section of the Calculations dealing with Design Parameters Section 3.2) Phi specifically identified that the work relied on by them was the URS Report.
(iv) Section 3.3 of the Calculations dealt with "soil nail design parameters" and the ru value is specifically identified by Phi as 0.05.
The covering letter stated:
"...we have as requested based our design on the soil parameters as specified in the Approval in Principle ..."
(i) "The proposed surface finish to the soil nailing is not acceptable".
(ii) "...the whole system should be designed for the required 120 year design life ..."
(iii) "The factor of safety quoted in the Calculations is too low and should be a minimum of 2.0. The factors chosen would be more suitable for stabilisation of an existing embankment as opposed to a new retaining wall".
(iv) "We are concerned over the aesthetics of using three different types of construction for one retaining wall, these being sheet piling, soil nailing and crib walling ..."
"i) We have always been under the impression from various site meetings that aesthetics were not the highest priority for the design of the stabilisation works ..."
(ii) We confirm that the design of the facing is 120 years...
(iii) We believe the factor of safety of 2.0 in this instance is inappropriate. We assume you are referring to CP2:1951 earth retaining structures, which has been superseded by BS8002:1994. This latest code is a limit state design using partial factors to achieve a factor of safety of greater than 1.1. We are following general working practice, and in accordance with BS6031, achieving a minimum factor of safety of 1.3 ...
(iv) The three types of construction are as required by yourselves due to site conditions"
The Contracts
(a) By the Minutes (Paragraph 6.2), "slip circle failures of slope need to be considered" by Phi.
(b) By the document dated 20 August 2004, Phi was to use "the soil parameters as specified in the site investigation". It is also clear from this document (Paragraph 2.1.2) that the design was to be prepared by reference to the site investigation documents, more importantly in this case, the URS geo-environmental interpretive report.
There was no obligation as such to review the site investigation documents with regard to their adequacy. The exercise of reasonable care and skill however would not be satisfied by an un-blinkered or unintelligent application of the information contained within them.
"Whereas:-
(1) The Contractor has entered into a contract ("the Main Contract)" particulars of which are set out in the First Schedule.
(2) The Consultant having been afforded the opportunity to read and note the provisions of the Main Contract…has agreed with the Contractor to execute the Design described in the Second Schedule ("the Design") upon the terms hereinafter appearing, and to act as the Designer if so defined under the Main Contract."
"A The Design
Civil Engineering Works
(1) Upon award of the Main Contract, develop the outline proposals to a fully detailed scheme. This will include:
(a) Advise on further site investigations to verify ground
(b) Building substructure (including retaining walls)…
(f) External works including building and track drainage (belowground)
(2) Provide working drawings and specifications for the above…
(4) Attendance at design team meetings (assumed 6 no.)…
Once construction has commenced the following brief:
(1) Allowance for technical support including approval of fabrication drawings
(2) Attendance at site meetings (assumed 10 no.)
(3) Site visits (assumed 10 no.)…"
"2(1) The Consultant shall execute and complete the Design together with all variations thereof in accordance with this Consultancy Agreement and to the reasonable satisfaction of the Contractor…
2(6) The Consultants shall not assign the whole or any part of the benefit of this Consultancy Agreement nor shall he sub-let the whole or any part of the Design without the previous written consent of the Contractor, which are not to be unreasonably withheld or delayed…
3(1) The Consultant shall be deemed to have full knowledge of the provisions of the Main Contract…
3(2) Save where the provisions of this Consultancy Agreement otherwise require, the Consultant shall so execute and complete the Design that no act or omission of his in relation thereto shall constitute, cause or contribute to any breach by the Contractor of his obligations under the Main Contract. The Consultant shall (as between the Contractor and the Consultant) assume and perform all the responsibilities obligations and liabilities of the Contractor under the Main Contract in relation to the Design.
3(3) Without derogation from his obligations in Sub-Clause 3(2) the Consultant shall carry out the Design with all reasonable skill care and diligence…
3(5) The Consultant shall indemnify the Contractor against every liability which the Contractor may incur to any other person whatsoever and against all claims, losses, demands, proceedings, damages, costs and expenses made against or incurred by the Contractor by reason of any breach by the Consultant of this Consultancy Agreement…
6(1) The Consultant shall make such variations of the Design, whether by way of addition, modification or omission, as may result from:
(c) any order in writing by the Contractor to the Consultant.
9(1) The Consultant shall (except to the extent due to acts or omissions of the Contractor and his employees or agents) at all times indemnify the Contractor against all liabilities to other persons (including the employees and agents of the Contractor or of the Consultant) for bodily injury, damage to property or other loss consequent upon such injury or damage which may arise out of or in consequence of the execution and completion of the Design…"
The January 2005 Slips
The October 2005 Slips
"We write to inform you that we have experienced a failure in the soil nail wall between the depot building and the Country End of the site. We have attached initial reports undertaken by Phi Group and our internal design manager which provides you with more detailed information.
We believe the failure may be the result of inadequate design. As lead designer for the project we would therefore advise that you notify your insurance company accordingly.
Phi Group are in the process of putting forward remedial work proposals and assessments of the long term stability of the wall. We will keep you advised of all future developments."
"Whether this should/could have been predicted at the design stage will be a matter of debate. In any event Phi Group need to demonstrate that the slope has an adequate factor of safety with lower operating parameters. Consideration should be given to both the residual state (c'= 0, phi = 12) and a fully softened state (c' = 0, phi = 18 to 20)."
"I think we know where we are and where we have got to get to.
We know we have a failure(s) of the cut slope and that future failures can not be ruled out by any party.
We need to put in place a design, design check and approval of remedial works and we then need to install them before handing the sidings over to the client for his safe use.
The question is how do we get from where we are to where we want to be. Perhaps Jason [Smith of Carillion] can give us a lead here. Which parties are going to be involved?
I assume the contract as setup should deal with this. Phi I assume will need to be the designers of the remedial works. Will Robert West need to be the checkers? Do Laing Rail sign off any design check certificates? As with all the other main elements of the permanent works designs the principles of the design first need to be agreed (Form A or AIP). The original design assumptions I suggest now need to be revisited and agreed. If additional SI [site investigation] is required to achieve this then that will also need to be designed, agreed and carried out. At this stage I assume we…or CL associates are not required to do any number crunching but only to review that the above procedures are being followed and that the correct design brief, design assumptions and methods are being employed…
The starting point of any design is the design brief. We need to know our position as to whether our original (or any revised) instruction (brief) was correct. Are they prepared to design the remedial works to the same brief or do they now require us to instruct them to work to make changed brief? (80/90° slope angles and are now known fact that pre-existent slips are present)."
"My personal thoughts are that we need to let Phi take the lead in all these works. Phi must provide their design to accommodate the additional slippages that were not allowed for within the original scheme.
Robert West were required to check the original Phi Design and I believe we should request that this process is maintained. We need to ensure that all the parties involved with the original scheme take collective responsibility for the modifications they are now proposing.
As the works will be a permanent solution Laing Rail will need to approve the method of repair.
If additional SI is required, this should be determined by Phi alone. We need to ensure that they maintain their contractual responsibilities and that we do not by suggesting or commenting influence the decision and take on design responsibilities we never had."
"Thank you for your letter of 22 November 2005 relating to a problem you have encountered with some of the soil nailing on site.
We would like to remind you that the soil nailing design and installation was done under a separate design contract between Mowlem and Phi Group. Robert West Consulting were not a party to this contract.
Any discussions on costs arising from this alleged failure should be addressed to the contracting parties (being Mowlem and Phi Group).
Further it is our understanding, from the submitted correspondence, that Phi Group are accepting responsibility of the remedial works to the wall, in which case, we are unclear as to what additional costs you refer to."
"Please find enclosed a report prepared by Phi on the retaining wall failures.
My understanding of the report suggests that works are required to some of the RW designed external works in order to facilitate the repairs to the walls.
I would request that Robert West provide their response to this report and confirm their approval to the remedial measures proposed. Could you please provide this as a matter of urgency."
"Comments are as follows:
- The recommendation to areas 1 & 2 do not seem very robust. There is no statement confirming whether the nails have moved or not (only that theoretically they are O.K.) We would expect a survey of the nails to check if any are out of place, which would signify pullout.
- There is no mention/justification of the existing steel plate remedial as one of the final recommendations. They look to be very much a temporary work solution. As the mesh has already sheared in this area, we are surprised by the statement on the mesh around plates and would expect some upgrading here.
- Where a shotcrete solution is specified, some form of filter drain would also be required.
- Pre-existing slips-Phi should be aware of this possibility and account for it within their design especially after encountering a slip during construction.
- Crack sealing-This is not really viable as it could occur anywhere. It is implied within the report that hydrostatic pressure from tension cracks had not been taken into account for the design. We would query the validity of ignoring this effect in calculations.
- There is a durability issue with the size of stone used in the facing. Whilst this does not affect wall stability, it may well come up as an issue with Laing Rail again following the other issues.
- With regard to changing the design of other elements with in our design remit, the only real suggestion in the report is the LUL cable troughs. It is not possible to effectively seal these, and I do not imagine it would be possible to move the troughs. In addition, the pathway generally slopes down the side, and water would drain down the slope (along the line of the troughs) before permeating into the clay material. Also refer to crack sealing above.
- No mention is made of lifespan of the structure after the remedial works. This was an important issue at a time of design, and Phi need to be very clear on proposals for this.
Lastly, given the seriousness of the failure and the long-term lifespan required, it may be prudent to consult an independent specialist in the field of soil nailed walls to review the proposals made. This may be the most expedient way of providing Laing Rail with renewed confidence in the soil nailed walls. Oliver [Engleback] has mentioned Jamie Standing of GCG as a recognised expert in the field-0207581 8348"
"Excavation of the new cut face will have resulted in unloading of the soil with the resultant drop in pore pressures within the slope. The operating pore pressures will now be negative and will slowly return to equilibrium conditions. Where the soil has access to free water it will "suck" the water into its pores resulting in softening of the soil. This appears to have been observed when the failures were first noticed following a period of heavy rain with possible infiltration of water into pre-existing shear surfaces. The softened areas observed at the base of the cut are most likely a result of this process. With time, the soil forming the cut will weaken as pore pressures equilibriate towards the long-term condition. It is this mechanism that is likely to have led the existing shear surfaces, as negative pore pressures created as a result of the original cut increased towards equilibrium levels effectively weakening the soil is a leading to progressive failure. Hence the inclusion of counterforts to stabilise the old slope. The above discussion emphasises the need to ensure that the safety of the soil nailed slope is satisfactory using softened strength parameters."
This letter report was sent to RWC for comments by e-mail dated 13 December 2005 from Mr Sowden of Carillion and it was also sent to Phi by letter dated 15 December 2005. On the latter date, Carillion also sent on to the Health and Safety Executive the Phi report, CLA's letter report and Mr Bird's comments of 9 December 2005
"A basic analysis of the old slope at around 22 deg does not show an initial failure outcropping the crest as far back as we are trying to demonstrate that once the first failure has happened then further failures will 'progress' back into the slope with time. I have added further comment in the report to explain this. I have also clarified the position with regard to Alan's query on pore pressure assumptions.
With regard to Robert West comments I have annotated their e-mail in red below..."
"Comments are as follows:
- The recommendation to areas 1 & 2 do not seem very robust. There is no statement confirming whether the nails have moved or not (only that theoretically they are O.K.) We would expect a survey of the nails to check if any are out of place, which would signify pullout. The fronts of the nails have moved downwards with the face and this is stated. We do not believe that there has been any pull-out and we have added this point to the report. We could monitor the nails for pull-out from here on but we have no reference to make any meaningful measurement of pull-out since construction.
- There is no mention/justification of the existing steel plate remedial as one of the final recommendations. They looked to be very much a temporary work solution. As the mesh has already sheared in this area, we are surprised by the statement on the mesh around plates would expect some upgrading here. As the mesh has already sheared in this area, we are surprised by the statement on the mesh around plates and would expect some upgrading here. The steel plates may look a little untidy in Area 2 but they are extremely competent structurally, but we could extend the shotcrete across Areas 1 and 2 which would give more continuity of appearance, avoid the need to replace the stone face and enhance further the structural capacity. We have explained why the mesh is adequate in the report. In those areas where the mesh is damaged we could replace it with a higher spec but we obviously do not want to replace all the upper level rear mesh unless it is necessary.
- Where a shotcrete solution is specified, some form of filter drain would also be required. Agreed.
- Pre-existing slips-Phi should be aware of this possibility and account for it within their design especially after encountering a slip during construction. We are accounting for them in the remedial work designs.
- Crack sealing-This is not really viable as it could occur anywhere. It is implied within the report that hydrostatic pressure from tension cracks had not been taken into account for the design. We would query the validity of ignoring this effect in calculations. We don't believe that significant tension cracks exist with the soil being put largely into compression by swelling and the downward movement of the failure wedge reacting against the face and nails. We do have 'in contact' failure planes which will weaken if water is able to percolate down them. This is accounted for in the design but any measures that can be taken to reduce this effect would be wise.
- There is a durability issue with the size of stone used in the facing. Whilst this does not affect wall stability, it may well come up as an issue with Laing Rail again following the other issues. We think that the staggered extra layout of the mesh is the best solution year.
- With regard to changing the design of other elements with in our design remit, the only real suggestion in the report is the LUL cable troughs. It is not possible to effectively seal these, and I do not imagine it would be possible to move the troughs. In addition, the pathway generally slopes down the side, and water would drain down the slope (along the line of the troughs) before permeating into the clay material. Also refer to crack sealing above. As far as the practicality of sealing them goes we can't comment.
- No mention is made of lifespan of the structure after the remedial works this was an important issue at the time of design, and Phi need to be very clear on proposals for this. Providing a remedial solution equal in durability to the original scheme is our intention and we have included a comment about this in the revised report."
"I consider Robert West's query is valid and in many respects they reflect my earlier comments to Alan [Sowden].
Phi have considered most aspects in their report and the proposed solution needs to be adopted consistently along the whole length of the West section of the wall, for both technical and aesthetic reasons.
I am still concerned over the amount of potential movement that may occur in the soil nailed slope between nails leading to a visually if not structurally unsatisfactory situation.
Based on Phi's analysis I agree that the overall safety of the slope seems assured, however, the report still does not discuss their reasoning behind using ru = 0.05 (which is only a nominal level of pore pressure). There needs to be clear evidence for the long term pore pressure regime assumptions to verify that the slope is expected to remain stable. The control of surface water and potential ingress of water into the slope is vital if long-term problems are to be avoided."
"The only real comment is with regards to the LUL cable troughs.
The only way of effectively sealing these would be to bury them, or lift them and place a blinding layer below. Neither of these are particularly practical, and we would still debate whether any significant amount of water could connect in this same.
I think that Phi Group need to comment on how critical they perceive this item of the proposed remedial works to be i.e. what is quantified risk of not doing it?"
"During our meeting of 18th January 2006 you claim that, during the Pre-Order Meeting of 6th July 2004 you asked us to take account of existing failure services. We categorically deny that this was the case. The minutes referred to your requirement for our design to include global stability (slip circle failure) checks of the new cutting which, at that time, not been carried out but would be needed in addition to our structural calculations to provide a complete design. This is an entirely separate issue from existing failure surfaces."
The contractual issue was emerging because it had still not been resolved who was to pay for the remedial work.
"We are unable to accept your understanding of the Contractual position with regard to the liability for the failure of the Soil Nailed retaining wall at the Wembley Depot.
We note your comments with regard to the requirements of the Contract. We would wish to reinforce our understanding of the Contract in respect to these works.
- The Subcontract requires Phi to design and construct a soil nailed wall with a minimum design life.
- The Pre-tender minutes required Phi to ensure that the design took account of slip circles which were known about at the time of tender. The existence of counterfort drains within the embankment also demonstrated that the slope had been the subject of some instability.
- Phi Group encountered a slip during the early stages of the construction of the works. Phi Group's own drawings state that if ground conditions are found to be different to those anticipated by the design then the design would be reviewed. This procedure was not followed and resulted in the whole wall being constructed to the original design.
- Phi Group are responsible for designing a wall that suits the ground conditions found on the site. It is contended that the design of the wall does not suit the conditions.
We have determined the Mowlem costs associated with the original remedial actions carried out by Phi Group and enclose our calculation sheets…
As stated in our meeting we wish to carry out the remedials for the wall in cooperation with both companies and seek to minimise the cost as far as is practical."
Phi's response on 1 February 2006 was that it was "entirely unacceptable" that it should pay for all the costs associated with the remedial works.
"These comments are based on the second visit to site on 17 January 2006, CLA analysis of the current slope design…and an initial assessment of Phi Group's Proposals for Remedial Works issued on 3 February 2006.
The site visit on 17 January 2006 revealed further evidence of movement in the soil nailed slope both at lower and higher levels in the slope…
At the request of Mowlem, CLA had carried out an analysis of the soil nailed slope using an in-house program, SNAILS. For the purpose of analysis CLA adopted the section at CH 8330 which had a factor of safety of 1.3 as recorded in the Phi Group Report [of] 15 October 2004…The CLA analysis gave a factor of safety of 1.26 which is similar to that indicated by Phi Group and therefore if the design parameters are representative the slope should be stable with the current levels of soil nail reinforcement. However, if lower soil parameters more typical of those used to assess the long-term stability of London Clay slopes and factors of safety approach 1.0 and possibly lower. We calculate factors of safety of 1.0 for c´= 0, phi = 20. Phi Group have re-analysed this section of the as-built conditions and calculate a factor of safety of 1.41 for c´ = 0 kPa, phi = 21. On this basis CL are satisfied that there is an adequate factor of safety for the slope in the long term..
We consider that softening of the near surface clay is inevitable and this would lead to problems with the gravel filled facing and "quilting" of the ground between soil nails…
We consider that the soil nailed slope (both sides of the maintenance shed) should have a stiffer facing capable of resisting bulging between the soil nails and effectively transmitting loads back into the slope…
It is our opinion that Phi Group should not have relied on the reported peak design soil parameters alone for their design but as experienced geotechnical practitioners should at least have considered the possibility of softening of the clay and a reduction in strength. It is common knowledge that London Clay softens with time as it takes up water after excavation with consequent loss of c´ and phi. Such evidence has been described in many papers, eg Skempton's Rankine Lecture…"
"In our opinion, there are many unresolved issues concerning the methods of assessment of the failure. To enable a firm conclusion to be reached about the proposed remedial works it is recommended that:
- The slope analysis is reviewed and revised.
- The design of the facing mesh and Shotcrete be revised.
- An independent check of the Phi Group analysis and design is undertaken as this would help satisfy Laing Rail of the competency and impartiality of the analysis. If their insurers have already carried this out, then it may be possible for Laing Rail to obtain a copy.
- The Phi Group be updated in the light of the above, and be submitted for review.
A meeting with the designers to discuss our detailed comments would help clarify and agree a common understanding of the likely failure mechanism and help Phi Group to design satisfactory remedial work proposals."
"Section 3.4 highlights some of the limitations of the analysis currently presented in the Phi Group report. Most of these issues I have raised with you in meetings but perhaps did not make enough of the issues of analysing the as-constructed wall and its effect on overall stability as well as the design of the facing.
OWR also highlights that consideration must be given to the slope on the east side of the depot. However uncomfortable this is, I did raise the issue and I am not surprised that OWR consider this needs to be considered along with the west side, where the failures have actually appear. With time there is a real risk that unacceptable performance may occur on the east side as well.
Section 3.5. Their comments to the design of the remedial measures is flawed has some justification does not necessarily mean that the proposals will not work effectively. OWR will need some more convincing by analysing a larger range of possible scenarios. OWR are concerned about the long-term effectiveness of the drainage system which is not unreasonable bearing in mind the very low pore pressures assumed in the analysis of the slope to date."
"Concerns were raised however regarding the durability of the existing rear mesh and its ability to support the stone facing over the full term of the design life.
We wish to place on record that we believe this to be an entirely separate matter from dealing with the structural problems that are evident on site. This mesh has always formed a part of the stone facing solution, the design and specification of which was open to question through the whole design process.
We believe that it is inappropriate to raise this issue now and cause further delay to the execution of the remedial works when reports from site are confirming the further deterioration of the cutting…"
There was some discussion internally within Carillion whether these particular comments should be passed on to Laing Rail. This appears to have been unresolved. However, Carillion commissioned experts to examine the possible lifetimes of the galvanised steel mesh and they reported on 13 April 2006.
Later Events
"Please find attached our proposals for dealing with the water seepages observed on the London End wall.
As discussed we believe that the observation of wet patches on the clay face does not indicate the presence of pre-existing failure planes as found at the Country end and that the previous conclusion of all parties in this respect remains valid. However water pressure was not taken into account in the original facing design because neither the AIP nor the soils information provided gave any indication of the need to do so…"
The Proceedings
"[Phi] to pay [Carillion] the sum of £3.8 million…in full and final satisfaction both of the Claimant's claim and [Phi's] counterclaim, inclusive of all interest and costs."
Payment was to be and was made within seven days and there was to be no separate order as to costs. There is no suggestion other than, and I find, that this settlement was reasonable. It at least partly in commercial terms reflected the fact that Phi only had insurance cover, as a maximum, of £3 million. The settlement was achieved at a meeting in May between Mr Gale of Carillion and Mr De Waele of Phi's relatively new holding company. It also reflected, from Phi's standpoint the fact that its own expert Dr O' Riordan had formed a clear view that Phi had been causatively negligent. The contribution proceedings between Phi and RWC remained in issue.
(a) The historic costs relating to the earlier remedial work in 2005 and 2006 are asserted to be £599,904.80.
(b) The costs associated with the permanent remedial works scheme which will address the deep-seated instability are said to be £4,261,179.36; this is based on removing the existing soil nails, installing sheet piling to the base of the slope to address the deep seated instability and then provide new soil nailing to secure further stability of the slope. This figure also includes some actual costs incurred to date. The future remedial scheme is based upon a programme which are was discussed and agreed between Chiltern and Carillion, which is subject to a number of constraints, to which I will return when considering quantum.
(c) Chiltern's costs of £3,778,511.14 are claimed on the basis of the likely (as alleged) future costs of Chiltern occasioned by the future remedial work. This primarily relates to, as asserted, the need for Chiltern to service a number of the trains that would otherwise have been serviced at the Wembley depot at another rail operator's depot in the Birmingham area.
The Witnesses
(a) Jason Smith: he is a chartered surveyor and was employed by Carillion. He worked on this project in January 2004 until about 2006 as the managing surveyor for the depot project. He was involved in the January 2005 and October 2005 slips and their aftermath. He was a decent, reasonable and honest witness.
(b) Andrew Kenyon: he was a design manager for Carillion on this project whose job was to manage the design process for the work to which Carillion has design responsibility under the main contract. His role was mainly to ensure that design work and approvals were carried out in accordance with the programme and that documents generated were passed on to the right people. He had a role to review information for completeness and challenging designs provided but not to provide formal technical approval of the design. He was a chartered civil engineer. I formed the view that he was a thoughtful, conscientious and honest witness.
(c) Alasdair Graham: he was a planning and design manager employed by Carillion who was involved at tender stage and later he provided some support to the construction team and designed certain elements of temporary works. He was involved also in the January and October 2005 slips. He is and was also a chartered civil engineer. He was competent and a decent witness.
(d) Jeffrey Poole: he is a deputy director of TPS Consult which is a group company of Carillion; TPS has been retained to carry out the remedial work design. Much of his written evidence became irrelevant when the defending parties accepted the reasonableness of the proposed remedial work design. He was also involved in discussions with Chiltern about the remedial work design and his written evidence addressed a number of programming options put forward by Dr Aldridge, RWC's programming expert, many of which were not pursued. He seemed to be honest and conscientious.
(e) Alan Sowden: he was an important witness for Carillion. He is a Chartered Civil Engineer and was the Project Manager original works, for the remedial works following the two slips in 2005 and current proposed remedial works. I found him to be a very impressive witness; he was palpably honest and straightforward, and I formed the strong impression that he was not prone to exaggeration and that he had a pragmatic approach, particularly to the proposed remedial works.
(f) Stephen Critchley: he was the Operations Director of Carillion who dealt with more strategic issues relating to the overall project, albeit that he visited site about once a month. So far as is evidence went, he gave his evidence in a straight and open way.
(g) Catriona Marjoribanks: she is a Chartered Mechanical Engineer and the Engineering Director of Chiltern. She has been involved on the Chiltern side in reviewing the remedial works proposed by Carillion. Perhaps unsurprisingly given her position, she has a full and detailed working knowledge of Chiltern's operations and in particular the depot. I found her to be an impressive witness and, from the way in which she gave her evidence, I formed the view that she was not prone to exaggerate Chiltern's position or difficulties. She was prepared frankly to make concessions in relation to what Chiltern's costs were likely to be. I was impressed by her logical approach. She was, in short, convincing.
(h) Richard Harper: he is the Strategic Development Manager for Chiltern involved with the operational logistics on the railway line operated by a Chiltern and he is responsible for implementation strategies to enhance the business including the operation of the trains. He primarily addressed the disruption which would be caused by the remedial works and why Chiltern felt it necessary to impose certain constraints on the programming of those works. I was particularly impressed with his knowledge, enthusiasm and openness. He was fully on top of the subject matter of his evidence and dealt courteously and directly with what was a relatively hostile cross-examination. Again, he also readily made concessions where any reasonable point was put to him. The way in which he gave his evidence was such that I had and have no real difficulty in accepting the substance of what he said.
(i) Michael Eyles: he is also a Chartered Civil Engineer and worked as the Contracts Manager for Carillion for the depot project although he was also looking after three or four other projects. He has also been involved in the design and planning for the proposed remedial works and what involved in discussions with Chiltern about. He gave some evidence about remedial works costing and other heads of claim. He was open and honest in the way in which he gave evidence and particularly so when making a concession in relation to overheads. I formed the view that he was a fair and decent witness.
(k) Fraser Gale: he was the Commercial Director of Carillion who negotiated settlement with Phi through Mr de Waele. His evidence was largely uncontroversial but he gave his evidence in a straightforward and decent way.
(l) Mr Coakley: he is a Chartered Civil Engineer and he is a Senior Project Manager engaged as consultant by Chiltern and has been involved in liaising with Carillion in relation to the proposed remedial works. I found him to be a straightforward witness both when he was initially called and then recalled. He is clearly competent at his job and knowledgeable about Chiltern's operations on the railway and at the Wembley depot. He was involved throughout the original works as well. He was eminently believable.
(a) Jim de Waele: he was the managing director of Keller Ltd, the holding company of Phi, who negotiated the settlement with Carillion. he gave his evidence in a straightforward way and clearly adopted a commercial approach.
(b) John Wilkinson: he was a Chartered Civil Engineer and was managing director of Phi during the period of its involvement with the depot although his involvement was not a detailed one but he did lead the remedial works design after the October 2005 failure. He was very straightforward in the giving of his evidence and accepted that Phi fell below the requisite standards. Although it could be said that it was easier for him to make such concessions given that Phi had already settled with Carillion, I was impressed by the understated way in which such concessions were made. He gave his evidence in a candid way.
(c) Julian Fletcher: he was a Chartered Civil and Structural Engineer involved as Operation Manager in the detailed design of the original soil nailing works as well as in relation to the remedial works design from October 2005 onwards. He was straightforward and frank and readily conceded that he and his team had failed in their duties.
(a) Jon Bird: he was a Chartered Structural Engineer who was essentially in charge of the project on behalf of RWC until in about February 2006 he left to work elsewhere. He had been a reluctant witness in the sense that he had not wished to cooperate with RWC's solicitors initially, primarily due to pressure of work. Latterly, he did cooperate when threatened with a witness summons. Whilst I hasten to say that I did not find him dishonest, I did find him to be a hesitant witness and the least credible of all the factual witnesses. I found him to be particularly unbelievable when he gave his evidence that he did not know about the January 2005 slip; his evidence seeking to explain why he wrote an e-mail on 17 February 2005 which talked about "other areas of the site amendment e.g. slips" was not believable. His evidence about what the review of Phi's design would involve was not believable. He constantly sought to exculpate himself and RWC by saying that RWC and he had no geotechnical expertise in spite of the facts that RWC held itself out as having such expertise in-house and RWC and he gave the appearance of having some geotechnical knowledge in the written exchanges in 2004 and 2005.
(b) Oliver Engleback: he is a Chartered Structural Engineer employed by RWC who was closely involved with designing the access bridge. I found him to be somewhat defensive in particular in relation to his expertise and experience. He sought to hide behind the fact that he was merely a structural engineer without any geotechnical expertise, although he did prepare soil profiles in relation to the slope behind the depot retaining wall.
(c) Paul McCracken: he was RWC's project director and a Chartered Civil Engineer who in reality had very little direct involvement with the project until after Mr Bird left in February 2006. He gave what might be called corporate evidence for RWC as he had little personal or direct involvement as the project was left largely to Mr Bird to run. He only visited the site once or twice at a very early stage. He gave his evidence reasonably well, albeit that much of what he said does not take the case very much further.
(a) Dr Love: he was Carillion's engineering and geotechnical expert and was an extremely impressive witness who handled cross-examination in a particularly clear, helpful and courteous way. His CV and background are impressive and gave him great authority in the giving of his evidence. He was thoughtful, well researched, frank and knowledgeable. He was eminently believable and the large bulk of his evidence and conclusions were readily agreed by both the other engineering experts.
(b) Dr O' Riordan: he was Phi's engineering and geotechnical expert and he also had an impressive CV. He was frank and candid and his views were presented in a measured way. Although much of what he said was eminently believable and acceptable, I would rate Dr Love as the more impressive.
(c) Robert Jessep: he was RWC's engineering expert. He was less qualified and less experienced than the other two engineer experts. He was clearly a decent witness but I felt that he tried a little too hard to support his client's case on contributory negligence against Carillion; his analysis on this involved the surprising view that, simply because there were some civil engineers working for Carillion, they should have picked up the very problems which he accepts RWC should have picked up. This ignores the fact that it was RWC which was retained by Carillion to review Phi's designs. Of the three engineering experts, unfortunately I rated him third by a relatively substantial margin although much of this was to do not with his undoubted professionalism but more with his lesser experience compared with the other two.
(d) David Goodman: he was the planning and programming expert called by Carillion. I found him to be particularly straight, keen and focused. He was an impressive expert whose views commanded respect.
(e) Dr Aldridge: the programming expert called by RWC, he clearly suffered from not being provided with all the relevant information by his clients. Indeed, I initially refused permission for his draft second report to be exchanged on that basis. He originally produced 17 alternative programming options of which he abandoned 14. When his alternative second report was served, he had come up with two further options and forgot to mention another option which had been provided to RWC's quantum expert as another viable option. Whilst I do not in any way doubt his integrity, I did not find him convincing on matters where he materially differed from Mr Goodman.
(f) Jan Glasscock: he was the railway operations expert called by RWC. It is no discredit to him that he has no formal qualifications but he does have many years of experience working on the railways. He is clearly passionate about railway planning and programming and was enthusiastic. However, he was ultimately very unconvincing. He had approached matters and his evidence in a somewhat amateur or eccentric way. He agreed in the joint statement of the railway experts that there could be taken to be three un-planned train movements on weekdays but then for no obviously good reason went back on that. He relied in his reports on what some unnamed people, employed probably by Network Rail, said to him in a signalling room at Marylebone Station; he did not know what their experience was or indeed much about them at all; he did not exhibit his notes of his discussions with them. He relied heavily upon the idea of "turnover" at the Tyseley depot (which Chiltern intend to use for the trains which can not use the Wembley depot during the remedial works), without having even mentioned it in his reports. He referred to various calculations in evidence, relating to the de-linking option, without referring to them in or attaching them to his reports. Ultimately and on numerous occasions, whenever he was rightly put into a corner under cross-examination, he resorted almost apologetically to saying that the viability of what he was saying would be largely or possibly entirely dependent on how Chiltern was able in the future to "re-diagram" (that is re-programme) the timetable. I have to say that I found him to be an unsatisfactory witness, in these proceedings, although I hope that after this, his first ever, outing as an expert in court, his experience here will assist him in future to provide more convincing evidence.
(g) Lewis Ayres: he was the quantity surveyor expert called by Carillion. An experienced professional, he was down-to-earth and sensible and a "no-nonsense" type of expert. He made some concessions but was occasionally slightly inflexible in circumstances where some more concession might reasonably have been given.
(h) Mark Hackett: he was called by RWC as its quantity surveying expert. He is a well-known and polished quantum expert and gave his evidence confidently. I felt that in this case he, and indeed Mr Taylor for Phi, adopted too much of a strict audit accounting approach, such as, initially refusing to allow any sum for certain historic management time costs in circumstances where a significant amount of management time must have been incurred in dealing with the defects which are the subject matter of the Claim.
(i) Alan Taylor: Phi's quantum expert is experienced but like Mr Hackett he adopted too strict an approach which, I suspect, he would not have done if he had been acting for Carillion. That said, as a matter of logic and common sense, a certain amount of what he, and indeed Mr Hackett, had to say resonated as having some force.
Liability
"RWC made the correct design assumptions for height of the water table and water pressure in its own design of the retaining wall for the Depot (and assumed it was about 4m above the toe of the slope). However, RWC failed to notice, or did notice but failed properly to consider the effect of, Phi's unrealistic and negligent assumption in respect of water pressure and the value of ru in the Phi calculations."
The second sentence is admitted as a breach of duty. However, it is not accepted, as such, that it was negligent of RWC not to use the same design assumption for water table and water pressure used by it in the design of the depot building retaining wall as was used by Phi for the soil nail work. This is immaterial because, as all engineering experts properly accepted, a ru value of 0.2 or 0.25 or more should have been used by Phi in any event.
"RWC correctly considered in its own design for the retaining wall of the Depot that weathered London Clay was likely to be present at the site, and assessed in that design that there was likely to be weathered London Clay down to a depth of 2.5m below the surface. However, RWC failed to notice, or did notice but failed properly to challenge and/or consider the effect upon Phi's design, that Phi had assumed that the presence of relic shear planes could be ignored. Relic shear planes are only found in weathered London Clay, and a specific difference in characteristics of weathered London Clay, and un-weathered London Clay, is the likely presence of relic shear planes in the former. The presence of relic shear planes would not have been ignored by a competent designer exercising reasonable skill and care."
The second and third sentences are admitted as breaches of duty but, again, RWC does not accept the first sentence either as correct or as having any material impact. The evidence at the trial did not really focus on the first sentence and I am not satisfied that it is particularly material.
"as part of their ongoing duty as a reviewer of Phi's design, RWC ought to have taken an interest in what was going on site during their periodic site visits and, had they done so, would probably have discovered the slips for themselves since the retaining wall works at the depot and the soil nailing works were being carried out contemporaneously".
I have no good reason to disagree with that expert view agreed by two responsible and respected experts. I have found that RWC probably knew about the slips in any event. Even if it did not (which is unlikely), RWC had a duty to have taken an interest in site occurrences and had it done so, it would have found out about the slips for itself.
"Q…assuming...[RWC] had the involvement of the 4 January 2005. But in the light of the January 2005 October 2005 failures, if [RWC] were carefully reviewing the design at that stage, re-reviewing it?
A Yes.
Q. Should a competent careful person in RWC's position have picked up the potential of the deep-seated problem?
A. Yes they should have done, but I recognise that the failures that had occurred on site didn't suggest a deep-seated problem. Therefore, I think they would have had to have gone the extra mile to realise, you know, to reassess the deep-seated instability issues, even though they were not apparently causing a problem on site."
Causation
(a) It says that it was not involved in the January 2005 slip and indeed did not even know about it; this slip it is said should have alerted others including Phi and Carillion to the likelihood that there was some serious problem.
(b) Its limited involvement in the aftermath of the October 2005 slips breaks the chain of causation. It is said that Phi should have amended its design after both slip incidents.
(c) Essentially, the reliance by Carillion on others such as Phi and CLA Associates also breaks the chain.
(d) The supposed failure by Carillion to secure the services of a wholly independent specialist engineer in late 2005 or in 2006 would or could have led to the deep-seated instability being discovered.
(e) The facts that sufficient was said in the late 2005 to 2006 period to alert Carillion, Phi or others to the facts that the ru value being used was too low and that critical soil parameters should have been used rather than less conservative ones.
(f) The remedial scheme actually effected in 2006 did not put right the deep-seated instability.
"18. A break in the chain of causation for the purpose of claims in contract and tort is commonly said to occur when an unforeseeable extraneous event occurs after the breach of contract or of duty so as to have the effect of preventing any loss from flowing from the breach. But a formulation of that type merely begs the question what will count as stopping loss from flowing. In Galoo v Bright Grahame Murray [1994] 1 WLR 1360, cited in the appellants' counsel's skeleton argument, Lord Justice Glidewell held, after citing learning from Australia, that the question how the court decides whether a proven breach of duty was the cause of the loss claimed or merely the occasion for the loss was to be answered by the application of the court's common sense (page 1375 A). But that would not appear to take us very far and, with respect, an appeal to common sense is sometimes apt to be little more than an alibi for want of principle.
19. There is an underlying difficulty in the very concept of a break in the chain of causation. Whether there has or has not been such a break looks very much like a question of fact. Indeed in this very case Mr Sampson, for the respondents, has been at pains to submit that the judge's finding on the point, being a finding of fact, ought not to be interfered with by this court. But a finding as to a break in the chain of causation is not, or at least is not purely, a finding of fact because it is by no means value-free. The real question is whether on the proved or admitted facts the respondents should or should not be held responsible for the appellants' loss. If one looks at it that way one sweeps aside the metaphysics of causation.
20. Such an approach is, it seems to me, commended by material in their Lordships' opinions in Fairchild [2003] 1 AC 32. In that case their Lordships' House was concerned with a personal injury action in which the claimants had suffered asbestos dust disease, and there were multiple defendants. I will cite two paragraphs from the opinion of Lord Bingham and from Lord Hoffmann. Lord Bingham said at paragraph 12:
"My noble and learned friend Lord Hoffmann has, on more than one occasion, discouraged a mechanical approach to the issue of causation. In Environment Agency (formerly National Rivers Authority v Empress Kahn Co Ltd [1999] 2 AC 22 at 29, he said:
'The first point to emphasise is that common sense answers to questions of causation will differ according to the purpose for which the question is asked. Questions of causation often arise for the purpose of attributing responsibility to someone, for example, so as to blame him for something which has happened or to make him guilty of an offence or liable in damages. In such cases, the answer will depend upon the rule by which the responsibility is being attributed.'
More recently, in Kuwait Airways Corporation v Iraqi Airways Co (Nos 4 and 5) [[2002] 2 AC 883, 1106] paragraph 128 he said:
'There is therefore no uniform causal requirement for liability in tort. Instead, there are varying causal requirements, depending upon the basis and purpose of liability. One cannot separate questions of liability from questions of causation. They are inextricably connected. One is never simply liable; one is always liable for something and the rules which determine what one is liable for are as much part of the substantive law as the rules which determine which acts give rise to liability."
Lord Bingham then proceeded to set out a passage from a judgment of mine which I hope I may be forgiven for repeating. His Lordship said:
"Laws LJ was reflecting this approach when he said in Rahman v Arearose Ltd [2001] QB 351 at 367-368 [paragraph 33]:
'So in all these cases the real question is, what is the damage for which the defendant under consideration should be held responsible. The nature of his duty (here, in the common law duty of care) is relevant; causation, certainly, will be relevant - but it will fall to be viewed, and in truth can only be understood, in light of the answer to the question: from what kind of harm was it the defendant's duty to guard the claimant? ..... Novus actus interveniens, the eggshell skull, and (in the case of multiple torts) the concept of concurrent tortfeasors are all no more and no less than tools or mechanisms which the law has developed to articulate in practice the extent of any liable defendant's responsibility for the loss and damage which the claimant has suffered.'
13 I do not therefore consider that the House is acting contrary to principle in reviewing the applicability of the conventional test of causation in cases such as the present. Indeed, it would seem to me contrary to principle to insist on application of a rule which appeared, if it did, to yield unfair results. And I think it salutary to bear in mind Lord Mansfield's aphorism in Blatch v Archer [1774] 1 Cowp 63 at 65, quoted with approval by the Supreme Court of Canada in Snell v Farrell (above) [[1990] 2 Supreme Court Reports 311/328]:
'It is certainly a maxim that all evidence is to be weighed according to proof which it was in the power of one side to have produced, and in the power of the other to have contradicted.'"
Lord Hoffmann said at paragraphs 51 and 52 in the same case:
"51 First, in what sense is causation a question of fact? In order to describe something as a question of fact it is necessary to be able to identify the question. For example, whether someone was negligent or not is a question of fact. What is the question? Is it whether he failed to take reasonable care to avoid such damage as a reasonable man would have foreseen might result from his conduct. That question is formulated by the law. It is the law which says that failure to take reasonable care gives rise to liability. And the question is then answered by applying the standard of conduct prescribed by the law to the facts.
52 The same is true of causation. A question of fact is whether the causal requirements which the law lays down for that particular liability have been satisfied. But those requirements exist by virtue of rules of law. Before one can answer the question of fact, one must first formulate the question. This involves deciding what, in the circumstances of the particular case, the law's requirements are. Unless one pays attention to the need to determine this preliminary question, the proposition that causation is a question of fact may be misleading. It may suggest that one somehow knows instinctively what the question is or that the question is always the same. As we shall see, this is not the case. The causal requirements for liability often vary, sometimes quite subtly, from case to case. And since the causal requirements for liability are always a matter of law, these variations represent legal differences driven by the recognition that the just solution to different kinds of case may require different causal requirement rules."
21. That a finding of a break in the chain of causation is an evaluative exercise, not merely a finding of fact simpliciter, is I think starkly illustrated in the present case when one calls to mind that the judge's factual finding on causation at paragraph 32, which I have set out, shows that as a matter of fact the respondents' breach of contract, essentially fixing the rotisserie too close to a combustible wall, was certainly instrumental as a cause of the fire.
22. The true question here is whether the appellants' failure to respond to the letter of 21 January 1997 ought to absolve the respondents of what would plainly otherwise be their responsibility for the fire. For my part, I think it plain that the risk of a fire of this kind was, on the facts, well within the scope of outcomes which the respondents' contractual duties were intended to avoid. So much appears, I think, from the catalogue of obligations cited by the judge at paragraph 38 which I have set out. Accordingly, even if the letter of 31 January 1997 and the enclosed fax did constitute a warning of a risk of fire of the kind which occurred on 9 January 1997, a question to which I will come in a moment, it was a warning of an outcome which the respondents themselves should have prevented from happening. I find it very difficult to see how the giving of such a warning ought to transpose the burden of avoiding that very outcome from the respondents, who owed a duty in effect to prevent it, to the appellants who were the beneficiaries of that duty.
23. But in any event I do not consider that the letter was a warning - certainly not a sufficient warning - that there was a risk of fire happening as this fire happened. The wording of the letter did not in terms amount to a warning at all. Indeed the expression "please advise us what action, if any, you wish us/the builders to take", suggesting that action was optional rather than necessary, is all but inconsistent with the notion of a warning; and the enclosed fax is, to say the least, indefinite as to fire risk. To constitute a proper warning the respondents must have drawn attention - in terms, or at least very plainly - to the fact that the unit was fixed directly on to a combustible surface; and that, as I have foreshadowed, would have been a warning of the respondents' own breach of contract.
24. In my judgment for these reasons the judge below was wrong to find that the chain of causation as between the respondents' breach of contract and the fire was broken. Her errors were errors of principle, and so Mr Sampson, despite his energetic efforts this morning, can take no comfort as I see it from any suggestion that the judge was merely expressing a particular view of the facts.
25. These same considerations really conclude, in the appellants' favour, a further question - whether the judge was right to hold that the respondents' duty in tort was discharged by the letter of 21 January 1997. That duty cannot have been discharged by notifying the appellants that a risk of fire had arisen from the respondents' own want of care."
"29. The judge did not direct herself in such terms with the result that she did not articulate the particular rule or question to which the causal issue was relevant. Had she approached the matter in that way she would have inevitably been referred back to her own reasons for finding breach of contract and breach of duty on the part of Carford, as set out in particular in paragraphs 43 and 47 of her judgment which my Lord has already mentioned. In the light of that conclusion - that Carford were in breach of their contractual obligations by not installing the rotisserie in accordance with the manufacturer's instructions - the issue before her was therefore in what circumstances, if any, would it be possible for a notification or warning by Carford of its own breach discharge its continuing liability for damage caused by that breach.
30. For that to be achieved, any warning would as a matter of law have to be overwhelming and plainly effective before it could excuse Carford. Carford would in effect have had to make it its own business to ensure that the breach was nullified, and have been frustrated in that attempt by a lack of response by the building owner. The judge did not look at the question in that way. She seems to have assumed that the question was simply one of a breach of chain of causation looked at in general terms and that any warning that could be sufficiently described as such would suffice for that purpose."
(a) The problem which is the subject matter of this current claim is the deep-seated instability which Phi's design and calculations failed to address and was not picked up as a matter of fact by Phi and RWC or indeed anyone else prior to construction of the soil nailed walls, or during or as the result of the January and October 2005 slips or the respective subsequent remedial works. Of course, it was not the deep-seated instability which was or was sought to be addressed by the two sets of remedial works; it was the shallow instability which was addressed. For better or for worse, nobody appreciated that there was deep-seated instability let alone any deep-seated instability which had been addressed by the original works or the remedial works until late 2007, over a year after the last remedial works were completed. The deep-seated instability and the shallow instability are two technically different problems and would need different remedial works in that the deep-seated instability would need something such as sheet piling to go below the depth at which that instability operates.
(b) The January 2005 and October 2005 slips occurred only at the Country end. There were no material problems in terms of slippages at least in relation to the London end.
(c) In fact, RWC was aware in January or early February 2005 of the January 2005 slips, as I have found above, yet it chose to do nothing about it in terms of properly advising its client, let alone investigating the problem and reviewing the designs and calculations which it had earlier purported to review or check, albeit with an insufficient degree of care.
(d) RWC was expressly made aware of the October 2005 slips and was expressly warned that it might be liable. It was asked to and did become involved between November 2005 and January 2006 and it was asked to become involved in February but it decided not to do so.
(a) In my judgement, one can simply not criticise Carillion for not picking up on RWC's suggestion, never repeated, in its e-mail of 9 December 2005:
"Lastly, given the seriousness of the failure and the long-term lifespan required, it may be prudent to consult an independent specialist in the field of soil nailed walls to review the proposals made. This may be the most expedient way of providing Laing Rail with renewed confidence in the soil nailed walls. Oliver [Engleback] has mentioned Jamie Standing of GCG as a recognised expert in the field…"
The reasons are many. As a matter of fact, Carillion had retained CLA which was an appropriate geotechnical specialist to advise it; although CLA was part of the Carillion group, it was a separate corporate entity and personality and operated independently; by all accounts it gave independent advice which Carillion would have had no reason to doubt or question. Secondly, the advice was being given by RWC, not in the context that it was unable to give sensible advice or to perform the contractual obligations which it had undertaken to Carillion, but simply as a way to provide comfort to Laing Rail; indeed the text of the remainder of the e-mail belies any suggestion that RWC was in some way not up to giving appropriate advice itself. It was pragmatic or commercial rather than engineering advice. Thirdly, the advice, such as it is, is hardly emphatic: "it may be prudent" is hardly telling the client that this is something that should or needs to be done.
(b) It is clear that RWC was made aware in December 2005 and then again in February 2006 that the diagnosis of the problem and, in broad terms, the remedial work solution related to instability only in the upper layers of the clay. Indeed, that diagnosis and that solution were maintained even after the stage in February 2006 when RWC was no longer positively involved in continuing discussions about the aftermath of the October 2005 slips. Put another way, nothing materially changed in terms of diagnosis or solution after that stage.
(c) The fact that Carillion relied upon Phi and CLA after February 2006 rather than RWC is neither here nor there. RWC had been given the specific opportunity to interest itself in the diagnosis and the solution but it chose not to do so. It still had the contractual responsibility both as Lead Consultant and in any event to interest itself. It is hardly surprising that Carillion did not press an indifferent consultant for further involvement particularly in circumstances where it had others who were cooperating and there was a problem to overcome.
(d) If the deep-seated instability had been appreciated by anyone in late 2005 or in 2006, all that would have happened is that the type of remedial work now to be embarked on would have been done possibly earlier and RWC would have been liable for that, albeit, as now, Phi would also have been liable. I say "possibly earlier" because the current remedial solution has only been decided upon following some three years of monitoring which has informed the experts as to what the appropriate remedial solution should be.
Contributory Negligence
Indemnity
"(1)The Consultant shall indemnify the Contractor (2) against every liability which the Contractor may incur to any other person whatsoever and (3) against all claims, losses, demands, proceedings, damages, costs and expenses made against or incurred by the Contractor (4) by reason of any breach by the Consultant of this Consultancy Agreement…"
It is first necessary to construe this indemnity:
(a) The wording of the first part is in relatively standard form and is self-explanatory. The indemnity is clearly intended to provide something of value to Carillion.
(b) The indemnity as a matter of commercial logic as well as on the wording is clearly intended to relate to breaches of duty on the part of RWC. Thus, in the second and third part of this clause, the "liability" to be incurred or the "claims…expenses made against or incurred by" Carillion must both arise by reason of a breach by RWC.
(c) There are two aspects or parts of the indemnity which are or may be distinct, namely the second and third parts identified above. Thus, the indemnity relates to both a liability incurred by Carillion to a third party by reason of RWC's breach and "against all claims…expenses" made against or incurred by Carillion by reason of such breach.
"…that the general rule in cases of indemnity is that while equity will safeguard the position pending the ascertainment of the facts and extent of liability of the person to be indemnified, he has no cause of action until such ascertainment. There is thus a strong body of authority not only in favour of [the] proposition as to when the cause of action for an indemnity arises at common law as modified by equity but also to the effect that these rules…are universal."
Quantum
(a) Credit for what it would or might have cost Carillion if Phi and RWC had picked up the problems of shallow and deep-seated instability at the pre-construction stage ("The Original Cost Credit Issue").
(b) The proposed use by Carillion of Carillion Group companies costed on a negotiated as opposed to competitively procured tender ("The Group Company Issue").
(c) The properly programmed period for the remedial works ("the Programme Issue").
(d) Contingency risk allowance ("the Contingency Issue").
(e) The value, if any, of Carillion's overheads ("the Overheads Issue").
In addition, there are the following quantification and proof of cost or loss issues:
(f) Historic costs of 2005-6 remedial works ("the 2006 Remedial Work Cost issue").
(g) Past and future design or engineering costs ("the Design Costs Issues").
(h) Preliminary Costs Issues.
(i) Staff costs to date ("the Staff Costs Issue").
(j) The credit due for the Phi settlement ("the Settlement Issue").
(k) Condition Survey and Rail Maintenance ("the Condition Survey Issue").
"256. The essential object of an award of damages is to put the innocent claimant "in the same position as he would have been in if he had not sustained the wrong for which he is now getting compensation or reparation" (see Livingstone v Rawyards Coal Company (1880 5 App.Cas 25, 39).
257. Damages for breach of contract "should be such as may fairly and reasonably be considered either (1) arising naturally, i.e. according to the usual course of things from such breach of contract itself, or (2) such as may reasonably be supposed to have been in the contemplation of both parties at the time they made the contract, as the probable result of a breach of it" (Hadley v Baxendale (1854) 9 Ex 341, 354). I am only concerned in this case with first limb of Hadley v Baxendale damages. None of the heads of loss in this case are challenged, properly or at all, on the grounds that they fall outside the first limb of Hadley v Baxendale. Whether the quantum and the requisite causation are proved, however, another matter.
258. The question of reasonableness of the loss or damage claimed legitimately arises in a number of different ways. As confirmed in Hadley v Baxendale (in the words quoted above) it is necessary that the damages must "fairly and reasonably be considered" as arising from the breach. That reasonableness is itself an essential element in establishing damages was confirmed in the House of Lords case of Ruxley Electronics Ltd v Forsyth [1996] 1 AC 344. The judgments of their Lordships contain many references to the importance of reasonableness in selecting the appropriate measure of damages and determining the extent and measure of damages. For instance Lord Lloyd of Berwick says at page 368A and 370A:
"Once again one finds the court emphasising the central importance of reasonableness in selecting the appropriate measure of damages …
So I cannot accept that reasonableness is confined to the doctrine of mitigation. It has a wider impact …"
Thus, I conclude that it is generally incumbent upon an innocent claimant entitled to damages to demonstrate not only that the loss was within one of the Hadley v Baxendale limbs but also that it is reasonable to recover damages of the type and extent claimed.
259. Reasonableness as a separate element is to be distinguished from the "duty" to mitigate. That is described in the well-known speech of Viscount Haldane LC in British Westinghouse Co v Underground Railway [1912] AC 673, 689:
"The fundamental basis is thus compensation for pecuniary loss naturally claimed from the breach; but this first principle is qualified by a second, which imposes on a claimant the duty of taking all reasonable steps to mitigate the loss consequent on the breach, and debars him from claiming any part of the damage which is due to his neglect to take such steps."
The onus of establishing a failure to mitigate is upon the defendant. It is clear from numerous authorities that the duty to mitigate does not impose a heavy onus on a claimant. In almost every case, provided that the claimant can be shown not to have acted unreasonably in all the circumstances, to that extent it will not have failed to mitigate its loss.
260. The duty to mitigate is, generally, not a contractual or statutory duty. For instance Pearson LJ in Darbishire v Warran [1963] 1 WLR 1067 properly said:
"It is important to appreciate the true nature of the so-called 'duty to mitigate the loss' or 'duty to minimise the damage'. The claimant is not under any contractual obligation to adopt the cheaper method: if he wishes to adopt the more expensive method, he is at liberty to do so and by doing so he commits no wrong against the defendant or anyone else. The true meaning is that the claimant is not entitled to charge the defendant by way of damages with any greater sum than that which he reasonably needs to expend for the purpose of making good the loss. In short, he is fully entitled to be as extravagant as he pleases but not at the expense of the defendant."
That dictum has some particular relevance here where, on any count, as it effectively accepts, AXA spent considerably more in resolving the problems at Orchard Farm than was necessary.
261. The costs of and occasioned by reinstatement in a construction context are often, albeit not invariably, the proper measure of damages where there has been defective or negligence performance, particularly where the defaults have caused defects or deficiencies in building (East Ham Corpn v Bernard Sunley & Sons [1966] AC 406). However "where reinstatement is the appropriate basis for the assessment of damages, it must be both reasonable to reinstate and the amount awarded must be objectively fair as between the claimants and the defendants" (per Clarke LJ in the Maersk Colombo [2001] 2 Lloyd's Rep 275, 281).
262. In considering reasonableness, both in the context of mitigation and reasonableness as a basis for establishing damages, the court will not be unsympathetic to the predicament in which an innocent claimant is put by the breaches of contract of the defendant. As Lord MacMillan said in Banco De Portugal v Waterlow & Sons Ltd [1932] AC 452 at page 506:
"Where the sufferer from a breach of contact finds himself in consequence of that breach placed in the position of embarrassment the measures which he may be driven to adopt in order to extricate himself ought not to be weighed in nice scales at the instance of the party whose breach of contract has occasioned the difficulty. It is often easy after an emergency has passed to criticise the steps which have been taken to meet it, but such criticism does not come well from those who themselves created the emergency. The law is satisfied if the party placed in a difficult situation by reason of the breach of a duty owed to him has acted reasonably in the adoption of remedial measures, and he will not be held disentitled to recover the costs of such measures merely because the party in breach can suggest that other measures less burdensome to him might have been taken.""
(a) Damages are awarded to compensate an innocent claimant so as to put it in the same position as it would have been in if he had not sustained the wrong.
(b) Damages for breach of contract must fall within one or other of the two limbs of Hadley v Baxendale.
(c) The innocent claimant must establish that it is reasonable to recover damages of the type and extent claimed.
(d) The burden of proving a failure to mitigate is on the unsuccessful defendant. If the innocent claimant has not acted unreasonably in all the circumstances, particularly examined at the time, there will be no failure to mitigate.
(e) In considering reasonableness or unreasonableness both in the context of a failure to mitigate as well as the reasonableness of the type and extent of damages claim, the Court will not be unsympathetic to the predicament in which the innocent claimant finds itself as a result of the unsuccessful defendant's breaches of contract.
(a) Both Phi and RWC were substantially and extensively in breach of contract.
(b) Those breaches manifested themselves both during the January and October 2005 slip periods as well as following the completion of the works. The current problems and remedial works therefore represent the third occasion on which parts or, now, all of these soil nailed slopes need to be substantially remedied.
(c) The Wembley depot has been operated by Chiltern since a date in 2006 and it has become an integral and important part of Chiltern's undertaking.
(d) It is not unreasonable for Chiltern to want and to need to keep the depot open whilst the remedial works are carried out because, I accept, that, if it was entirely shut for the whole of the remedial works, there would or could be irremediable disruption to Chiltern's operations. I do not understand this to be an issue.
(a) The Original Cost Credit Issue
(b) The Group Company Issue
(a) These are going to be tricky and risky works and represent the third, albeit one hopes the final, attempt to put right and address serious instability.
(b) It is wholly reasonable for Carillion to use group companies who it knows and has confidence in and, in particular, who are unlikely to make any material claims for extra costs and losses if and when the works turn out to be more difficult or more extensive than that predicated by the submitted tenders. There is more likely to be particularly good liaison and co-operation between Carillion and its sister companies, particularly if and when things go wrong, compared with what may well be a more confrontational approach if outside contractors are involved.
(c) There will be a saving at least to some extent because Carillion is not claiming for profit on the tendered prices of the group companies.
(d) Certainly, the defending parties have not established on the facts that it would be unreasonable for Carillion to use sister companies.
(a) The quantum experts agree (in their joint statement of 1 February 2011) agreed that, although negotiated or single source tenders represent neither unusual nor bad practice, this approach is "likely to result in costs that are higher than those which could be obtained from the market…by means of selective competitive tendering." They agreed that respectable studies indicate that the single source or negotiated tender "can carry a premium of up to 15%". Mr Ayers accepted that a price effect of about 10% reflects the difference. However, it is unlikely that, given the particular and perceivable difficulties and risks associated with this particular site and remedial work scheme, the difference is or would be as much as 15% or even 10%.
(b) The group companies who have provided the prices in question are commercial organisations who otherwise tender in the open market. Therefore for comparable tendering in the open market, they will be quoting at up to about 15% more than the price levels in this case.
(c) The group companies will therefore in all probability be open to further negotiation to reduce their prices somewhat, albeit that, given the risks even to them from the site and the nature of the work involved, as well as the programming constraints, there will probably be only limited room for negotiation.
(c) The Programme Issue
(d) The Contingency Issue
(a)The one thing that is certain about this site, as has been proved by the January and October 2005 slips and by what has been unearthed and established since by the experts, is that there will be some further and un-programmed slips and instabilities. That happened both during the post-January 2005 and post-October 2005 slips remedial stages.
(b) Although the weather coincidently since about March 2011 has been good, it is likely that bad weather will intervene at some stage to prevent or inhibit works. The on-site programme period of 27 weeks is just short of seven calendar months. The earliest date when works could start following this judgement is some 15 weeks and possibly more, allowing for planning periods and for Chiltern to prepare logistically for the period of remedial works. On that basis, works would start in the winter which is not the period in which out of choice civil engineering contractors would prefer to work. Even if Carillion and Chiltern was to await the advent of Spring 2012, the probability is still that weather would intervene to disrupt and delay the programme.
(c) Mr Eyles gave evidence that the contingency allowance, based on 15% of the construction cost, was broken down into 2% for scope creep (such as face slips), 2% for quantity errors (quantities being greater than currently anticipated or priced for), 1% for unforeseeable risks and 10% for unforeseen but time related increases in Chiltern's costs. A lump sum of £531,871.81 is claimed. An example of the quantity errors is that no allowance has yet been made for repairing or replacing the concrete walkways at the top of the slopes, both at the Country and London ends. It is almost inevitable, in my judgement,that there will be the need for such works.
(d) Mr Goodman, whose evidence on this I broadly accept, said (Day 11) not only that it was inconceivable that the work would not be affected at some stage by poor weather but also that there was a real risk that the site works would take 29 weeks. He allowed an additional four weeks on top of that for bad weather stoppages. He also said that there was some risk that Chiltern would require Road 3 at some stage over the on site works period which would then result in further delay and disruption.
(e) On any account, the cost of any delay to Chiltern is likely to be at the very least a very high five figure or more probably a low six-figure sum per week.
(e) The Overheads Issue
(f) The 2006 Remedial Work Cost issue
(g) The Design Costs Issues
(h) Preliminary Costs Issues
(i) The Staff Costs Issues
(j) The Settlement Issue
(k) The Condition Survey Issue
The Chiltern Costs Issue
(a) Chiltern has and will have a finite number of trains.
(b) It has to run those trains on a regular basis, with many more having to be run during the rush hours than at other times.
(c) Trains sometimes break down or need unplanned repairs.
(d) Every train needs diesel to run and, although they do not need to be fuelled every day, on average they need refuelling about every two days.
(e) Every train which has been in use needs to be regularly serviced in terms of internal cleaning, toilet clearing and other servicing.
(f) I have found and accept that the effect of remedial works programme will be that on weekdays 34 train vehicles which would otherwise have been serviced and fuelled at Wembley will not and will not be able to be so dealt with and will have to go to Tyseley because there is no spare capacity elsewhere on Chiltern's network.
(g) There has been no suggestion that the passenger load either at rush hours will decrease.
Heads of Damages | Amount allowed as damages |
FUTURE REMEDIAL WORKS | |
Remedial works (excluding Preliminaries) | £2,217,068.01 |
Preliminary and site compound costs | £836,946.21 |
Deduct over valuation of Sunday working | [£33,691] |
Condition Survey/Rail Maintenance | £35,000 |
Staff Costs to date | £22,728 |
Design Costs | £203,430 |
Risk/Contingency | £350,000 |
Total base cost | £3,631,481.22 |
Head Office Overheads @2% on base cost | £72,629.62 |
Total with Overheads | £3,704,110.84 |
Less Original Cost Credit | [£397,630] |
Net total for future works | £3,306,480.84 |
Add historic remedial works costs | £508,627.02 |
Total for all works-A | £3,815,107.86 |
CHILTERN COSTS | |
Fixed Costs | £72,500 |
Recurring Costs: £104,935.41 x 27 | £2,833,256.07 |
Total Chiltern costs-B | £2,905,756.07 |
TOTAL DAMAGES A+B | £6,720,863.93 |
Less interest on Phi settlement sum | £20,000.00 |
TOTAL DAMAGES | £6,700,863.93 |
Less sum received as damages from Phi | £3,450,000.00 |
TOTAL NET DAMAGES | £3,250,863.93 |
Contribution
"1.(1) Subject to the following provisions of this section, any person liable in respect of any damage suffered by another person may recover contribution from any other person liable in respect of the same damage (whether jointly with him or otherwise).
(2) A person shall be entitled to recover contribution by virtue of subsection (1) above notwithstanding that he has ceased to be liable in respect of the damage in question since the time when the damage occurred, provided that he was so liable immediately before he made or was ordered or agreed to make the payment in respect of which the contribution is sought…
(4) A person who has made or agreed to make any payment in bona fide settlement or compromise of any claim made against him in respect of any damage (including a payment into court which has been accepted) shall be entitled to recover contribution in accordance with this section without regard to whether or not he himself is or ever was liable in respect of the damage, provided, however, that he would have been liable assuming that the factual basis of the claim against him could be established…E+W+N.I.
2 (1) Subject to subsection (3) below, in any proceedings for contribution under section 1 above the amount of the contribution recoverable from any person shall be such as may be found by the court to be just and equitable having regard to the extent of that person's responsibility for the damage in question.
(2) Subject to subsection (3) below, the court shall have power in any such proceedings to exempt any person from liability to make contribution, or to direct that the contribution to be recovered from any person shall amount to a complete indemnity…"Annotations are used to give authority for changes and other effects on the legislation you are viewing and to convey editorial information. They appear at the foot of the relevant provision or under the associated heading. Annotations are categorised by annotation type, such as F-notes for textual amendments and I-notes for commencement information (a full list can be found in the Editorial Practice Guide). Each annotation is identified by a sequential reference number. For F-notes, M-notes and X-notes, the number also appears in bold superscript at the relevant location in the text. All annotations contain links to the affecting legislation.
The level of contribution must therefore be just and equitable having regard to the extent of that person's responsibility for the damage in question.
"Section 2(1) of the Civil Liability (Contribution) Act 1978 provides that the amount of the contribution recoverable from any person"shall be such as may be found by the court to be just and equitable having regard to the extent of that person's responsibility for the damage inquestion…There was some initial controversy as to the proper basis of apportionment but in Downs v Chappell Hobhouse LJ made clear that:
"…it is just and equitable to take into account both the seriousness of the respective parties' faults and their causative relevance. A more serious fault having less causative impact on the plaintiff's damage may represent an equivalent responsibility to a less serious fault which had a greater causative impact."
The apportionment of damages is substantially a matter for the discretion of the trial judge and an appellate court will revise his award only in very exceptional circumstances."
"This Act…enables a just and equitable apportionment, including a complete indemnity, to be made. The tribunal is therefore required to take into account not only the respective "causative potency" of the parties' acts and omissions towards causing the damage in question but also their relative "blameworthiness", although the first factor will be the most important. Where the party claiming contribution has settled its liability it is still open to the party from whom contribution is sought to challenge the amount of such settlement as unreasonable and therefore not the basis on which the apportionment should be based [J Sainsbury v Broadway]."
"The courts have adopted a rule of thumb in construction cases that an architect or engineer charged with supervising a contractor should be responsible for the contractor's poor workmanship to an extent which ranges from 20 per cent to 33 per cent, except where the supervisor had been exceptionally slapdash in the discharge of his duties, or where the contractor has a duty to warn of unsafe works."
In a footnote to the text quoted above, the author notes that:
"As between negligent construction professionals, e g architects and
engineers, the apportionment of liability will obviously turn on the relative extent of their involvement and roles in the project."
"I now have to consider, given that I have found each defendant to be in breach of statutory duty, the question of apportionment between them. The plaintiffs are entitled to Judgement in full against both defendants but as between each other, the question of responsibility has to be apportioned by this court. I bear in mind the test of culpability and causative potency that are relevant to this issue. As to the latter, it seems to me that there is nothing between the two defendants; each of their breaches was as causative of the problem as the other. However, when one looks at the question of culpability, it does seem to me that greater culpability is shown by the breach of duty of the builder. His breach, it seems to me, was one of commission rather than one of omission, which was the nature of the breach of duty, as I found it to be, by the architects. In those circumstances, having the opportunity directly when the work was proceeding to know what was going on, the first defendant should be held the more to blame. The proper apportionment seems to me, as between the two, is sixty per cent against the builder and forty per cent against the architects."
"I am satisfied that the learned judge applied the right tests. He considered
questions of causation and culpability. I have to say that in my view other judges may have taken a more sympathetic view of the degree of culpability on the part of the architects, but…I cannot interfere with the apportionment as made by the judge."
"If EGP were liable its share of responsibility could not be regarded as minimal. Previous decisions on contribution have to be treated with caution as each case depends on its own facts. However it is not irrelevant that in Worlock v. Saws (1982) 22 B.L.R. 66 Robert Goff L.J. said that in cases where a building inspector had been negligent the "conventional approach" was then to attribute 75 per cent responsibility to the builder and 25 per cent to the local authority…In my judgment the role of EGP in relation to the design of the fire protection of the compartment wall ought not to be regarded as higher than that of a building inspector or clerk of works. EGP's negligence was essentially a failure to warn; it was required by BM to comment, not to redesign. However BM's failure to be specific, and its subsequent failures to pursue EGP for a reply, and above all, in 1991 to pick up the deficiency in the design in my view contributed as much as the original error."
(i) RWC alone, as between Phi and RWC, had responsibility to vet the adequacy of the URS Report and, if careful in performing this role, would have seen that there was a discrepancy about ground water levels. That coupled with the other information such as the presence of counterfort drains should have led to a reconsideration of the ru value, which would in turn have led to an appreciation that both types of instability had not been and should have been guarded against.
(ii) The AIP, drafted by RWC, specifically called for Phi to have "addressed slip circle issues adequately." It was quite clear that RWC knew and certainly should have known of the risk of slips and instability and it should have been very alive to securing that conservative values were used in the design particularly because the soil nailed walls were required to have a design life of 120 years.
(iii) I do not accept that there was no geotechnical expertise within RWC and even if there was not it must be judged on the basis that it had at least some general geotechnical expertise because it took on responsibilities which required such expertise such as the need to review Phi's detailed design and the need to design its own retaining wall. RWC never during the project hinted that it did not have the requisite expertise and it gave the overwhelming impression that it had sufficient expertise in this area.
Conclusion