Archive for Costs Cases

This week’s revelations

So what have we learned this week?

Firstly, that it is possible to use the White Book on an iPad but it’ll take a while to become slick at it I would think.

Secondly, that the new proportionality rule is an open invitation for DJ’s to do anything at all on a summary assessment of costs.  I was told that my costs schedule was being reduced “because it’s disproportionate”.  Quite how and when something becomes disproportionate is, as predicted, a complete unknown.  This was in the context of an order for sale of £140k+ and a costs schedule of £3,000+ was “disproportionate”.

Thirdly, that the new costs rules are not as complicated as we thought.  Page 61 of the 2013 White Book special supplement: “The general rule is that the unsuccessful party pays the costs of the unsuccessful party.”  That’s cleared that up then.

A good weekend all,

Mike

 

 

The Master of the Rolls: The “More Robust Approach”

LORD DYSON MR
THE APPLICATION OF THE AMENDMENTS TO THE CIVIL PROCEDURE RULES
18TH LECTURE IN THE IMPLEMENTATION PROGRAMME
DISTRICT JUDGES’ ANNUAL SEMINAR
JUDICIAL COLLEGE
22 MARCH 2013
Introduction
1. The Jackson reforms are just over a week away. They come into force immediately after the Easter weekend. The official start date is, as I am sure you all know, 1 April. The reforms are very important. I know that some of you, maybe most of you, find the prospect of these big changes rather daunting. That is entirely understandable. The DJs are the engine room of our civil justice system. Without you, the system could not function. I am confident that you will adapt to the new regime just as you did to the Woolf reforms. I am sure that within a few months, you will feel quote at home in the new post-Jackson world. I have been asked to talk this morning about the philosophy that underpins the reforms. I am going to focus on the revisions to the overriding objective and to Rule 3.9.
The Philosophy underpinning the New Rules
2. It should come as no surprise that the philosophy underpinning the Jackson reforms is the same philosophy that underpinned the Woolf reforms. My predecessor but one as Master of the Rolls, Lord Clarke, made sure of that in setting Sir Rupert Jackson’s terms of reference. He did so because those terms of reference were entirely consistent with, and required Sir Rupert to make recommendations that would further, Lord Woolf’s new approach to litigation. As Lord Clarke explained in 2009 the task he set Sir Rupert, was to conduct
‘a review that is entirely consistent with the approach Woolf advocated in his two reports. . . . [to]. . . look for answers to the problems of cost consistent with the new approach to litigation Woolf’s reforms introduced. That is to say, whatever conclusions [the review] reaches will be ones that are consistent with the overriding objective and the commitment to proportionality to which it gives expression.2’
1 I wish to thank John Sorabji for all his help in preparing this lecture.
2 A. Clarke, The Woolf Reforms: A Singular Event or an Ongoing Process, in The Woolf Reforms: What’s the
Verdict? in D. Dwyer (ed), The Civil Procedure Rules Ten Years On (Oxford) (2009) at 49.
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3.
Sir Rupert’s task then was to consider how the Civil Procedure Rules had operated since their introduction in 1999 and to do so in order to make recommendations that would better enable litigation to be conducted consistently with proportionality. In other words, to make recommendations that would ensure that the justice system was better able to implement the aim of the Woolf reform. It was a review that was not intended to question ‘the shift in judicial philosophy’ in civil litigation effected by the overriding objective, which was acknowledged and endorsed by the House of Lords in Three Rivers3. It was to identify why and how it had not properly taken effect and how that failure could be remedied.
4.
The Review ranged wider than the rules of court. It also required a consideration of Conditional Fee Agreements, how they had operated in practice, and the effect they had had post-2000 on the justice system. It came as no surprise to many, not least those who had criticised the introduction of reformed CFAs in 2000 as a consequence of the Access to Justice Act 1999, that they caused an increase in the cost of litigation. It was a real irony that in doing so, they fatally undermined the Woolf reforms’ aim of reducing cost just as the CPR was being introduced. As Sir Rupert concluded they were the major cause of disproportionality in costs4.
5.
Having considered the recommendations of the Jackson Final Report, Parliament accepted that CFAs need to be reformed. The funding reforms – that is to say, revised CFAs and the introduction of Damages-based Agreements or DBAs – will do two things. First, and most importantly, increase access to justice as the CFA reforms in 2000 were intended to do; and secondly, unlike the CFA reforms in 2000, do so without creating disproportionate costs. It is important that this aspect of the reforms succeeds. It is for the simple reason that they are a means to secure access to the courts for individuals of limited means. It is also important that they succeed because funding arrangements that generate proportionate, rather than disproportionate, costs are consistent with the philosophy underpinning the Woolf and Jackson reforms.
6.
The CFA and DBA aspects of the Jackson reforms are not matters for today. But as with the reforms to the CPR, the reforms to CFAs and the introduction of DBAs are intended to ensure that litigation is conducted consistently with the overriding objective and its articulation of the commitment to proportionality. It is to those I turn.
The overriding objective
7. The starting point is the overriding objective. As you know its wording has been revised. From 1 April we have a Mark II overriding objective. CPR 1.1 will read as follows:
‘1.1(1) These Rules are a new procedural code with the overriding objective of enabling the court to deal with cases justly and at proportionate cost.
(2) Dealing with a case justly and at proportionate cost includes, so far as is practicable . . .
3 Three Rivers District Council and Others v Governor and Company of the Bank of England (No 3)(Three
Rivers) [2003] 2 AC 1 at [106].
4 R. Jackson, The Review of Civil Litigation Costs in England and Wales, in G. Meggitt (ed), Civil Justice
Reform – What has it achieved? (Sweet & Maxwell) (2010) at 137.
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(f) enforcing compliance with rules, practice directions and orders.”.’ (Post-April 2013 additions in bold.)
The rule has therefore been revised to emphasise (i) the centrality of dealing with cases at proportionate cost and (ii) the fact that the overriding objective requires the court to place a greater weight than it might have done previously on enforcing compliance.
8.
Why have these changes been made? As the Jackson reforms are intended to build on, and be consistent with, the Woolf reforms and the commitment to proportionality they introduced via the overriding objective, it might be thought that such changes are superfluous or that they mark a departure from Woolf. If the former they might at best be redundant, and at worst a source of confusion and satellite litigation. If the latter, they might be said to go beyond the Jackson review’s remit. I want to stress to you that they are neither superfluous nor do they go beyond the Jackson remit, as it was described by Lord Clarke and to which I referred earlier.
9.
The argument that the amendments are superfluous might be put in this way. The overriding objective, as originally drafted, was intended to ensure that the court, when applying the specific provisions of the CPR and when actively managing cases, generally did so in order to ensure that cost and delay was reduced. More specifically, it was intended to ensure that litigation costs would become proportionate. The entire thrust of the Woolf reforms, as is readily evident given the frequent references to both disproportionate costs and proportionate costs in, for instance, the Final Woolf Report, make this abundantly clear. Equally, it is evident from the fact that Lord Woolf made the very point that the concept of dealing with cases justly expressed, amongst other things, a commitment to proportionality. Given this fact, it could be said, that adding an express reference to proportionate cost is superfluous; superfluous because dealing with cases justly already requires the court to ensure that cases are managed so as to ensure no more than proportionate costs are incurred. In other words, a commitment to proportionate costs is already implicit in the overriding objective.
10.
A similar argument could be made regarding the addition of the reference in CPR 1.1(2)(f), to enforcing compliance with rules, PDs and orders. It can be said that proper enforcement of rules, such as procedural time limits, or of court orders, such as unless orders, is inherent in the idea of dealing with cases justly. If an individual claim is to be dealt with justly, it requires such compliance and, if necessary, enforcement. As Lord Phillips MR put it in the Flaxman-Binns case, sometimes the court is faced with the question ‘. . . whether the overriding objective of dealing with this case justly calls for us to bring these proceedings to an end . . .’5 In order to ensure that cases are dealt with justly requires enforcement of rules and court orders. Enforcement is, like the commitment to proportionate cost, already implicit in the overriding objective.
11.
Why then make explicit what is already implicit? The CPR whether they refer to the procedural case tracks, court control of expert evidence, time limits within which to serve claims or directions that specify when evidence should be exchanged and so on, serve to provide a just framework. That framework is intended to ensure that all litigants have fair access to the courts and a fair opportunity to proceed to judgment.
5 Flaxman-Binns v Lincolnshire County Council (Practice Note) [2004] 1 WLR 2232 at [41].
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12.
Obviously that framework must be adapted to the circumstances of the immediate case. Flexibility and discretion within that framework are always necessary. In this respect, the use of the phrase “so far as practicable” is of some significance. Such flexibility must however be applied so as to achieve two things. These are (i) to ensure that parties do not expend more than proportionate costs in conducting their own litigation and (ii) to ensure that parties do not expend more of the court’s time and resources than is proportionate given the need to ensure that all other court-users can have fair access to the courts within a reasonable time.
13.
This may mean that in some cases parties will have to be denied the opportunity to adduce certain evidence if they have failed to exchange in accordance with case management directions. Doing so may be justified in order to ensure that they do not expend more than proportionate costs on their own litigation. Equally, this might be justified in order to ensure that all other court-users have fair access. In others it may mean that a claim that could otherwise continue to trial might have to be come to a premature end due, for instance, to a failure to comply with an ‘unless order’.
14.
This may all seem rather harsh. It may certainly appear to amount to a denial of justice to the parties. The court’s refusal to grant relief from a sanction, for instance, may appear to be a denial of the need to ensure that justice is done as between the parties. Faced with an apparent conflict between the need to do justice to the parties, to secure a decision on the merits, and the need to secure proportionality it is easy to see why the former might – and often has – prevailed. The courts exist to do justice: where justice and proportionality come into conflict, the former should be given greater weight. Intuitively this seems obviously correct. After all, is a judge not required by his or her oath “to do right by all manner of people, after the law and usages of this realm, without fear or favour, affection or ill will’?
15.
Here lies the answer to the superfluity question as well as the remit question. Dealing with a case justly does not simply mean ensuring that a decision is reached on the merits. It is a mistake to assume that it does. Equally, it is a mistaken assumption, which some have made, that the overriding objective of dealing with cases justly does not require the court to manage cases so that no more than proportionate costs are expended. It requires the court to do precisely that; and so far as practicable to achieve the effective and consistent enforcement of compliance with rules, PDs and court orders.
16.
The Court of Appeal, has emphasised on a number of occasions that justice goes beyond simply looking at the immediate parties to the proceedings. Lord Woolf made this very point in the pre-CPR case of Beachley Property Limited v Edgar; pre-CPR but looking forward to the approach that would be applied post-1999. In refusing the allow a party to adduce evidence that had not been served in time, he explained how,
‘It is no use the party coming forward and saying, “The evidence will help our case. . . You have to consider the position not only from the plaintiff’s point of view, but also from the point of view of the defendant, and with a view to doing justice between other litigants as well.6’
6 (CA 21 June 1996) at (6).
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The court has to consider three things: the claimant’s perspective, the defendant’s perspective and, importantly, the perspective of other court-users. It is not enough to consider the need to secure justice as between the parties. The same point was made by Lord Justice Ward in UCB Corporate Services Ltd (formerly UCB Bank Plc) v Halifax (SW) Ltd, when he explained that, when considering a party’s failure to prosecute claims timeously, the court had not just to take account of the effect of any decision on the parties, and thus their claim to obtain justice. The court also had to
‘take into account the effect of what has happened on the administration of justice generally (which) involves taking into account the effect of the courts ability to hear other cases if such defaults are allowed to occur.7’
Lord Justice Ward emphasised this point again in Arrow Nominees Inc & Another v Blackledge & Others. In that decision he made the point that, when considering whether a claim should be struck out for rule non-compliance, the court had to go beyond the question of securing a decision on the merits for the parties. It had to consider the need to ensure that sufficient court resources were allotted not just to the immediate parties but also to other court users8. As he went on to say,
“The trend of the authorities before C.P.R. was increasingly to support the notion that as the court became more pro-active, so greater importance was given to the need to emphasise and protect the court’s interest in administering justice fairly not only as between the parties before the court but to all other others using the court service. Access to the courts was open to all but the time of the courts was a precious resource which needed to be managed rigorously in order to be fair to all. The C.P.R. is the apotheosis of those ideals.”9
17.
Doing the proper administration of justice goes beyond the immediate parties to litigation. It requires the court to consider the needs of all litigants, all court-users. This idea finds expression in the overriding objective. Unfortunately the courts have not always acted consistently with this idea. Perhaps this is not surprising, as the court does not address case management questions, questions of relief from sanctions and so on in the abstract. It does so in the context of a particular case.
18.
In such circumstances it is easy to see why, not least given the long heritage we have of striving to secure justice on the merits in each case and the intuitive understanding that doing justice is to reach a decision on the merits, mistaken assumptions took hold. This was compounded by the failure to make explicit in the overriding objective that it includes a duty to manage cases so that no more than proportionate costs are incurred and so as to enforce compliance. By making these features explicit the Rule Committee has clarified the meaning of the overriding objective. And they have done so exactly as Sir Rupert was required: the reform to the rules will improve practice and procedure consistently with Woolf’s commitment to proportionality. They are as such neither superfluous nor beyond the Jackson remit. They are in fact necessary to underline the requirement that both courts when actively managing cases and litigants in assisting the court to do so, are required to do so consistently with the need to further the proper
7 [1999] C.P.L.R. 691.
8 [2000] CP Rep 59; [2001] BCC 591 at [73].
9 [2000] CP Rep 59; [2001] BCC 591 at [69].
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administration of justice, where that goes beyond the interests of the immediate parties. We have a managed system. That system must be managed for the needs of all litigants. The new emphasis in the overriding objective on proportionate cost and compliance is intended to make sure the wider public interest remains at the forefront of all our minds.
CPR 3.9
19. This takes me to the revision to rule 3.9. The famous – or perhaps I should say infamous – checklist has gone. The rule will now read as follows:
‘3.9(1) On an application for relief from any sanction imposed for a failure to comply with any rule, practice direction or court order, the court will consider all the circumstances of the case, so as to enable it to deal justly with the application, including the need-
(a)
for litigation to be conducted efficiently and at proportionate cost; and
(b)
to enforce compliance with rules, practice directions and orders.’
The new rule thus explicitly refers back to the overriding objective, stressing the need in dealing with a case justly to take account of proportionate cost and the need to enforce rule compliance. As such it expressly refers back to the need to ensure that questions concerning relief from sanctions are not simply considered by reference to the immediate litigation, but to the wider public interest. Why has this change to been made to rule 3.9?
20.
First of all the rule change implements an often-forgotten aspect of the Woolf reforms, the need to simplify the rules. The previous checklist approach was less than ideal. It was cumbersome, and often difficult to apply in practice. I have no doubt that it often became an exercise in ticking-off the various elements. That was almost inevitable. As the Court of Appeal’s recent decision in Ryder Plc v Dominic James Beever [2012] EWCA Civ 1737 shows, it was not a means of securing clarity in decision-making, which in itself is a recipe for satellite litigation. The removal of the check-list should improve things.
21.
Secondly, and more importantly it is intended to underline and reinforce the importance of conducting and managing litigation so as to ensure that no more than proportionate costs are incurred as between the parties and that no one piece of litigation is permitted to utilise more of the court’s resources than is proportionate, taking account of the needs of other litigants. It thus requires the court to focus much more clearly and consistently than it has in the past on these essential aspects of case management in the light of the overriding objective. This point has of course rightly been emphasised by Lord Justice Jackson (who else?) in the recent Court of Appeal in Fred Perry (Holdings) Ltd v Brands Plaza Trading Ltd [2012] EWCA 22410 where he said this,
‘Non-compliance with the Civil Procedure Rules and orders of the court on the scale that has occurred in this case cannot possibly be tolerated. Any further grant of indulgence to the defendants in this case would be a denial of justice to the claimants and a denial of justice to other litigants whose cases await resolution by the court.’
10 [2012] EWCA Civ 224 at [1].
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22.
As I have said, one of the problems that has undermined the efficacy of case management has been too great a desire to err on the side of individual justice without any real consideration of the effect that has on the justice system’s ability to secure effective access to justice for all court-users. The Court of Appeal has been as guilty of this error as any other court. That the Court of Appeal could in 2011 in Swain-Mason & Others v Mills & Reeve LLP [2011] 1 WLR 2735 comment that early, robust, decisions by the Court of Appeal that emphasised the need to take account of the needs of all court-users and not just those of the immediate parties had been lost from view makes the point. The revised rule 3.9, by referring back to the overriding objective, is intended to ensure that such issues cannot become lost again post-April.
23.
Thirdly, consistently with this, the revised rule is intended to put a stop to what Lord Justice Jackson referred to recently in Mannion v Ginty as the ‘culture of toleration of delay and non-compliance with court orders. . .11 .’ That the Court of Appeal could call for such a culture to be brought to an end, as Jackson LJ did in that case, demonstrates just how far we have moved away from the approach that the CPR and the overriding objective were intended to establish in 1999. In this regard it is another irony that five years earlier than the Mannion decision Lord Justice Brooke felt the need to remind the courts and practitioners that, as he put it,
‘The Civil Procedure Rules, with their tough rules in relation to requiring compliance with court orders, were introduced to extinguish the lax practices which existed before the rules were introduced . . .12’
Tough rules but lax application; tough rules but a culture of toleration; and lax application and toleration are all fatal to the new philosophy. By emphasising the need to take account of the new explicit elements of the overriding objective, rule 3.9 is intended to eliminate lax application and any culture of toleration.
24. I should deal with one specific criticism of a tough approach to relief from sanctions at this point. It has been said by some that a tough approach, one which hardens its heart and refuses to allow a party to adduce probative evidence that has not been exchanged at the required time, or which strikes out a claim or defence for non-compliance with an unless order, is one which is inimical to justice. It has been said that such an approach improperly deifies compliance; and that it transforms rules into tripwires for the unwary and the incompetent, as Dame Janet Smith recently put it in the Ryder case13, or equally into procedural weapons for the unscrupulous. It has also been said such an approach is fundamentally at odds with the position outlined in Lord Esher MR’s famous dictum in Coles v Ravenshear (1907)14. Lord Esher MR said this,
‘. . . a Court cannot conduct its business without a code of procedure, I think that the relation of rules of practice to the work of justice is intended to be that of handmaid rather than mistress, and the Court ought not to be so far bound and tied by rules, which are after all only intended as general rules of procedure, as to be compelled to do what will cause injustice in the particular case.15’
11 [2012] EWCA Civ 1667 at[18].
12 Thomson v O’Connor [2005] EWCA Civ 1533 at [17].
13 [2012] EWCA Civ 1737 at [62].
14 [1907] 1 KB 1.
15 [1907] 1 KB 1 at (4).
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These words must be viewed with great caution in the 21st century. They are based on an idea that was rejected by the Woolf reforms – that justice is not subject wider policy considerations. If the justice system, and the public interest in the proper administration of justice, was solely concerned with one set of proceedings that approach might be justifiable. It is not. It is a system that has to command public confidence through securing for the majority, many of whom have limited resources, access to a system that itself must operate with limited resources. Doing justice in the individual case can only be achieved through a fair procedure operated in a way that is fair to all.
25.
In order to achieve this, the Woolf reforms and now the Jackson reforms were and are not intended to render the overriding objective, or rule 3.9, subject to an overarching consideration of securing justice in the individual case. If that had been the intention, a tough application to compliance would have been difficult to justify and even more problematic to apply in practice. The fact that since 1999 the tough rules to which Lord Justice Brooke referred have not been applied with sufficient rigour is testament to a failure to understand that that was not the intention.
26.
The revisions to the overriding objective and to rule 3.9, and particularly the fact that rule
3.9 now expressly refer back to the revised overriding objective, are intended to make clear that the relationship between justice and procedure has changed. It has changed not by transforming rules and rule compliance into trip wires. Nor has it changed it by turning the rules and rule compliance into the mistress rather than the handmaid of justice. If that were the case then we would have, quite impermissibly, rendered compliance an end in itself and one superior to doing justice in any case. It has changed because doing justice is not something distinct from, and superior to, the overriding objective. Doing justice in each set of proceedings is to ensure that proceedings are dealt with justly and at proportionate cost. Justice in the individual case is now only achievable through the proper application of the CPR consistently with the overriding objective.
27.
The tougher, more robust approach to rule-compliance and relief from sanctions is intended to ensure that justice can be done in the majority of cases. This requires an acknowledgement that the achievement of justice means something different now. Parties can no longer expect indulgence if they fail to comply with their procedural obligations. Those obligations not only serve the purpose of ensuring that they conduct the litigation proportionately in order to ensure their own costs are kept within proportionate bounds. But more importantly they serve the wider public interest of ensuring that other litigants can obtain justice efficiently and proportionately, and that the court enables them to do so.
28.
This may mean that in some cases, or some classes of case (such as those allocated to the small claims or fast track), that the court must reach a decision at trial on less evidence than it might have done in the past. To some extent, this has already been happening as a result of the introduction of case tracks. It also means that, where we exclude evidence because of a failure to comply with rules, PDs or orders, we must determine the cases on less evidence than we would have done in the pre-Woolf and pre-Jackson days.
29.
That we have to do so stems from our commitment to proportionality, and the need to secure a fair distribution of court resources amongst all those who need to come to the courts in order to vindicate their rights. We have limited resources. Demand for those resources outstrips that limit. We have to cut our cloth accordingly. The wider public
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interest in the proper administration of justice requires us to do so. For that reason we have no choice but to take a more robust approach to rule compliance and relief from sanctions than previously. Our approach in the case immediately in front of us has consequences wider than for the parties themselves.
Conclusion
30.
Where does this leave us as far as the underlying philosophy of the Jackson reforms is concerned?
31.
It seems to me that we can draw a number of conclusions:
(i)
first, that the revisions to both the overriding objective and rule 3.9 are designed to ensure that the courts, at all levels, take a more robust approach to ensuring that proceedings are managed so that no more than proportionate costs are incurred by the parties to those proceedings. They do so because proceedings must be managed in the public interest to ensure that individual parties do not expend more than is proportionate on their own claims; but as importantly, that they do not, through being permitted to expend more than a proportionate amount of the court’s time and resources, impinge on the rights of other litigants to have fair access to the courts;
(ii)
secondly, that those revisions require a more robust approach to the enforcement of compliance and a more restrictive approach to relief from sanctions. This is not based on a dogmatic insistence on compliance for its own sake. It is done because, again I stress, the wider public interest demands it. The effective administration of justice requires it; and
(iii)thirdly, the approach required by the overriding objective will not simply apply to questions of rule-compliance and relief from sanctions. It will apply to case management, costs management and costs budgeting. Those commentators who perceive, for instance, the decision in Henry v News Group Newspapers Ltd [2013] EWCA Civ 19 as some form of signal from the Court of Appeal that the new rules will not be applied robustly are wrong. Henry was decided under the Mark I overriding objective. As Lord Justice Moore-Bick made clear in Henry future decisions on costs budgeting etc will take place under the new rules that come into force on 1 April. As he put it
‘(Those rules) impose greater responsibility on the court for the management of the costs of proceedings and greater responsibility on the parties for keeping budgets under review as the proceedings progress.16’
They do and so does the Mark II overriding objective.
32. Thank you.
Please note that speeches published on this website reflect the individual judicial officeholder’s personal views, unless otherwise stated. If you have any queries please contact the Judicial Office Communications Team.
16 [2013] EWCA Civ 19 at [28].
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Radical PI reforms spell ‘disaster’ | The Law Gazette

Radical PI reforms spell ‘disaster’ | The Law Gazette.

 

Thursday 13 December 2012 by John Hyde

Lawyers on both sides of the personal injury sector have rounded on the government after the latest announcement in an unprecedented series of radical reforms.

Justice secretary Chris Grayling on Tuesday outlined proposals to raise the upper limit of the small-claims track from £1,000 to £5,000 and for independent medical panels to diagnose whiplash injuries.

The changes had been expected following meetings between the government and the insurance industry earlier this year. Grayling insisted the measures would cut fraud and benefit honest drivers who have had to ‘bear the price of a system that has been open to abuse’.

But with the consultation on the measures closing on 8 March – just 14 working days before the Jackson reforms and a new costs regime for RTA claims come into force – claimant and defendant lawyers warned that the new plans could backfire.

Iain Stark, chairman of the Association of Costs Lawyers, said the proposals could spell ‘disaster’ for consumers and the legal profession alike. He warned they could lead to the creation of a new unregulated industry to handle claims below £5,000 and courts being ‘flooded’ with litigants in person.

‘The government is already consulting on a 60% cut to legal fees for the system that currently deals with whiplash cases worth up to £10,000 where liability is admitted.

‘These new proposals will remove most cases from the system, leaving just the higher-value, more complex ones at unfairly low-fee levels,’ Stark said.

Craig Budsworth, chairman of the Motor Accident Solicitors Society, said it was ‘irresponsible’ to consider more changes at a time of industry upheaval. ‘The government has forgotten that the majority of whiplash claims in this country are genuine,’ he said.

Even insurance lawyers expressed doubts about the timing and scale of the proposals.

While cautiously welcoming the consultation, Kennedys partner Richard West warned against ‘change for change’s sake’ that risked undermining the good intentions underpinning the consultation.

James Arrowsmith, from insurance firm Browne Jacobson, said the move could make it more difficult for defendants to prove fraud with only a few weeks from exchange of evidence to a hearing.

‘The deterrent effect the government seeks, therefore, seems more likely to arise through making claims less profitable and more of a challenge to run,’ Arrowsmith said.

The proposal to raise the limit for small claims comes five years after a government consultation found no justification for an increase. Sir Rupert Jackson, the architect of many of the government’s civil justice reforms, came to the same conclusion in his 2009 review of litigation costs.

Grayling insisted that reform will make it less likely that fraudulent or exaggerated claims will be made, and those that are will be properly tested. ‘Genuine claims can still be settled but fraudsters are left in no doubt there will be no more easy paydays.’

Shadow justice minister Andy Slaughter said: ‘The government underestimates the complexity of cases that are affected – it’s fanciful to think people are going to have to litigate for themselves.

‘If these changes led to falling premiums then I would be more sympathetic, but I don’t hear insurers saying that.’

A Law Society spokesperson said: ‘Raising the small claims limit runs the very real risk that the already swamped courts will be flooded with self represented litigants, causing the inevitable delays that come with that. Of equal concern is the likelihood of a growing number of those who need treatment may be put off making a claim when they have a genuine injury. They will be the walking injured, literally.

‘The onus here surely has to be on insurers. They need to do more to challenge false claims properly and their reasons for not doing so are flimsy to say the least. The government’s plans seem to be geared towards squeezing everyone – including those who suffer genuine injury – except the insurers.’

However the Law Society said it welcomed plans for stronger medical diagnoses but warned there needed to be care that the cost was not disproportionate. The Society said it would be working with its members to provide a robust and evidenced response to the consultation, and welcomed the three-month consultation period, which reflected the seriousness of the issue.

Civil Costs in April 2013. Jackson and all that……

I’ve read the October 2012 Ministry of Justice press release on the Jackson reforms update.  Other than noting that the Judiciary.gov website can’t spell the word judicial, here are the short headlines. Some we knew, some we weren’t sure of:

  1. CFA’s can still be used but the success fee will be payable by the litigant themselves and not recoverable from the opponent in any circumstances.
  2. ATE premiums are irrecoverable other than for expert reports in clinical negligence cases but the details are yet to be decided.
  3. Success Fees in PI claims are capped at 25% of damages (exclusive of future care and loss) to include counsel’s fees and VAT (so that is something under 21% in reality).
  4. Damages-Based Agreements will be available for the first time.  Capped again at 25% in PI cases but at 50% in all other civil litigation.  There will be a 10% rise in all non-pecuniary generals as per Simmons v Castle.
  5. Qualified one-way costs shifting will apply in all PI cases.  QOCS would be lost if the claim was found to be fraudulent on the balance of probabilities, if the Claimant failed to beat a part 36 offer or if the claim was struck out for abuse of process or disclosed no cause of action.
  6. There will be a new rule on proportionality of costs.
  7. The RTA Portal will be extended from £10,000 to £25,000.
  8. There will be a consultation period for increasing the PI generals lower limit from £1,000 to £5,000 for the fast track.

Mike

Jackson: the true picture | New Law Journal

Jackson: the true picture | New Law Journal.

Dominic Regan predicts the shape of things to come

Six months and counting. The Jackson reforms kick in next April. There is no going back. It is not long to go. The details are now falling into place and the aim of this note is to bring the reader up-to-date with the final shape of things to come. Not all of Sir Rupert’s ideas are being implemented.

Rupert’s successes

Sir Rupert has got his way with the ending of recoverability of success fees and after-the-event insurance premiums. A modest and temporary exception has been made for mesothelioma claims. Where funding arrangements are entered into on or after 1 April next year the other side will not be touched by additional liabilities. The conditional fee agreement will still exist but will be a private matter as between solicitor and own client.

Jackson was keen to see the client have a financial stake in their claim. The Legal Aid, Sentencing and Punishment of Offenders Act 2012 permits the solicitor to look to his own client to contribute up to 25% of damages (excluding those for future loss which are untouchable) to cover the success fee. I have serious reservations about whether this will happen. The Ministry of Justice is talking about market forces and competition, which confirms my suspicion that some will get the work by promising, as now, to give the client damages without deduction. This means that the client will still not have a financial stake in the claim.

Damages-based agreements have made it onto the statute book. The ability to act for an outright percentage of the winnings is around the corner. The question of whether the client needs independent advice is being mulled over by the Civil Justice Council.

Raging uncertainty

Until last week it appeared that the proposal to have fixed costs in the fast-track had been quietly dumped. However, we have a new minister and my understanding is that Professor Fenn has been asked to look, as a matter of urgency, at whether this reform could be implemented along with the other big changes in six months time.This would, I anticipate, please Sir Rupert enormously as it would head off satellite arguments about proportionality, it would impose a tariff for the job and it would end detailed assessments too.

We are to have a new proportionality test which will sweep away Lownds v Home Office [2002] EWCA Civ 365, [2002] 4 All ER 775, replacing it with an approach whereby the court will ultimately balance the grand total as against the value of the claim. The area where arguments over the new test will proliferate must be in the fast-track. This is because it is the lowest level of costs-bearing litigation and, inevitably, there will be tension between comparatively modest damages recovered (no more than £25,000) and the costs sought for achieving that result. The introduction of fixed costs to fast-track litigation would prevent any proportionality argument arising here. This is because there would be no room for argument on proportionality. The set costs figure would be final and decisive.

The Rules Committee has wisely relented over the initial decision to introduce the new proportionality test devoid of any guidance as to what it might mean and how it ought to be applied. In August a sub-committee will be reflecting upon decent guidance that could and should be given. Budgeting in multi-track litigation will be the norm in every action commenced from 1 April 2013.The chilling decision in Henry v Mirror Group Newspapers [2012] EWCH 90218 (Costs) is a serious warning for practitioners. It was a defamation action and, as such, was caught by an early budgeting pilot scheme. The claimant submitted a bill which was 18 times higher than budgeted for witness statements and eight times higher for disclosure. The extra costs were nearly £300,000. Despite expressing the clear view that the additional spend was justified, the senior costs judge held the claimant to the budget. Getting it right in the first place and then monitoring the spend regularly will put litigators under considerable pressure.

Pointless portals

Contrary to the clear wishes of Sir Rupert, the small claims limit is going up to £10,000 in non-injury matters and the road traffic portal threshold is being bumped up to £25,000 from £10,000. My article “Pointless Portals” drew more comments than anything I have written before. I and many others think the concept of an employers’ liability portal would prove to be an expensive nonsense. I still do not see how such a necessarily sophisticated portal could be viable and running next April.

There is no money to spend on technology and so the idea of injury damages being collated by computer software, another Jackson recommendation, is dead in the water.

Professional negligence claims may well increase with a new, harsher approach to default coming under a rewritten CPR 3.9. Paramount considerations are to be the need to conduct litigation efficiently at proportionate cost, and the need to ensure that Rules and Orders are honoured.

After an almighty struggle, qualified one-way costs shifting is coming to injury but, to the disappointment of Sir Rupert, the wealthy will be entitled to take advantage of it. This is an example of expediency overriding a pure proposal. There was concern about defining the wealthy and so it was decided to avoid the issue altogether.

Finally, we have a ban on injury referral fees but already the Solicitors Regulation Authority is making understandable noises about definition and recognition. The payment of marketing and advertising fees is lawful but when does the fee become, in truth, a referral fee?

So much is going to change so suddenly.

Professor Dominic Regan, of City Law School & NLJ columnist, has assisted Lord Justice Jackson & HH Judge Simon Brown QC with costs reform.

Recession fuels big rise in commercial litigation | Solicitors Journal

Recession fuels big rise in commercial litigation | Solicitors Journal.

Recession fuels big rise in commercial litigation
NEWS | 10 July 2012
Surge in breach of contract and debt cases
Britain’s economic misery fuelled a big rise in commercial disputes at the High Court last year.
According to MoJ statistics, 982 contract claims were issued in the Chancery Division last year, compared to 683 the year before, a rise of 44 per cent.
Breach of contract claims rose by exactly the same percentage in the Queen’s Bench Division, to a total of 969.
In the Commercial Court, breach of contract or agreement and debt claims surged by 49 per cent to 722.
Nick Rowles-Davies, consultant at litigation funder Vannin Capital, said: “Our own experience, from the ever-growing number of approaches for funding we receive, matches the trends identified by these statistics.
“The kinds of disputes the courts are seeing are often caused by the difficult situations people find themselves in during a recession. This is compounded by the fact that, by definition, they struggle to get the money together to take their case to court.
“That, of course, is where we come in and the demand we are seeing is in part why we recently quadrupled our funding facility to £100m for the coming year. This is litigation funding providing access to justice for people who might very well not be able to afford it otherwise.”
In a separate development, Sweet & Maxwell has reported that 374 commercial and business-related disputes were brought before the ECJ in 2011, an increase of 11 per cent on 2010.
Competition and consumer protection saw particularly big increases, followed by taxation and IP.
A Sweet & Maxwell spokesman said that as the European economic crisis escalated last year, businesses increasingly became embroiled in disputes before the ECJ as they fought for market share and to protect their profitability.

All claimants to benefit from costs-shifting, Djanogly says | The Law Gazette

All claimants to benefit from costs-shifting, Djanogly says | The Law Gazette.

All claimants to benefit from costs-shifting, Djanogly says
Tuesday 10 July 2012 by John Hyde

Qualified one-way-costs shifting will apply to all claimants no matter what their financial means, the Ministry of Justice has confirmed.

In a written ministerial statement today, justice minister Jonathan Djanogly (pictured) said there would be no financial test to determine eligibility. The new costs regime is being introduced as part of the Legal Aid, Sentencing and Punishment of Offenders Act, due to come into force from next April.

QOCS will mean that claimants conducting their case properly do not have to pay towards defendants’ costs if the claim fails. Protection would be lost only if the claim is found to be fraudulent, if the claimant has failed to beat a defendant’s ‘part 36’ offer to settle, or where the case has been struck out where it is an abuse of the court’s process.

Djanogly also confirmed that the MoJ is considering whether QOCS protection should apply to elements of a claim for personal injury pursued for the benefit of a third party.

Under Part 36 of the Civil Procedure Rules, there is to be an additional sanction paid where the judgment for the claimant is more advantageous than a defendant’s Part 36 offer. This will be calculated at 10% of damages where damages are in issue, and 10% of costs for non-damages claims.

Sanctions will be gradually reduced for claims over £500,000 and there will be only one sanction applicable for split trials.

The rules were drafted following advice from the Civil Justice Council and will be considered by the CPR Committee in the autumn, to come into effect next April.

Insurers propose £150 portal fixed fee as ‘negotiating tactic’ | The Law Gazette

Insurers propose £150 portal fixed fee as ‘negotiating tactic’ | The Law Gazette.

The insurance industry has proposed that fixed fees for low-value claims be set as low as £150, the Gazette can reveal.

A leaked email, apparently sent to members of the Association of British Insurers by the ABI’s assistant head of motor and liability James Dalton, calls for a ‘tactical steer’ to set limits for the RTA Portal. The email asks the General Insurance Council committee to advance the £150 figure as a ‘negotiating tactic’, recognising the Ministry of Justice will ‘inevitably set a number higher than that’.

The figure, a huge reduction on the current £1,200 cap for portal case fees, would apply to all claims valued up to £10,000. The email states that £150 would cut insurers’ costs but ‘runs the risk of the industry being seen to be unreasonable’. On the other hand, a figure of £350 could ‘limit the cost savings to insurers of the reduced fee but increase our credibility in the debate’.

Dalton says costs consultants have examined the work carried out by claimant law firms in processing low-value claims through the portal. This analysis has considered the averages of the salaries of the staff involved, their efficiency rates and overheads involved in running the firm.

Solicitor Andrew Dismore, co-ordinator of the Access to Justice Action Group, accused the insurance industry of ‘playing games’ and trying to drive out solicitors from the claims process.

‘They are playing a cynical and duplicitous game with the MoJ even though they get what they want anyway,’ he said.

‘The ABI want to drive any professionalism out of legal services and turn it into a tick box exercise. Their ultimate aim is third-party capture and before-the-event insurance driving independent advice out of the market.’

A spokesman for the ABI said no final decisions have been taken on the response to the government consultation on fixed fees.

‘We have long argued that the current £1,200 fee is far too high and needs to be slashed if we are to be able to reduce car insurance premiums for customers.

‘We are considering a number of options as part of our response to the consultation and this should not come as a surprise. And these are just options amongst a range of others we are considering before we finalise our response and provide it to the MoJ.’

The government has said it will listen to all stakeholders as it decides on the future terms of the portal. Parties have until 25 May to submit responses.

Is this really Britain in the 21st Century? Discuss.

Justice minister Jonathan Djanogly: [Legal Aid Sentencing and Punishment of Offenders Act] ‘will reduce lawyers’ fees, which we all end up paying for through increased prices and insurance premiums. It will make legal costs fairer between people suing for compensation and the defendants, so that the defendants are not denied access to justice through fear of high legal costs.’

Will the legal aid bill be the end of the ambulance-chasing lawyer? | Jon Robins | Law | guardian.co.uk

Will the legal aid bill be the end of the ambulance-chasing lawyer? | Jon Robins | Law | guardian.co.uk.

For all the scaremongering about a compensation culture, ignorance of rights causes more harm than the bringing of unmeritorious legal claims

Jon Robins
guardian.co.uk, Wednesday 25 April 2012

The MoJ claims the legal aid bill will ‘save £350m and end an ambulance-chasing culture that taxpayers cannot afford’ Photograph: Michael Kemp / Alamy/Alamy
How do you explain a sprawling legislative monster like the legal aid, sentencing and punishment of offenders bill (LASPO)? More often than not, commentators invoke the spectre of the compensation culture and reach for a cliché.

The Ministry of Justice itself tells us that the legal aid bill will “save £350m and end an ambulance-chasing culture that taxpayers cannot afford”. “Whenever you hear of a stupid case of ‘health and safety’ dictatorship, it’s these people – not ‘human rights’ or ‘political correctness’ – who are to blame,” fumed Peter Hitchens last year in a characteristically intemperate attack on ‘a new caste of greedy, cynical ambulance-chasing lawyers’. “That’s why councils ban cheese-rolling festivals and veterans’ parades.”

Frankly, I’m all for Peter Hitchens taking part in all the life-threatening, cheese-related activities he wants to. There is an interesting debate to be had: as a society, do we claim too much or not enough (through ignorance of our rights and as a result of an imbalance of power between the sides)?

In the last few months as the legal aid bill has made its way through parliament we have had much about the former and nowhere near enough about the latter.

Of course, it’s entirely possible that we do both: it might be as easy to bring a trumped up whiplash claim as falling off a log (as Hitchens suggests); but try enforcing your legitimately-held rights against the boss who has just sacked you or the landlord who wants you out on the streets? Not so easy.

There is a dangerous conflation of ideas in the debate around the bill: it will slash legal aid and defeat the compensation culture. The issues are separate and complex.

What do ministers mean by the compensation culture? In December 2010, David Cameron, as leader of the opposition, appointed Lord Young of Graffham, who served in the Thatcher administration, to review health and safety laws. He found that,

“behind the myth, the truth behind health and safety hysteria, the problem of the compensation culture prevalent in society today is one of perception rather than reality”.
It was refreshingly clear-sighted but hardly surprising conclusion. ‘Many of the stories we read and hear either simply aren’t true or only have a grain of truth in them,’ claimed a 2004 report for the Better Regulation Task Force.

That said, according to the Department for Work and Pensions there has been a 52% rise in the number of motor claims to 790,999 last year. Earlier this year Cameron recently called Britain “the whiplash capital of Europe” with more than 1,500 claims a day. After an “insurance summit” (representatives of consumers and accident victims apparently not welcome), the PM pledged to slash the £1,200 fee for lawyers on small personal injury claims. Cameron was “determined to tackle this damaging compensation culture” and stop “trivial claims, free up businesses from the stranglehold of health and safety red tape” etc… etc. The “road accident tail” is “wagging the civil justice dog”, the Access to Justice Action Group has argued.

It was 12 years ago that legal aid for personal injury cases was scrapped. New Labour created the regulatory environment to allow market forces to enable accident victims without legal aid to have access to justice. To put it another way, they created a compo culture to fill the justice gap.

In particular, ministers reformed the original no win, no fee model through its flagship Access to Justice Act 1999. They did this by providing for the recovery of the insurance premium (covering your exposure to the other sides’ costs if you lose) plus the success fee (rewarding your lawyer for taking the risk of not being paid if you lose) from the losing party.

LASPO will scrap the recoverability principle – preventing you from recovering your insurance costs and success fees from the losing side. That regulatory change directly led to non-lawyer claims management companies udrumming up claims through TV advertising campaigns and, if necessary, passing them on to lawyers. There was an accident gold rush led by the old Claims Direct which quickly became a household name as a result of a saturation TV campaign inspired by tasteless US-style marketing tactics (“Where there’s blame, there’s a claim” and so on).

Claims Direct was signing up 5,000 new clients a month at the height of its powers. The other market leader TAG (The Accident Group) conquered 25% of the personal injury market in less than two years. Both went bust within two years.

Putting to one side the questionable antics of claims companies (hard sell, cold calling etc), many legitimate accident victims were ripped off and their damages consumed by the exorbitant costs of claims companies and lawyers.

It took the last government six long years to set up a watchdog despite repeated consumer scares drawing attention to the industry’s worst excesses. Now there are apparently some 2,500 claims companies registered for personal injury work. A freedom of information request recently revealed that 734 claims companies were “cancelled” (or closed down) by the MOJ regulator in the last 12 months, partly prompted by 9,570 complaints from the public.

The legal aid bill will ban referral fees which lawyers pay to claims companies – the payment of which Jack Straw recently lambasted as “a lucrative and self-serving merry-go-round” (conveniently overlooking his government’s role in this sorry saga). The expectation is that the ever-changing claims industry will transfer to ABS (alternative business structure) status en masse under the Legal Services Act 2007. The ABS structure means claims companies can handle their caseload in-house through their own lawyers.

For all the compo culture scaremongering, ignorance of rights causes far more harm in our society than the bringing of unmeritorious legal claims. The legal aid bill will scrap £350 million from the £2.2 billion legal aid budget – and it does that by pretty much abolishing advice for social welfare law and family advice. The Legal Action Group estimates up to 650,000 will be removed from access to legal aid.

At the heart of LAPSO there is a vacuum. ‘Access to justice is the hallmark of a civilised society,’ says the justice secretary Ken Clark. Clarke’s assertion is meaningless unless people have an awareness of the kind of rights that they have under the law. LASPO is depressingly silent on that point.