You are here:
AustLII >>
Databases >>
High Court of Australia >>
2011 >>
[2011] HCA 9
[Database Search]
[Name Search]
[Recent Decisions]
[Noteup]
[Download]
[Help]
Miller v Miller [2011] HCA 9 (7 April 2011)
Last Updated: 7 April 2011
HIGH COURT OF AUSTRALIA
FRENCH CJ,
GUMMOW, HAYNE, HEYDON, CRENNAN, KIEFEL AND BELL JJ
DANELLE EVELYN MILLER APPELLANT
AND
MAURIN ASHTON MILLER RESPONDENT
Miller v Miller [2011] HCA 9
7 April 2011
P25/2010
ORDER
1. Appeal allowed with costs.
- Set
aside the orders of the Court of Appeal of the Supreme Court of Western
Australia made on 6 November 2009 and, in their place,
order that the appeal to
that Court be dismissed with costs.
On appeal from the Supreme Court of Western Australia
Representation
B W Walker QC with J A Thomson for the appellant (instructed by Kott Gunning
Lawyers)
G M Watson SC with N J Owens and R A Yezerski for the respondent (instructed by
Tottle Partners)
Notice: This copy of the Court's Reasons for Judgment is subject to formal
revision prior to publication in the Commonwealth Law
Reports.
CATCHWORDS
Miller v Miller
Negligence – Duty of care – Illegality – Plaintiff and
defendant illegally using stolen motor vehicle in contravention
of s 371A
of The Criminal Code (WA) ("Code") – Plaintiff twice asked
defendant to be let out of vehicle – Requests not complied with –
Whether
plaintiff can recover damages for injuries sustained as result of
defendant's negligent driving of vehicle – Whether defendant
owed duty of
care to plaintiff – Whether statutory purpose of s 371A of Code
incongruous with duty of care between joint illegal
users of vehicle –
Whether plaintiff's requests sufficient to effect withdrawal from joint illegal
enterprise – Whether
reasonable steps available to plaintiff to prevent
commission of offence.
Words and phrases – "duty of care", "illegal use", "joint illegal
enterprise", "statutory purpose".
The Criminal Code (WA), ss 8, 371A.
Criminal Code Act Compilation Act 1913 (WA), Appendix B, s
5.
- FRENCH CJ,
GUMMOW, HAYNE, CRENNAN, KIEFEL AND BELL JJ. Early in the morning of
17 May 1998, the appellant (Danelle Miller –
"Danelle"), then aged 16
years, wanted to go from Northbridge, a Perth suburb, to her home in Maddington,
another Perth suburb.
She had been drinking, had tried unsuccessfully to enter
a nightclub and was wandering in the streets with her sister and cousins.
The
last train had left. She did not have the money to pay for a taxi. So she
decided to steal a car.
- Having
started a car in the car park near the nightclub, Danelle asked her older sister
(Narelle) to drive her and her younger cousin
(Hayley) home. Danelle knew that
Narelle had been drinking and did not hold a driver's licence.
- The
respondent (Maurin Miller – "Maurin") was at a cab rank when he saw the
car leaving the car park where it had been standing.
Maurin was a cousin of
Danelle's mother. He was aged 27 years. He said to Narelle: "I'm your uncle
let me drive." Narelle moved
out of the driver's seat and he took the wheel.
Some of Maurin's friends who were waiting at the cab rank also got into the car.
Nine passengers jammed themselves into the car with Maurin driving, and off they
set. For a time, Maurin drove sensibly. But then
he began to speed and to
drive through red lights. Danelle asked him to slow down, and then she asked
him to stop and let her and
Narelle out. But Maurin drove on, saying that they
were "all right", and should come with him to his house.
- Near
Maddington, the suburb where Danelle lived, Maurin slowed the car down and
Danelle again asked to be let out. Maurin laughed
off her concerns. Shortly
afterwards, having sped up, he lost control of the car. The car struck a pole.
One passenger was killed.
Danelle was very seriously injured and is now a
tetraplegic. She sued Maurin in the District Court of Western Australia
claiming
damages for negligence.
- Can
Danelle recover damages for negligence from Maurin? Does her theft of the car,
or her subsequent use of the car (or some combination
of both her theft and her
use of the car), defeat her claim for damages for negligence?
- In
many Australian jurisdictions, these questions would require consideration of
statutory provisions intended to regulate recovery
of damages for personal
injury suffered when the plaintiff was acting
illegally[1].
There being no relevant statutory provisions of this kind in Western Australia,
the issues that arise in this matter turn upon
the application of common law
principles.
- At
trial in the District Court of Western Australia, the parties agreed that the
only live issue in the proceeding was whether Maurin
owed Danelle a duty of
care. They agreed that, if he did, Danelle should be found guilty of
contributory negligence and that her
responsibility for her injuries should be
assessed at 50 per cent. A pleaded defence of voluntary assumption of risk
was not pressed.
The denial of negligence in fact was not pressed. The primary
judge (Schoombee DCJ)
held[2] that
Maurin owed Danelle a duty of care.
- On
appeal, the Court of Appeal of the Supreme Court of Western Australia (McLure,
Buss and Newnes JJA)
held[3] that
Maurin owed Danelle no duty of care and that her action should therefore fail.
As the case was argued at first instance, and
on appeal, the denial of the
existence of a duty of care rested entirely upon the assertion that Maurin and
Danelle had engaged in
a joint illegal enterprise of illegally using a motor car
without the consent of the owner, contrary to s 371A of The Criminal
Code (WA) ("the Code").
- By
special leave, Danelle appealed to this Court. The appeal should be allowed.
By the time the accident happened, Maurin and Danelle
were no longer engaged in
a joint illegal enterprise. Danelle had stolen the car. She and Maurin and
some, perhaps all, of the
other passengers became parties to a joint illegal
enterprise when they agreed to Maurin driving them in what they knew to be a
stolen
car. Danelle withdrew from that joint enterprise, of using the vehicle
without the consent of its owner, when she asked to be allowed
to get out of
it.
- To
explain why Danelle's requests to get out of the car are important to the
resolution of the issues in this matter, it is necessary
to examine how the fact
that a plaintiff has engaged in illegal conduct in the course of, or in
connection with, events said to give
rise to liability in negligence bears upon
the liability of the defendant to the plaintiff. The examination of the
significance
that is to be attached to illegality of the kind described will
take the following course. First, reference will be made to some
preliminary
considerations. Second, illegality in tort will be placed in the larger context
provided by looking at the significance
that has been attached to illegality in
the law of contract and trusts. Third, reference will be made to some of the
cases that
have considered the issue. Fourth, the relevant principles will be
identified. Fifth, consideration will be given to the statutory
provisions that
were engaged in this matter, some reference made to their legislative history,
and their purposes identified. Sixth,
the principles will be applied to the
facts of this case.
Preliminary considerations
- It
is convenient to begin examination of the issues in the case by making two
preliminary points: first, the illegality of a plaintiff's
conduct presents the
question, but does not provide the answer to, whether the plaintiff can recover
damages for negligence for injury
suffered in the course of or as a result of
that illegal conduct; and second, causation alone does not provide a
satisfactory principle
by which to resolve the issue, and was rejected as a
determinative criterion by this Court in Henwood v Municipal Tramways Trust
(SA)[4].
- Over
the last century, both in Australia and in other common law jurisdictions,
courts have offered different statements of the principle
or principles that
govern whether and how the fact that a plaintiff acted illegally in the course
of, or in connection with, events
said to give rise to liability in negligence
bears upon the liability of the defendant to the plaintiff. Academic
commentators have
offered not only different criticisms of those principles, but
also several different alternative formulations of the principles.
- One
point that emerges with complete clarity from the cases and the commentary is
that the relevant principles are not identified
by stopping the inquiry at the
point of observing that a plaintiff has contravened the criminal law in the
course of the events that
the plaintiff alleges render the defendant liable to
the plaintiff in tort. Nor are the principles identified by asserting, without
further explanation, that public policy "requires" that such a plaintiff have no
claim. Likewise the principles are not identified
by simply intoning the Latin
maxim ex turpi causa non oritur actio. As Windeyer J
demonstrated, in Smith v
Jenkins[5],
it is greatly to be doubted that the maxim, properly understood, has any
application in tort. Its intrusion into the debate "has
caused a confusion
which would not have occurred if the writers had condescended to translation and
had not taken the maxim into
territory where it does not
belong"[6]. In
any event, reference to the maxim does not reveal the reasoning that leads to
the conclusion that liability is denied. The
maxim "notwithstanding the dignity
of a learned language, is, like most maxims, lacking in precise
definition"[7].
- None
of these observations denies that questions of public policy are presented when
a plaintiff sues another for damages sustained
by the plaintiff in the course
of, or as a result of, some illegal conduct of the plaintiff. They are. But it
is important to identify
not only what are the policy considerations that are
engaged, and how they are said to be engaged in the particular case, but also,
and more fundamentally, why policy considerations are engaged.
- These
reasons will show that the central policy consideration at stake is the
coherence of the law. The importance of that consideration
has been remarked on
in decisions of this
Court[8]. Its
importance in this particular context was emphasised by the Supreme Court of
Canada[9]. It is
a consideration that is important at two levels. First, the principles applied
in relation to the tort of negligence must
be congruent with those applied in
other areas of the civil law (most notably contract and trusts).
- Second,
and more fundamentally, the issue that is presented by observing that a
plaintiff was acting illegally when injured as a
result of the defendant's
negligence is whether there is some relevant intersection between the law that
made the plaintiff's conduct
unlawful and the legal principles that determine
whether the plaintiff should have a cause of action for negligence against the
defendant.
Ultimately, the question is: would it be incongruous for the law to
proscribe the plaintiff's conduct and yet allow recovery in
negligence for
damage suffered in the course, or as a result, of that unlawful conduct? Other
questions, such as whether denial
of liability will deter wrongdoers or
advantage some at the expense of others, are neither helpful nor relevant. And
likewise, resort
to notions of moral outrage or judicial
indignation[10]
serves only to mask the proper identification of what is said to produce the
response and why the response could be warranted.
- The
second preliminary observation to make is that the issue cannot be resolved by
asking only whether there is a causal connection
between the plaintiff's illegal
conduct and the occurrence of the damage of which the plaintiff complains. Why
not?
- The
fact that a plaintiff was acting contrary to law when he or she suffered damage
of which the defendant's negligence is alleged
to be a cause does not
automatically preclude the plaintiff from recovering damages from the defendant.
Pollock
wrote[11], in
1887, that although "[l]anguage is to be met with in some books to the effect
that a man cannot sue for any injury suffered by
him at a time when he is
himself a wrong-doer ... there is no such general rule of law." Rather, Pollock
offered[12] the
view that:
"[i]t does not appear on the whole that a plaintiff is disabled from recovering
by reason of being himself a wrong-doer, unless some unlawful act or conduct
on his own part is connected with the harm suffered by him as part of the same
transaction: and even then it is difficult to find a case where it is
necessary to assume any special rule of this kind." (emphasis
added)
- The
notion of "connection" between the unlawful conduct and harm suffered was
evidently drawn from the law that had developed during
the 19th century in the
United States, especially Massachusetts, concerning the relevance of the
violation of Sunday observance laws
to claims for injuries sustained while
travelling for secular purposes on a Sunday. Pollock
noted[13] the
conflict of opinion in the United States in cases raising such a question, and
concluded[14]
that the decisions denying liability on account of breach of the Sunday
observance statutes were "not generally considered good law".
- Writing
about the Sunday observance cases in the Harvard Law Review in 1905,
Harold Davis
saw[15] the
principle engaged in such cases as depending upon questions of causation:
"It seems plain that if the illegal act is the immediate, active cause of
the damage, recovery is rightly refused. But it is by no means so clear that
public policy demands that, if the illegal act was
simply a remote link in
the chain of causation, the action shall be barred, and the almost unanimous
opinion of the authorities is strong evidence that it does not." (emphasis
added)
The author
explained[16]
the distinction as being between an unlawful act that was a causa sine qua
non (that put the plaintiff or his property in a position to be affected by
the defendant's negligent act) and an unlawful act that was
"the active agency
which finally produces the result".
- Echoes
of the distinctions drawn, and language used, when contributory negligence was a
complete defence to an action in
negligence[17]
can be heard distinctly in this treatment of the defence of illegality. And as
was rightly said of the former rules about contributory
negligence, with their
associated notions of "proximate" or "substantial" cause, the law was a "logical
and legal
labyrinth"[18].
Developing the law relating to the significance of a plaintiff's illegal conduct
to recovery by that plaintiff in negligence by
reference only to notions of
causation would inevitably lead the law into a similar "logical and legal
labyrinth".
- In
Henwood[19],
Dixon and McTiernan JJ rejected analysis of the significance of illegality
to liability in tort by reference only to questions of
causation. In
Henwood, the plaintiffs sued under legislation enacted on the pattern of
Lord Campbell's
Act[20] in
respect of the death of their son, allegedly as a result of the defendant's
negligence. The son died as a result of injuries
sustained when, contrary to a
by-law made under statute, he leaned out of a tram on its off-side, and hit his
head on poles erected
by the defendant Tramways Trust in the centre of the road.
As Dixon and McTiernan JJ pointed
out[21], there
was a direct connection between the illegal act and the injury. The illegal
conduct of the deceased was a necessary cause
of his injury. But their Honours
were of the
view[22] that
the plaintiffs should succeed in their claim on the footing that it was
not a "part of the purpose of the law against which the plaintiff has offended
to disentitle a person
doing the prohibited act from complaining of the other
party's neglect or default, without which his own act would not have resulted
in
injury". The analysis
made[23] by
Latham CJ was to substantially similar effect.
- In
the present case, it is said that other considerations intrude when a plaintiff
is shown to have been injured in the course of
a joint illegal enterprise with
the defendant. It is suggested that, because the conduct in question was part
of a joint enterprise,
attention can no longer be confined (as it was in
Henwood) to whether the statute which penalised the particular conduct in
which the plaintiff engaged is to be understood as affecting civil
responsibility. Rather, the appellant submitted, the critical question is
whether the illegal act materially caused the injuries
to the appellant by
increasing the risk of injury to her. The answer to that question was said to
depend upon the purpose of the
illegal use of the motor car and a contrast was
drawn between cases of "joy-riding" and cases, such as the present was said to
be,
where the purpose of the illegal use was "simply to drive home". Neither
the precise content of the two categories, nor the stability
of a distinction
between them, is self-evident. Difficulties of those kinds may be set aside for
the moment. Instead, it is important
to observe how illegality is dealt with in
some other areas of the law.
Illegality in contract and trusts
- It
has long been established that a contract whose making or performance is illegal
will not be
enforced[24].
Often enough, however, the statute in question does not expressly prohibit the
making of the relevant contract and does not expressly
prohibit its performance.
Whether such a statute "prohibits contracts is always a question of construction
turning on the particular
provisions, the scope and purpose of the
statute"[25].
Yango Pastoral Company Pty Ltd v First Chicago Australia Ltd
identifies[26]
considerations of the kind that are engaged in the task of statutory
construction.
- But
in addition to, and distinct from, cases where a statute expressly or impliedly
prohibits the making or performance of a contract,
are cases "where the policy
of the law renders contractual arrangements ineffective or void even in the
absence of breach of a norm
of conduct or other requirement expressed or
necessarily implicit in the statutory
text"[27]. In
cases of the latter kind the refusal to enforce the contract has been
held[28] to
stem:
"not from express or implied legislative prohibition but from the policy of the
law, commonly called public
policy[29].
Regard is to be had primarily to the scope and purpose of the statute to
consider whether the legislative purpose will be fulfilled
without regarding the
contract as void and
unenforceable[30]."
- The
same kinds of question have been identified as arising in relation to
allegations of illegality in the constitution or performance
of a trust. In
Nelson v Nelson, Deane and Gummow JJ
said[31] that
authorities in contract law (including Yango) suggest drawing
distinctions between three cases:
"(i) an express statutory provision against the making of a contract or creation
or implication of a trust by fastening upon some
act which is essential to its
formation, whether or not the prohibition be absolute or subject to some
qualification such as the
issue of a licence; (ii) an express statutory
prohibition, not of the formation of a contract or creation or implication of a
trust,
but of the doing of a particular act; an agreement that the act be done
is treated as impliedly prohibited by the statute and illegal;
and (iii)
contracts and trusts not directly contrary to the provisions of the statute by
reason of any express or implied prohibition
in the statute but which are
'associated with or in furtherance of illegal purposes'. The phrase is that of
Jacobs J in
Yango[32]."
Deane and Gummow JJ
said[33] that,
in the last of these three kinds of cases, "the courts act not in response to a
direct legislative prohibition but, as it is
said, from 'the policy of the
law'".
- As
McHugh J
explained[34]
in Nelson v Nelson, to approach the doctrine of illegality in this way,
in cases where the statute in question does not expressly or impliedly prohibit
the contract or trust, or the doing of some particular act that is essential for
carrying it out, recognises that the legal environment
in which the doctrine now
operates is much more regulated than once it was. Moreover, as McHugh J
also pointed
out[35], Lord
Mansfield's statement in Holman v
Johnson[36]
that "[n]o Court will lend its aid to a man who founds his cause of action upon
an immoral or an illegal act", by its all-embracing
generality, fails to take
sufficient account of the different ways in which questions of illegality may
arise. Hence the emphasis
given in Nelson v
Nelson[37],
and in both Fitzgerald v F J Leonhardt Pty
Ltd[38]
and International Air Transport Association v Ansett Australia Holdings
Ltd[39] to
the discernment, from the scope and purpose of the statute, of whether the
legislative purpose will be fulfilled without regarding
the contract or the
trust as void and unenforceable. But implicit in, indeed at the very heart of,
that process lies the recognition
that there are cases where the breach of a
norm of conduct stated expressly or implied in the statutory text requires the
conclusion
that an obligation otherwise created or recognised is not to be
enforced by the courts.
- As
noted in the preliminary considerations set out earlier in these reasons, in
Henwood, Dixon and McTiernan JJ approached the relationship between
a plaintiff's illegal act and recovery in negligence for damage (of which
the
illegal act and the negligence of the defendant were each a cause) by
identification of the purpose of the law against which
the plaintiff offended.
Their Honours
said[40] that
it may be that the same methods of statutory construction are engaged in
determining whether the doing of an act forbidden by
statute disqualifies the
offender from recovery for negligence as are engaged when deciding whether a
penal statute gives a private
remedy in damages for breach of the duty it
imposes. There is evident force in that proposition. But it is then necessary
to observe
the difficulties and dangers that attend that task.
- The
chief difficulty was described by Dixon J in O'Connor v
S P Bray
Ltd[41] in
a passage to which reference was made in
Henwood[42].
That difficulty is that "the legislature has in fact expressed no intention upon
the
subject"[43].
As explained in Sovar v Henry Lane Pty
Ltd[44],
care must therefore be taken lest the relevant legislative intention be
"conjured up by judges to give effect to their own ideas
of policy and then
'imputed' to the legislature". As McHugh and Gummow JJ explained in
Byrne v Australian Airlines
Ltd[45],
quoting Kitto J in
Sovar[46],
the task is one that requires consideration of the whole range of circumstances
relevant upon a question of statutory interpretation,
including the nature,
scope and terms of the statute, the nature of the evil against which it is
directed, the nature of the conduct
prescribed and the pre-existing state of the
law.
The decided cases
- Argument
of the present matter necessarily focused upon the decisions of this Court said
to be most directly in point: Henwood, Smith v
Jenkins[47],
Jackson v
Harrison[48]
and Gala v
Preston[49].
Neither party submitted that the applicable principle or principles that are
engaged in this matter was authoritatively stated in
any of those cases. Each
party, to a greater or lesser degree, sought to have the court restate the
relevant principles. It is
therefore necessary to pay close attention to what
is said in those cases.
- Sufficient
has been said, for present purposes, about Henwood. More must be said
about the other three cases. Each of them (Smith v Jenkins, Jackson v
Harrison and Gala v Preston) arose out of an action for damages for
personal injury suffered by a person complicit in an offence committed by the
driver. What
is said in those cases, especially in Smith v Jenkins and
Jackson v Harrison, must be understood against a background provided not
just by the decision in Henwood, but also by the course of decisions in
State courts after Henwood.
Decisions of State courts
- In
Christiansen v
Gilday[50],
the Full Court of the Supreme Court of New South Wales considered a case in
which the master of a trawler sued the owner for damages
for personal injury
suffered at sea when the master fell against the moving parts of an inadequately
guarded winch. Under the Navigation Act 1901 (NSW) it was a misdemeanour
for the owner to send a ship to sea, and for the master knowingly to take it to
sea, in a state so unseaworthy
as to be likely to endanger life. The defects in
the winch were of that kind and both the plaintiff as master, and the defendant
as owner, were found to have contravened the Navigation Act.
- The
Full Court held that the plaintiff could not recover damages. Jordan CJ
agreed[51] with
the conclusion of the trial judge that the plaintiff could not "recover damages
for injuries sustained by him in the course
of his doing an act which was not
only illegal but criminal". The analysis of Street J was to substantially
similar effect. By
contrast, Davidson J referred to Henwood and
looked[52] to
the objects of the Navigation Act. Davidson J
concluded[53]
that the Act was not directed to saving employees or others from their own acts,
or to protecting the owner or master against liability
to actions by the crew.
On the contrary, Davidson J
continued[54],
the object of the Act was "to impose rigid obligations, including criminal
consequences, upon the owner and the master for the protection
of everyone using
the ship at sea". Accordingly, his Honour held that the master could not
recover from the owner.
- In
1952, Smith J of the Supreme Court of Victoria had decided, in Williams
v
McEwan[55],
that a plaintiff's complicity in the illegal use of a motor car was not a bar to
his recovery in an action for damages for negligence.
The decision turned on
the law of the place where the accident occurred – New South Wales. A New
South Wales statute
provided[56]
that nothing in the Act (which, among other things,
proscribed[57]
the illegal use of a motor vehicle) "shall affect any liability of any person by
virtue of any statute or at common law". The decision
did not turn on the
application of any common law principle about illegality.
- Issues
about illegality in tort were more frequently litigated in the 1960s. By then,
the statute law of New South Wales and Victoria
had altered. No longer was
illegal use of motor vehicles dealt with by traffic legislation. It was an
offence dealt with by the
general criminal statute of each jurisdiction, and the
penalty prescribed was greater than had been the case when dealt with by traffic
legislation. Because the offence of illegal use of a motor vehicle was dealt
with in the relevant Crimes Acts, no legislative savings provision of the
kind considered by Smith J in Williams v McEwan applied.
- In
Boeyen v
Kydd[58],
Adam J held, in the Supreme Court of Victoria, that there is no general
principle of law that a person engaged in an unlawful act
(there, the illegal
use of a motor vehicle) cannot sue for damages for injuries sustained as a
result of the negligence of his confederate.
Adam J founded his conclusion
on what had been held in Henwood, not upon a statutory savings provision
of the kind considered by Smith J in Williams v McEwan.
- By
contrast, in New South Wales a defence of illegality to a claim in negligence
was upheld by the Full Court of the Supreme Court
of New South Wales in
Godbolt v
Fittock[59].
In that case, a vehicle being used to transport stolen cattle ran off the road
and struck a tree. The passenger, who had stolen
the cattle with the driver,
sued the driver for damages for negligence. The Full Court held the plaintiff
to be precluded from recovery,
founding[60]
the conclusion upon there being a direct connection between the journey during
which the accident occurred and the execution of the
relevant criminal
purpose.
- In
Andrews v The Nominal
Defendant[61]
the New South Wales Full Court held that a passenger in a motor car which was
owned by the passenger and which he had failed to insure
could recover damages
from the negligent driver despite the passenger's breach of the statutory
requirement to insure. Applying
Henwood, the Court
held[62] that
it was not a part of the purpose of the law against which the plaintiff offended
to deprive him of his civil remedy.
- A
few years later, in Bondarenko v Sommers, the New South Wales Court of
Appeal held that a defence of illegality defeated a claim in negligence by one
illegal user of a motor
car against another. Jacobs JA, who gave the
principal
judgment[63],
identified the actual act complained of as done negligently as being "itself the
criminal act in which both plaintiff and defendant
were engaged". Because
"[t]he legislation creating the criminal act shows no intention to preserve
civil rights in the circumstances
... no cause of action would
lie"[64].
Smith v Jenkins
- This
Court's decision in Smith v Jenkins was reached against the background
provided by this division of outcomes and opinions in the State courts. The
Court concluded, unanimously,
that the plaintiff could not recover damages from
the driver of the motor vehicle which both plaintiff and driver were illegally
using at the time of the accident. Each member of the Court gave separate
reasons.
- Barwick CJ
rested[65] his
conclusion on there being no duty of care owed by one illegal user to another.
But that conclusion was expressly founded upon
attributing to the relationship
between the parties only one of what were seen as two competing and singular
characterisations of
the relationship: as joint participants in an illegal act,
rather than as passenger and driver.
- Kitto J
concluded[66]
that a case of joint illegal enterprise could and should be distinguished from
Henwood, because there only the deceased had acted illegally. In
the opinion of Kitto J, the determinative
consideration[67]
was that the actual act done negligently was itself the criminal act in which
both plaintiff and defendant were engaged. The acts
which several persons
knowingly contribute to the joint commission of a wrong were, in his Honour's
view[68],
legally inseverable.
- The
reasons of Windeyer J are as important for his Honour's rejection of some
propositions as they are for their acceptance of others.
First, Windeyer J
rejected[69]
formulation of the relevant principles in a way that made the critical question
"whether the unlawful act has a causal connexion
with the harm suffered and
'proximately contributed' to it". Second, Windeyer J
rejected[70]
formulation of the relevant principles in a way that depended upon the kind of
crime in the course of which the tort occurred. As
his Honour
demonstrated[71],
no satisfactory distinction can be drawn between breaches of statutory rules and
violations of the criminal law, not least because
most crimes are statutory.
Nor can any other form of satisfactory distinction be made, at least for this
purpose, between grades
or types of illegal activity.
- The
step critical to the reasoning of Windeyer J was the manner of formulating
the relevant question. Windeyer J
stated[72] the
question in the case as "whether when two persons are jointly engaged in a
particular criminal enterprise – unlawfully
taking or using a motor car
– one can sue the other because he has been negligent in the course of
carrying out his part in their unlawful undertaking" (emphasis added). The
answer he gave to the question was
stated[73] by
applying a rule that: "If two or more persons participate in the commission of
a crime, each takes the risk of the negligence
of the other or others in the
actual performance of the criminal act." This formulation, Windeyer J
said[74], "can
be regarded as founded on the negation of duty, or on some extension of the rule
volenti non fit injuria, or simply on the
refusal of the courts to aid
wrongdoers", but which analysis or explanation was adopted was
said[75] not to
matter.
- Owen J
was of the
opinion[76]
that the relationship between two criminals engaged in carrying out a criminal
venture gave rise to no duty of care owed by one to
the other "in the execution
of the crime". Walsh J
concluded[77]
that there is no "single rule by which, in all cases, the question raised by a
plaintiff's commission of an illegal act, or his participation
in it, is to be
answered". His Honour accepted that in some cases the correct approach would be
to ask, as in Henwood, about the intention of the relevant statute. In
others he
suggested[78]
that "the inquiry is not whether the offender is disqualified from obtaining
from the Court a remedy in respect of a wrong ... it
is whether, in the
circumstances, he will be treated as having suffered any civil wrong which is
recognised by the law".
- To
the extent to which the Court's reasons depended upon assigning a single
characterisation to the relationship of the parties,
subsequent considerations
of an approach of that kind to constitutional
interpretation[79]
show that the reasoning is flawed. In deciding a question of connection between
a statute and a head of power, the fact that the
law fairly answers the
description of being with respect to two subject-matters, of which one is within
power, is sufficient to answer
the relevant question. But in deciding whether
one person owes a duty of care to another, it is necessary to consider the
whole of the
relationship between the
parties[80].
As was said in Graham Barclay Oysters Pty Ltd v
Ryan[81]:
"[t]he totality of the relationship between the parties, not merely the
foresight and capacity to act on the part of one of them,
is the proper basis
upon which a duty of care may be
recognised."
Thus where the relationship between parties engaged in a joint illegal
enterprise may be characterised in more than one way, there
is no sound basis
for choosing one characterisation to the exclusion of the other or
others.
- One
aspect of the relationship between the parties in the present case was that they
were joint participants in an illegal act.
Another aspect of their relationship
was that the plaintiff was a passenger in a motor vehicle being driven by the
defendant. The
relationship between the parties could therefore be described as
a relationship of passenger and driver. But, just as it is wrong
to describe
the relationship between them only as that of participants in a joint criminal
enterprise, it is wrong to describe their
relationship only as that of passenger
and driver. Both characterisations of the relationship are accurate, but
neither is complete.
Both characterisations must be applied to describe the
relevant circumstances fully.
- The
importance of recognising that the relationship between the parties has more
than one aspect is revealed by the reasons in Smith v Jenkins. Common to
the reasoning of all members of the Court was the emphasis given to the facts
that the negligence of which the plaintiff
complained was the defendant's
negligent execution of the relevant illegal act (using the motor vehicle) and
that the plaintiff was
committing the same crime as the defendant. This
description of events and relationships did not stop short at observing that one
was a passenger in a car driven by the other. It took account of the fact that
the driving was a crime in which the passenger was
complicit.
- The
significance given to the facts just described proceeded from the
uncontroversial premise that it is necessary to determine whether
the defendant
owed a duty to a class of persons (including the plaintiff) to take reasonable
care not to cause personal injury to
those persons. Plainly, the driver of a
motor car that the driver has taken and is using illegally owes other road users
a duty
to take reasonable care not to cause personal injury. But the question
in Smith v Jenkins was more complex. The relevant question was as it is
here: does the class of persons to whom the driver owes that duty of care
include the driver's confederate in the crime of illegally using the vehicle?
The emphasis given in the reasons for judgment to
the negligence alleged being
in the execution of the relevant illegal act for which both plaintiff and
defendant were criminally responsible can be seen as founding the negative
answer to the question about duty of care. For Windeyer J, that answer
followed[82]
not from public policy precluding the assertion of a right of action but
rather from the conclusion that the law will not regulate, as between two
wrongdoers, how each
performs the tasks that fall to him or her in effecting
their
wrong[83]. For
other members of the Court, public policy precluded the assertion of a right of
action.
Jackson v Harrison
- In
Jackson v Harrison, the plaintiff, a passenger in a motor vehicle driven
negligently by the defendant, sued for damages for personal injury. At the
time
of the accident the defendant was driving while disqualified. The plaintiff
knew the defendant was disqualified and was found
to be a joint participant in
commission of the offence. In this Court, the plaintiff was held by majority
(Mason, Jacobs, Murphy
and Aickin JJ; Barwick CJ dissenting) to be
entitled to recover damages. Again, no single view of the applicable principles
commanded
the assent of a majority of the Court.
- Mason J
concluded[84]
that Smith v Jenkins did not establish a general rule that the
participants in a joint illegal enterprise owe no duty of care to each other.
Rather, Mason J
said[85] that a
general rule of that kind would lead to two distinct forms of difficulty.
First, the rule would have unduly harsh operation
in some circumstances, and it
was not possible to formulate any criterion for engaging the principle that
would avoid outcomes of
that kind. Second, and more fundamentally, Mason J
concluded[86]
that to deny the existence of a duty of care was to discard foreseeability as a
criterion for determining the existence of a duty.
Mason J therefore
proposed[87],
as "[a] more secure foundation for denying relief", that a plaintiff "must fail
when the character of the enterprise in which the
parties are engaged is such
that it is impossible for the court to determine the standard of care which is
appropriate to be observed".
- Jacobs J,
with whom Aickin J agreed,
adhered[88] to
the view expressed, in the then recent decision of this Court in Progress and
Properties Ltd v
Craft[89],
that "[a]n illegal activity adds a factor to the relationship [between plaintiff
and defendant] which may either extinguish or modify
the duty of care otherwise
owed". A conclusion that no duty was owed was
said[90] by
Jacobs J to proceed by steps. First, it was observed that finding a duty
presupposes that the relevant standard of care can be
identified. Second, the
courts should "decline to permit the establishment of an appropriate standard of
care"[91] if
the relationship between the act of negligence and the nature of the illegal
activity is such that "a standard of care owed in the particular
circumstances could only be determined by bringing into consideration the
nature of the activity in which the parties were
engaged"[92]
(emphasis added). In those cases, Jacobs J concluded, the courts will not
do this for reasons of public policy. And if no standard
will be determined
there can be no duty. But, in the case then under consideration, these
difficulties were not seen as intruding.
The facts that the driver was
disqualified, that the passenger knew that to be so, and that the passenger
aided and abetted the
driver in driving whilst disqualified, were
seen[93] as
having no bearing at all upon the standard of care reasonably to be expected of
the driver.
- The
fourth member of the majority in Jackson v Harrison, Murphy J,
pointed out[94]
that the cases in which a court cannot, as distinct from will not, determine an
appropriate standard of care must be infrequent.
The standard of care expected
of the driver of a motor vehicle is well established. To conclude that one
participant in a joint
illegal enterprise owes no duty of care to the other
would serve "the same purpose as a conclusive imputation of voluntary assumption
of the risk [of tortious conduct by the other] by each
participant"[95].
Accordingly, Murphy J
concluded[96]
that, apart from a controlling statute, policy considerations should not render
a careless defendant immune from civil action because
of illegality. (The
reference to "a controlling statute" was linked
expressly[97]
to Henwood and it was
said[98] that
there should be "strict application of the test" referred to in that case.)
- Three
comments may be made about these different paths of reasoning. First, it should
be accepted that it is not useful to speak
of a court not being able to fix a
relevant standard of care. Resort to the now well-worn example of safe
breakers, and the posing
of rhetorical questions about how a court would know
what steps a reasonable safe breaker would take, are not helpful. The courts
must deal with many difficult questions and with many forms of very
discreditable human behaviour. Setting a norm of behaviour as
between criminals
may be difficult, but it is not impossible.
- Second,
it follows that, instead of asking how the courts can set a
relevant standard of care, attention must fall upon whether the courts
should be doing that in the particular case. All of the judgments in
Jackson v Harrison (and in Smith v Jenkins) accepted that there
are cases where the courts should not permit recovery by a plaintiff who has
acted illegally. And no party
to the present appeal contended to the
contrary.
- Third,
the cases in which a court should hold that there is no duty of care may be
identified by reference to what Mason J
described[99]
as "the character and incidents of the enterprise and to the hazards which are
necessarily inherent in its execution". But in the
case of an enterprise which
is the commission of a statutory offence, inquiries of that kind direct
attention not only to what the
statute prohibits, but also to the purposes of
that statute. It is the statute and its purposes which will identify the
relevant
character and incidents of the enterprise and the relevant hazards
inherent in its execution. More fundamentally, it is the statute
and its
purposes which will reveal whether it would be incongruous to hold that a
participant in a joint enterprise to contravene
the statutory prohibition owed a
duty of care to another participant in the enterprise. And because it is the
relevant statute and
its purposes that must be the focus of attention, rather
than discussion of public policy divorced from the particular questions
of
coherence that must be decided, the decisions in other jurisdictions which
follow that different
path[100] are
of limited use.
Gala v Preston
- In
the early 1990s this Court considered again, in Gala v
Preston[101],
whether a driver of a stolen motor car owed a duty of care to a passenger who
was injured as a result of the careless driving of
the vehicle in the course of
a joint criminal enterprise that included the illegal use of the vehicle. At
that time, a majority
of the Court
favoured[102]
the view that a relevant duty of care:
"will arise under the common law of negligence only in a case where the
requirement of a relationship of proximity between the plaintiff
and the
defendant has been satisfied: see Sutherland Shire Council v
Heyman[103];
Stevens v Brodribb Sawmilling Co Pty
Ltd[104];
San Sebastian Pty Ltd v The
Minister[105];
Cook v
Cook[106]".
The Court had also held, in Cook v
Cook[107],
that exceptional facts may alter the relationship between a driver and passenger
so as to impose a different standard of care adjusted
to the relationship. The
case of driving instructor and learner driver was identified as one such
case.
- All
members of the Court held, in Gala v Preston, that a passenger who was
criminally complicit in the illegal use of a vehicle by its driver could not
recover damages for personal
injury suffered as a result of the driver's
careless driving. The plurality
concluded[108]
no duty of care was owed because "the parties were not in a relationship of
proximity to each other". It was
said[109]
that Cook v Cook was "[a]n exemplification of the relationship of
proximity which provide[d] particular assistance" in dealing with the
circumstances
under consideration in Gala v Preston.
- The
demise of proximity as a useful informing principle in this area is now
complete[110].
The decision in Cook v Cook is no longer good
law[111].
The combination of these considerations may suggest that what was held in
Gala v Preston should be set aside and the law should be developed as
though the slate were clean. That is not right.
- First,
it is important to remember why proximity has been discarded from the Australian
judicial lexicon. The expression is one
which has been found not to be useful.
It is not useful because it neither states, nor points to, any relevant
principle that assists
in the resolution of disputed questions about the
existence of a duty of care, beyond indicating that something more than
foreseeability
of damage is necessary. Instead, "proximity" was used as a
statement of conclusion. And, because it was used as a statement of
conclusion,
it is important to look to the reasoning that lay behind the conclusion, rather
than the bare fact that the conclusion
was expressed by using the terms
"proximity" or "relationship of proximity".
- In
Gala v Preston, the plurality
concluded[112]
that the parties were not in a "relationship of proximity" because "[i]n the
special and exceptional circumstances that prevailed,
the participants could not
have had any reasonable basis for expecting that a driver of the vehicle would
drive it according to ordinary
standards of competence and care". This was
said[113] to
follow from the fact that
"each of the parties to the enterprise must be taken to have appreciated that he
would be encountering serious risks in travelling
in the stolen vehicle when it
was being driven by persons who had been drinking heavily and when it could well
be the subject of
a report to the police leading possibly to their pursuit
and/or their arrest."
Accordingly, the plurality
decided[114]
that "[t]o conclude that he [the defendant-driver] should have observed the
ordinary standard of care to be expected of a competent
driver would be to
disregard the actual relationship between the parties" (emphasis added)
and that
"[t]o seek to define a more limited duty of care by reference to the exigencies
of the particular case would involve a weighing and
adjusting of the conflicting
demands of the joint criminal activity and the safety of the participants in
which it would be neither
appropriate nor feasible for the courts to
engage."
The validity of this reasoning does not depend upon the use of the word
"proximity" as a description of its outcome.
- Likewise
the reference to and reliance on Cook v Cook does not warrant ignoring
all that was said or done in Gala v Preston. The references made by the
plurality to Cook v Cook were made in aid of the proposition that there
are cases in which the relationship between parties is not sufficiently
described as
that of driver and passenger.
- This
Court's overruling of Cook v Cook in Imbree v McNeilly focused
upon the treatment in Cook v Cook of questions of standard of care
rather than duty of care. As the plurality pointed
out[115] in
Imbree, in so far as the reasoning of the plurality in Cook v Cook
depended upon the application of notions of proximity, it is reasoning that
"does not accord with subsequent decisions of this Court
denying the utility of
that concept as a determinant of duty". But, as the plurality in Imbree
also pointed
out[116],
that observation did not conclude the issues that arose in Imbree. The
immediate question in Imbree was about the content of a duty of care, not
whether any duty was owed. Further, the idea that, in determining the content
of a duty
of care, primacy must be given to identifying the relationship between
the parties is a principle of long standing in the law of
Australia, stemming as
it does from the dissenting reasons of Dixon J in The Insurance
Commissioner v
Joyce[117].
- Joyce
concerned a gratuitous passenger accepting carriage in a vehicle driven by a
person known by the passenger to be drunk. In Joyce, Dixon J
offered[118]
three possible bases for concluding that the passenger's action should fail: no
breach of duty, voluntary assumption of risk and
contributory negligence (then a
complete defence). Of them, Dixon J
preferred[119]
the first form of analysis. As the plurality in Imbree
said[120],
the conclusion that a defendant owed the plaintiff no duty of care is
open in a case like Joyce if the drunken driver cannot be expected to act
sensibly (an idea that would also underpin a conclusion that the plaintiff
voluntarily
assumed the risk of being driven by a drunken driver). And as
Windeyer J
said[121] in
Smith v Jenkins, a conclusion that one illegal user owes no duty of care
to a confederate "can be regarded as founded on the negation of duty, or
on some
extension of the rule volenti non fit injuria, or simply on the refusal of the
courts to aid wrongdoers". But as is implicit
in what was said in all three
cases (Joyce, Smith v Jenkins and Imbree) the question
whether A owes B a duty to take reasonable care is not to be answered by
reference only to whether A was the driver
of and B a passenger in a motor
vehicle. A duty of care arises from the "relations, juxtapositions, situations
or conduct or
activities"[122]
in question. All aspects of the relations between the parties must be
considered.
- Other
members of the Court in Gala v Preston (Brennan, Dawson and
Toohey JJ) analysed the matter in separate reasons in ways that differed in
important respects from the reasoning
adopted by the plurality. For
Brennan J, the decisive
point[123]
was that to admit a duty of care would destroy the "normative influence" of the
statutory
provision[124]
which made the illegal use of a vehicle a crime. The destruction of "normative
influence" was
said[125] to
occur where the effect of admitting a duty of care would be to "condone" a
breach of the criminal law. But introducing the notion
of "condonation" into
the debate does not cast light upon the problem. Rather, it is important to
observe the way in which Brennan
J sought to identify when the admitting of
a duty of care may "condone" a breach of the criminal law. It was
said[126] to
depend on the "nature of the offence". That was
said[127] to
be "not the same as seeking to divine the intent of a statute creating an
offence". Instead, the matters to be considered were
said[128] to
include:
"the gravity of the offence, the threat to public order or public safety or the
infringement of the rights of third parties which
the law seeks to prevent, any
other mischief at which the law creating the offence is aimed, the penalties
prescribed for breach
of the law and the effectiveness of those penalties to
secure obedience to the law if a duty of care be
admitted".
- In
large part the considerations mentioned would be relevant to inquiries of the
kind described by Dixon and McTiernan JJ in Henwood in determining
the purpose of the law against which the plaintiff offended. What is added,
however, in the catalogue of matters to
which Brennan J referred, is an
attempt at assessing the effectiveness of penalties in securing obedience to the
law and, perhaps,
some assessment of what is described as "the threat" which the
law seeks to prevent, independent of whatever may be gleaned from
the
subject-matter, scope and purpose of the statute. Neither the way in which
these tasks might be undertaken, nor any sound footing
for undertaking them, is
identified.
- Two
points may be made about this form of analysis. First, as Windeyer J
demonstrated in Smith v
Jenkins[129],
no satisfactory distinction can be made between breaches of statutory rules and
violations of the criminal law and no satisfactory
distinction can be made
between grades or types of crime. Second, and no less fundamentally, reference
to matters such as the "effectiveness"
of penalties in securing obedience to the
law appears to sever any connection between the conclusion reached and the legal
and practical
operation of the statute identified according to ordinary methods
of statutory construction. More particularly, it may readily lead
to an error
closely analogous to that identified in Sovar v Henry Lane Pty
Ltd[130]
where legislative intention is "conjured up by judges to give effect to their
own ideas of policy and then 'imputed' to the legislature".
- In
his reasons in Gala v Preston, Dawson J
doubted[131]
"that it is possible to gauge the extent to which allowing a civil remedy might
impair the normative (especially the deterrent) effect
of the criminal law".
Instead, Dawson J
concluded[132]
that the relevant policy of the law "goes deeper than possible interference with
the normative effect of the criminal law" and is
founded in a notion that it is
repugnant to the law to set a standard of care to be observed between
accomplices "in the performance
of their criminal venture". In the case of
joint illegal users of a vehicle:
"[t]he criminal nature of the activity with its concomitant lack of
responsibility for the safety of the vehicle involved and the
inevitable desire
to avoid detection which might result in the imposition of a criminal penalty
must mean that the participants in
such a venture cannot be placed, as regards
each other, in the position of ordinary, prudent users of the road. There is a
special
element in their relationship which, if a standard of care were to be
set, would require its modification by reference to the criminal
nature of their
activity."[133]
- In
his reasons, Toohey J
concluded[134]
that Smith v Jenkins established that if two persons participate in the
commission of a crime each takes the risk of the negligence of the other in the
actual performance of the criminal act and neither participant owes a duty of
care to the other. There being, in his Honour's
view[135],
nothing in later decisions which cut down that principle established in Smith
v Jenkins,
and[136]
there being no sufficient reason shown to depart from what was decided in that
case, it should be held that the defendant in Gala v Preston owed the
plaintiff no duty of care.
Common threads in the decided cases
- What
has been said about the previous decisions in this Court shows that some
propositions can be made. First, the fact that a plaintiff
was acting illegally
when injured as a result of the defendant's negligence is not determinative of
whether a duty of care is owed.
Second, the fact that plaintiff and defendant
were both acting illegally when the plaintiff suffered injuries of which the
defendant's
negligence was a cause and which would not have been suffered but
for the plaintiff's participation in the illegal act is not determinative.
Third, there are cases where the parties' joint participation in illegal conduct
should preclude a plaintiff recovering damages
for negligence from the
defendant. Fourth, different bases have been said to found the denial of
recovery in some, but not all,
cases of joint illegal enterprise: no duty of
care should be found to exist; a standard of care cannot or should not be fixed;
the
plaintiff assumed the risk of negligence. Fifth, the different bases for
denial of liability all rest on a policy judgment. That
policy judgment has
sometimes been expressed in terms that the courts cannot regulate the
activities of wrongdoers and sometimes in terms that the courts should
not do so.
- Twice
this Court has held (unanimously in each case) that one illegal user of a motor
vehicle cannot recover damages for injuries
sustained as a result of the
negligent driving of another illegal user of the vehicle. Central to the
conclusion in each of those
cases was the observation that the negligence
alleged was negligence by one criminal in carrying out his part in the unlawful
undertaking
in which both plaintiff and defendant were engaged.
- The
proposition that courts cannot regulate the activities of wrongdoers has already
been rejected. In a case of illegal use of
a motor vehicle there is a readily
identified standard of care that could be engaged: the standard of care which
road users other
than the driver's criminal confederates are entitled to expect
the driver to observe.
- Why
should courts not regulate the activities of the wrongdoers by requiring of the
driver that he or she exercise reasonable care
for the safety of other road
users and any passenger in the vehicle, whether or not the passenger is
complicit in the crime? As
explained at the outset of these reasons, the answer
must lie in whether it is incongruous for the law to provide that the driver
should not be using the vehicle at all and yet say that, if the driver and
another jointly undertake the crime of using a vehicle
illegally, the driver
owes the confederate a duty to use it carefully when neither should be using it
at all.
- Incongruity
(whether described by that word or as "contrariety" or "lack of coherence") will
not be demonstrated or denied by bare
assertion of the answer. More analysis is
required. If a statute has been contravened, careful attention must be paid to
the purposes
of that statute. It will be by reference to the relevant statute,
and identification of its purposes, that any incongruity, contrariety
or lack of
coherence denying the existence of a duty of care will be found. That is the
path that was taken in Henwood. It is the same as the path that has been
taken in relation to illegality in contract and trusts. The same path should be
taken
in cases where the plaintiff sues the defendant for damages for the
negligent infliction of injury suffered in the course of, or
as a result of, the
pursuit of a joint illegal enterprise.
Relevant statutory provisions
- In
this case, the centrally relevant provision was s 371A of the Code. That
provision made it an offence to take or use a motor
vehicle without the consent
of the owner or person in charge of the vehicle. The only offence in which it
was alleged that Danelle
was complicit was the offence of taking and illegally
using the vehicle. She had taken the vehicle; both she and Maurin used it
illegally. Maurin, the driver of the vehicle, was charged with, and pleaded
guilty to, other offences arising out of his use of
the car that night:
dangerous driving causing death, dangerous driving causing grievous bodily harm,
and driving under the influence
of alcohol.
- At
the relevant time, s 371A provided:
"(1) A person who unlawfully –
(a) uses a motor vehicle; or
(b) takes a motor vehicle for the purposes of using it; or
(c) drives or otherwise assumes control of a motor vehicle,
without the consent of the owner or the person in charge of that motor vehicle,
is said to steal that motor vehicle.
(2) This section has effect in addition to section 371 and does not prevent
section 371 from applying to motor
vehicles."
There is a substantial legislative history behind that provision and it will be
necessary to consider some aspects of that history.
Before doing that, however,
note must also be made of two other provisions of the Code as it stood at the
relevant time.
- First,
it will be observed that s 371A(2) provided that s 371A "has effect in
addition to section 371 and does not prevent section
371 from applying
to motor vehicles". Section 371 provided:
"(1) A person who fraudulently takes anything capable of being stolen, or
fraudulently converts to his own use or to the use of any
other person any
property, is said to steal that thing or that property.
(2) A person who takes anything capable of being stolen or converts any property
is deemed to do so fraudulently if he does so with
any of the following intents,
that is to say:–
(a) An intent to permanently deprive the owner of the thing or property of it or
any part of it;
(b) An intent to permanently deprive any person who has any special property in
the thing or property of such special property;
(c) An intent to use the thing or property as a pledge or security;
(d) An intent to part with it on a condition as to its return which the person
taking or converting it may be unable to perform;
(e) An intent to deal with it in such a manner that it cannot be returned in the
condition in which it was at the time of the taking
or conversion;
(f) In the case of money, an intent to use it at the will of the person who
takes or converts it although he may intend to afterwards
repay the amount to
the owner.
The term 'special property' includes any charge or lien upon the
thing or property in question, and any right arising from or dependent upon
holding possession
of the thing or property in question, whether by the person
entitled to such right or by some other person for his benefit.
...
(6) The act of stealing is not complete until the person taking or converting
the thing actually moves it or otherwise actually deals
with it by some physical
act.
(7) In this section, 'property' includes any description of real
and personal property ..."
- Second,
it will be observed that s 371A provided, in effect, that the person who
illegally takes or uses a motor vehicle "is said
to steal that motor vehicle".
Section 378 prescribed the punishment for theft, if no other punishment was
provided, as imprisonment
for seven years. Section 378(2) made special
provision for some cases of illegal use of a motor vehicle. It provided:
"(2) If the thing stolen is a motor vehicle and the offender –
(a) wilfully drives the motor vehicle in a manner that constitutes an offence
under section 60 of the Road Traffic Act 1974 (i.e. the offence
known as reckless driving); or
(b) drives the motor vehicle in a manner that constitutes an offence under
section 61 of the Road Traffic Act 1974 (i.e. the offence known as
dangerous driving),
the offender is liable to imprisonment for 8
years."
Thus, different maximum penalties were prescribed for the illegal taking or use
of a motor vehicle and the illegal taking or use
of a motor vehicle accompanied
by one or other of two aggravating circumstances: driving in a manner that
constitutes either the
offence of reckless driving or the offence of dangerous
driving.
- Reference
must also be made to s 8 of the Code, which dealt with offences committed
in prosecution of a common purpose. Section 8 provided:
"(1) When 2 or more persons form a common intention to prosecute an unlawful
purpose in conjunction with one another, and in the
prosecution of such purpose
an offence is committed of such a nature that its commission was a probable
consequence of the prosecution
of such purpose, each of them is deemed to have
committed the offence.
(2) A person is not deemed under subsection (1) to have committed the
offence if, before the commission of the offence, the person
–
(a) withdrew from the prosecution of the unlawful purpose;
(b) by words or conduct, communicated the withdrawal to each other person with
whom the common intention to prosecute the unlawful
purpose was formed; and
(c) having so withdrawn, took all reasonable steps to prevent the commission of
the offence."
It is to be noted that the hinge about which s 8 turns is the formation of
"a common intention to prosecute an unlawful purpose" and that s 8(1) makes
those who have that common intention criminally liable for an offence committed
"of such a nature that its commission was a
probable consequence" of the
prosecution of the common purpose. If one of those who was party to the common
purpose withdraws from
its prosecution in the manner described in s 8(2),
that person is not responsible for offences committed subsequently, even if
their commission was a probable consequence of the prosecution
of the common
purpose.
The legislative history
- Larceny
was an offence in Western Australia from the time of establishment of the
Colony. The path by which that was effected need
not be described. The first
Western Australian codification of the criminal law, made by the Criminal
Code Act 1902 (WA), provided for offences of stealing which would encompass
stealing a motor vehicle but, as had been the case with earlier
larceny
offences, an element of the
offence[137]
was the intention, in effect, to permanently deprive the owner of the relevant
thing. And The Criminal Code provided for by the Criminal Code Act
Compilation Act 1913 (WA) made like
provision[138].
- Use
of a motor vehicle without consent was first made an offence in Western
Australia by the Traffic Act 1919
(WA)[139].
No intention to permanently deprive the owner of the vehicle had to be shown.
The offence was punishable by fine of up to £50
or imprisonment, with or
without hard labour, for three months.
- In
1932, the Criminal Code (Chapter XXXVII) Amendment Act 1932 (WA)
introduced s 390A into the Code. That section made it a misdemeanour,
punishable by imprisonment with hard labour for up
to three years, to unlawfully
use, or take for the purpose of using, or drive or otherwise assume control of,
any vehicle as defined
in the Traffic Act 1919 without the consent of the
owner or the person in charge of the vehicle. Again, no intention to
permanently deprive the owner
of the vehicle had to be proved. The provision
for an offence of illegal use made by the Traffic Act 1919 was not then
repealed. That provision remained in force until the Traffic Act 1919
was repealed and replaced by the Road Traffic Act 1974 (WA). And the
latter Act made like provision (by s 89(1)) to that made by s 50 of
the Traffic Act 1919. In 1974, the punishment provided under the Road
Traffic Act for illegal use of a motor vehicle contrary to s 89 of that
Act was, for a first offence, a fine of not less than $200 or more than
$1000,
or imprisonment for not less than one month or more than 12 months, and for a
second or subsequent offence, imprisonment for
not less than three months or
more than two years. Both the Traffic Act
1919[140]
and the Road Traffic Act
1974[141]
contained savings provisions which provided that nothing in the Act "shall take
away or diminish any liability of the driver or owner
of a vehicle by virtue of
any other Act or at common law".
- In
1991, the Criminal Law Amendment Act 1991 (WA) repealed both s 390A
of the Code and s 89(1) of the Road Traffic Act 1974 and
inserted s 371A into the Code. As has been observed, the new s 371A,
unlike the former s 390A, provided that the person who
illegally took or
used a motor vehicle "is said to steal that motor vehicle" and the offence of
illegal use then became a species
of theft, regardless of whether the user had
an intention to permanently deprive the owner of the vehicle.
Savings provisions
- As
noted earlier, both the Traffic Act 1919 and the Road Traffic Act
1974 contained a savings provision expressly preserving any liability of the
driver of a vehicle "by virtue of any other Act or at common
law".
Section 5 of Appendix B of the Criminal Code Act Compilation Act
1913 provides, and has provided since first enacted, that:
"When, by the Code, any act is declared to be lawful, no action can be brought
in respect thereof.
Except as aforesaid, the provisions of this Act shall not affect any right of
action which any person would have had against another
if this Act had not been
passed; nor shall the omission from the Code of any penal provision in respect
of any act or omission, which
before the time of the coming into operation of
the Code constituted an actionable wrong, affect any right of action in respect
thereof."
- The
extent of the operation of s 5 may be controversial. It is to be observed
that it provides that "the provisions of this Act"
shall not affect certain
rights of action: "any right of action which any person would have had
against another if this Act had not been passed" (emphasis added). And it
is further to be observed that, in all other respects,
s 5 refers to "the
Code" as distinct from "this Act". Another introductory provision of
Appendix B to the Criminal Code Act Compilation Act 1913 (s 7
dealing with contempt of court) provides that "[n]othing in this Act or in the
Code" shall have an identified consequence.
It is neither necessary nor
desirable to attempt to identify all of the issues presented by these features
of s 5 or to explore
where the boundaries of s 5 may lie.
- What
are the rights of action spoken of in s 5, and which are not affected by
the provisions of "this Act"? It may greatly be doubted
that those rights of
action are confined to rights that existed before the enactment of the
legislation in 1913. The use of the
expression "would have had" suggests an
ambulatory operation for the provision. Assuming that to be so, s 5
preserves rights of
action that would otherwise exist. It does not determine,
one way or the other, whether a person who has contravened a provision
of "this
Act" (assuming that "this Act" includes the provisions of the Code) owed a duty
of care to a confederate in crime. By contrast,
the savings provisions of the
Traffic Act 1919 and the Road Traffic Act 1974 provided that
nothing in those Acts took away or diminished any liability of the driver of a
vehicle by virtue of any other Act or
at common law.
- It
is not necessary to decide in this matter what consequences follow from the
repeal of the Road Traffic Act 1974 with its savings provision that
(among other things) making illegal use of a vehicle a crime did not take away
or diminish the driver's
liability at common law. Nor is it necessary to decide
whether the savings provision of s 5, on its proper construction, denies
that it is a statutory purpose of s 371A to preclude finding that one
illegal user owes a duty
of care to another. Instead, the decision in this case
should be reached by consideration, first, of the statutory purposes of
s
371A, and finally of the significance to be attached to Danelle's twice
asking to be let out of the car before the accident happened.
The purposes of the legislation
- Savings
provisions apart, the legislative history behind s 371A of the Code
demonstrates that the offence of illegal use of a motor
vehicle soon passed from
the relatively minor offence created by the Traffic Act 1919 to a more
serious crime (with the enactment of s 390A of the Code in 1932) and thence
(by the enactment of s 371A of the Code,
and repeal of s 89(1) of the
Road Traffic Act in 1991) to a still more serious crime equated with
theft. An association between the illegal use of a motor vehicle and driving
in
a manner that was reckless or dangerous was reflected by the introduction of
aggravated forms of the offence of illegal use.
- These
changes in the legislation reflected not only a rise in the incidence of illegal
use of motor cars, but also a recognition
of the dangers to life and limb that
often attended the commission of that crime. No doubt the legislation, both as
it now stands
and as it stood in earlier times, must be understood as effecting
a purpose of protecting the property interests of vehicle owners.
But in more
recent years the legislature also recognised the fact that those who took and
used vehicles without the permission of
their owners often drove (as
Dawson J pointed
out[142] in
Gala v Preston) with a "concomitant lack of responsibility for the safety
of the vehicle involved and the inevitable desire to avoid detection".
The
legislative purposes of s 371A are not confined to protection of property
rights. They include the advancement of road safety.
- If
expressed only as the protection of property rights and the promotion of general
road safety, the statutory purposes of s 371A,
standing alone, appear not
to speak to any question of the liability for negligence of one illegal user to
another. But there is
a further question that must be considered before
concluding that one illegal user can sue another in negligence.
- As
noted earlier, a critical step in the reasoning in earlier cases in this Court
considering the liability in negligence of one
illegal user of a vehicle to
another was that the negligence has been committed in the
performance[143]
of the joint criminal venture. That manner of expressing the issue should not
be permitted to mask the significance of the proper
identification of the
venture and its nature. More particularly, it is a description of the
circumstances that directs attention
to questions about what is the venture and
what, if any, criminal responsibility the passenger may have for the manner of
the confederate's
driving that is a cause of the passenger's injury.
- The
venture between the parties may be described as a venture to use the vehicle
illegally. But, as has already been seen, s 8(1) of the Code provides that
when two or more persons form a common intention to prosecute an unlawful
purpose in conjunction with one
another, and in the prosecution of such purpose
"an offence is committed of such a nature that its commission was a probable
consequence
of the prosecution of such purpose", each is deemed to have
committed that offence. If two or more persons agree to take and use
a vehicle
illegally, and one of them drives it unsafely, it will likely be concluded that
"a probable consequence of the prosecution
of such purpose" is the driving of
the vehicle with a "lack of responsibility for the safety of the vehicle", its
occupants and other
road users, and in a way that departs markedly from a
standard of driving with reasonable care. The cases in which those are not
probable consequences of two or more persons joining in the taking and illegal
use of a vehicle will likely be rare. It is the recognition
of that fact that
lies beneath the conclusions reached in both Smith v Jenkins and Gala
v Preston. The joint criminal venture to which reference was made in those
cases was a venture in which reckless or dangerous driving was
a probable, but
not inevitable, incident of the venture.
- If,
in a particular case, it were to be shown that a probable consequence of
commission of an offence of taking or using a vehicle
illegally was the
commission of other driving offences (including reckless or dangerous driving)
those who were complicit in the
initial offence would be criminally liable for
the subsequent offences as well. More particularly, if, as here, the driver of
the
illegally used vehicle drove dangerously, and driving in that manner was a
probable consequence of the prosecution of the joint illegal
purpose, a person
complicit in the crime of illegal use would also be complicit in the offence of
driving dangerously. And if, as
a result of the dangerous driving, the
complicit passenger were injured, it would evidently be incongruous to decide
that the offender
who drove the vehicle owed that passenger a duty to drive with
reasonable care. The passenger would have committed the offence of
dangerous
driving and yet, if the driver owed the passenger a duty to take reasonable
care, the passenger (who would be criminally
responsible for the driver's
dangerous driving) might sue the driver for damages for driving negligently.
- The
incongruity identified stems immediately from the injured passenger's
complicity, not only in the illegal use of the vehicle,
but also in the driver's
commission of the offence of driving dangerously. To conclude that the driver
owed the passenger a duty
to take reasonable care when driving would not be
consistent with the purpose of the statute proscribing dangerous driving.
- Does
the conclusion of incongruity apply in every case of joint illegal use? Does
the conclusion depend upon whether, in the particular
case, the driver drove
recklessly or dangerously and the passenger was complicit in that further
offence?
- In
many cases in which an illegal user of a vehicle seeks to recover damages from a
driver complicit in that crime, the passenger
and the driver will also be
complicit in a further offence proscribing driving in the manner which was a
cause of the passenger's
injury. But some cases may not be of that kind. An
example may be where the driver of a stolen car, affected by alcohol, makes
an
error of judgment which causes an accident. In such a case, the fact that the
vehicle was being used illegally would seem not
to be immediately relevant to
the liability of driver to passenger. Would it be inconsistent with the
statutory purposes of the
proscription of illegal use of a vehicle to hold that
the driver owed the passenger a duty to drive with reasonable care? Should
not
the significance attached to the driver being affected by alcohol fall for
consideration only as a question about contributory
negligence?
- A
complaint frequently
made[144] in
the cases and academic commentary is that the law relating to illegality in tort
wields too broad an axe to provide a satisfactory
principle that will not have
unintended and unjust consequences (often described as
"Draconian"[145]).
Another complaint frequently
made[146] is
that one wrongdoer is given an unjust and unjustifiable advantage if a defence
of illegality is recognised. Both criticisms have
been levelled at the
decisions, in Smith v Jenkins and Gala v Preston, that one illegal
user of a vehicle does not owe a duty of care to a passenger complicit in the
illegal use. The rule is said to
be too broad and undiscriminating in its
application.
- Two
points may be made in answer to the criticisms. First, if the relevant
principle turns, as it must, upon a search for statutory
purposes, most if not
all of the asserted difficulties fall away. The application of the relevant
principle is the consequence of
the proper application of the statute. The
balance of advantage or disadvantage to criminal participants is a matter for
the legislature.
- Secondly,
and of more particular relevance to the immediate matter, whether or not the
criticisms are expressed in this way, they
must assume that the relevant
legislative purposes of s 371A are completely stated as being the
protection of property interests
and the promotion of road safety. A purpose
described only as the promotion of road safety may well be said not to affect
whether
a duty of care should be found. But the statutory purposes of
s 371A are more particular than a general concern with road safety.
The
section proscribes and punishes the taking and use of a vehicle illegally as it
does because it recognises that, in a case where
two or more persons form a
common intention to prosecute that unlawful purpose, it is often a probable
consequence of the commission
of the crime that the driver will drive recklessly
or dangerously.
- Whether
one participant should be held to owe the other a duty to take reasonable care
in the performance of the common purpose of
using the car illegally cannot
depend upon whether the possibility of reckless or dangerous driving eventuates.
It would be absurd
to hold that one owed the other a duty to take reasonable
care unless and until he or she departed markedly from observing that standard
of care.
- The
refusal to find a duty of care between those complicit in the offence follows
from the more precise identification of the way
in which the statutory
proscription of illegal use of a vehicle seeks to promote road safety. The
offence of illegally taking and
using a vehicle is dealt with as it is because
of its association with reckless and dangerous driving. The statutory purpose
of
a law proscribing dangerous or reckless driving is not consistent with
one offender owing a co-offender a duty to take reasonable care. And in a case
where two or more are complicit in
the offence of illegally using a vehicle, the
statutory purpose of the law proscribing illegal use (here, s 371A) is not
consistent
with one offender owing a co-offender a duty to take reasonable care.
The inconsistency or incongruity arises regardless of whether
reckless or
dangerous driving eventuates. It arises from the recognition that the purpose
of the statute is to deter and punish
using a vehicle in circumstances that
often lead to reckless and dangerous driving.
- These
conclusions accord with the way in which the courts approach questions of
illegality in contract and in relation to trusts.
Whether an analogy can be
drawn with the rule that a contract whose making or performance is expressly or
impliedly made illegal
by statute, or is better drawn with those cases "where
the policy of the law renders contractual arrangements ineffective or void
even
in the absence of breach of a norm of conduct or other requirement expressed or
necessarily implicit in the statutory
text"[147],
may be open to debate. Whichever analogy may be the more apt, the root
principle that is engaged is, as noted earlier, sufficiently
captured by any of
the expressions "incongruity", "contrariety" or "lack of coherence".
The circumstances of this case
- As
noted at the outset of these reasons, Danelle twice asked to be let out of the
car before it ran off the road. She was not.
- Reference
has already been made to the provisions of s 8 of the Code concerning
liability for offences committed in prosecution of a common unlawful purpose and
to the provisions made by
s 8(2) for withdrawal from a joint criminal
enterprise. It was not disputed, in this Court, that it was open to Danelle to
submit that
she had withdrawn from the common purpose of illegally using the
vehicle before the accident, and no positive argument was advanced
to
demonstrate that she had not done so in the manner required by s 8(2) of
the Code. The requirement, in s 8(2)(c) of the Code, that an offender,
having withdrawn from an enterprise and communicated that fact to his or her
confederates, take "all
reasonable steps to prevent the commission of the
offence" invites attention in this case to what Danelle could reasonably have
done
to prevent the continued illegal use of the car. Section 8(2)(c) does
not require that there have been some steps available to her of the kind
specified in that paragraph. And in this case there
were none. There were no
reasonable steps she could take to prevent the continued illegal use of
the vehicle.
- As
Buss JA
records[148],
a submission that Danelle had withdrawn from the common purpose of illegally
using the vehicle was not made, in terms, in the Court
of Appeal, or at trial.
It was accepted that this did not prevent Danelle from advancing the argument in
the appeal to this Court.
- Because
Danelle had withdrawn from, and was no longer participating in, the crime of
illegally using the car when the accident happened,
it could no longer be said
that that Maurin owed her no duty of care. That he owed her no duty earlier in
the journey is not to
the point. When he ran off the road, he owed a passenger
who was not then complicit in the crime which he was then committing a
duty to
take reasonable care.
Conclusion and orders
- The
appeal should be allowed with costs, the orders of the Court of Appeal of the
Supreme Court of Western Australia set aside, and
the appeal to that Court
dismissed with costs.
- HEYDON
J. I agree with the conclusion of the majority that, at least up to the time
when the appellant made two requests to be let
out of the car, the respondent
owed the appellant no duty of care. However, there has not been a satisfactory
demonstration by the
appellant, in the circumstances of this case, that those
requests constituted a withdrawal by the appellant from the common purpose
of
using the car without the owner's consent, and that thereafter a duty of care
arose.
- In
relation to the withdrawal point several issues arise.
It was open to the appellant to rely on the withdrawal
point
- Was
it open to the appellant to take the withdrawal point in this Court? Yes.
- The
withdrawal point was arguably pleaded in par 2(c) of the appellant's Reply. The
relevant contention of the appellant was put
in answer to the respondent's
allegation that he owed no duty of care because he and she "were jointly engaged
in an illegal enterprise".
Her Reply averred:
"the plaintiff expressly denies that she and the defendant were engaged in a
joint illegal enterprise and says that:
...
(c) the defendant refused the requests of the plaintiff to stop the vehicle and
let her out, thereby rendering the plaintiff an
unwilling
passenger".
- Counsel
for the appellant in this Court appeared to concede that the trial had not been
run on the basis of the withdrawal
point[149].
In the Court of Appeal a member of the bench raised a question about whether
withdrawal from the joint illegal enterprise was relied
on. Counsel for the
appellant specifically disavowed it. The trial judge was able to find that a
duty of care was owed to the appellant
for reasons other than the withdrawal
point. Though she mentioned the appellant's requests that the respondent stop
the car, she
said nothing about the withdrawal point.
- Paragraph
2(c) of the appellant's Reply made it difficult for any point based on Suttor
v Gundowda Pty
Ltd[150]
to be taken by the respondent in this Court. It may
be[151] that
that pleading was insufficient in law to make out withdrawal, and that more was
needed than the appellant's requests. It might
have been arguable that more
evidence could have been called at the trial in relation to the additional
factual material needed.
However, counsel for the respondent both expressly and
properly declined to take any Suttor v Gundowda Pty Ltd point.
The respondent did not concede the withdrawal issue in argument in this
Court
- Did
the respondent concede the proposition that the appellant had in fact withdrawn
from the common purpose? No.
- Counsel
for the respondent submitted: "To suggest that any criminality in terms of
either the using or the taking would cease at
the instant of expressing a
willingness or desire to get out of the car, with respect, would not be so." It
is true that a little
earlier counsel for the respondent said that "at its most
extreme level, a statement that 'I wish to get out of the car' might indicate
an
indication that there was no longer a wish to participate" in using the car.
But he did not concede either that the appellant
gave that indication or that it
amounted to withdrawal in law.
Argument about the withdrawal issue in this Court
- Was
there argument in this Court about whether the requests to leave the car
constituted a withdrawal from the common illegal purpose?
This demands a
lengthier answer.
- The
proposition that a duty of care owed by the respondent to the appellant sprang
up when the requests to leave the car were made
is a proposition favourable to
the appellant. It was a proposition which she had a duty to plead, and as to
which she bore the burden
of proof and the burden of demonstration. It is a
proposition which, arguably, she pleaded in the Reply. But it was not a
proposition
which was dealt with by the Courts below. Nor did it find a place
in the notice of appeal to this Court. Her written submissions
in chief said
nothing about it. The respondent's written submissions revealed no awareness of
it. Her written submissions in reply
said nothing about it. In oral argument
in chief her counsel said nothing about it before he was asked the following
question by
a member of the Court:
"What is the position in respect of the appellant using the motor vehicle at the
time of the accident, having regard to the finding
as to the request to be let
out?"
Counsel said the matter was "a little awkward", and referred to his
predecessor's disavowal of the point in the Court of
Appeal[152].
He then submitted that although "it is a little awkward for us", the failure to
take the point "should not be a bar". He went
on: "Certainly all the evidence
was in. I cannot say, it is not the case, that the trial was run on that basis,
but I am not aware
that there is any circumstance that would" prevent the point
being taken in this Court. His submission on the point was:
"it is not protest in general terms, it is not even the protest along the lines
of 'slow down', it is the request to be let out,
in our submission, in that
context, preceded by those protests, should have been held, perhaps I should say
should have been argued,
to have produced a cessation of her use and thus a
cessation of her membership of, to use the jargon, a joint criminal enterprise.
Now, clearly enough, there has to be some close analogy between that kind of
argument and arguments in a true criminal case, such
as a conspiracy case or
another complicity case, but, in our submission, these facts would easily match
that for a criminal case
as well.
If people, in the enthusiasm of youth, late at night take a car to use it for a
joyride and shortly thereafter decide this is the
worst idea they have ever had
and they wish it to cease, so long as they take reasonable steps, both by
communication and as circumstances
permit other action of avoidance or removal,
then, in our submission, they will be able to rely upon that (a) in crime and
(b) therefore,
in this civil case, to say the use had finished, therefore, the
complicity or membership of the joint criminal enterprise had
finished."
These passages assert a conclusion favourable to the appellant, but say nothing
about why it should be reached. They preserve a
position, but do not state its
grounds. Counsel for the appellant thereafter briefly alluded to the withdrawal
point on two occasions
but added nothing.
- Counsel
for the respondent did not deal with the withdrawal point more fully than his
opponent, and, like him, did not descend into
the strengths and weaknesses of
possible underlying reasons for competing
conclusions[153].
This was scarcely surprising, since counsel for the respondent had not been put
on notice that the withdrawal point would be taken
in this Court. This is so
despite the existence of a formal forensic structure, to be found in the
requirements for a notice of
appeal and written submissions, which is designed
to give adequate notice to the parties and the Court.
119 The decision of the majority on the withdrawal point is certainly a
decision of some importance in tort cases of which this
appeal is an
illustration. But it is of very great importance in criminal law. The
withdrawal point turns on the Criminal Code (WA) ("the Code"), s
8(2)[154].
There are provisions similar to, though not identical with, s 8(2) in other
jurisdictions in this
country[155].
The problem with which the legislation – and the corresponding common law
– deals is difficult. It is complex. Various
solutions have been
proposed, but they have been
controversial[156].
The decision of the majority that s 8(2) applies in the present circumstances is
the ratio decidendi of this case – the fulcrum
on which the appellant's
success turns. It will bind every court in this country in the law of tort and
the criminal law. It is
plain from the silence of counsel for the appellant in
written submissions, from the fact that no oral argument was advanced until
the
matter was raised by a member of this Court, from counsel's position that the
point was "a little awkward", from the brevity
of the submissions advanced, and
from the fact that those submissions advanced a conclusion but offered no
supporting reasoning,
that counsel for the appellant had not intended to take
the withdrawal point and was certainly not equipped to provide detailed argument
in its support.
- One
purpose of having a prior exchange of written submissions in this Court is to
ensure that, when points of law are raised, the
parties and the Court have full
notice of the specific arguments being deployed. That notice enables thorough
legal research, by
both the parties and the Court, to take place before oral
argument. That is particularly necessary where this Court is, by reason
of the
parties' conduct, unassisted by any examination of the topic by the trial court
and the intermediate appellate court. It
is the duty of the courts of this
country to expound, and where legitimate to develop, the law of Australia
– whether it be
the common law, the resolution of doubts about statutory
construction, or constitutional law. It is a necessary condition for the
carrying out of that duty of exposition and development that there be a clash of
adversaries well prepared to conduct detailed forensic
debate. That necessary
condition was amply satisfied in this appeal by the thoughtful and full
submissions of the parties in relation
to the problem thrown up by the Gala v
Preston line of cases. It was not satisfied in relation to the withdrawal
point.
- Had
counsel for the respondent been given adequate notice that the withdrawal point,
which apparently had had no role in the case
after the pleadings closed, was to
be revived in this Court, he might have been able to construct a submission
along the following
lines.
A possible submission for the respondent
- The
appellant was 16 and had been drinking at intervals since the previous evening.
So had the respondent's companions. She chose
to get into a car which she had
stolen, and which she had managed to get started. She asked her sister,
Narelle, who had been drinking
and who had no driver's licence, to drive her
home in that car. She accepted the offer of the respondent, who had been
drinking,
and whom she correctly assumed not to have a driver's licence, to
drive her home. He was to do so in a dangerously overloaded car,
for there
were, as well as himself, nine passengers in it. Just as the appellant was
tired and affected by drink, so was the respondent,
and so were at least several
of the others in the car. The respondent had been involved in a verbal
altercation with a man named
Shanelle, who in turn had been involved in an
ongoing argument with his girlfriend until he jumped into the car, followed by a
bottle
of perfume flung at the car by the girlfriend.
- In
those circumstances the following findings of the trial judge – which are
not based on acceptance of the appellant's testimony
but on inferences from the
circumstances – must be rejected.
"Neither the plaintiff, nor for that matter a reasonable hypothetical
plaintiff, had any reason to appreciate that she would be
encountering serious
risks. ... [T]he mere fact that they were driving in a stolen car would not of
itself have made the plaintiff
concerned about any risk of the defendant driving
recklessly. ... [U]nless there is evidence which shows that the parties were
about to embark on a joy-ride and to have some fun in flaunting the law, the
mere fact that they are driving in a stolen vehicle
does not mean that this
would necessarily be associated with an encounter of a serious risk."
- Did
the appellant have "any reason to appreciate that she would be encountering
serious risks"? The trial judge's language turns
not on whether the appellant
did appreciate the existence of serious risks, but on what reason she had to
appreciate them. Accepting
the trial judge's finding that no joy-ride was
initially contemplated, the facts are that she had stolen the car and managed to
get
it started; that she had no control over the respondent, her "uncle", in
view of his age, 27, and apparent authority over her; that
she knew he had been
drinking and assumed he was unlicensed; that the theft of cars is often speedily
reported and the police often
speedily identify those stolen cars in the
streets; that even if a car is not being driven recklessly it is likely to
attract the
attention of passing police officers if it is so grossly and
dangerously overloaded that some passengers were not able to wear seatbelts;
that the presence of excessive numbers of young people who have been drinking in
a car increases the risk of the driver showing off
or being distracted; and that
if the respondent driver saw police officers he would be likely to flee at high
speed. That is because
the driver was unlicensed, he had been drinking, his car
was very overloaded, and he knew that the car had been stolen by the appellant.
No dangerous and speedy flight from police officers did in fact take place, but
there were good reasons known to the appellant to
appreciate that the journey
was, to use the words of the majority in Gala v
Preston[157],
"fraught with serious risks". Among the risks which existed, whether the
appellant actually appreciated it or not, was the one
which eventuated –
that the respondent might not exercise the degree of care and skill to be
expected of a reasonably careful
and competent driver.
- Against
the background of those circumstances, can it be said that by reason of her
requests for the car to be stopped the appellant
had withdrawn from the illegal
joint enterprise?
- There
is no doubt that the appellant could effectively have terminated the joint
illegal enterprise by declining to get into the
car, or getting out of it, as it
became overloaded and before the respondent drove it off. The question is
whether her later expressions
of desire to leave the car satisfy s 8(2).
- A
request that the vehicle stop and that she be let out by itself was insufficient
to terminate the joint illegal enterprise. It
would not have sufficed at common
law, which required, in addition to a countermand or withdrawal, the carrying
out of whatever action
the party claiming to have withdrawn "can reasonably take
to undo the effect of his previous ...
participation."[158]
And, in any event, in Western Australia what applies is not the common law, but
a similar regime established by s 8(2).
- The
function of the requirement in s 8(2)(c) that, after the relevant person has
withdrawn from the prosecution of the unlawful purpose,
that person take "all
reasonable steps to prevent the commission of the offence" is to prevent or
hamper the effectuation of the
unlawful purpose. That is, its function is to
prevent or hamper the future commission of the offence, or, if it is a
continuing
offence, its commission by continuance. Section 8(2)(c) has the same
function as the equivalent common law rule. In a United States
case on the
common
law[159], it
was said that:
"A withdrawal from a conspiracy cannot be effected by intent alone; it must be
accompanied by some affirmative action which is effective.
A declared intent to
withdraw from a conspiracy to dynamite a building is not enough, if the fuse has
been set; he must step on
the fuse."
If conspirators have lit the fuse, an announcement by one of them of withdrawal
from the conspiracy is ineffective if it is too late
for that person to step on
the fuse, or otherwise avert the explosion.
- When
two or more persons have formed a common intention to prosecute an unlawful
purpose, there cannot be a withdrawal from the prosecution
of the unlawful
purpose, and there cannot be the taking of reasonable steps to prevent the
commission, or further commission, of
any offence which is the probable
consequence of the prosecution of the purpose, unless the circumstances are such
as to give an
opportunity for those steps to be taken. There are some
enterprises which, once they are embarked on, give no opportunity for instant
withdrawal. In relation to enterprises of that kind, a decision to withdraw,
even if clearly communicated, cannot have immediate
effect. The facts of the
present case illustrate one of these enterprises. "The execution of the purpose
had reached the stage
when it would not be possible to withdraw from it in the
terms of the
section."[160]
- When
the appellant indicated that she wanted to be let out of the car, it may be that
she could be said to have withdrawn from the
prosecution of the unlawful purpose
within the meaning of s 8(2)(a) of the Code, and also to have communicated that
withdrawal in
the manner described in s 8(2)(b). But could it be said that,
"having so withdrawn", she "took all reasonable steps to prevent the
commission
of the offence" within the meaning of s 8(2)(c)? No. She took no steps. It
might have been submitted on her behalf
(although it was not) that
s 8(2)(c) was complied with on the ground that there were no reasonable
steps which, by that time, could
have been taken. The difficulty is that her
conduct had rendered it impossible for any reasonable steps to be taken. The
fundamental
factual problem for the appellant is that, despite all the findings
by the trial judge in her favour, there is no finding that she
expected that the
respondent would comply instantly with any request she made of him to stop.
Since none of the evidence admitted
at the trial is in the appeal book, it is
not possible to say whether any finding of that kind could be made by this
Court. The
appellant could only have taken reasonable steps within the meaning
of s 8(2)(c) if, taking into account what she had reason to know
when the
journey started, she had put herself in a position to ensure that an expression
of her wishes later in the journey would
be instantly complied with. This she
had not done.
- Since
the appellant had disabled herself from taking reasonable steps, it was not open
to her to have contended that there were no
reasonable steps she could have
taken.
Conclusion
- What
has just been set out is an outline of a possible submission which counsel for
the respondent might have advanced had he had
proper notice of the withdrawal
point and of the manner in which his client might lose on it. His ingenuity and
skill would have
led him to put it better, and might have suggested other
submissions worthy of consideration. Whether any of these submissions would
have been worthy of acceptance cannot be determined in the absence of a thorough
appellate examination of the issue. Without that
examination it cannot be said
that the appellant has demonstrated compliance with s 8(2).
Order
- The
respondent's application is only that the appeal be dismissed. That order
should be made.
[1] See, for example, Civil
Liability Act 2002 (NSW), s 54.
[2] Miller v Miller (2008) 57
SR (WA) 358.
[3] Miller v Miller [2009]
WASCA 199.
[4] (1938) 60 CLR 438; [1938] HCA
35.
[5] [1970] HCA 2; (1970) 119 CLR 397 at 409-414;
[1970] HCA 2; see also Gollan v Nugent [1988] HCA 59; (1988) 166 CLR 18 at 28, 46;
[1988] HCA 59.
[6] Smith v Jenkins [1970] HCA 2; (1970) 119
CLR 397 at 410.
[7] Beresford v Royal Insurance Co
Ltd [1937] 2 KB 197 at 219-220 per Lord Wright MR.
[8] Sullivan v Moody (2001) 207
CLR 562 at 576 [42], 580-581 [53]-[55]; [2001] HCA 59; Agricultural and Rural
Finance Pty Ltd v Gardiner [2008] HCA 57; (2008) 238 CLR 570 at 602 [100]; [2008] HCA 57;
CAL No 14 Pty Ltd v Motor Accidents Insurance Board [2009] HCA 47; (2009) 239 CLR
390 at 406-410 [39]- [42]; [2009] HCA 47.
[9] Hall v Hebert [1993] 2 SCR
159 at 176-180.
[10] Glanville Williams, "The Legal
Effect of Illegal Contracts", (1942) 8 Cambridge Law Journal 51 at
61-62.
[11] Pollock, The Law of
Torts, (1887) at 150.
[12] at 151.
[13] at 152.
[14] at 153.
[15] Davis, "The Plaintiff's Illegal
Act as a Defense in Actions of Tort", (1905) 18 Harvard Law Review
505 at 513 (footnote omitted).
[16] at 515-516.
[17] See, for example, the
discussion of the "last opportunity rule" in Wheare v Clarke (1937) 56
CLR 715; [1937] HCA 7; Alford v Magee (1952) 85 CLR 437; [1952] HCA
3.
[18] Stallybrass (ed), Salmond on
Torts, 9th ed (1936) at 484 quoted in Wheare v Clarke [1937] HCA 7; (1937) 56 CLR
715 at 737 per Evatt J.
[19] [1938] HCA 35; (1938) 60 CLR 438 at
457-460.
[20] The Fatal Accidents Act
1846 (UK) (9 & 10 Vict c 93).
[21] [1938] HCA 35; (1938) 60 CLR 438 at 458.
[22] [1938] HCA 35; (1938) 60 CLR 438 at 460.
[23] [1938] HCA 35; (1938) 60 CLR 438 at
445-448.
[24] Cope v Rowlands [1836] 2
M & W 149 at 157 per Parke B [1836] EngR 49; [150 ER 707 at 710].
[25] Yango Pastoral Company Pty
Ltd v First Chicago Australia Ltd [1978] HCA 42; (1978) 139 CLR 410 at 425 per
Mason J; [1978] HCA 42.
[26] [1978] HCA 42; (1978) 139 CLR 410 at 425 per
Mason J.
[27] International Air Transport
Association v Ansett Australia Holdings Ltd [2008] HCA 3; (2008) 234 CLR 151 at 179 [71]
per Gummow, Hayne, Heydon, Crennan and Kiefel JJ; [2008] HCA 3.
[28] Fitzgerald v
F J Leonhardt Pty Ltd [1997] HCA 17; (1997) 189 CLR 215 at 227 per McHugh and
Gummow JJ; [1997] HCA 17.
[29] Yango [1978] HCA 42; (1978) 139 CLR 410
at 429-430, 432-433; Nelson v Nelson [1995] HCA 25; (1995) 184 CLR 538 at 551-552, 593,
611; [1995] HCA 25.
[30] Yango [1978] HCA 42; (1978) 139 CLR 410
at 434.
[31] [1995] HCA 25; (1995) 184 CLR 538 at
551-552.
[32] [1978] HCA 42; (1978) 139 CLR 410 at 432; see
also at 430 per Mason J.
[33] [1995] HCA 25; (1995) 184 CLR 538 at 552.
[34] [1995] HCA 25; (1995) 184 CLR 538 at 611.
[35] [1995] HCA 25; (1995) 184 CLR 538 at 611.
[36] [1775] EngR 58; (1775) 1 Cowp 341 at 343 [98 ER
1120 at 1121].
[37] [1995] HCA 25; (1995) 184 CLR 538 at 570,
616-618.
[38] [1997] HCA 17; (1997) 189 CLR 215 at 227.
[39] [2008] HCA 3; (2008) 234 CLR 151 at 180
[72].
[40] [1938] HCA 35; (1938) 60 CLR 438 at 463.
[41] [1937] HCA 18; (1937) 56 CLR 464 at 477-479;
[1937] HCA 18.
[42] [1938] HCA 35; (1938) 60 CLR 438 at 463.
[43] [1937] HCA 18; (1937) 56 CLR 464 at 477.
[44] [1967] HCA 31; (1967) 116 CLR 397 at 405;
[1967] HCA 31.
[45] [1995] HCA 24; (1995) 185 CLR 410 at 460-461;
[1995] HCA 24.
[46] [1967] HCA 31; (1967) 116 CLR 397 at 405.
[47] [1970] HCA 2; (1970) 119 CLR 397.
[48] (1978) 138 CLR 438; [1978] HCA
17.
[49] (1991) 172 CLR 243; [1991] HCA
18.
[50] (1948) 48 SR (NSW) 352.
[51] (1948) 48 SR (NSW) 352 at
355.
[52] (1948) 48 SR (NSW) 352 at
356.
[53] (1948) 48 SR (NSW) 352 at
356.
[54] (1948) 48 SR (NSW) 352 at
356.
[55] [1952] VicLawRp 67; [1952] VLR 507.
[56] Motor Traffic Act 1909
(NSW), s 17.
[57] Motor Traffic Act 1909,
s 8A.
[58] [1963] VicRp 37; [1963] VR 235 at 237-238.
[59] (1963) 63 SR (NSW) 617.
[60] (1963) 63 SR (NSW) 617 at 624
per Sugerman J (Brereton J agreeing), 630-631 per Manning J.
[61] (1965) 66 SR (NSW) 85.
[62] (1965) 66 SR (NSW) 85 at
93.
[63] (1968) 69 SR (NSW) 269 at
277.
[64] (1968) 69 SR (NSW) 269 at
277.
[65] [1970] HCA 2; (1970) 119 CLR 397 at 400.
[66] [1970] HCA 2; (1970) 119 CLR 397 at
401-402.
[67] [1970] HCA 2; (1970) 119 CLR 397 at 404.
[68] [1970] HCA 2; (1970) 119 CLR 397 at 404.
[69] [1970] HCA 2; (1970) 119 CLR 397 at
420-421.
[70] [1970] HCA 2; (1970) 119 CLR 397 at
422-424.
[71] cf Godbolt v Fittock
(1963) 63 SR (NSW) 617 at 623.
[72] [1970] HCA 2; (1970) 119 CLR 397 at
416-417.
[73] [1970] HCA 2; (1970) 119 CLR 397 at 422.
[74] [1970] HCA 2; (1970) 119 CLR 397 at 422.
[75] [1970] HCA 2; (1970) 119 CLR 397 at 422.
[76] [1970] HCA 2; (1970) 119 CLR 397 at 425.
[77] [1970] HCA 2; (1970) 119 CLR 397 at 427.
[78] [1970] HCA 2; (1970) 119 CLR 397 at 427.
[79] For example, Re F; Ex parte
F [1986] HCA 41; (1986) 161 CLR 376 at 387-388; [1986] HCA 41.
[80] See, for example, Perre v
Apand Pty Ltd [1999] HCA 36; (1999) 198 CLR 180 at 253 [198] per Gummow J; [1999] HCA
36; Hollis v Vabu Pty Ltd [2001] HCA 44; (2001) 207 CLR 21 at 41 [44] per
Gleeson CJ, Gaudron, Gummow, Kirby and Hayne JJ; [2001] HCA 44;
quoting Stevens v Brodribb Sawmilling Co Pty Ltd [1986] HCA 1; (1986) 160 CLR 16 at 29
per Mason J; [1986] HCA 1; Graham Barclay Oysters Pty Ltd v Ryan
[2002] HCA 54; ; (2002) 211 CLR 540 at 596 [145] per Gummow and Hayne JJ; [2002] HCA
54.
[81] [2002] HCA 54; (2002) 211 CLR 540 at 596
[145].
[82] [1970] HCA 2; (1970) 119 CLR 397 at 418.
[83] [1970] HCA 2; (1970) 119 CLR 397 at 422.
[84] [1978] HCA 17; (1978) 138 CLR 438 at 453.
[85] [1978] HCA 17; (1978) 138 CLR 438 at 455.
[86] [1978] HCA 17; (1978) 138 CLR 438 at 455.
[87] [1978] HCA 17; (1978) 138 CLR 438 at
455-456.
[88] [1978] HCA 17; (1978) 138 CLR 438 at 457.
[89] [1976] HCA 59; (1976) 135 CLR 651 at 668;
[1976] HCA 59.
[90] [1978] HCA 17; (1978) 138 CLR 438 at 457.
[91] [1978] HCA 17; (1978) 138 CLR 438 at 457.
[92] [1978] HCA 17; (1978) 138 CLR 438 at 457.
[93] [1978] HCA 17; (1978) 138 CLR 438 at 461.
[94] [1978] HCA 17; (1978) 138 CLR 438 at
462-463.
[95] [1978] HCA 17; (1978) 138 CLR 438 at 464.
[96] [1978] HCA 17; (1978) 138 CLR 438 at 464.
[97] [1978] HCA 17; (1978) 138 CLR 438 at
465-466.
[98] [1978] HCA 17; (1978) 138 CLR 438 at 465.
[99] [1978] HCA 17; (1978) 138 CLR 438 at 455.
[100] See, for example, Gray v
Thames Trains Ltd [2009] AC 1339.
[101] [1991] HCA 18; (1991) 172 CLR 243.
[102] [1991] HCA 18; (1991) 172 CLR 243 at
252-253 per Mason CJ, Deane, Gaudron and McHugh JJ.
[103] [1985] HCA 41; (1985) 157 CLR 424 at
461-462, 506-507; [1985] HCA 41.
[104] [1986] HCA 1; (1986) 160 CLR 16 at 30,
50-52.
[105] [1986] HCA 68; (1986) 162 CLR 340 at
354-355; [1986] HCA 68.
[106] [1986] HCA 73; (1986) 162 CLR 376 at
381-382; [1986] HCA 73.
[107] [1986] HCA 73; (1986) 162 CLR 376.
[108] [1991] HCA 18; (1991) 172 CLR 243 at
254.
[109] [1991] HCA 18; (1991) 172 CLR 243 at
253.
[110] Hill v Van Erp (1997)
188 CLR 159 at 210, 237-239; [1997] HCA 9; Perre v Apand Pty Ltd [1999] HCA 36; (1999)
198 CLR 180 at 193-194 [7]- [10], 197-198 [25]-[27], 208-212 [70]-[82], 283-284
[280]-[282], 300-303 [330]-[335]; Crimmins v Stevedoring Industry Finance
Committee [1999] HCA 59; (1999) 200 CLR 1 at 13 [3], 32 [73], 33-34 [77], 56 [149], 80
[222], 96-97 [270]-[272]; [1999] HCA 59; Brodie v Singleton Shire Council
[2001] HCA 29; (2001) 206 CLR 512 at 630-631 [316]; [2001] HCA 29; Sullivan v Moody
(2001) 207 CLR 562 at 578-579 [48]; Tame v New South Wales [2002] HCA 35; (2002) 211
CLR 317 at 355-356 [104]- [107], 405 [257], 408-409 [266]-[268];
[2002] HCA 35; Graham Barclay Oysters Pty Ltd v Ryan [2002] HCA 54; (2002) 211 CLR 540
at 583 [99], 624 [234]-[236]; Joslyn v Berryman [2003] HCA 34; (2003) 214 CLR 552 at 564
[30]; [2003] HCA 34; Woolcock Street Investments Pty Ltd v CDG Pty Ltd
[2004] HCA 16; (2004) 216 CLR 515 at 528-529 [18]; [2004] HCA 16; Vairy v Wyong Shire
Council [2005] HCA 62; (2005) 223 CLR 422 at 433 [28], 444-445 [66]-[68]; [2005] HCA 62;
Imbree v McNeilly [2008] HCA 40; (2008) 236 CLR 510 at 524 [41], 552-553 [141], 564 [181];
[2008] HCA 40; Stuart v Kirkland-Veenstra [2009] HCA 15; (2009) 237 CLR 215 at 260
[132]; [2009] HCA 15.
[111] Imbree v McNeilly
[2008] HCA 40; (2008) 236 CLR 510.
[112] [1991] HCA 18; (1991) 172 CLR 243 at
254.
[113] [1991] HCA 18; (1991) 172 CLR 243 at
254.
[114] [1991] HCA 18; (1991) 172 CLR 243 at
255.
[115] [2008] HCA 40; (2008) 236 CLR 510 at 526
[46].
[116] [2008] HCA 40; (2008) 236 CLR 510 at
526-527 [46].
[117] (1948) 77 CLR 39; [1948] HCA
17.
[118] [1948] HCA 17; (1948) 77 CLR 39 at
56-58.
[119] [1948] HCA 17; (1948) 77 CLR 39 at
59-60.
[120] [2008] HCA 40; (2008) 236 CLR 510 at 536
[82].
[121] [1970] HCA 2; (1970) 119 CLR 397 at
422.
[122] The Insurance
Commissioner v Joyce [1948] HCA 17; (1948) 77 CLR 39 at 57.
[123] [1991] HCA 18; (1991) 172 CLR 243 at
273.
[124] Criminal Code (Q),
s 408A.
[125] [1991] HCA 18; (1991) 172 CLR 243 at
270-273.
[126] [1991] HCA 18; (1991) 172 CLR 243 at
271.
[127] [1991] HCA 18; (1991) 172 CLR 243 at
272.
[128] [1991] HCA 18; (1991) 172 CLR 243 at
272.
[129] [1970] HCA 2; (1970) 119 CLR 397 at
422-423.
[130] [1967] HCA 31; (1967) 116 CLR 397 at
405.
[131] [1991] HCA 18; (1991) 172 CLR 243 at
278.
[132] [1991] HCA 18; (1991) 172 CLR 243 at
278.
[133] [1991] HCA 18; (1991) 172 CLR 243 at 280
per Dawson J.
[134] [1991] HCA 18; (1991) 172 CLR 243 at
285.
[135] [1991] HCA 18; (1991) 172 CLR 243 at
285-289.
[136] [1991] HCA 18; (1991) 172 CLR 243 at
290-292.
[137] s 369(2).
[138] s 371(2).
[139] s 50.
[140] s 59.
[141] s 99.
[142] [1991] HCA 18; (1991) 172 CLR 243 at
280.
[143] Gala v Preston [1991] HCA 18; (1991)
172 CLR 243 at 278 per Dawson J; see also Smith v Jenkins [1970] HCA 2; (1970) 119
CLR 397 at 416-417 per Windeyer J.
[144] Jackson v Harrison
[1978] HCA 17; (1978) 138 CLR 438 at 453, 455 per Mason J, at 464-465 per Murphy J;
Gala v Preston [1991] HCA 18; (1991) 172 CLR 243 at 270, 271 per Brennan J;
Nelson v Nelson [1995] HCA 25; (1995) 184 CLR 538 at 611 per McHugh J; Law
Commission for England and Wales, "The Illegality Defence in Tort", Consultation
Paper
No 160 (2001) at 84-85 [4.73]-[4.74] and Pt V generally;
Fleming, The Law of Torts, 7th ed (1987) at 278; Weinrib,
"Illegality as a Tort Defence", (1976) 26 University of Toronto Law Journal
28 at 33, 38-39, 45-46; Swanton, "Plaintiff a Wrongdoer: Joint Complicity
in an Illegal Enterprise as a Defence to Negligence" , [1981] SydLawRw 3; (1981) 9 Sydney Law
Review 304 at 317-319, 323, 325-328; Goudkamp, "A Revival of the Doctrine of
Attainder? The Statutory Illegality Defences to Liability
in Tort" , [2007] SydLawRw 18; (2007)
29 Sydney Law Review 445 at 451-455.
[145] Jackson v Harrison
[1978] HCA 17; (1978) 138 CLR 438 at 453, 455 per Mason J; Gala v Preston [1991] HCA 18; (1991)
172 CLR 243 at 265, 270, 271 per Brennan J; Law Commission for England and
Wales, "The Illegality Defence in Tort", Consultation
Paper No 160 (2001)
at 84-85 [4.73]-[4.74].
[146] Jackson v Harrison
[1978] HCA 17; (1978) 138 CLR 438 at 465 (7) per Murphy J; cf the seminal statement of
Lord Mansfield in Holman v Johnson [1775] EngR 58; (1775) 1 Cowp 341 at 343 [98 ER
1120 at 1121] that the policy behind the courts' refusal to enforce an illegal
contract, "which the defendant has the advantage
of, contrary to the real
justice", is "not for the sake of the defendant, but because [the courts] will
not lend their aid to such
a plaintiff"; see also the discussion of "windfall
gain" to the defendant in the context of trust and contract in Nelson v
Nelson [1995] HCA 25; (1995) 184 CLR 538 at 610 per McHugh J and Fitzgerald v
F J Leonhardt Pty Ltd [1997] HCA 17; (1997) 189 CLR 215 at 252 per Kirby J;
see also Law Commission for England and Wales, "The Illegality Defence in Tort",
Consultation
Paper No 160 (2001) at 69 [4.17]; Law Commission for England
and Wales, "The Illegality Defence", Consultation Paper No 189 (2009)
at
viii; Weinrib, "Illegality as a Tort Defence", (1976) 26 University of
Toronto Law Journal 28 at 50-51; Ford, "Tort and Illegality: The
Ex Turpi Causa Defence in Negligence Law (Part One)" [1977] MelbULawRw 2; , (1977) 11
Melbourne University Law Review 32 at 40; Swanton, "Plaintiff a
Wrongdoer: Joint Complicity in an Illegal Enterprise as a Defence to
Negligence" , [1981] SydLawRw 3; (1981) 9 Sydney Law Review 304 at 330; Goudkamp,
"A Revival of the Doctrine of Attainder? The Statutory Illegality Defences
to Liability in Tort" , [2007] SydLawRw 18; (2007) 29 Sydney Law Review 445 at 450.
[147] International Air
Transport Association [2008] HCA 3; (2008) 234 CLR 151 at 179 [71].
[148] Miller [2009] WASCA
199 at [86]- [89].
[149] See below at [117].
[150] (1950) 81 CLR 418; [1950]
HCA 35.
[151] See below at
[122]-[131].
[152] See above at [112].
[153] See above at [117].
[154] See above at [104].
[155] Section 8(2) was introduced
in 1986. In 1995, when the Criminal Code (Cth) was enacted, it included
s 11.2(4):
"A person cannot be found guilty of aiding, abetting, counselling or
procuring the commission of an offence if, before the offence
was committed, the
person:
(a) terminated his or her involvement; and
(b) took all reasonable steps to prevent the commission of the offence."
In 2002, when the Criminal Code (ACT) was enacted, it included s
45(5), a provision in the form of s 11.2(4). The Criminal Code (NT) was
enacted in 1983; in 2005 the legislature inserted s 43BG(5), a provision also in
the form of s 11.2(4).
[156] See the debates recorded and
analysed in Smith, "Withdrawal in Complicity: A Restatement of Principles",
[2001] Criminal Law Review 769.
[157] [1991] HCA 18; (1991) 172 CLR 243 at 254
per Mason CJ, Deane, Gaudron and McHugh JJ; [1991] HCA 18.
[158] White v Ridley [1978] HCA 38; (1978)
140 CLR 342 at 351 per Gibbs J; [1978] HCA 38.
[159] Eldredge v United
States 62 F 2d 449 at 451 (10th Cir, 1932) per Judge McDermott (Judge
Phillips concurring).
[160] Seiffert v The Queen
(1999) 104 A Crim R 238 at 259 per Pidgeon J (Kennedy and White JJ concurring).
AustLII:
Copyright Policy
|
Disclaimers
|
Privacy Policy
|
Feedback
URL: http://www.austlii.edu.au/au/cases/cth/HCA/2011/9.html