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FREE BOOK CHAPTER: Costs & Funding (From 'A Practical Approach to Clinical Negligence Post-Jackson' by Geoffrey Simpson-Scott)

16/11/16. Improving results through avoiding ambiguity and adopting a planned approach to managing your caseload is one of the central themes of this book. This chapter considers why it is essential to get the funding options right at the start of the case in order to avoid fundamental cost recovery problems arising at the end of it. In so doing, it is helpful to consider the costs issues which are likely to arise during the case so that you can have the correct sort of evidence on file to either head off the problem(s) or persuasively deal with them as needed.

Funding

As clinical negligence cases are proportionately more complicated than many other types of civil litigation of comparable value, the costs tend to be higher. This is an attractive lure for claimant firms but not necessarily for claimants themselves. Defendant organisations regularly publish figures purporting to show that claimants’ costs are excessive and the average claimant cannot take the risk of having to bear legal fees. However, the position post-Jackson is that they are expected to bear at least some of the costs. Clients are now consumers once again.

This creates fertile ground for conflict on almost every clinical negligence case and so practitioners need a sound plan to deal with it. The winner is entitled to recover their proportionate costs of being required to prosecute or defend the action from the loser. The loser is entitled to seek to minimise these costs and seek assurances that professional obligations (such as the indemnity principal) have been properly complied with. This can leave the clients paying for the shortfall.

Accordingly, it is essential to get the funding and funding advice right from the start. Achieving this will make both your client’s and your position much more secure. There is little point in doing an excellent job in winning the case if you then do not get paid for it.

As one case finishes, another starts. You have cases at various stages from initial assessment to costs. The same funding and costs issues are likely to arise again and again on these cases, although not all of them will arise on every case. Using the lessons learned from one case will help you on the others. What follows are the main ones which need addressing.

Client Care Information

A clear explanation of the funding method and potential costs liabilities needs to be given to your client before any substantive work is undertaken. Most firms seek to cover all of the bases by sending out a detailed client care information pack with the initial explanatory letter. Many clients find the morass of information they receive confusing and so will often not fully understand the minutiae. They tend to appreciate that there is some risk of paying something and will often need to be given a clearer explanation of what their potential liability and obligations are. It is advisable to keep a clear record of what they were told (including any amounts they might need to pay and possible scenarios which might lead to this) in case you need to prove that they were given the correct advice later in the case. Given the day-to-day pressures of running a case, this can be easily overlooked by even the most experienced of practitioners. If the task is delegated to junior colleagues, an effective supervision mechanism needs to be employed and maintained to ensure compliance with these requirements because the act of delegation by itself is rarely sufficient to satisfy a costs judge.

A commonly-encountered issue at the conclusion of a case is whether the retainer itself was enforceable. There is no requirement that this possibility should be raised during the life of the case and so the risk is that too much time has elapsed to correct any problems. Even if a relief from sanctions application (under CPR 3.9) is possible, the additional cost, delay and risk this causes is undesirable to your client and your firm. The status of all of the fee-earners who may deal with the case needs to be agreed in advance by your client along with the hourly rates your firm intends to charge for them (see Pilbrow v Pearless de Rougemont & Co (A Firm) [1999] 3 All E R 355, CA). If a fee earner does work on the case but has not been properly described, then those fees are irrecoverable from the losing party.

It is also entirely possible that the different documents in the client care pack have been updated at different times and so include different rates. If this is not corrected, then the lower rates will usually be applied. Where the rates change during the life of a case, then that must also have been notified to your client with suitable written evidence being kept on your file. Although the client care information is privileged, the losing party will often request sight of it having raised the issue of non-compliance in the points of dispute.

Public Funding

The availability of public funding is now so limited so as to be the exception rather than the rule. If your firm does hold a LSC Franchise, then the LSC Manual provides detailed guidance on the requirements to be followed.

All claimants’ solicitors are under a duty to advise on all of the available funding options. If a prospective client appears to be eligible for public funding, then this means advising them of this and signposting them onto a franchised firm even if this means losing the case. However, one of the issues with public funding is that the hourly rates allowed for experts are still relatively low. This means that your preferred expert may well refuse to act. As the defendant is usually not so constrained, there is a genuine risk of inequality of arms and this can justify advice that public funding is not the best option. If so, then it is usually advisable not to charge the client additional liabilities so that they are in the same position as if public funding had been used.

Before the Event Legal Expenses Insurance (BTE LEI)

BTE LEI is now commonly included with other insurance policies. The advantage to the claimant is that they obtain a substantial amount of legal cover for little or no additional cost. Thus, this is considered to be more beneficial to claimants and defendants than After the Event (ATE) insurance policies which have higher premiums and so their availability and suitability needs to be carefully considered at the start of the case.

There may be valid reasons for not using the BTE policy. The indemnity limit may not be sufficient to cover the costs of the entire case to trial. The limit is usually intended to be divided equally between the claimant’s and defendants’ costs. If you have a multiple defendant case, then this can reduce the amount of cover available for each party’s adverse costs and disbursements significantly. The scope of the cover and any exclusions need to be carefully checked to ensure that the particular type of case you are dealing with is covered by the policy. For example, omissions of care or the acceleration of an injury may appear to be excluded and clarification needed.

The claimant ought to be asked for a copy of their insurance policies (rather than ‘legal expenses’ insurance policies which might confuse them) and a clear record kept of these being checked by you.

It is likely that the BTE insurer will require a formal application to be made before it will agree to indemnify your costs. Any costs which you incur before this may well not be covered by the policy. Most BTE insurers have selected a panel of specialist firms of solicitors whom they prefer to instruct and so a freedom of choice application will often be required.

Freedom of choice remains a somewhat vexed question in practice. The European Court of Justice’s ruling in Eschig v UNIQA Sachversicherung AG (C-199/08, 10/9/2009) appears to require insurers to allow freedom of choice in ‘proceedings’ (which does not necessarily mean just ‘issued proceedings’) as a result of the relevant EU Directive (Directive 87/344, Article 3(2)(c)). However, the Financial Ombudsman Service interprets the enabling regulations (the Insurance Companies (Legal Expenses Insurance) Regulations 1990) as allowing insurers to refuse granting Freedom of Choice to non-Panel firms pre-proceedings. The FSO’s website (www.financial-ombudsman.org.uk/publications/technical_notes/legal-expenses.html) confirms that it will look at each complaint on its merits but will not criticize a refusal unless there are exceptional circumstances.

The panel firm will usually be asked to assess the freedom of choice question and the merits of the case at the same time. It is advisable to send them a helpful breakdown of the proposed case on limitation, breach of duty, causation of damage and quantum issues; the core supporting evidence; and a summary of the proportionate investigative steps you wish to take in order to minimise the risk of delays occurring. If you can show that you have carefully considered the case, then the chances of agreeing to your request for funding are greatly improved.

Conditional Fee Agreements

The Legal Aid, Sentencing & Punishment of Offenders Act 2012 (‘LASPO’) allows a success fee of up to 25% of the claimant’s damages for past losses and PSLA to be deducted from their damages. Accordingly, a claimant who agrees to this method of funding is likely to receive less compensation than a client who has BTE insurance. This relative disadvantage to clients can only partially justified on the basis that parliament has imposed this change and so the client still needs to be properly advised if problems are to be avoided.

One of the aims of the Jackson reforms was to reduce the amount of satellite costs litigation by making a failure to advise clients properly a regulatory client care issue rather than an inter partes issue over whether the success fee had to be paid. Accordingly, the issue should be one between the client and their advisors. If a complaint is raised, it is likely to result in delays to completing the case whilst the complaint (and possibly a solicitor-own client Detailed Assessment) is resolved. This is likely to reduce cash flow and profitability.

It is often assumed that the success fee cap (under the Conditional Fee Agreements Order 2013) means that no detailed risk assessment would be needed. However, because 25% is a cap, the success fee can be anywhere between 0-25%. This range creates the scope for clients shopping around and seeking an explanation as to why you set the success fee at a given amount.

If it is always set at 0%, then there is probably little need to do a separate risk assessment. However, this does not necessarily make good business sense or reflect the realities of each case. If it is always set at 25%, then a risk assessment helps to show the client why you consider that the risks justifies this and may demonstrate that your competitors have missed an important risk in the case. Another alternative is to carry out some investigative work before setting the success fee (although this must be funded some other way).

Whatever system is adopted, it must be properly explained to the client so they can make an informed decision. Since May 2015, this has probably become essential in children’s cases. CPR Part 21 has been amended to require that the advice given to the litigation friend about how the success fee was set be disclosed to the court before the infant approval hearing along with a witness statement from the litigation friend confirming why they agreed to this. The relevant risks are those relating to the child only not anyone else. Although these rules technically only apply to cases worth under £25,000, it is difficult to see why less protection would be afforded to children with more valuable cases. A bespoke approach to each case is advisable (see A & M v Royal Mail Group [2015] EW Misc B24 (CC))

The relevance of consumer protection legislation should also not be underestimated. The Consumer (Information, Cancellation & Additional Charges) Regulations 2013 sets out specific requirements for advising any consumer of their right to cancel the contract where it is not signed at the place of business. Since most cfas are sent out to clients for signature and return, that solicitor must ensure that the cancellation rights have been properly explained. Cox v Woodlands Manor Care Home Ltd [2015] EWCA Civ 415 confirms that failing to do so renders the entire cfa unenforceable and so also prevents the recovery of base costs against the losing party as the indemnity principle has been breached.

After the Event Legal Expenses Insurance

Qualified One-Way Costs Shifting (‘QOCS’) operates so as to greatly reduce the risk of paying the defendant’s costs if the case is lost. Post-Jackson, the ATE insurance premium is generally unrecoverable from the losing defendant. However, unlike in personal injury actions, part of the ATE premium may be recoverable in clinical negligence actions (see The Courts & Legal Services Act 1990, s58C (as amended) and the Recovery of Costs Insurance Premiums in Clinical Negligence Proceedings (No. 2) Regulations 2013, Regulation 3). The key word here is ‘may’ and so it is prudent to notify the defendant that you will be seeking to include the recoverable part of the premium in any monetary settlement as soon as is practicable after taking out the policy. The pre-Jackson practice of giving notice in the letter of claim remains relevant.

At present, the recoverable part of the premium insures against the costs of obtaining expert evidence on liability issues. It may also cover the risk of failing to beat an opponent’s Part 36 offer. The irrecoverable part of the premium tends to cover a wider set of risks and is paid by the claimant out of their damages. The available products vary between providers and new products are always a possibility so the precise terms of the product on offer need to be considered and agreed to by the client (including their cancellation rights).

Accordingly, the client must decide whether they want to pay for insurance. If they do not, then another means of disbursement funding must be found. There are companies who offer specific disbursement-only funding credit, but a detailed consideration of these (and other) options is outside the scope of this book. Whilst leaving the ATE application until after the letter of response has been received may seem an attractive course of action, if a denial is received, it may lead to cover being justifiably refused or a higher premium being paid by the claimant.

The same considerations as were discussed above for cfa advice apply to the ATE advice. The reasonableness of a fairly typical ATE product was considered in Nokes v Heart of England Foundation NHS Trust [2015] EWHC B6 (Costs) SCCO Ref CL 1404886. Although the premium was found to be reasonable on the facts, if defendants can find better evidence on another case, this issue may well be revisited. Accordingly, it would be unsafe to assume that satellite litigation is a thing of the past.

Costs

Although the general rule that costs follow the event remains intact (CPR 44.2(2)(a)); the court has a wide discretion in deciding whether to award costs (CPR 44.2(1) and 44.2(2)(b)). Relevant factors include the conduct of all parties; the extent to which the winner has succeeded on all issues they pursued; and the effect of settlement offers made and refused (CPR 44.2(4) & (5)). The court may order that only some of the winner’s costs need to be paid (see CPR 44.2(6)(a-g)) so recovery may be less than 100% even before the assessment begins.

The standard order for ‘100%’ recovery is that the loser pays the winner’s costs on the standard basis, to be assessed if not agreed. This does not mean that the winner is likely to recover all of their costs. The twin precepts are that the costs must have been reasonably and proportionately incurred. As this is a question of fact, each case is likely to have significant scope for argument over the amount to be paid. At the start of the case, the client needs to be advised as to who will meet any shortfall and in what circumstances they might become liable. As the costs arguments are largely predictable, your client will expect you to minimise any losses or else expect your firm to bear them.

Proportionality

The Jackson reforms redefined this and ‘necessity’ is no longer considered relevant. That said, clinical negligence claims are usually complex enough to include what would have previously been described as ‘necessary’ within the new definition.

CPR 1.1 requires courts to deal with cases at a proportionate cost. CPR 44.3 sets out the test for assessing this for costs incurred after 1st April 2013. Specifically, CPR 44.3(5) sets out a 5-stage test:

(5) Costs incurred are proportionate if they bear a reasonable relationship to –

  • The sums in issue in the proceedings;
  • The value of any non-monetary relief in issue in the proceedings;
  • The complexity of the litigation;
  • Any additional work generated by the conduct of the paying party; and
  • Any wider factors involved in the proceedings such as reputation or public importance.”

There is much scope for interpretation because there is no genuinely authoritative guidance. This rule does not prioritise any one factor. However, it is usually assumed that the emphasis is on 5(a). There is no stipulation that costs must be less than the amount recovered although this is the interpretation which should be contended for by the losing party. Costs awards higher than the damages award are well known and this can be the position adopted by the winner. Costs which are less than the damages are not automatically or prima facie proportionate and so the loser is entitled to seek further reductions. The winner needs to have been planning to address this from the outset not least because the court can make a costs order at any time (CPR 1.1) and the case is likely to be costs budgeted.

The value of non-monetary relief is usually the least important of these factors in clinical negligence. However, if receiving an apology (for example) is especially important to a claimant, then this is likely to be relevant. The timing of the apology or the failure to provide one would then also be relevant considerations.

The complexity of the litigation appears to provide much greater support to the winner. However, the point is often made that the case is not, in fact, complex when compared to other clinical negligence cases and given the evident expertise of the solicitor who has just won it. Other common arguments are that one-expert cases are obviously not complicated or that suitable admissions render the case a simple one. This is not obviously wrong in the absence of contemporaneous evidence accrued during the life of the case even though the CPR is intended to cover all types of civil litigation. If you want to persuade the court that your position is the more reasonable, then the winner is well advised to have plenty of evidence showing that they raised specific points regarding the complexity of the matter during the case whilst the loser ought to be able to prove that they sought to keep costs down due to the case’s relative simplicity.

‘Additional work’ or ‘conduct’ arguments (5(d)) are very often useful in this context although they need quite a lot of advanced preparation to be persuasive. The paying party is understandably unlikely to accept that their approach to the case increased costs even when faced with carefully prepared evidence. This means that an assessment hearing is more likely to occur. Conversely, the paying party may raise conduct issues under CPR 44.2(4) & (5) even though CPR 44.3(5) refers only to the paying party’s conduct. It is useful to bear in mind that the loser’s costs draftsman is likely to have prepared such points from their client’s file so the winner ought plan ahead for this by raising conduct issues in correspondence. At the very least, the response you will get gives you advanced notice of your opponent’s position and may help to resolve the issue more quickly.

‘Wider factors’ (5(e)) may appear to be less relevant. However, a proportion of cases will be fully defended on the basis that the medic’s professional reputation can only be exonerated by forcing discontinuance or winning at trial. This argument is often persuasive to a judge even where there is no evidence presented that the medic’s reputation has actually suffered. However, if the defendant is allowed to use this argument, then the claimant ought also be able to rely on it to show that the costs of the action increased unnecessarily as a result of the refusal to settle.

Reasonableness

Reasonableness is subordinate to proportionality. It is not mentioned in CPR 44.3(5). There is a 2-stage test in assessing costs. Firstly, the court assesses the reasonableness of the costs by analysing the individual items in the Bill, the time reasonably spent on these items and the CPR 44.5(3) factors. Having done so, the judge should then take a step back and decide whether the total figure is proportionate. If it is not, then it should be reduced accordingly. As the previous test of whether the costs were ‘reasonably and necessarily incurred’ (under Lowndes v Home Office [2002] EWCA Civ 365) is now incorrect, reasonableness depends on proportionality not necessity. If an item of costs looks disproportionate in either being incurred or the amount that was spent on it, then it is probably also unreasonable on the standard basis (where uncertainty is resolved in the paying party’s favour). An example of the difficulties some judges are having in separating the two precepts is provided by Savoye and Savoye Ltd v Spicers Ltd [2015] EWHC 33 (TCC).

Reasonableness may only have separate relevance if the assessment is on the indemnity basis. Proportionality is irrelevant (CPR 44.3(3) does not refer to it) and uncertainty is resolved in favour of the receiving party.

Recent Case Law

Currently, it is difficult to provide much useful guidance on this issue beyond saying that (a) this assessment basis does not apply to costs incurred before 1st April 2013 (CPR 44.3(7)(b)); and (b) making it clear in contemporaneous attendance notes and correspondence explaining why you felt that any given costs item was or was not reasonable and proportionate is likely to assist the court in reaching a reasoned decision on this difficult issue.

Such guidance as is available needs to be cited in its proper context. Presently, the general position can perhaps best be illustrated by Ted Baker plc v Axa Insurance UK plc [2014] EWHC 4178 (Comm). Lord Neuberger said obiter that “…disproportionate costs, whether necessarily or reasonably incurred, should not be recoverable from the paying party. To put the point quite simply, necessity does not render costs proportionate.”

In Hobbs v Guy’s & St Thomas’ NHS Foundation Trust [2015] EWHC B20 (Costs) the claimant’s costs in a fairly straightforward case settling pre-issue were reduced significantly because they had not been reasonably incurred and then because they were still disproportionate. However, Master O’Hare also said (at para. 35) that “Even in modest value clinical negligence claims it is necessary to incur costs … clinical negligence claims have more complexity and involve more work than do other claims of similar value.”

In May & Another v Wavell Group plc & Another [2016] EWHC B16 (Costs), the claimant’s costs were approximately 9 times the value of the pre-issue settlement (partly because a QC had been instructed via direct access). Reasonable costs were assessed at approximately four times the settlement value and then this was reduced to less than 1½ times on proportionality grounds. At para. 35, Master Rowley said “The amount that can be recovered from the paying party is not the minimum sum necessary to bring or defend the case successfully. It is a sum … only a contribution to that receiving party’s costs in many modest cases.” Similarly, at para. 42 that proportionality “will require legal representatives to inform their clients that, even if successful, they will receive no more than a contribution to the costs that will be incurred” and that this is intended to promote settlement. This creates the risk of the client paying a considerable shortfall, possibly even exceeding the value of their damages. However, at para. 45, the Master also said that “Sir Rupert Jackson refers to the possibility of low value but complex litigation incurring costs above the value of the damages” so does not preclude recoverable costs exceeding damages.

BNM v MGN Ltd [2016] EWHC B13 (Costs) provides the first indication that judges are prepared to give a ratio to assist in determining proportionality. At para. 49, Master Gordon-Saker states that base costs of over 3 times the settlement value must be disproportionate and costs of around 1½ times would be proportionate.

This is an area which is likely to develop further quite quickly.

Qualified One-Way Costs Shifting (QOCS)

QOCS protects the losing claimant from paying the defendant’s proportionate costs but this protection is not guaranteed in every case so caution is needed. The injury element of a clinical negligence claim brings it within the scope of the definition under CPR 44.13(1). However, a pre-action disclosure application is not covered.

Although the purpose of the Jackson reforms is to reduce costs and to provide QOCS protection to deserving claimants, pre-Jackson funding arrangements preclude QOCS protection being available (CPR 44.17 & 48.2 transitional provisions). This has a potentially problematic consequence for cases where there is a need for top-up insurance for a case which started before 1st April 2013 or where, for whatever reason, a pre-Jackson cfa or ATE policy has been found to need replacing with a post-Jackson equivalent. Although there is no definitive guidance as yet, the likely consequence is that QOCS protection is not available in these circumstances by applying Landau v Big Bus Co Ltd & Another [2014] EWCA Civ 1102 where a post-Jackson cfa needed to fund an appeal was held not to provide QOCS protection for the appeal because the main part of the case had been funded by the pre-Jackson cfa. This would leave this tranche of claimants in the unenviable position of needing to pay an unrecoverable premium to protect themselves from the balance of the defendant’s costs without getting the benefit of QOCS protection. In some of these cases, a pre-Jackson ATE policy may well have been applied for but refused on the basis that the BTE cover had not been exhausted.

A successful claimant may be awarded damages but fail to beat the defendant’s Part 36 offer. In that case, the claimant stands to lose the damages which go towards paying the defendant’s costs. CPR 44.14 allows an order for the full amount of the defendant’s costs to be paid (in this case from the date the relevant period of the offer expired) but then limits the payment to the amount of damages recovered. In short, the claimant would get a pyrrhic victory but their solicitor can claim some of the costs (up to the point when the offer should have been accepted). Conversely, QOCS protection puts defendants in substantially the same position as they were when public funding used to be more widely available. In most cases, if they win, they bear their own costs because there is no award of damages.

Whether this is likely to result in defendants making low Part 36 offers on cases they believe will fail is open to question. CPR 44.15 allows them to recover their costs in full where the case has been struck out but this is a relatively rare occurrence in clinical negligence cases. CPR 44.16 may provide a more fruitful avenue, however. If the claimant is found to be fundamentally dishonest, then the defendant will be entitled to apply to the court to recover all of its costs. The judge then needs to decide whether it is just to allow this. What amounts to fundamental dishonesty is itself still very unclear which creates risks for both sides.

Wagenaar v Weekend Travel Ltd & Another [2014] EWCA Civ 1105 has held that QOCS is not ultra vires and does not apply to Part 20 Proceedings. Accordingly, separately represented defendants in clinical negligence actions appear not to be able to invoke QOCS protection against each other.

Costs Budgeting

QOCS may be resulting in lower and less-controversial costs budgets from defendants for these reasons. Alternatively, it may be that it is in their interests to file budgets at the lower end of the reasonable range in order to improve their chances of reducing their potential exposure to the claimant’s costs. Costs budgets which are properly linked to the remaining issues on the case do provide excellent opportunities to reduce costs. However, budgets which are simply too high or low do not achieve this.

The key practical question is knowing how to correctly price the remaining work on the case. If you underestimate it, then you will end up either having to try to get a revised budget approved or face difficulties with your client. Accordingly, it can be safer to over-estimate the work even though the purpose of costs budgets is to assist the court in its duty to prevent disproportionate costs being incurred. Tactically, it is in the defendant’s interests to have lower budgets imposed for both sides because the burden of proof of negligence is on the claimant. As will be seen in later chapters, the claimant generally bears the risk of leaving stones unturned. However, a defendant who has a ‘low’ budget agreed but then finds the claimant has had a ‘high’ budget approved has only succeeded in hobbling themselves.

The disparity between the parties’ budgets is also skewed further because the claimant is likely to have already incurred significant costs in investigating and attempting to settle the case pre-proceedings. Front loading a case remains reasonable; Jackson LJ made it clear in his 12th pre-implementation lecture (https://www.judiciary.gov.uk/wp-content/uploads/JCO/Documents/Speeches/lj-jackson-twelfth-lecture-implementation-programme-22032012.pdf ) that he expected meritorious cases to settle pre-proceedings.

Incurred costs, however, cannot be budgeted; the best that the court can do is to record an adverse comment as to the amount that has been incurred and to take that amount into account when budgeting the remaining phases. This issue is not helped by the time it takes for Costs CMCs to be listed. A combined hearing (directions and costs) is typically listed for 90 minutes which has resulted in significant listing delays at the RCJ. In the County Court, if the CCMC is listed separately, there are examples of it taking place well into the directions timetable, as late as after expert evidence has been exchanged.

The parties’ respective budgets tend to raise the same issues seen at the end of the case. Accordingly, points relating to excessive hourly rates, hours spent, simplicity of the case, etc are frequently raised by defendants to counter what are arguably unreasonably high budgets prepared by claimants. CPR PD3E 7.3 provides that the courts approval will relate only to the total for each phase of the budget rather than performing a detailed assessment. It will consider whether the proposed figures are within a reasonable and proportionate range (with reference to the CPR 44.3(5) factors considered above). However, in doing so, the court may take into account the constituent elements of those figures.

As the prescribed budget form (Precedent H) requires details of hourly rates, hours spent and disbursements, this creates the opportunity for each side to invite the judge to have regard to those figures because they are used in calculating the phase totals. In Yeo v Times Newspapers Ltd [2015] EWHC 209 (QB) Warby J offered this guidance at para. 65: [3599]

It seems to me that whilst the question of whether the totals are reasonable and proportionate will always be the overall criterion, the courts may need to consider rates and estimated hours. The approach may need to be tailored to the case before the court.”[3630]

In cases where the costs run to six or seven figures, Warby J felt that this was all the more likely. Where a costs budget has been carefully prepared with reference to the issues still in dispute, it entirely reasonable for the costs to exceed £100,000 even in modestly-valued claims. However, a successful challenge to an opponent’s budget is a case management decision and therefore very difficult to appeal (see Havenga v Gateshead NHS Foundation Trust & Another [2014] EWHC B25 (QB)). [3685]

In many cases, however, it is possible to agree most or all of a proposed budget. The QBD Masters in particular require evidence of the early exchange of costs information and offers being made in respect of the disputed phases. Other courts require a summary of the issues in dispute to be exchanged; and failing to do so can lead to wasted costs orders being made.

The risk of being limited to court fees only for failing to file a correct budget on time is a significant incentive for claimants in particular to adopt an overly cautious approach. Contingencies ought to be included if they appear to be reasonably necessary and there is no guarantee that permission will be granted at a later date for the budget to be revised if this is not done.

All-in-all, costs budgeting is only likely to prove effective if both sides make a determined effort to narrow the issues in dispute to what is genuinely needed to resolve the proceedings. The more that remains in dispute, the higher the costs are likely to be. The judge needs to be presented with clear evidence of this in order to properly understand why these issues remain in dispute and the costs associated with them. They can then make a more reasoned decision also whether the costs of pursing those issues are proportionate and reasonable rather than making ‘harsh’ decisions on the facts as arguably occurred in Havenga (ibid.). The later chapters consider this in further detail.

Effect On Assessments

Once a budgeted case has concluded, the loser is still entitled to seek confirmation that the approved total for each phase has not been exceeded even where the total bill is within the budget’s total. Accordingly, you need to have in place an effective system of checking the running total being spent on each phase. If it appears that a phase will be exceeded, then a prospective application for an amended budget will need to be considered. The risk is that your opponent or the court will need to see evidence of why this was not dealt with in the first budget so you need to be prepared to have good evidence on file as to how the problem has arisen since then.

As long as the budgeted phases are within the approved totals, then there ought to be little scope for arguing that further reductions should be made. However, it is likely that the budget was approved but the court’s position on the hourly rates claimed was reserved. Thus, the traditional arguments over hourly rates remain.

The guideline hourly rates (GHRs) can be found here: https://www.gov.uk/solicitors-guideline-hourly-rates . They have not changed since 2010 and Lord Dyson MR has confirmed that “[t]he existing rates will remain in force for the foreseeable future, and will remain a component in the assessment of costs, along with the application by the judiciary of proportionality and costs management.” (https://www.judiciary.gov.uk/publications/guideline-hourly-rates/ 17th April 2015).

It is important to remember that GHRs are for summary assessment not detailed assessment. In Higgs v Camden & Islington Health Authority [2003] EWHC 15 (QB), Fulford J held that they were of only limited assistance in that catastrophic injury case and the criteria set out in the CPR (i.e. those factors considered above) were relevant. He also stated at para. 51:

Further the guideline figures are not supposed to replace the experience and knowledge of those familiar with the local area and the field generally… it is expressly recognised in the Guide that costs and fees exceeding the guidelines may well be justified in an appropriate case as an exercise of discretion.”

In Choudhury v Kingston Hospital NHS Trust [2006] EWHC 90057 (Costs), Master Rogers emphasised that relying on past decisions on hourly rates is unhelpful and each case must turn on its own facts. However, did not feel constrained by the guideline rates where there was evidence of complexity and of how the solicitor’s experience contributed to winning the case. At para. 65, he commented:

The rates claimed are higher than set out in the SCCO Guide to Hourly Rates, but, as been said many times, that is a document which is intended to govern fast track matters concluding in one day, and other interlocutory matters that conclude in the same period, the rates set out therein are not intended to cover the generality of litigation.”

It is also true that the GHRs are comprised of generalised rates from a basket of local law firms doing a range of work. Accordingly, a specialist area such as clinical negligence is not well represented and a higher rate is justifiable. However, the GHRs remain the best available source for setting the hourly rate and so the inevitable consequence is that it is frequently contended that they will be applied by the costs judge on the facts of the case. Just as inevitably, this means negotiating the best rate you can and carefully picking those cases you allow to go to an assessment hearing. Planning out the evidence you need from the start of the case greatly assists in getting the best result for you, your firm and your client.

Costs Orders

It is also useful to bear in mind the different types of costs orders which the court has permission to make. These are listed in CPR PD44 para.4.2. Knowing when to use these greatly increases your ability to deal with pre-trial applications and limiting the damage to your client or maximising the prospects of success. They can make the difference between paying your opponents costs or not.

One area that needs very careful advanced preparation is where you are dealing with multiple opponents. The basic problem is that, because costs follow the event, you may succeed against one party but lose against another, thus reducing or wiping out your client’s win. In order to avoid this, it is advisable to plan ahead from the start in any case where you face (or might face) multiple opponents (including Part 20 claims). The preferable order is a Sanderson Order (Sanderson v Blyth Theatre Co [1903] 2 KB 53) which orders the losing party to pay the costs of the other successful parties directly. The next best order is a Bullock Order (Bullock v London General Omnibus Co. [1907] 1 KB 264) which requires your client to pay the costs of the other successful parties but allows you to reclaim those costs from the loser.

As the NHSLA usually does not take issue where you succeed against one Trust but fail against another, this risk tends to be underestimated. It is a very real risk when GPs and hospital Trusts are sued or private treatment is in issue and the doctor and clinic are separately pursued. It is unclear the extent to which it arises when English and Welsh hospitals are pursued concurrently. The increasing prevalence of private hospitals carrying out NHS treatment also makes this issue relevant.

The need for careful, advanced preparation arises from the fact that you will need to prove that it was reasonable for you to involve the other successful parties so that costs should not follow the event. To do this, there needs to be good evidence that the way in which the unsuccessful party pursued its case meant that your client could not safely release the other parties before they incurred significant costs. You also need evidence to show that you did not delay in trying to release them after it became apparent that they would win. This requires evidence of communication on these issues and of genuine attempts to act reasonably which is why it cannot be left until discontinuance is needed.

Conclusion

The key point to take from this chapter is that it is necessary to ensure that your approach to costs and funding issues is proactive and not reactive. If you get the structure correct from the start, then it is much easier to maintain it throughout the life of the case. The losing party is fully entitled to take advantage of any aspect of the case which has not been properly prepared and the court will actively seek to maintain costs at a proportionate level. Accordingly, the winner needs to remove as many of the potential ambiguities which arise in practice by keeping clear, contemporaneous evidence that they provided proper advice to their client, acted reasonably and used their experience effectively.

Geoffrey Simpson-Scott
Simpson Millar LLP

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FREE BOOK CHAPTER: Liability of the Player to Other Players (From 'A Practical Guide to Personal Injuries in Sport' by Adam Walker & Patricia Leonard)

16/11/16. As national and international interest in and remuneration for participation in sport at the highest levels have increased over the last 50 years or so, so too has the potential financial loss and damage associated with a career-ending injury attributable to the carelessness of fellow participants. That is clearly one reason why the injured player may now, more than ever before, be more likely to consider pursuing an alleged wrongdoer in civil proceedings. Civil liability of one participant to another for damages for personal injury is predominantly based in tort and in particular in negligence and trespass to the person.

This chapter considers the liability of the player or competitor to their fellow participants. It deals with general principles of liability in negligence with particular regard to the questions of duty of care and breach of duty, including discussion of the appropriate standard of care. The chapter goes on to consider a number of cases relevant to these questions and the circumstances in which liability has been established in the reported case law and in contrast, where it has not. Other potential heads of liability are then considered in turn, including liability for assault, in contract and in public and private nuisance.

(1) LIABILITY IN NEGLIGENCE

Background

As with all cases in which negligence at common law is relied upon as a cause of action, a claimant must demonstrate that a duty of care was owed to them by the defendant, that the defendant was in breach of that duty and that as a result of that breach of duty the claimant suffered loss and damage, which loss was not so unforeseeable as to be too remote to be recoverable.1

Liability in negligence in the context of involvement in sporting events often has an additional level of complexity however given that in many cases participation necessarily involves the acceptance of a level of risk of injury to the competitor. In contact sports, for example, a risk of injury cannot reasonably be avoided and liability will be made out only where the claimant’s injury has arisen because of an additional risk of injury having been introduced by particularly careless participation.2 Liability in negligence as between players involves a consideration of concepts such as the extent of a participant’s consent to or acceptance of a risk of injury and as a natural extension to that consent the defence of volenti non fit injuria has been advanced in many cases. Consent and volenti are discussed in more detail in chapter 10.

The application of the law of negligence in this area of activity is also complicated by the tension between ensuring that the law recognizes and acknowledges the social utility of sport3 and the need to give the participant a wide margin of error, but also ensuring that it provides protection to such participants from over exuberant and reckless conduct.

The duty of care

In circumstances where there are multiple participants in a particular sporting activity, the existence of a duty of care in negligence is unlikely to be disputed; it is generally accepted that it is foreseeable that a failure to take reasonable care when participating in a sporting activity might cause injury to another participant, that fellow participants in sport are sufficiently proximate to each other to ground a duty of care and that it is fair, just and reasonable to impose a duty in those circumstances.4 The extent of that duty however may be subject to the question of the risks that participants can be taken to have accepted and the duty requires that players exercise the degree of care appropriate to the circumstances.5

Breach of duty and the standard of care

Generally speaking the question of what was expected in the circumstances is considered at the breach of duty stage when setting the appropriate standard of care against which the actions of the defendant are to be measured. The standard of care is objective in that the test for the court is whether the defendant’s actions have fallen below the conduct of a reasonably competent player of that sport. The standard is based on the activity being undertaken and does not take account of the particular features of the defendant. However the court will take account of the competitive nature of the sport and what is reasonably to be expected in that particular sporting activity. In some cases the court has also had regard to the level of skill of the participants under consideration, to aid in the setting of the appropriate standard of care.6

Unsurprisingly, it has been acknowledged by the courts in countless cases that the nature of sporting activity is such that decisions are often taken in the heat of the moment and in order to take account of that reality liability has said to arise where injury has resulted only from an, “error of judgment that a reasonable competitor … would not have made”,7 as contrasted with a “mere error of judgment”.

While in the reported case law one sees various different tests having been applied, including whether the act complained of amounted only to a “mere error of judgment”8 or whether the conduct complained of showed a “reckless disregard” for the safety of other players, the test applied most consistently and the one which represents the present state of the law is to ask whether reasonable care was taken in all of the circumstances. In the leading case of Condon v Basi,9 a footballer was held to have acted negligently in the manner in which he went into a tackle with the consequence that the tackled player sustained a fractured leg. Sir John Donaldson MR applied a similar test of reasonable care, stating that, “…there is a general standard of care … that you are under a duty to take all reasonable care taking account of the circumstances in which you are placed, which, in a game of football, are quite different from those which affect you when you are going for a walk in the countryside”. The Court of Appeal upheld the judgment of the judge at first instance who had found the defendant to have been, “clearly guilty … of serious and dangerous foul play which showed a reckless disregard of the Plaintiff’s safety and which fell far below the standards which might reasonably be expected in anyone pursuing the game”, but it was not suggested that “reckless disregard” for the safety other participants was the benchmark to be applied.10 Subsequently, in Smoldon v Whitworth & Nolan,11 the suggestion that a claimant must prove recklessness was rejected in the context of a claim brought by a rugby player against a referee for damages for injury sustained as a result of a collapsed scrummage. The level of care required was said to be, “that which is appropriate in all the circumstances, and the circumstances are of crucial importance”. It was observed that there will be no liability for errors of judgment, oversights or lapses of which any participant might be guilty in the context of a fast moving and vigorous contest.

The test formulated in Condon v Basi was also applied in Caldwell v Maguire,12 which confirmed that there will be no liability for mere errors of judgment or lapses during the course of the contest. In that case a professional jockey was injured in the course of a race as a result of a horse veering across his path as a result of two other riders’ actions, which were determined by the Jockey Club’s stewards to have been careless riding and in breach of Jockey Club Rules. It was held that there would be no liability for lapses in judgment in the context of a fast moving contest or in the heat and commitment of the race. While the Jockey Club’s stewards had made findings of reckless riding they were not conclusive of liability in negligence at common law.

At first instance it was held that each participant owes a duty of care to other participants, that the duty was to exercise all care that was objectively reasonable in the prevailing circumstances to avoid inflicting injury, that the “prevailing circumstances” are all such circumstances that are properly attendant on the contest and they include its object, the demands inevitably made upon its contestants, its inherent dangers, its rules, conventions and customs, and the standards of skill and judgment to be reasonably expected of a contestant. It was said that the threshold for liability in practice is high and that proof of a breach of duty will not come from demonstrating a mere error of judgment or a momentary lapse in skill and care when subject to stresses of a race.13 Finally, it was observed that in practice it would be difficult to prove breach of duty in absence of conduct that amounts to reckless disregard for another contestant’s safety. The Court of Appeal reviewed a series of earlier cases,14 held that Condon and Smoldon were binding and that the reference to “reckless disregard” was no more than a reference to the practicalities of proving a breach of duty on the facts of some cases and was not a statement that that was the appropriate legal test to be applied. Judge LJ commented that it was correct to state that the threshold is often high and that the circumstances of the case are of crucial importance.

Accordingly, it now appears clear that the test when considering breach of duty is not one of reckless disregard for safety, but rather is one of whether there has been a failure to take such care as was reasonable in the prevailing circumstances, with the facts and circumstances being of utmost importance. While there have been references to the facts and circumstances impacting on the nature and extent of the duty of care, the position since Condon has been that the preferred approach is that there is a general duty of care owed as between participants and the facts and circumstances are matters that should be considered at the breach of duty stage.

Circumstances relevant to the question of breach of duty

As to the features relevant for the court to consider when setting the standard of care and in determining whether the standard of care has or has not been met, the court has identified as relevant features the nature of the sport under consideration and its inherent risks; the nature of the defendant’s actions; whether the injury was caused in the heat of the moment or during strenuous competition; the age and skill of the competitors; whether sporting rules or conventions had been broken and the cost/difficulty associated with the taking of precautions.

The nature of the particular sport in question

Whether the sport is a contact or a non-contact sport will clearly inform the question of the acceptability of a participant’s actions but a perhaps more subtle question is that of the nature of the risks inherent in the sport under consideration. As is identified by Beloff et al., clearly different standards should apply to boxing and rugby as compared with crown green bowls.15 In some cases the nature and extent of the risks to be expected will be obvious whereas in others expert evidence may be required.

The conduct under consideration

Obviously the action or conduct of the defendant will be considered as the basis of the complaint, however the court will take account of the risks associated with that action and whether such risks would or should have been obvious to the defendant.

Age of the competitor

The age of competitor is relevant at the point at which breach of duty is being considered. While the standard of care is still objective the child participant may be able to prey in aid the fact that a feature of all similar participants was a lesser capacity for foresight and prudence.16

Skill of the participant

The decision in Condon perhaps suggests that higher standards of care are owed by professional participants than by amateurs.17 It has been noted in other texts however that the observation was obiter, is not consistent with the law of negligence more generally18 and that it may lead to anomalous results, e.g. in circumstances where a professional team plays an amateur team different participants would be held to different standards of care.19 In a number of cases the preferred position has been that the standard is the same for the amateur and the professional, i.e. that of the reasonable professional contestant.20 It was observed in Vowles v Evans,21 that in Smoldon there had been inconclusive discussion as to the effect of the grade of the defendant referee and Lord Phillips MR concluded in Vowles that on the particular facts of the case it did not matter but that there was “scope for argument” on the question.22 In Smoldon, Lord Bingham LCJ had stated that the distinction did not matter on the facts of the case but the plaintiff’s formulation was preferred, viz. that the standard to which the referee was to be held should depend not on his grade but on the function he was purporting to perform.23 As has been noted elsewhere the position still remains somewhat unclear.24

Heat of the moment

As has been discussed above it was confirmed in Smoldon and Caldwell that there will be no liability for errors of judgment, oversights or lapses during a fast moving contest. However, different considerations have been said to apply in circumstances where injury has resulted from a negligent failure to prepare for the competition or during quiet passages of play as contrasted with errors in decision-making in the heat of the competition, when there has been no or very limited time in which to consider the action being criticized.25 In cases where negligent planning has brought about the injury there is no question of the decision under criticism having been made in the heat and commitment of the contest.

Whether the rules of the sport were complied with

In Condon v Basi, it was confirmed that the question of whether the rules of the sport in question have been complied with is a relevant consideration but it is not determinative.26 Lord Donaldson MR cited with approval a passage from the judgment of Kitto J. in the Australian case of Rootes v Shelton27 in which it was stated that, “non-compliance with such rules is necessarily one consideration to be attended to upon the question of reasonableness; but it is only one, and it may be that much or little or even no weight in the circumstances.” There have been many decided cases in which compliance or non-compliance with sporting rules and regulations have been a predominant consideration however.28 Indeed, Beloff has observed29 that while the observations made in Rootes and Condon in respect of sporting rules not being determinative of liability may be correct, with sports such as rugby and football, it will in practice be almost impossible to establish liability without also demonstrating a breach of the rules of the game.

Cost/availability of precautions

As in any case of negligence it may be relevant that a defendant would have been put to particular cost or expense in steps to guard against injury. In the sports context this might arise at the planning stage, prior to commencement of the competition.30

Burden of proof

As with any claim in negligence it is for the claimant to discharge the burden of proof on the balance of probabilities.31 While in other claims in negligence it might be open to a claimant to prey in aid the evidential principle of res ipsa loquitur, or that “the facts [of the accident or injury] speak for themselves” and invite an inference of negligence to be drawn from the fact of the accident or injury, that is unlikely to be of much use to a claimant in the context of an injury resulting from the carelessness of participants in sport as in many cases the sport in question will involve an inherent degree of risk and the fact of injury will therefore not be sufficient of itself to raise a prima facie case of negligence. The claimant must demonstrate that the injury resulted not from the non-negligent exposure to risk, but to the increased risk associated with a participant’s carelessness. The position might be different of course in relation to sports that ought to involve no or very limited risk of injury, e.g. crown green bowls.

Remoteness of damage

In relation to the liability of one participant to another issues of remoteness of damage rarely arise. Provided that some damage of a particular kind is foreseeable to the claimant’s person then the claimant may recover damages for the full extent of that damage, notwithstanding that the extent or the way in which the damage was caused was unforeseeable. The courts have generally taken a wide approach in claims for damages for personal injury to the question of whether the nature of the damage was reasonably foreseeable.32

Illustrations of liability

Liability has been demonstrated in the following circumstances:

  • Where a footballer performed a dangerous tackle.33
  • Where a motorcycle rider was responsible for a brake failure due to errors prior to the start of a race, causing injury to his sidecar passenger.34
  • Where a hockey player was injured as a result of a high follow-through by another player.35
  • Where a water skier was injured when he collided with a stationary boat due to the conduct of the boat driver.36

Liability was not been established in these circumstances:

  • Where a footballer was injured by another player, when both had reached the ball at the same time and where the tackle was adjudged not to have been a foul or late.37
  • Where a footballer had mis-timed a tackle and made an error of judgment but nothing more.38
  • Where a rugby player sued a player on the opposing side for collapsing a scrum.39
  • A sidecar passenger’s claim against the motorcycle rider for injuries sustained during a race, due to having missed a gear.40

(2) LIABILITY FOR TRESPASS TO THE PERSON

A participant may also be liable to another participant for the civil wrong of trespass to the person and in more specifically in the tort of battery, the intentional or reckless infliction of unlawful physical contact. In Letang v Cooper,41 it was suggested by Lord Denning MR that assault was confined to cases where the infliction of contact was deliberate and negligence to circumstances where there was no intention, however intention to cause injury or damage is not an absolute requirement of the tort of battery as it may be made out where the perpetrator is reckless as to whether their use of force will result in injury.42 There is therefore a degree of overlap between trespass and negligence to that extent although a claimant is unlikely to find themselves in any better position by pleading their case in trespass rather than in negligence. While trespass is actionable per se and as such does not require the claimant to prove physical harm to make out an actionable claim, the reason that the claim will have been brought at all will have been to enable the claimant to recover damages for their injury. As such the claimant will have to prove the nature of his or her injury and its extent in any event. However an assault may be established even if it results from a misjudgment by a player or where perpetrated in the “heat of the moment”.

As a battery is inflicted on the imposition of unlawful contact and the acceptance of or the giving of consent to physical contact renders that contact lawful, in circumstances where a defendant can demonstrate consent to the contact the claimant will fail to prove an essential element of this head of liability. That consent may be express or implied but in the sporting context it is usually implied from conduct. Participation in sport is generally considered to be a lawful justification for the giving of permission to be exposed to the risk of harm within the boundaries of the rules and safeguards of the sport. The implied consent is usually taken to be consent to contact that can reasonably be expected to occur during the course of the sport although the extent of the consent given is a matter for the court to determine in light of all of the facts and circumstances of the case.43

The burden of proof in trespass remains on the claimant,44 however where it is obvious that the contact in question was not consented to, the burden of proving a lawful excuse for the contact lies on the defendant. In most cases involving sporting contests the defendant will be able to demonstrate that implied consent to at least some contact was given and the real issue for the court will be whether the contact in question exceeded the extent of the consent given and thereby found a successful claim in trespass to the person.

Illustrations of liability

Liability has been demonstrated in circumstances45 where assaults have occurred ‘off the ball’,46 and where injury resulted as a result of a late tackle with two feet in an amateur football match.47

(3) LIABILITY IN CONTRACT

Although less common as a cause of action for damages for personal injury in the sporting context, there may be circumstances in which a claim in contract arises when considering careless activity on the sports field. Such circumstances might include those where a participant in an event agrees to abide by terms and conditions of entry, which may by express or implied terms require the participants to exercise at least reasonable care for their fellow competitors and spectators.48 If the standard of care required by any such terms are no different to those imposed in negligence at common law then pleading the additional head of liability may confer no additional benefit but there may be circumstances in which the standard capable of being applied as a result of the contract are greater than those imposed in negligence or in which the contractual measure of damages differs from the tortious measure. It is therefore important for practitioners to consider whether on the facts of the particular case before them, there may be scope for such a contractual argument in addition to any perhaps more obvious complaint in negligence.49

Adam Walker
Patricia Leonard
7 Bedford Row

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1Clerk & Lindsell on Torts, 21st edition, Chapter 8 at 8-04.

2A comparison might be drawn here to a claim in negligence in the clinical context in which a patient signs a consent form consenting to a risk of a recognized complication, where that complication arises, but the claimant is able to demonstrate that it did so not due to the general risk of that complication associated with the procedure, but due to a negligent failure.

3Now expressly acknowledged in section 1 of the Compensation Act 2006 which provides that, “A court considering a claim in negligent or breach of statutory duty may in determining whether the defendant should have taken particular steps to meet a standard of care (whether by taking precautions against a risk or otherwise) have regard to whether a requirement to take those steps might (a) prevent a desirable activity from being undertaken at all, to a particular extent or in a particular way, or (b) discourage persons from undertaking functions in connection with a desirable activity”, although this has perhaps always been recognised by the fact that contact sports such as boxing where the likelihood of injury is high are permitted at all.

4Caparo Industries plc v Dickman [1990] 2 AC 605 applying Donoghue v Stevenson [1932] AC 562.

5See Sir John Donaldson MR in Condon v Basi [1985] 1 WLR 866 at 867F, citing a passage of Chief Justice Barwick in Rootes v Shelton [1968] ALR 33, although the Court of Appeal in Condon v Basi preferred the view of Kitto J. in Rootes v Shelton, that there is a general duty to take reasonable care, which is fact specific and which one considers at the breach of duty stage.

6In Condon v Basi (supra, n.5) Sir John Donaldson MR observed that, “...there will of course be a higher degree of care required of a player in a First Division football match than of a player in a Fourth Division football match” at 868F-G.

7Wilks v Cheltenham Homeguard Motor Cycle & Light Car Club [1971] 1 WLR 668.

8E.g. as in Caldwell v Maguire [2001] EWCA Civ 1054.

9Supra n.5.

10That test had been applied however in a number of cases following Wooldridge v Sumner [1963] 2 QB 43, Wilks (supra n.7) and Harrison v Vincent [1982] RTR 8.

11[1997] PIQR P133, CA.

12[2001] EWCA Civ 1054.

13As had already been observed by Lord Bingham LCJ, in Smoldon v Whitworth & Nolan [1997] PIQR P133.

14Including Condon (supra, n.5), Wooldridge [1963] 2 QB 43 (reckless disregard – spectator), Wilks v Cheltenham Homeguard Motor Cycle Co & Light Car Cycle Club [1971] 1 WLR 668 (reckless disregard – spectator), Harrison v Vincent (ordinary standard applied regarding injury due to defective brakes) and Smoldon (supra, n.13).

15Beloff et. al., Sports Law, Second Edition, 2012, p142 at 5.43.

16Kitto J. in McHale v Watson (1966) 115 CLR.

17In Condon v Basi (supra, n.5) Sir John Donaldson MR observed that, “..there will of course be a higher degree of care required of a player in a First Division football match than of a player in a Fourth Division football match” at 868F-G.

18See in particular Nettleship v Weston [1971] 2 QB 691 in which it was confirmed that a learner driver is held to the same standard as a qualified driver.

19Beloff et.al., Sports Law, 2nd edition 2012, p143 at 5.45 and Kevan et. al., Sports Personal Injury: Law and Practice, 2002, p40 at 3.23.

20E.g. as in Elliott v Saunders & Liverpool FC, unreported, 10 Jun 1994, (1) Gordon Watson & (2) Bradford City AFC (1983) Ltd v (1) Kevin Gray & Huddersfield Town AFC, Times, Nov 26, 1998, LTL 6/11/98 and Pitcher v Huddersfield Town Football Club Ltd, QBD, July 17, 2001.

21[2003] EWCA Civ 318.

22At para 28.

23See Smoldon [1997] PIQR P133 at 139.

24Kevan et. al, Sports Personal Injury: Law and Practice, 2002, at p51, 3.39.

25E.g. see Harrison v Vincent [1982] RTR 8.

26See Lord Donaldson MR at 868A-C.

27[1968] ALR 33.

28In Wright v Cheshire CC [1952] 2 All ER 789, the Court of Appeal overturned a liability decision against a defendant in respect of injury arising from gymnastic activities on the basis that the criticized conduct was in compliance with generally accepted practice and see also Gilsenan v Gunning (1982) 137 DLR 3d 252 (customs of the slopes relied upon in determining liability for a skiing accident), Leatherland v Edwards, unreported, 28 Oct 1998, (defendant in breach of safety rule intrinsic to uni-hockey) and cases referred to by Grayson, Sport & the Law, 3rd edition, 1999, at 278.

29Beloff et. al., Sports Law, 2nd edition, 2012, p142 at para 5.42.

30As in Harrison v Vincent (supra n.25) and in Lewis v Bucknall Golf Club [1993] CLT (Sh Ct) 43, in which the defendant failed to wait before driving off 5th tee, injuring the pursuer.

31An exception exists however in circumstances where the defendant’s conduct that is the subject of the civil claim has also resulted in him/her being convicted of an offence. In those circumstances the burden is reversed by operation of s.11 of the Civil Evidence Act 1968. The fact of the conviction is taken as proof of commission of the offence unless the contrary is proved.

32Hughes v Lord Advocate [1963] AC 837 and Bradford v Robinson Rentals [1967] 1 WLR 337.

33Condon v Basi (supra), McCord v Swansea City AFC & Cornforth (1996) QBD, 19 December 1996, Watson v Bradford City Association FC (1983) Ltd (1998) QBD, 29 October 1998, Rollason v Matthews (2006) Bristol CC, 31 Jan 2006, LTL 2/6/2006.

34Harrison v Vincent (supra, n.25).

35Leatherland v Edwards, 28 October 1998, QBD, Newman J., Lawtel 23/1/99.

36Rootes v Shelton [1968] ALR 33 (HC, Aus)

37Kerr v Willis [2009] EWCA Civ 1248.

38Pitcher v Huddersfield Town FC Ltd, 17 Jul 2001, QBD, Hallett J. and Elliott v Saunders, 10 Jun 1994, QBD, unreported.

39Smoldon v Whitworth [1997] ELR 115 (QBD) and 249 (CA).

40Harrison v Vincent (supra, n.25).

41[1965] 1 QB 232.

42Wilson v Pringle [1987] QB 237.

43Blake v Galloway [2004] EWCA Civ 814 at para 21.

44Fowler v Lanning [1959] 1 QB 426.

45See also Grayson, Sport & the Law, 3rd edition, 1999 at 277.

46R v Billinghurst [1978] Crim LR 553.

47R v Barnes [2004] EWCA Crim 3246, although the criminal conviction overturned due to inadequate summing up to the jury by the trial judge.

48It has been acknowledged by the courts that participation involves tacitly agreed understandings and conventions that are objectively ascertainable even in the absence of formal sporting rules – Blake v Galloway (supra, n.43).

49And where the contract is with the organizer only, whether there is scope for the application of the Contracts (Rights of Third Parties) Act 1999.

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Summary of Recent Cases, November 2016

15/11/16. Here is a summary of the recent notable court cases over the past month. You can also receive these for free by registering for our PI Brief Update newsletter. Just select "Free Newsletter" from the menu at the top of this page and fill in your email address.

Summary of Recent Cases - Substantive Law

London Borough of Sutton v Edwards [2016] EWCA Civ 1005

The question for the court was whether a first instance judge was correct in deciding that the appellant local authority owed a duty under section 2 of the Occupiers' Liability Act 1957 to ensure that visitors were safe in using a small ornamental bridge in a park, notwithstanding that there was nothing wrong with the state of the premises and no history of previous accidents. The judge distinguished between...

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Court of Appeal Judgment in Bird v Acorn Group - Matthew Hoe, Taylor Rose TTKW

15/11/16. The Court of Appeal has handed down judgment in Bird v Acorn Group. Thousands of cases that were stayed for the appeal can now be resolved. The appeal was resolved in favour of the claimants. The appeal concerned the long-running dispute about the applicable fixed costs formula for claims that settle ahead of a disposal hearing. The specific circumstances are:

  • a claim is started under the RTA Protocol or the EL/PL Protocol;

  • the claim exits the Protocol before conclusion;

  • Part 7 proceedings are started;

  • a disposal hearing is listed (in this case promptly on transfer to the County Court at Birkenhead);

  • the claim settles before the disposal hearing.

The tables in CPR 45 Section IIIA set out formulae for fixed costs depending on the stage at which the claim settled. The tables are Table 6B (for RTA claims), Table 6C (for EL claims) and Table 6D (PL claims). Table 6D was the particular Table under consideration in Bird but the same conclusions apply to the other two tables. Part B in each table deals with settlements post issue. There are three stages and each has its own fixed costs formula.

The defendant argued that these claims fell into the ‘post-issue, pre-allocation’ first stage with lower fixed costs. The claimant said that they fell into the ‘post-listing, pre-trial’ third stage with greater fixed costs (approx. £2,000 per claim).

Many had differing views on what was the ‘fair’ or ‘sensible’ outcome. Inevitably, the Court of Appeal confined itself to construing the relevant rules. Crucial was the special definition of ‘trial’ in CPR 45 Section IIIA: ‘the final contested hearing’. The precise purpose of that definition is unclear, but the Court of Appeal decided that it encompassed a disposal hearing. Therefore a listing for a disposal hearing was a listing for trial, engaging the third stage.



The Court of Appeal rejected the argument that it could not be said prospectively that a disposal hearing would be ‘final’ or ‘contested’, finding that it was sufficiently certain to be so. It rejected also the argument that the stages in Part B of the tables must be passed sequentially. Therefore the absence of allocation did not restrict the claimant to the first stage.

The Court rejected the argument that if a disposal hearing were used for directions including allocation, and the claim then settled before listing for a full trial, fixed costs under the second stage would apply. Once a claim reaches the third stage, it cannot move backwards through Part B.

In a further blow to defendants, the Court said that a claim that was allocated and listed for trial simultaneously proceeded directly to the third stage, skipping the second stage.

It also follows that if a claim is disposed of at a disposal hearing, the fixed costs under Parts C and D of the tables will apply.

Some practitioners are concerned that the rules in Section IIIA implement Sir Rupert Jackson’s and the Government’s proposals in a way that was not intended. The Jackson Interim Report confirms that the three stages in Part B were derived from analysis of actual claims, divided into groups depending on the payment of court fees for allocation questionnaires and listing questionnaires. In a claim settling before a disposal hearing an allocation fee was never paid, so those cases were in the data set that gave rise to the formula for the first stage. A complementary concern is that these rules were intended for fast track cases but appear to apply to multi-track claims with a value above the fast track threshold; that issue will be considered by the Court of Appeal in Qader v Esure. That judgment is due next Wednesday.

The result throws up inconsistencies with other rules. Disposal hearings (particular in the County Court at Birkenhead) are likely to be in a block list with Stage 3 hearings and infant approvals. The preparation required is similar. All will typically be listed for 10 minutes. The advocate’s fixed costs would be £250; and yet for a disposal hearing under Section IIIA could be as much as £1,705. The trial advocacy fees in Section IIIA are similar in amount to fast track trial fees in CPR 45 Section VI, but those are specifically stated not to apply to disposal hearings – presumably with the intention that lower fees would be reasonable. Further, the fixed costs for attending an interim application hearing are only £125 under CPR 45.29H.

The main remedy for defendants following this decision is making better offers at Stage 2 under the RTA or EL/PL Protocol, or better post-exit, pre-issue Part 36 offers. That will either encourage settlement or give the defendant better protection. If such offers are accepted outside the relevant period but after listing of a disposal hearing, the defendant will benefit from the increase in fixed costs. The defendant gets assessed costs on late acceptance, capped at the difference between the fixed costs applicable when the relevant period expired and the fixed costs applicable at the time of settlement.

If the defendant is deprived of the opportunity to make an offer, or more generally, the defendant should consider whether there is an argument under CPR 45.24 that the claim should not have left the Protocol and that consequentially the claimant should only have portal costs. That point has been successfully argued in many cases, including in the County Court at Birkenhead.

Finally defendants may consider applying to set aside the default judgment or order that gave rise to the disposal hearing, undoing the trigger for greater costs. In liability admitted cases, that has not formerly been the practice. The costs of such an application are fixed under CPR 45.29H and it would pass a cost/benefit analysis if there are good grounds. Defective service and lack of statutory notice may become valuable arguments.

Matthew Hoe
Taylor Rose TTKW

Image ©iStockphoto.com/picha

Con-text: Hepburn v Jabreen and Royal and Sun Alliance Insurance Plc - Colin Vickers, DWF LLP

07/11/16. A Claimant who saw her claim for personal injury and other losses struck out, also lost the protection afforded to her under QOCS on the basis that her conduct had obstructed the just disposal of proceedings and had abused the Court’s process. In an attempt to bolster her claim, the Claimant had disclosed what she claimed was a record of a text exchange between her and the First Defendant shortly after the accident was said to have taken place. Despite being ordered to do so, the Claimant then failed to provide her mobile phone records, for the month before and the month after the accident.

DWF Senior Solicitor, Colin Vickers, who acted for RSA in the defence of the claim, looks at the strategic approach taken in defending the claim, and some of the inconsistencies in the Claimant’s evidence, which went beyond concerns over the bona fides of the text message evidence...

Image: public domain via pixabay.com/en/telephone-mobile-to-call-attainable-586268/

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