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Uni-Span Height Safety Pty Ltd v Gold Coat Guardrail Pty Ltd [2009] FCA 819 (5 August 2009)

Last Updated: 6 August 2009

FEDERAL COURT OF AUSTRALIA


Uni-Span Height Safety Pty Ltd v Gold Coat Guardrail Pty Ltd [2009] FCA 819


PRACTICE AND PROCEDURE – pre-action discovery of documents – Order 15A rule 6 of the Federal Court Rules – alleged misrepresentation of past turnover, predicted turnover and value of the business prior to sale of business – principles to be followed when granting a pre-action discovery order – whether there is reasonable cause to believe the applicant has or may have the right to obtain relief – misunderstanding of financial evidence by the applicant – provision of evidence to the applicant by fifth respondent – investigations of director of applicant not “evidence” – whether applicant made all reasonable inquiries before applying under Order 15A rule 6(b) – no evidence that 4 of the 5 respondents were asked for the evidence sought


PRACTICE AND PROCEDURE – freezing order sought against properties of fourth respondent – Order 25A rule 2 of the Federal Court Rules – principles to be followed when granting a freezing order – whether there was a risk of dissipation of assets of the fourth respondent


Held: application dismissed with costs – applicant did not satisfy the requirements of Order 15A rule 6 for pre-action discovery – the applicant failed to make all reasonable inquiries before applying for pre-action discover under Order 15A rule 6 – no reasonable cause to believe on the material that there was a cause of action – applicant did not satisfy the requirements of Order 25A rule 2 for freezing order – no prima facie case established to support freezing order – no evidence of risk of frustration or inhibition of Court’s process by fourth respondent if freezing order not made


Federal Court Rules O 15A r 6, O 25A r 2


Alphapharm Pty Ltd v Eli Lilly Australia Pty Ltd [1996] FCA 1500 cited
Apache Northwest Pty Ltd v Newcrest Mining Ltd [2009] FCAFC 39 followed
CGU Insurance Ltd v Malaysia International Shipping Corporation Berhad [2001] FCA 1223; (2001) 187 ALR 279 cited
Echo Tasmania Pty Ltd v Imperial Chemical Industries PLC [2008] FCAFC 58 followed
KGL Health Pty Ltd v Mechtler [2007] FCA 1410 cited
Patterson v BTR Engineering (Aust) Limited (1989) 18 NSWLR 319 cited
Paxus Services Ltd v People Bank Pty Ltd [1990] FCA 500; (1990) 99 ALR 728 cited
St George Bank Ltd v Rabo Australia Ltd [2004] FCA 1360; (2004) 211 ALR 147 followed


UNI-SPAN HEIGHT SAFETY PTY LTD (ACN 122 411 198) v GOLD COAST GUARDRAIL PTY LTD (ACN 086 267 441), MCJC PTY LTD (ACN 122 955 186) AS TRUSTEE FOR CARTAN INVESTMENT TRUST, MICHAEL LEIGH CARTAN, JENNIFER ELIZABETH COOLEY and JOE WALSH & ASSOCIATES (A FIRM)


QUD 164 of 2009


COLLIER J
5 AUGUST 2009
BRISBANE


IN THE FEDERAL COURT OF AUSTRALIA

QUEENSLAND DISTRICT REGISTRY

GENERAL DIVISION
QUD 164 of 2009

BETWEEN:
UNI-SPAN HEIGHT SAFETY PTY LTD (ACN 122 411 198)
Applicant

AND:
GOLD COAST GUARDRAIL PTY LTD (ACN 086 267 441)
First Respondent

MCJC PTY LTD (ACN 122 955 186) AS TRUSTEE FOR CARTAN INVESTMENT TRUST
Second Respondent

MICHAEL LEIGH CARTAN
Third Respondent

JENNIFER ELIZABETH COOLEY
Fourth Respondent

JOE WALSH & ASSOCIATES (A FIRM)
Fifth Respondent

JUDGE:
COLLIER J
DATE OF ORDER:
5 AUGUST 2009
WHERE MADE:
BRISBANE

THE COURT ORDERS THAT:


The application filed 3 July 2009 be dismissed with costs.


Note: Settlement and entry of orders is dealt with in Order 36 of the Federal Court Rules.
The text of entered orders can be located using eSearch on the Court’s website.


IN THE FEDERAL COURT OF AUSTRALIA

QUEENSLAND DISTRICT REGISTRY

GENERAL DIVISION
QUD 164 OF 2009

BETWEEN:
UNI-SPAN HEIGHT SAFETY PTY LTD (ACN 122 411 198)
Applicant

AND:
GOLD COAST GUARDRAIL PTY LTD (ACN 086 267 441)
First Respondent

MCJC PTY LTD (ACN 122 955 186) AS TRUSTEE FOR CARTAN INVESTMENT TRUST
Second Respondent

MICHAEL LEIGH CARTAN
Third Respondent

JENNIFER ELIZABETH COOLEY
Fourth Respondent

JOE WALSH & ASSOCIATES (A FIRM)
Fifth Respondent

JUDGE:
COLLIER J
DATE:
5 AUGUST 2009
PLACE:
BRISBANE

REASONS FOR JUDGMENT

  1. By application filed 3 July 2009 the applicant made a number of claims for pre-trial discovery and injunctive relief. At the hearing however it became clear that the relief sought by the applicant would be limited to the following claims:
  2. Submissions were made on behalf of both the applicant and the respondents at the hearing in relation to these claims. However it also became clear that the terms of the freezing order sought by the applicant required amendment because of contractual and property information pertaining to the fourth respondent which came to light during the course of the hearing. Accordingly, I made orders that the applicant file and serve a revised draft freezing order with supporting submissions, and that the respondents should have an opportunity to respond in writing. That material has now been filed and served, and I take it into consideration for the purposes of this decision.

Background

  1. The summary of background facts relating to this application are taken primarily from the affidavit of Mr Carl Roetger, a director of the applicant, sworn 2 July 2009.
  2. The applicant was incorporated in late 2006 following discussions between Mr Roetger, Mr Cartan (the third respondent), and Mr Wayne Bibby, all of whom became directors of the applicant with Mr Cartan assuming the role of company secretary. The shareholders of the applicant were the second respondent, and two trustee companies representing the family interests of Mr Roetger and Mr Bibby. Mr Cartan and Ms Cooley (the fourth respondent) ceased any involvement with the applicant in December 2007.
  3. By a contract dated 20 February 2007 the applicant acquired from the first respondent the business of “Brisbane Guardrail”, a scaffold and guardrail supply business. Mr Cartan and Ms Cooley were shareholders of the first respondent, with Ms Cooley being the majority shareholder. Mr Cartan was the sole director of the first respondent, and in a de facto relationship with Ms Cooley.
  4. In Mr Roetger’s affidavit, he deposes (in summary) as follows:
  5. Ms Cooley swore an affidavit (affidavit of Jennifer Elizabeth Cooley sworn 23 July 2009) in which she addressed Mr Roetger’s statements.
  6. During the hearing it also became clear that Ms Cooley was in the process of selling properties she owned at Sanctuary Cove and Byron Bay, and that Ms Cooley, Mr Cartan and their children were relocating to Melbourne where Ms Cooley had incurred contractual obligations in relation to the purchase of an apartment.

Order 15A rule 6

  1. Order 15A rule 6 provides:
Where

(a) there is reasonable cause to believe that the applicant has or may have the right to obtain relief in the Court from a person whose description has been ascertained;

(b) after making all reasonable inquiries, the applicant has not sufficient information to enable a decision to be made whether to commence a proceeding in the Court to obtain that relief; and

(c) there is reasonable cause to believe that that person has or is likely to have or has had or is likely to have had possession of any document relating to the question whether the applicant has the right to obtain the relief and that inspection of the document by the applicant would assist in making the decision –

the Court may order that that person shall make discovery to the applicant of any document of the kind described in paragraph (c).

  1. In relation to the order sought by the applicant pursuant to O 15A r 6 the applicant submitted in summary:
  2. The respondents submitted in summary:

Order 15A rule 6: consideration

  1. Contrary to the submission of the applicant O 15A r 6 actually has three limbs – those identified by the applicant, and the limb contained in para (b) of the rule, namely that after making all reasonable inquiries, the applicant has not sufficient information to enable a decision to be made. I shall return to the three limbs of this rule later in the judgment.
  2. Nonetheless, it is common ground between the parties that the principles articulated by Hely J in St George Bank Ltd v Rabo Australia Ltd [2004] FCA 1360; (2004) 211 ALR 147 with respect to the operation of O 15A r 6 are applicable in these proceedings. These principles are as follows:

(a) The rule is to be beneficially construed, given the fullest scope that its language will reasonably allow, with the proper brake on any excesses lying in the discretion of the Court, exercised in the particular circumstances of each case;

(b) each of the elements prescribed in subparas (a), (b) and (c) of the rule must be established. Preliminary discovery cannot itself be used to remedy deficiencies in the satisfaction of the conditions themselves;

(c) the test for determining whether the applicant has “reasonable cause to believe”, as required by subpara (a), is an objective one. Further, the words “or may have” cannot be ignored. The applicant does not have to make out a prima facie case;

(d) belief requires more than mere assertion and more than suspicion or conjecture. Belief is an inclination of the mind towards assenting to, rather than rejecting a proposition. Thus it is not sufficient to point to a mere possibility. The evidence must incline the mind towards the matter or fact in question. If there is no reasonable cause to believe that one of the necessary elements of a potential cause of action exists, that would dispose of the application insofar as it is based on that cause of action;

(e) whilst uncertainty as to only one element of a cause of action might be compatible with the “reasonable cause to believe” required by subpara (a), uncertainty as to a number of such elements may be sufficient to undermine the reasonableness of the cause to believe;

(f) the question posed by subpara (b) of the rule is not whether the applicant has sufficient information to decide if a cause of action is available against the prospective respondent. The question is whether the applicant has sufficient information to make a decision whether to commence proceedings in the Court. Accordingly, an applicant for preliminary discovery may be entitled to discovery in order to determine what defences are available to the respondent and the possible strength of those defences, or to determine the extent of the respondent’s breach and the likely quantum of any damages award;

(g) whether an applicant has “sufficient information” for the purposes of subpara (b) also requires an objective assessment to be made. The subparagraph contemplates that the applicant is lacking a piece (or pieces) of information reasonably necessary to decide whether to commence proceedings;

(h) it is no answer to an application under the rule to say that the proceeding is in the nature of a “fishing expedition”. Indeed O 15A r 6 “expressly contemplates” what once might have been castigated as “fishing”. As Burchett J commented in Paxus Services Ltd v People Bank Pty Ltd [1990] FCA 500; (1990) 99 ALR 728 at 733, the rule is:

... designed to enable an applicant, in a situation where his proof can rise no higher than the level the rule describes, to ascertain whether he has a case against the prospective respondent ...


  1. The applicant’s case invoking the jurisdiction of the Court pursuant to O 15A r 6 is not assisted by a number of difficulties in respect of its claim. So:

I strongly believe that the 2006 financial records as provided to me and upon which I relied in causing the applicant company to enter into the subject series of transactions, are incorrect. Given the fact that the subject business was carried on by the same people including management under virtually the same conditions, and returned a gross income of only $818,986 for the 2007 year, resulting in a $368,360 trading loss, the only explanation that I believe exists is that the 2006 accounts were incorrect and wrong. (para 41)


In light of Mr Ashton’s submission as to the 2007 accounts annexed to Mr Roetger’s affidavit I can ascribe no value to this statement with respect to O 15A r 6.

I note in any event that copies of the first respondent’s financial statements and tax returns for the years ended 30 June 2005 and 30 June 2006 are annexed to Mr Walsh’s affidavit sworn 22 July 2009.

  1. In my view these difficulties undermine the applicant’s claim such that the jurisdiction of the Court with respect to O 15A r 6 is not invoked. I am conscious of the beneficial construction the courts place on O 15A r 6, the fact that the applicant is not required to establish a prima facie case, and the fact that in this case the applicant claims that it has suffered significant losses in respect of the business it acquired from the respondents and for which it has paid “good money” (TS p 17 l 28). Further, I note that, notwithstanding the provision by Mr Walsh in his affidavit of the 2005 and 2006 financial statements of the first respondent, Mr Walsh did so notwithstanding apparent instructions from Mr Cartan that no material beyond the 2007 financial statements be provided to the applicant (affidavit of Joe Walsh para 16). However as found in St George Bank [2004] FCA 1360; (2004) 211 ALR 147, confirmed by the Full Court more recently in Echo Tasmania Pty Ltd v Imperial Chemical Industries PLC [2008] FCAFC 58 at [43] and Apache Northwest Pty Ltd v Newcrest Mining Ltd [2009] FCAFC 39 at [2] and [26], each of the elements prescribed in subparas (a), (b) and (c) of the rule must be established. In light of:

I am not satisfied that the applicant has demonstrated, on an objective basis, reasonable cause to believe that it has or may have the right to obtain relief in the Court from the respondents or any of them for the purposes of O 15A r 6(a).

  1. Further, in relation to compliance with O 15A r 6(b) I am not satisfied that all reasonable inquiries have been made for the information sought in the application, as required by the rule. The only evidence before the Court is that inquiries were made by the applicant of the fifth respondent, Mr Walsh. There is no evidence that any inquiries were made of the first, second, third and fourth respondents, or indeed anyone else. “All reasonable inquiries” in O 15A r 6(b) prescribes an objective standard (Alphapharm Pty Ltd v Eli Lilly Australia Pty Ltd [1996] FCA 391, [1996] FCA 1500 at [41]). While inquiries of one party only may actually constitute “all reasonable inquiries” if, for example, it is clear in the circumstances that that party is the only or the primary repository of information, or if it would be futile to ask other parties for information, it has not been demonstrated that either situation is the case here. In relation to information held by the fifth respondent, Mr Walsh informed the solicitors for the applicant by letter that the fifth respondent had only electronic copies of relevant financial statements, and that if the applicant wanted further information would have to be obtained from “the clients directly” (annexure CER-13 being a copy of a facsimile from Joe Walsh & Associates to Gadens Lawyers dated 7 November 2008). There is no evidence that inquiries by the applicant of the other respondents, or indeed other persons, were made, or would have been futile if made.
  2. As stated by Hely J in St George Bank [2004] FCA 1360; (2004) 211 ALR 147, preliminary discovery cannot itself be used to remedy deficiencies in the satisfaction of the conditions themselves. The applicant cannot substitute the application before the Court in which it seeks preliminary discovery from the first, second, third and fourth respondents, for the need to make all reasonable inquiries in accordance with O 15A r 6 and which may entail making inquiries of those same respondents prior to bringing that application.
  3. It follows that I am not prepared to make an order pursuant to O 15A r 6 in terms sought by the applicant.

Freezing order

  1. The applicant seeks a freezing order against the fourth respondent only, pursuant to O 25A r 2 of the Federal Court Rules which provides:
2(1) The Court may make an order (a freezing order), upon or without notice to a respondent, for the purpose of preventing the frustration or inhibition of the Court’s process by seeking to meet a danger that a judgment or prospective judgment of the Court will be wholly or partly unsatisfied.

2(2) A freezing order may be an order restraining a respondent from removing any assets located in or outside Australia or from disposing of, dealing with, or diminishing the value of, those assets.

  1. Practice Note 23 provides guidance as to the operation of O 25A r 2.
  2. Key aspects of the application of O 25A r 2 include:
  3. In summary, the terms of the revised draft order submitted by the applicant are:
  4. In written submissions the applicant contended that the terms of the draft freezing order constituted a proper balance between the competing interests of the parties, namely the need to provide the applicant with proper protection against dissipation of assets and the need to allow the fourth respondent to meet any financial obligations already firmly in place.
  5. In the circumstances of this case I am not prepared to make an order in the terms sought by the applicant. I form this view for the following reasons:
  6. In light of the views I have expressed with respect to the orders sought by the applicant, it follows that the application should be dismissed with costs.
I certify that the preceding twenty-five (25) numbered paragraphs are a true copy of the Reasons for Judgment herein of the Honourable Justice Collier.

Associate:


Dated: 5 August 2009


Counsel for the Applicant:
Mr LP Bowden


Solicitor for the Applicant:
Gadens Lawyers


Counsel for the First, Second, Third, Fourth and Fifth Respondents:
Mr RS Ashton


Solicitor for the First, Second, Third, Fourth and Fifth Respondents:
ClarkeKann Lawyers

Date of Hearing:
23 July 2009


Date of Judgment:
5 August 2009


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