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England and Wales High Court (Technology and Construction Court) Decisions |
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You are here: BAILII >> Databases >> England and Wales High Court (Technology and Construction Court) Decisions >> McGee Group Ltd v Galliford Try Building Ltd [2017] EWHC 87 (TCC) (26 January 2017) URL: http://www.bailii.org/ew/cases/EWHC/TCC/2017/87.html Cite as: [2017] CILL 3935, [2017] 1 CLC 440, [2017] EWHC 87 (TCC), 170 Con LR 203 |
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QUEEN'S BENCH DIVISION
TECHNOLOGY AND CONSTRUCTION COURT
Rolls Building Fetter Lane, London, EC4A 1NL |
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B e f o r e :
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McGee Group Limited |
Claimant |
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- and - |
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Galliford Try Building Limited |
Defendant |
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Adrian Williamson QC (instructed by CMS Cameron McKenna LLP) for the Defendant
Hearing dates: 25 and 26 January 2017
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Crown Copyright ©
The Hon. Mr Justice Coulson :
1. INTRODUCTION
2. FACTUAL BACKGROUND
3. THE RELEVANT TERMS OF THE SUB-CONTRACT
"Failure of Sub-Contractor to complete on time
2.21 If the Sub-Contractor fails to complete the Sub-Contract Works or such works in any Section within the relevant period or periods for completion, and if the Contractor gives notice to that effect to the Sub-Contractor within a reasonable time of the expiry of the period or periods, the Sub-Contractor shall pay or allow to the Contractor the amount of any direct loss and/or expense suffered or incurred by the Contractor and caused by that failure.
Non-achievement of Access Condition by the Access Target date caused by Sub-Contractor
2.21A If the Sub-Contractor fails to complete the Sub-Contract Works or fails to undertake such of the Sub-Contract Works or such works in any Unit within the relevant period or periods such that the Contractor is unable to achieve the Access Condition for the given Unit under the Main Contract by the Access Target Date or such that the Main Contractor incurs loss and expense in meeting the Access Condition by the Access Target Date and if the Contractor gives notice to that effect to the Sub-Contractor the Sub-Contractor shall pay or allow to the Contractor the amount of any direct loss and/or expense suffered or incurred by the Contractor and caused by the Sub-Contractor's failure. The Sub-Contractor acknowledges that under the Main Contract the Contractor is liable to pay the liquidated damages set out in schedule 7 if the Access Condition is not achieved by the Access Target Date for the given Unit.
2.21B Provided always that the Subcontractor's liability for direct loss and/or expense and/or damages shall not exceed 10% (ten percent) of the value of this Subcontract order."
"4.21.1 If the regular progress of the Main Contract Works or any part of them is materially affected by any act, omission or default of the Sub-Contract [sic] or any of the Sub-Contractor's Persons, the Contractor shall within a reasonable time of such material effect becoming apparent notify the Sub-Contract in writing giving:
4.21.1.1 reasonable particulars of the effects or likely effects on the regular progress;
4.21.1.2 such details of the resultant loss, damage, expense or cost as the Sub-Contractor reasonably requests; and
4.21.1.3 the sum reasonably estimated by the Contractor as the amount of such loss, damage, expense or cost.
4.21.2 Any sum reasonably estimated by the Contractor as due in respect of any loss, damage, expense or cost thereby caused to the Contractor may pending final determination of the matter in litigation, arbitration, adjudication award or agreement between the Contactor and the Sub-Contractor, be deducted from any monies due or to become due to the Sub-Contractor or shall be recoverable by the Contractor from the Sub-Contractor as a debt."
"Save to the extent that the Sub-Contractor is entitled to reimbursement of the same under any other provision of this sub-contract, the sub-contractor's rights under the sub-contract of payment in respect of any loss or expense suffered or sustained by the sub-contractor because the regular progress of the sub-contract works or any part of them has been effected by any act or omission of the Employer or anyone for whom the Employer is responsible under the Main Contract (or because of such act or omission regular progress has been effected as a consequence by an act or omission of the Contract) are fully set out in clauses 4.19-4.21 and no other rights whatsoever of the sub-contractor in relation thereto shall be implied as terms of this sub-contract."
4. GT'S CLAIM
5. THE APPLICABLE PRINCIPLES
"In my opinion these principles [dealing with exclusion clauses] are not applicable in their full rigour when considering the effect of clauses merely limiting liability. Such clauses will of course be read contra proferentem and must be clearly expressed, but there is no reason why they should be judged by the specially exacting standards which are applied to exclusion and indemnity clauses…It is enough in the present case that the clause must be clear and unambiguous."
"The principle set out by Lord Fraser is wider than the general rule of contra proferentem, which latter depends for its applicability on discernment of an ambiguity in the language. Rather, Lord Fraser's principle applies in a case such as the present directly, and without nice analysis in terms of ambiguity, when a clause that seeks to exclude liability that would otherwise attach under the contract cannot be construed with ease or confidence whichever party's argument is addressed."
"35. I do not accept the broad submission of the Buyer that exclusion and limitation clauses are to be construed restrictively. As Moore-Bick LJ put it in Tradigrain SA and others v Intertek Testing Services (ITS) Canada Ltd and another [2007] EWCA Civ 154 at [46]:
'It is certainly true that English law has traditionally taken a restrictive approach to the construction of exemption clauses and clauses limiting liability for breaches of contract and other wrongful acts. However, in recent years it has been increasingly willing to recognise that parties to commercial contracts are entitled to apportion the risk of loss as they see fit and that provisions which limit or exclude liability must be construed in the same way as other terms: see, for example, Photo Production Ltd v Securicor Transport Ltd [1980] AC 827…'
See also the judgment of Moore-Bick LJ in Whitecap Leisure Ltd v John H Rundle Ltd [2008] EWCA Civ 429 at [20].
36. Nor does any residual hostility apply to clauses which attempt to limit the liability of parties to a fixed financial amount. As Lord Wilberforce said in Ailsa Craig Fishing Co Ltd v Malvern Fishing Co Ltd [1983] 1 WLR 964 at 966H:
'Clauses of limitation are not regarded by the courts with the same hostility as clauses of exclusion: this is because they must be related to other contractual terms, in particular to the risks to which the defending party may be exposed, the remuneration which he receives, and possibly also the opportunity of the other party to insure.'"
6. THE NATURAL MEANING OF CLAUSE 2.21B
7. ANALYSIS OF GT'S SUBMISSIONS
(a) The Clauses
(b) GT's Loss and Expense Claim
8. SECONDARY FINDING
"37. In my judgment the provisions of the SPA with which I am concerned involved a calculated allocation of risk and remuneration. If the Buyer's submissions were correct the allocation of risk and reward would depend on the way in which a party framed its cause of action. A similar point arose in Bottin (International) Investments Ltd v Venson Group Plc [2004] EWCA Civ 1368 where Peter Gibson LJ, giving the judgment of the Court said at [65]:
'…to my mind it makes no commercial sense for the Agreement to impose conditions as to the giving of notice of a breach of warranty and as to the commencement of proceedings for such breach and limiting the maximum liability if Bottin was intended to be left free of those conditions and those time limits and the limits on liability by treating the same warranties as representations. [Counsel] was, in my judgment, plainly right to submit that the obvious commercial purpose in the conditions and limits was to enable the Warrantors to know that they would not be sued on the warranties if no notice was served in time and proceedings were not brought in time and that, if they were sued, there was a quantified limit to their liability. That purpose would be frustrated if the claim for breach of warranty could be regarded as a claim in misrepresentation…'
38. I recognise that a claim for negligent misrepresentation involves an allegation of fault and involves a different measure of damages, but it seems to me that a court should at least have in mind the contractual allocation of risk and reward when deciding whether the parties are to be taken to have intended that claims for misrepresentation based on the same facts as give rise to the claim for breach of warranty are to fall entirely outside the confined liability prescribed by the SPA."
9. CONCLUSIONS