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Anderson Antiques (UK) Ltd v Anderson Wharf (Hull) Ltd and Another: ChD 23 May 2007

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anderson_andersonChD2008
References: [2007] EWHC 2086 (Ch)
Links: Bailii
Coram: Briggs J
Ratio: The claimants owned land against which they said, the defendant had wrongfully registered notices. They sought removal of the notices, damages, and an injunction to prevent further notices being registered. The first defendant asserted an oral agreement for the purchase of the site. The claimant sought a strike out of the defence.
Held: The balance between the doctrine of proprietary estoppel and section 2 of the 1989 Act is not yet clear. The court doubted that the defendant would be able to establish an estoppel to get around the Act. The evidence that the defendant believed that a contract had been created was not credible having istelf taken part in the tendering process which stood in place of the agreement it now asserted. The defence was struck out.
Statutes: Land Registration Act 2002 77, Law of Property (Miscellaneous Provisions) Act 1989 2
This case cites:

  • Cited – Yaxley v Gotts and Another CA (Gazette 14-Jul-99, Times 08-Jul-99, Bailii, [1999] EWCA Civ 1680, [1999] 1 WLR 1217, [2000] Ch 162, [1999] EGCS 92, Bailii, [1999] EWCA Civ 3006, [2000] 1 All ER 711)
    The defendant offered to give to the Plaintiff, a builder, the ground floor of a property in return for converting the house, and then managing it. They were friends, and the oral offer was accepted. The property was then actually bought in the name . .
  • Cited – Yeoman’s Row Management Ltd and Another v Cobbe CA (Bailii, [2006] EWCA Civ 1139, [2006] 1 WLR 2964)
    The defendants orally agreed to sell the claimant a block of flats for andpound;12 million if he first obtained planning permission for it on terms as to a sharing of subsequent development profits. The claimant spent over andpound;100,000 and . .
  • Cited – MCA Records Inc and Another v Charly Records Ltd and others (No 5) CA (Bailii, [2001] EWCA Civ 1441, [2002] FSR 26, [2002] BCC 650, [2002] ECDR 37, [2003] 1 BCLC 93, [2002] EMLR 1)
    The court discussed the personal liability of a director for torts committed by his company: ‘i) a director will not be treated as liable with the company as a joint tortfeasor if he does no more than carry out his constitutional role in the . .

(This list may be incomplete)

Last Update: 10 December 2018
Ref: 262175

The post Anderson Antiques (UK) Ltd v Anderson Wharf (Hull) Ltd and Another: ChD 23 May 2007 appeared first on swarb.co.uk.


Collier v P and M J Wright (Holdings) Ltd: CA 14 Dec 2007

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References: [2007] EWCA Civ 1329, [2007] NPC 136, [2008] 1 WLR 643, [2007] BPIR 1452
Links: Bailii
Coram: Mummery LJ, Arden LJ, Longmore LJ
Ratio: The claimant appealed against refusal of an order to set aside a statutory demand. He said that he had compromised a claim by the creditors. He argued for an extension to the Rule in Pinnel’s case, so that where a debtor agrees to pay part of a joint debt, and to become severally liable for that part, the parties have necessarily entered into a binding agreement for good consideration that the debtor’s liability for the rest of the joint debt is discharged. He had been one of three partners owing a substantial debt to the creditors. He said he had been told he would not be pursued if he paid at a third of the rate for all three, and that he had done so.
Held: The fact that a creditor agrees with a joint debtor to accept payment from him alone of his proportionate share does not result in a binding agreement. Accordingly, this factual paradigm does not constitute yet another situation when the rule in Pinnel’s case is avoided.
As to the argument that an estoppel had been created, the effect of promissory estoppel is usually suspensory only, but, if the effect of resiling is sufficiently inequitable, a debtor may be able to show that the right to recover the debt is not merely postponed but extinguished. The defendant had an arguable case for an estoppel, and the appeal was allowed.
Jurisdiction: England and Wales
This case cites:

  • Cited – Pinnel’s Case, Penny v Core CCP ((1602) 5 Co Rep 117 a, [1558-1774] All ER Rep 612, (1602) 77 ER 237, Commonlii, [1572] EngR 290, (1572-1616) 5 Co Rep 117, (1572) 77 ER 237)
    (Court of Common Pleas) The payment of a lesser sum on the day in satisfaction of a greater, cannot be any satisfaction for the whole. The gift of a horse, hawk, robe, etc., in satisfaction, is good. Payment of part before the day and acceptance may . .
  • Cited – Foakes v Beer HL ((1884) 9 App Cas 605, Bailii, [1884] UKHL 1)
    Mrs Beer had obtained judgment against Dr Foakes for andpound;2,090 19s. He asked for time to pay and they agreed with him, acknowledging the debt, and paying part immediately and undertaking to pay the balance over a period of time. In . .
  • Cited – In Re Selectmove Ltd CA (Times 13-Jan-94, Ind Summary 17-Jan-94, [1995] 1 WLR 474, Bailii, [1993] EWCA Civ 8, [1995] STC 406, [1995] 2 All ER 531)
    The company appealed against an order for its winding up, saying that the debt was disputed, an accomodation having been reached with the Revenue.
    Held: The court declined to regard a promise to the Revenue by a company to pay its existing . .
  • Cited – Williams v Roffey Brothers and Nicholls (Contractors) Ltd CA (Bailii, [1989] EWCA Civ 5, [1991] 1 QB 1, 10 Tr LR 12, [1990] 2 WLR 1153, (1991) 48 BLR 69, [1990] 1 All ER 512)
    The defendant subcontracted some of its work under a building contract to the plaintiff at a price which left him in financial difficulty and there was a risk that the work would not be completed by the plaintiff. The defendant agreed to make . .
  • Cited – Alpine Bulk Transport Co Inc v Saudi Eagle Shipping Co Inc The ‘Saudi Eagle’ CA ([1986] 2 Lloyds Rep 221)
    The defendants, believing that they had no assets, deliberately allowed an interlocutory judgment for damages to be assessed to be entered against them by default, and only after damages had been assessed and final judgment entered, realising that . .
  • Cited – Bryce Ashworth v Newnote Ltd CA (Bailii, [2007] EWCA Civ 793)
    The appellant challenged a refusal to set aside a statutory demand, in respect of his director’s loan account with the respondent company, saying the court should have accepted other accounts to set off against that debt.
    Held: A statutory . .
  • Cited – Kellar v BBR Graphic Engineers (Yorks) Ltd ChD ([2002] BPIR 544, [2001] 1 All ER (D) 416)
    The court was asked whether the district judge had applied the right test on an application to set aside a statutory demand because the conclusions of the district judge referred to a real prospect of success, the test used in CPR 24.2, rather than . .
  • Cited – Hughes v Metropolitan Railway Co HL ([1877] 2 App Cas 439, [1877] 46 LJQB 583, Bailii, [1877] UKHL 1)
    A notice to repair had been served by the landlord on the tenant. The tenant wrote offering to buy the premises and proposed deferring the commencement of repairs until the landlord responded. The landlord replied by letter asking the price. It was . .
  • Cited – Central London Property Trust Ltd v High Trees House Ltd KBD ([1947] 1 KB 130, [1956] 1 All ER 256, [1947] LJR 77, [1947] 175 LT 332, [1947] 62 TLR 557)
    The plaintiff leased a block a flats to the defendant in 1939, at an annual rental of andpound;2500. High Trees had difficulty in filling the flats because of the war, and the parties agreed in writing in 1940 to reduce the rental to a half. No time . .
  • Cited – Tool Metal Manufactuing Company Ltd v Tungsten Electric Company Ltd HL (Bailii, [1955] UKHL 5, [1955] 1 WLR 761, [1955] 2 All ER 657)
    The principle in Hughes v Metropolitan Railway could apply to a reduction by concession in payments due to a creditor and a concession could be terminated by giving reasonable notice. . .
  • Cited – D and C Builders Ltd v Rees CA ([1966] 2 QB 617, Bailii, [1965] EWCA Civ 3, [1965] 3 All ER 837, [1966] 2 WLR 28)
    The plaintiff builders had been chasing payment of their undisputed invoice. Knowing that the builders were in financial difficulties, the defendant offered rather less, saying that if it was not accepted, she would pay nothing. She made the payment . .
  • Cited – Couldery v Bartrum ((1881) 19 Ch D 394)
    A secured creditor was not entitled to amend after a composition had been taken and completed. Sir George Jessel MR said: ‘According to English common law a creditor might accept anything in satisfaction of his debt except a less amount of money. He . .

(This list may be incomplete)
Leading Case
Last Update: 10 December 2018
Ref: 262160

The post Collier v P and M J Wright (Holdings) Ltd: CA 14 Dec 2007 appeared first on swarb.co.uk.

Lissimore v Downing: ChD 31 Mar 2003

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References: [2003] EWHC B1 (Ch), [2003] 2 FLR 308, [2003] Fam Law 566
Links: Bailii
Coram: Norris QC J
Ratio: The claimant asserted an estoppel in land registered in the name of the defendant.
Held: Unspecific statements made by the defendant that ‘she would never want for anything’, or that ‘he would take care of her’, or that ‘he had looked after his other girlfriends and she would not be different’ did not found a proprietary estoppel: ‘Such statements do not on their face relate to any specific property, they plainly do not amount to a representation which binds the whole of Mr Downing’s property, and they are not expressed in terms which enable any objective assessment to be made of what is being promised. In this last respect they are to be contrasted with statements made to unpaid or underpaid workers or business partners, encouraged to work on because they would be ‘treated right’, and for whom a commensurate reward could be objectively assessed.’
This case cites:

  • See Also – Downing v Lissimore CA (Bailii, [2002] EWCA Civ 1698, [2003] 2 FLR 308)
    Application for order to reflect interest of cohabiting partner in house. . .

(This list may be incomplete)
This case is cited by:

  • Cited – James v Thomas CA (Bailii, [2007] EWCA Civ 1212)
    The claimant sought an interest in the property registered in the sole name of the respondent. The respondent had inherited a share in the property, and then bought out the interests of his siblings with support of a loan. The claimant had made no . .
  • Cited – Yeoman’s Row Management Ltd and Another v Cobbe HL (Bailii, [2008] UKHL 55, Times, [2008] 35 EG 142, [2008] 31 EG 88, [2008] WTLR 1461, [2008] 1 WLR 1752, HL)
    The parties agreed in principle for the sale of land with potential development value. Considerable sums were spent, and permission achieved, but the owner then sought to renegotiate the deal.
    Held: The appeal succeeded in part. The finding . .

(This list may be incomplete)

Last Update: 10 December 2018
Ref: 263204

The post Lissimore v Downing: ChD 31 Mar 2003 appeared first on swarb.co.uk.

Bhambhani v Willowcourt Managment Co (1985) Ltd: LT 14 Apr 2008

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References: [2008] EWLands LRX – 22 – 2007
Links: Bailii
Ratio: LT LANDLORD AND TENANT – service charges – construction of lease – estoppel – whether tenant estopped from denying that increased quarterly payments on account of service charges were due despite not having been increased in the manner provided for by the lease – whether estoppel being used as a sword not a shield.
Jurisdiction: England and Wales

Last Update: 13 December 2018
Ref: 270490

The post Bhambhani v Willowcourt Managment Co (1985) Ltd: LT 14 Apr 2008 appeared first on swarb.co.uk.

Thorner v Major and others: CA 2 Jul 2008

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References: (2008-09) 11 ITELR 344, [2008] 2 FCR 435, [2008] EWCA Civ 732, [2008] WTLR 1289, [2009] 3 All ER 945
Links: Bailii
Coram: Ward LJ, LLoyd LJ, Rimer Lj
Ratio: The deceased had written a will, revoked it but then not made another. The claimant had worked for the deceased understanding that property would be left to him, and now claimed that the estate property was held under a trust for him.
Held: The defendant’s appeal succeded. An intention to create a trust would be insufficient. The claimant had to establish an estoppel. ‘while there is no special rule as to the form or nature of the promise, representation or assurance which is capable of providing the basis of a proprietary estoppel case as regards a claim against a deceased’s estate, it seems to me that the general requirements that there must be a clear and unequivocal representation, and that it must be intended to be relied on, or at the very least that it must be reasonably taken as intended to be relied on, are of no less importance in this type of case than in others, and they must be applied with care, given that statements may be made about testamentary intentions which are not necessarily intended to be taken as promises.’
Jurisdiction: England and Wales
This case cites:

  • Cited – Ramsden v Dyson HL ([1866] LR 1 HL 129, [1866] 12 Jur NS 506)
    The Vice-Chancellor had held that two tenants of Sir John Ramsden, the owner of a large estate near Huddersfield, were entitled to long leases of plots on the estate. They ostensibly held the plots as tenants at will only, but they had spent their . .
  • Cited – Maddison v Alderson HL ((1883) 8 App Cas 467)
    The requirement of the doctrine of part performance is that the acts of part performance relied upon must be ‘referable’ to the contract sued on. The principle underlying the doctrine of part performance was expressed by Lord Selborne: ‘In a suit . .
  • Appeal from – Thorner v Curtis and others ChD (Bailii, [2007] EWHC 2422 (Ch))
    The claimant said that the deceased, his father and a farmer, had made representations to him over many years that if the claimant continued to work on the farm, he would leave the farm to him in his will. He died intestate. He claimed a proprietary . .
  • Cited – Uglow v Uglow and others CA (Bailii, [2004] EWCA Civ 987, [2004] WTLR 1183.)
    The deceased had in 1976 made a promise to the claimant. The promise was not honoured in the will, and the claimant asserted a proprietary estoppel.
    Held: The judge was right to have found that the promise was bound up with the claimant being . .
  • Cited – Schaefer v Schuman PC ([1972] AC 572)
    (New South Wales – Australia) A promise to leave the property had been performed, and the issue was as to the relevance, if any, and the effect of an earier promise when the value of the devise was sought to be reduced by an order by way of . .
  • Cited – Grundy v Ottey CA (Bailii, [2003] EWCA Civ 1176, [2003] WTLR 1253)
    The deceased left his estate within a discretionary trust. The claimant sought to assert an interest in it, claiming an estoppel and, under the 1975 Act, as his partner. They had lived together for four years. She had been dependent upon him . .
  • Cited – Jennings v Rice, Wilson, Marsh, Norris, Norris, and Reed CA (Bailii, [2002] EWCA Civ 159, [2003] 1 P and CR 100, [2003] 1 FCR 501)
    The claimant asserted a proprietary estoppel against the respondents. He had worked for the deceased over many years, for little payment, and doing more and more for her. Though he still worked full time at first, he came to spend nights at the . .
  • Cited – Campbell v Griffin and others CA (Bailii, [2001] EWCA Civ 990, [2001] NPC 102, (2001) 82 P and CR DG23, [2001] WTLR 981)
    . .
  • Cited – Gillett v Holt and Another CA (Times 17-Mar-00, Gazette 23-Mar-00, Bailii, [2000] EWCA Civ 66, [2001] Ch 210, [2000] 2 All ER 289, [2000] 2 WTLR 195, [2000] Fam Law 714, [2000] 1 FCR 705, [2000] 3 WLR 815, [2000] 2 FLR 266)
    Repeated assurances, given over years, that the claimant would acquire an interest in property on the death of the person giving the re-assurance, and upon which the claimant relied to his detriment, could found a claim of equitable estoppel. The . .
  • Cited – Taylors Fashions Ltd v Liverpool Victoria Trustees Co Ltd ChD ([1982] QB 133, [1981] 2 WLR 576, [1981] 1 All ER 897, [1979] 251 EG 159, Bailii, [1979] EWHC Ch 1)
    The fundamental principle that equity is concerned to prevent unconscionable conduct permeates all the elements of the doctrine of estoppel. In the light of the more recent cases, the principle ‘requires a very much broader approach which is . .
  • Cited – In re Basham dec’d; Basham v Basham ([1986] 1 WLR 1498, [1987] 1 All ER 405)
    The claimant and her husband had helped her mother and her stepfather throughout the claimant’s adult life. She received no remuneration but understood that she would inherit her stepfather’s property when he died. After her mother’s death and until . .
  • Cited – Wayling v Jones CA (Gazette 02-Aug-93, [1993] 69 PandCR 170)
    The plaintiff and defendant were in a homosexual reationship. The plaintiff worked for the defendant for nominal expenses against his repeated promise to leave the business to him in his will. A will was made to that effect, but the defendant sold . .
  • Cited – Taylor v Dickens and Another ChD (Times 24-Nov-97, [1998] 1 FLR 806)
    The court has no general equitable power to enforce a promise even though broken in unconscionable circumstances. . .

(This list may be incomplete)
This case is cited by:

  • Appeal from – Thorner v Major and others HL (Bailii, [2009] UKHL 18, Times, HL, [2009] 13 EG 142, [2009] WTLR 71, [2009] Fam Law 583, [2009] 2 FLR 405, [2009] 1 WLR 776)
    The deceased had made a will including a gift to the claimant, but had then revoked the will. The claimant asserted that an estoppel had been created in his favour over a farm, and that the defendant administrators of the promisor’s estate held it . .
  • Cited – Gill v Woodall and Others ChD (Bailii, [2009] EWHC B34 (Ch), [2009] EWHC 834 (Ch))
    The claimant challenged her late mother’s will which had left the entire estate to a charity. She asserted lack of knowledge and approval and coercion, and also an estoppel. The will included a note explaining that no gift had been made because she . .

(This list may be incomplete)

Last Update: 14 December 2018
Ref: 270582

The post Thorner v Major and others: CA 2 Jul 2008 appeared first on swarb.co.uk.

Manton Securities Ltd v Nazam (T/A New Dadyal Cash and Carry): CA 17 Jul 2008

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References: [2008] EWCA Civ 805
Links: Bailii
Ratio:
Statutes: Landlord and Tenant Act 1954 24
Jurisdiction: England and Wales
This case cites:

  • Cited – Javad v Aqil CA ([1991] 1 All ER 243, [1991] 1 WLR 1007, Bailii, [1990] EWCA Civ 1, [1990] 61 P and CR 164, [1990] 41 EG 61)
    A prospective tenant was allowed into possession and then made periodic payments of rent while negotiations proceeded on the terms of a lease to be granted to him. The negotiations broke down.
    Held: The tenant’s appeal failed. It was inferred . .

(This list may be incomplete)

Last Update: 14 December 2018
Ref: 270870

The post Manton Securities Ltd v Nazam (T/A New Dadyal Cash and Carry): CA 17 Jul 2008 appeared first on swarb.co.uk.

Yeoman’s Row Management Ltd and Another v Cobbe: HL 30 Jul 2008

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References: [2008] UKHL 55, [2008] 35 EG 142, [2008] 31 EG 88, [2008] WTLR 1461, [2008] 1 WLR 1752
Links: Bailii, Times, HL
Coram: Lord Hoffmann, Lord Scott of Foscote, Lord Walker of Gestingthorpe, Lord Brown of Eaton-under-Heywood, Lord Mance
Ratio: The parties agreed in principle for the sale of land with potential development value. Considerable sums were spent, and permission achieved, but the owner then sought to renegotiate the deal.
Held: The appeal succeeded in part. The finding that Mrs Lisle-Mainwaring’s behaviour in repudiating, and seeking an improvement on, the core financial terms of the second agreement was unconscionable and sufficient to justify the creation of a ‘proprietary estoppel equity’. . But to leap from there to a conclusion that a proprietary estoppel case was made out was not justified.
Even without attempting to vary the terms of the agreement, the company could not have been obliged to go ahead: ‘Proprietary estoppel requires, in my opinion, clarity as to what it is that the object of the estoppel is to be estopped from denying, or asserting, and clarity as to the interest in the property in question that that denial, or assertion, would otherwise defeat. If these requirements are not recognised, proprietary estoppel will lose contact with its roots and risk becoming unprincipled and therefore unpredictable, if it has not already become so. ‘ The claimant was entitled to a quantum meruit payment for his services, and te value of that should represent the extent of the unjust enrichment obtained by the plaintiff.
Statutes: Law of Property (Miscellaneous Provisions) Act 19892
Jurisdiction: England and Wales
This case cites:

  • Appeal from – Yeoman’s Row Management Ltd and Another v Cobbe CA (Bailii, [2006] EWCA Civ 1139, [2006] 1 WLR 2964)
    The defendants orally agreed to sell the claimant a block of flats for andpound;12 million if he first obtained planning permission for it on terms as to a sharing of subsequent development profits. The claimant spent over andpound;100,000 and . .
  • At First Instance – Yeoman’s Row Management Ltd v London Rent Assessment Committee Chairman QBD (Unreported, 25 February 2005)
    The parties agreed in principle that there would be an application for planning permission, and that if granted the land would be bought and the profits shared. Considerable work was undertaken and permission achieved, but the seller then sought to . .
  • Cited – Laird v Birkenhead Railway Co ((1859) Johns 500, [1859] EngR 1021, Commonlii, (1859) 70 ER 519)
    The plaintiff applied to the defendant railway company for permission to construct and use a private branch line connecting with the railway company’s main line. Agreement was reached for the plaintiff to do so ‘on reasonable terms, which were to be . .
  • Cited – Attorney General of Hong Kong v Humphreys Estate (Queen’s Gardens) Ltd PC ([1987] 1 AC 114)
    An agreement in principle was marked ‘subject to contract’. The Government would acquire some flats owned the plaintiff Group of companies in return for the Government granting, inter alia, a lease to the Group of some Crown lands. The Government . .
  • Cited – Muschinski v Dodds ((1985) 160 CLR 583)
    (High Court of Australia) The idea of conscience is too vague a notion to found the principles of equity, it would open the door to ‘idiosyncratic notions of fairness and justice’ and ‘That property was acquired, in pursuance of the consensual . .
  • Cited – Taylors Fashions Ltd v Liverpool Victoria Trustees Co Ltd ChD ([1982] QB 133, [1981] 2 WLR 576, [1981] 1 All ER 897, [1979] 251 EG 159, Bailii, [1979] EWHC Ch 1)
    The fundamental principle that equity is concerned to prevent unconscionable conduct permeates all the elements of the doctrine of estoppel. In the light of the more recent cases, the principle ‘requires a very much broader approach which is . .
  • Cited – Ramsden v Dyson HL ([1866] LR 1 HL 129, [1866] 12 Jur NS 506)
    The Vice-Chancellor had held that two tenants of Sir John Ramsden, the owner of a large estate near Huddersfield, were entitled to long leases of plots on the estate. They ostensibly held the plots as tenants at will only, but they had spent their . .
  • Cited – Plimmer v Mayor, Councillors and Citizens of the City of Wellington PC ((1884) 9 AC 699)
    (New Zealand) Mr Plimmer had occupied land under a revocable licence from the Corporation’s predecessor-in-title and at their request had made extensive improvements to it. He sought compensation when the land was to be vested in the defendant. The . .
  • Cited – Inwards v Baker CA ([1965] QB 29, Bailii, [1965] 1 All ER 446, [1965] 2 WLR 212, [1965] EWCA Civ 465)
    An indulgent father had encouraged his son to build a bungalow on his, the father’s, land. The son had done so in the expectation, encouraged by the father, that he would be permitted to remain in occupation.
    Held: The court formulated the . .
  • Cited – Holiday Inns Inc v Broadhead ((1974) 232 EG 951)
    The parties negotiated for a lease, but never signed a contract. The plaintiff expended considerable sums to try to get planning, and once acquired it sought to buy the land, and claimed that Mr Broadhead had taken an unconscionable advantage, . .
  • Cited – Crabb v Arun District Council CA ([1976] Ch 179, Bailii, [1975] 3 All ER 865, [1975] EWCA Civ 7)
    The plaintiff was led to believe that he would acquire a right of access to his land. In reliance on that belief he sold off part of his land, leaving the remainder landlocked.
    Held: His claim to have raised an equity was upheld. The plaintiff . .
  • Cited – British Steel Corporation v Cleveland Bridge and Engineering Co Ltd ([1984] 1 All ER 504, (1983) BLR 94, [1984] 1 WLR 504)
    An ‘if contract’ is where one party makes an offer capable of acceptance on the basis that ‘if you do this for us, we will do that for you’. Often used in the construction industry.
    Goff J said: ‘the question whether . . any contract has come . .
  • Cited – Pallant v Morgan ChD ([1953] Ch 43, [1952] 2 All ER 951)
    The agents of two neighbouring landowners orally agreed in the auction room that the plaintiff’s agent would refrain from bidding at auction and that the defendant, if his agent’s bid was successful, would divide the land according to an agreed . .
  • Cited – Time Products Ltd v Combined English Stores (Unreported, 2 December 1974)
    The plaintiff and the defendant were each interested in buying a property and had agreed that one of them would make an offer, the other refraining from doing so, and that if the offer were to be accepted the purchaser would deal with the property . .
  • Cited – Walton Stores (Interstate) Limited v Maher ([1988] 164 CLR 387)
    (High Court of Australia) It would be unconscionable for a party to stand by in silence when it must have known that the other party was proceeding on an assumption that they had a binding agreement. . .
  • Cited – Pridean Limited v Forest Taverns Limited; John Hipwell and David Marshall CA (Bailii, [1996] EWCA Civ 1060, (1996) 75 P and CR 447)
    The claimant owned a public house. It set out with the defendant to to acquire the premises or to take a lease of them. The defendant went into occupation, and carried out works. Negotiations continued, but broke down over the form of protection to . .
  • Cited – London and Regional Investments Ltd v TBI Plc and Others CA (Bailii, [2002] EWCA Civ 355)
    TBI was a property investor and developer with several subsidiaries. It agreed to sell some to London and Regional. The agreement provided for the vendor and the purchaser to use reasonable endeavours to agree the terms of a joint venture agreement . .
  • Cited – Banner Homes Group Plc v Luff Developments and Another CA (Gazette 10-Feb-00, Times 17-Feb-00, Bailii, [2000] EWCA Civ 18, [2002] 2 All ER 117, Bailii, [2000] EWCA Civ 3016, [2000] 2 WLR 772, [2000] Ch 372)
    Competing building companies agreed not to bid against each other for the purchase of land. One proceeded and the other asserted that the land was then held on trust for the two parties as a joint venture.
    Held: Although there was no formal . .
  • Cited – Kilcarne Holdings Ltd v Targetfollow (Birmingham) Ltd and Another CA (Bailii, [2005] EWCA Civ 1355, [2005] 2 P and CR 105)
    The defendant had brought in the claimant in order to assist in satisfying its own obligations under a lease. The joint venture was not recorded in a formal agreement. The appellant asserted that a constructive trust had been created. The judge had . .
  • Cited – Dann v Spurrier ((1802) 7 Ves Jun 231, Commonlii, [1789] EngR 482, (1789-1817) 2 Ves Jun Supp 26, (1789) 34 ER 982 (A))
    The tenant had carried out improvements to the property. It was uncertain whether the length of the term (7, 14 or 21 years) was at the option of the lessee alone.
    Held: The case was decided on construction of the lease. Lord Eldon made it . .
  • Cited – Rochdale Canal Company v King ((1853) 16 Beav 630)
    Sir John Romilly MR said: ‘The principle on which the Defendants rely is one often recognised by this Court, namely, that if one man stand by and encourage another, though but passively, to lay out money, under an erroneous opinion of title, or . .
  • Cited – Dillwyn v Llewelyn ChD (Bailii, [1862] EWHC Ch J67, [1862] 45 ER 1284, (1862) 4 De GF and J 517, [1862] EngR 908, Commonlii, (1862) 4 De G F and J 517, (1862) 45 ER 1285)
    The father thought he had given his younger son land in Wales, in signing a memorandum and presenting it to him ‘for the purpose of furnishing himself with a dwelling-house’. The memorandum was not by deed. The son built his home on the land. When . .
  • Cited – Regina (Reprotech (Pebsham) Ltd) v East Sussex County Council Reprotech (Pebsham) Ltd v Same HL (House of Lords, Times 05-Mar-02, Bailii, [2002] UKHL 8, [2003] 1 WLR 348, [2002] 4 All ER 58, [2002] 10 EGCS 158, [2003] 1 P and CR 5, [2002] JPL 821, [2002] NPC 32)
    The respondent company had asserted that the local authority had made a determination of the issue of whether electricity could be generated on a waste treatment site without further planning permission. The council said that without a formal . .
  • Cited – Willmott v Barber ((1880) 15 Ch D 96)
    In 1869 Barber granted a 99-year lease of three acres of land in east London, subject to a covenant against assignment or sub-letting without consent. In 1874, in breach of covenant, he sub-let one acre on an annual tenancy to Willmott (who owned a . .
  • Cited – Pascoe v Turner CA ([1979] 1 WLR 431, Bailii, [1978] EWCA Civ 2, [1979] 2 All ER 945)
    The defendant had been assured by the plaintiff that ‘the house is yours and everything in it.’ In reliance on that assurance she carried out improvements to the house. Although the improvements were modest, their cost represented a large part of . .
  • Cited – Grundy v Ottey CA (Bailii, [2003] EWCA Civ 1176, [2003] WTLR 1253)
    The deceased left his estate within a discretionary trust. The claimant sought to assert an interest in it, claiming an estoppel and, under the 1975 Act, as his partner. They had lived together for four years. She had been dependent upon him . .
  • Cited – Lissimore v Downing ChD (Bailii, [2003] EWHC B1 (Ch), [2003] 2 FLR 308, [2003] Fam Law 566)
    The claimant asserted an estoppel in land registered in the name of the defendant.
    Held: Unspecific statements made by the defendant that ‘she would never want for anything’, or that ‘he would take care of her’, or that ‘he had looked after . .
  • Cited – Windeler v Whitehall ([1990] 2 FLR 505)
    The plaintiff and defendant lived together but were not married. The plaintiff spent some of a legacy she received on living expenses and supervised minor building works to the family home. She claimed an interest in it.
    Held: Millett J said: . .
  • Cited – Jennings v Rice, Wilson, Marsh, Norris, Norris, and Reed CA (Bailii, [2002] EWCA Civ 159, [2003] 1 P and CR 100, [2003] 1 FCR 501)
    The claimant asserted a proprietary estoppel against the respondents. He had worked for the deceased over many years, for little payment, and doing more and more for her. Though he still worked full time at first, he came to spend nights at the . .
  • Cited – Gillett v Holt and Another ChD (Gazette 15-Jul-98, Times 18-Jun-98, Gazette 01-Jul-98, [1998] 3 All ER 917)
    To establish a proprietary estoppel against the testator’s promise to leave items in his will, some overt act over and above a promise, and reliance upon that promise, must be shown in order to displace the testator’s right to change his will. . .
  • Cited – Gillett v Holt and Another CA (Times 17-Mar-00, Gazette 23-Mar-00, Bailii, [2000] EWCA Civ 66, [2001] Ch 210, [2000] 2 All ER 289, [2000] 2 WTLR 195, [2000] Fam Law 714, [2000] 1 FCR 705, [2000] 3 WLR 815, [2000] 2 FLR 266)
    Repeated assurances, given over years, that the claimant would acquire an interest in property on the death of the person giving the re-assurance, and upon which the claimant relied to his detriment, could found a claim of equitable estoppel. The . .
  • Cited – JT Developments v Quinn and Another CA ([1991] 2 EGLR 257, (1990) 62 P and CR 33)
    The plaintiff told the defendant it was willing to grant a lease on the same terms as those contained in a new tenancy that the plaintiff had recently granted to the tenant of a nearby shop, also owned by the plaintiff. The defendant carried out . .
  • Cited – Bank of Credit and Commerce International (Overseas) Ltd and Another v Akindele CA (Times 22-Jun-00, Gazette 29-Jun-00, [2001] Ch 437, Bailii, [2000] EWCA Civ 502, [2000] Lloyd’s Rep Bank 292, [2000] 4 All ER 221, (1999-2000) 2 ITELR 788, [2000] 3 WLR 1423, [2000] WTLR 1049, [2000] BCC 968)
    The test of whether a person who received funds held them on constructive trust, was not whether he himself was dishonest, but rather whether he had knowledge of circumstances which made it unconscionable to hold on to the money received. In respect . .

(This list may be incomplete)
This case is cited by:

  • Cited – Brightlingsea Haven Ltd and Another v Morris and others QBD (Bailii, [2008] EWHC 1928 (QB), [2009] 1 EGLR 117, [2009] 2 PandCR 11)
    The caravan park operated under planning consents requiring the caravans to be occupied only during certain months. The defendants had bought their mobile homes from the claimants to occupy full time, and said that the claimants knew of this. The . .
  • Cited – St Pancras and Humanist Housing Association Ltd v Leonard CA (Bailii, [2008] EWCA Civ 1442)
    The claimant sought possession of a garage. The defendant claimed adverse possession.
    Held: The defendant’s appeal against an order for possession failed. The defendant had attended a meeting where his behaviour had allowed other parties to . .
  • Cited – Brighton and Hove City Council v Audus ChD (Bailii, [2009] EWHC 340 (Ch), [2009] 9 EG 192, [2010] 1 All ER (Comm) 343, [2009] NPC 31)
    The claimant was the proprietor of a fourth legal charge on a title. It sought a declaration that a second charge in favour of the defendant was void as a clog on the proprietor’s equity of redemption. An advance secured by a first charge, also in . .
  • Cited – Clarke and Another v Corless and Another ChD (Bailii, [2009] EWHC 1636 (Ch))
    The parties disputed whether one could retain for his own benefit land on an estate reserved for an estate road. A trust was claimed under Pallant saying that the parties had made an informal agreement before the property was purchased.
    Held: . .
  • Cited – Thorner v Major and others HL (Bailii, [2009] UKHL 18, Times, HL, [2009] 13 EG 142, [2009] WTLR 71, [2009] Fam Law 583, [2009] 2 FLR 405, [2009] 1 WLR 776)
    The deceased had made a will including a gift to the claimant, but had then revoked the will. The claimant asserted that an estoppel had been created in his favour over a farm, and that the defendant administrators of the promisor’s estate held it . .
  • Cited – Clarke and Another v Corless and Another CA (Bailii, [2010] EWCA Civ 338)
    The claimants appealed against refusal of a declaration that a neighbouring access road and land was held on a constructive trust. They said that an agreement bewteeen the parties should have been effective to impose a trust on the defendants. The . .
  • Cited – Gill v Woodall and Others ChD (Bailii, [2009] EWHC B34 (Ch), [2009] EWHC 834 (Ch))
    The claimant challenged her late mother’s will which had left the entire estate to a charity. She asserted lack of knowledge and approval and coercion, and also an estoppel. The will included a note explaining that no gift had been made because she . .
  • Cited – Benedetti v Sawiris and Others SC (149 Con LR 1, [2013] 2 All ER (Comm) 801, [2013] 4 All ER 253, [2013] WLR(D) 286, Bailii, [2013] UKSC 50, [2013] 3 WLR 351, WLRD, Bailii Summary, UKSC 2011/0087, SC summary, SC)
    The claimant appealed against reduction of the sum awarded on his claim for a quantum meruit after helping to facilitate a very substantial business deal for the defendants.
    Held: The correct approach to the amount to be paid by way of a . .

(This list may be incomplete)
Leading Case
Last Update: 14 December 2018
Ref: 271281

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Moore v Moore and Another: CA 27 Nov 2018


Herbert v Doyle and Another: ChD 4 Aug 2008

St Pancras and Humanist Housing Association Ltd v Leonard: CA 17 Dec 2008

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References: [2008] EWCA Civ 1442
Links: Bailii
Ratio: The claimant sought possession of a garage. The defendant claimed adverse possession.
Held: The defendant’s appeal against an order for possession failed. The defendant had attended a meeting where his behaviour had allowed other parties to rely to their detriment on the paper title. The judge had found him estopped from asserting ownership inconsistent with that behaviour and the conclusion was well founded and unappealable.
Jurisdiction: England and Wales
This case cites:

  • Cited – Willmott v Barber ((1880) 15 Ch D 96)
    In 1869 Barber granted a 99-year lease of three acres of land in east London, subject to a covenant against assignment or sub-letting without consent. In 1874, in breach of covenant, he sub-let one acre on an annual tenancy to Willmott (who owned a . .
  • Cited – Armstrong v Sheppard and Short Ltd CA ([1959] 2 QB 384, [1959] 2 All ER 651, [1959] 3 WLR 84, (1959) 123 JP 401, (1959) Sol Jo 508)
    The plaintiff had a path at the rear of his property. The defendant constructed a sewer under the path, and asked the plaintiff for permission. He gave it informally, not knowing at the time that he owned the land. The sewer was constructed. Though . .
  • Cited – Taylors Fashions Ltd v Liverpool Victoria Trustees Co Ltd ChD ([1982] QB 133, [1981] 2 WLR 576, [1981] 1 All ER 897, [1979] 251 EG 159, Bailii, [1979] EWHC Ch 1)
    The fundamental principle that equity is concerned to prevent unconscionable conduct permeates all the elements of the doctrine of estoppel. In the light of the more recent cases, the principle ‘requires a very much broader approach which is . .
  • Cited – Yeoman’s Row Management Ltd and Another v Cobbe HL (Bailii, [2008] UKHL 55, Times, [2008] 35 EG 142, [2008] 31 EG 88, [2008] WTLR 1461, [2008] 1 WLR 1752, HL)
    The parties agreed in principle for the sale of land with potential development value. Considerable sums were spent, and permission achieved, but the owner then sought to renegotiate the deal.
    Held: The appeal succeeded in part. The finding . .
  • Cited – Cobbe v Yeomans Row Management Ltd and Others ChD ([2006] 1 WLR 2964, Bailii, [2005] EWHC 266 (Ch))
    A developer claimed to have agreed that upon obtaining necessary planning permissions for land belonging to the respondents, he would purchase the land at a price reflecting its new value. The defendant denied that any legally enforceable agreement . .
  • Cited – Habib Bank Ltd v Habib Bank AG Zurich CA ([1981] 1 WLR 1265, [1981] 2 All ER 650)
    A combination of defences based on delay was pleaded in a passing off action objecting to the use of a name which the defendants had been using without objection for many years. A permanent injunction was claimed.
    Held: Oliver LJ said as to . .

(This list may be incomplete)

Last Update: 15 December 2018
Ref: 278822

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Hughes v Metropolitan Railway Co: HL 1877

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References: [1877] 2 App Cas 439, [1877] 46 LJQB 583, [1877] UKHL 1
Links: Bailii
Coram: Cairns LC, Lord O’Hagan
Ratio: A notice to repair had been served by the landlord on the tenant. The tenant wrote offering to buy the premises and proposed deferring the commencement of repairs until the landlord responded. The landlord replied by letter asking the price. It was held that those letters had the effect of suspending the notice. The tenant’s letter was ‘a definite intimation . . that they would not proceed to execute the repairs . . if they found that there was a possibility of an agreement to purchase being come to.’ Of the courses open to the landlord, he had taken the course that he said to the tenant ‘I will adopt what you propose and enter upon a negotiation.’
More generally: (Cairns LC) ‘It is the first principle upon which all courts of equity proceed, that if parties who have entered into a definite and distinct terms involving certain legal results, certain penalties or legal forfeiture, afterwards by their own act or with their own consent enter upon a course of negotiation which has the effect of leading one of the parties to suppose that the strict rights arising under the contract will not be enforced, or will be kept in suspense or held in abeyance, the person who otherwise might have enforced those rights will not be allowed to enforce them where it would be inequitable having regard to the dealings which have taken place between the parties’ (Lord O’Hagan) ‘If there was real misleading and bona fide mistake, it does not matter that the Plaintiff acted honestly and without indirect purpose of any kind.’
Jurisdiction: England and Wales
This case is cited by:

(This list may be incomplete)
Leading Case
Last Update: 16 December 2018
Ref: 183472

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Thrasyvoulou v Secretary of State for the Environment: HL 1990

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References: [1990] 2 AC 273
Coram: Lord Bridge
Ratio: A building owner appealed against enforcement notices which alleged that there had been a material change of use of his buildings in 1982. This notice was issued by a planning authority. As a result of the appeal an inspector determined that the buildings were in hotel use. The use of the buildings did not change between 1982 and 1985. Nevertheless, in the latter year the planning authority issued further enforcement notices alleging that there had been a change of use from hotel to hostel. The Court of Appeal accepted a plea of action estoppel.
Held: The House of Lords confirmed the decision.
Lord Bridge said: ‘In relation to adjudications subject to a comprehensive self-contained statutory code, the presumption, in my opinion, must be that where the statute has created a specific jurisdiction for the determination of any issue which establishes the existence of a legal right, the principle of res judicata applies to give finality to that determination unless an intention to exclude that principle can properly be inferred as a matter of construction of the relevant statutory provisions.’ And
‘The doctrine of res judicata rests on the twin principles which cannot be better expressed than in terms of the two Latin maxims ‘interest reipublicae ut sit finis litium’ and ‘nemo debet bis vexari pro una et eadem causa’. These principles are of such fundamental importance that they cannot be confined in their application to litigation in the private law field. They certainly have their place in the criminal law. In principle they must apply equally to adjudications in the field of public law. In relation to adjudications subject to a comprehensive self-contained statutory code, the presumption, in my opinion, must be that where the statute has created a specific jurisdiction for the determination of any issue which establishes the existence of a legal right, the principle of res judicata applies to give finality to that determination unless an intention to exclude that principle can properly be inferred as a matter of construction of the statutory provisions.’
and ‘the local planning authority were . . . estopped from asserting that there had been a material change of use between certain dates, which expressly contradicted the finding made by the first planning inspector, which was not merely incidental or ancillary to his decision but was an essential foundation for his conclusion that no breach of planning control was involved in the use being made of the structure which was the subject of the first notice.’
Jurisdiction: England and Wales
This case is cited by:

  • Cited – Secretary of State for Education and Skills v Mairs Admn (Bailii, [2005] EWHC 996 (Admin), Times 15-Jun-05)
    The appellant had been dismissed from the social services department of Haringey Borough Council, and her name placed on a list of persons unsuitable to work with children. She had been criticised in the statutory inquiry into the death of Victoria . .
  • Cited – Stancliffe Stone Company Ltd v Peak District National Park Authority QBD ([2004] EWHC 1475 (QB), Bailii)
    The claimants sought a declaration. Planning permission had been confirmed for four mineral extraction sites by letter in 1952. In 1996, two were listed as now being dormant. The claimant said the letter of 1952 created on single planning permision . .
  • Cited – Special Effects Ltd v L’Oreal Sa and Another CA (Bailii, [2007] EWCA Civ 1, Times 24-Jan-07)
    The defendants had opposed the grant of the trade mark which they were now accused of infringing. The claimants said that having failed at the opposition stage, they were now estopped from challenging the validity of the mark.
    Held: It was not . .
  • Cited – Coke-Wallis, Regina (on The Application of) v Institute of Chartered Accountants In England and Wales SC (Bailii, [2011] UKSC 2, Bailii Summ, UKSC 2009/0175, SC Summary, SC, [2011] ICR 224, [2011] 2 All ER 1, [2011] 2 AC 146, [2011] 2 WLR 103)
    The appellant chartered accountant had been convicted in Jersey after removing documents from his offices relating to a disputed trust and in breach of an order from his professional institute. The court now considered the relevance and application . .
  • Cited – Virgin Atlantic Airways Ltd v Zodiac Seats UK Ltd SC (Bailii, [2013] UKSC 46, [2013] 3 WLR 299, [2014] 1 AC 160, [2013] WLR(D) 265, [2013] RPC 29, [2013] 4 All ER 715, Baili Summary, WLRD, UKSC 2010/0013, SC Summary, SC)
    Virgin Atlantic Airways Ltd sought to recover damages exceeding 49,000,000 pounds for the infringement of a European Patent which did not exist in the form said to have been infringed. The Technical Board of Appeal of the European Patent Office had . .

(This list may be incomplete)

Last Update: 16 December 2018
Ref: 228500

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Thorner v Major and others: HL 25 Mar 2009

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References: [2009] UKHL 18, [2009] 13 EG 142, [2009] WTLR 71, [2009] Fam Law 583, [2009] 2 FLR 405, [2009] 1 WLR 776
Links: Bailii, Times, HL
Coram: Lord Hoffmann, Lord Scott of Foscote, Lord Rodger of Earlsferry, Lord Walker of Gestingthorpe, Lord Neuberger
Ratio: The deceased had made a will including a gift to the claimant, but had then revoked the will. The claimant asserted that an estoppel had been created in his favour over a farm, and that the defendant administrators of the promisor’s estate held it under bare trust for him.
Held: The claimant’s appeal succeeded. A proprietary estoppel might be established by acts falling short of an explicit promise, provided that they were otherwise sufficiently clear. A small change in the property need not necessarily destroy such a trust provided the property remained essentially identifiable. In summary: ‘a. An assurance may be sufficient to found an estoppel even if it is not made expressly; it can be made in oblique and allusive terms; it may be subject to unspoken and ill defined qualifications;
b. Of importance is whether the encouragement given was ‘clear enough’ for the person to whom the assurance was made to form a reasonable view that he was being given an assurance that he would inherit the relevant property ;
c. This is an issue of fact heavily dependent upon the context in which the assurance or assurances was or were made (including the characteristics of the protagonists, the relationship between them and whether assurances were repeated and formed part of a pattern) on which evidence to the parties’ subjective understanding of what they were agreeing is admissible;
d. It is unnecessary for the person giving the assurance to know the Claimant was thinking of alternative courses of action at the time the assurances were given; it is also unnecessary for there to have been a dramatic announcement in front of assembled witnesses or a ‘signature event’.’
Lord Neuberger said: ‘It should be emphasised that I am not seeking to cast doubt on the proposition, heavily relied upon by the Court of Appeal, that there must be some sort of an assurance which is ‘clear and unequivocal before it can be relied upon to find an estoppel. However, that proposition must be read as subject to three qualifications. First, it does not detract from the normal principle so well articulated in this case by Lord Walker that the effect of words or actions must be assessed in their context. Just as a sentence can have one meaning in one context and a very different meaning in another context so can a sentence, which will be ambiguous and unclear in one context, be a clear and unambiguous assurance in another context . . Secondly, it would be quite wrong to be unrealistically rigorous when applying the ‘clear and unambiguous’ test. The Court should not search for ambiguity or uncertainty, but should assess the question of clarity and certainty practically and sensibly, as well as contextually . . Thirdly — there may be cases where the statement relied on to find an estoppel could amount to an assurance which could reasonably be understood as having more than one possible meaning. In such a case, if the facts otherwise satisfy all the requirements of an estoppel, it seems to me that, at least normally, the ambiguity should not deprive a person who reasonably relied on the assurance of all relief; it may well be right, however, that he should be accorded relief on the basis of the interpretation least beneficial to him’.
Lord Walker discussed the clarity necessary to found an estoppel: ‘I would prefer to say (while conscious that it is a thoroughly question-begging formulation) that to establish a proprietary estoppel the relevant assurance must be clear enough. What amounts to sufficient clarity, in a case of this sort, is hugely dependent on context.’
Jurisdiction: England and Wales
This case cites:

  • At First Instance – Thorner v Curtis and others ChD (Bailii, [2007] EWHC 2422 (Ch))
    The claimant said that the deceased, his father and a farmer, had made representations to him over many years that if the claimant continued to work on the farm, he would leave the farm to him in his will. He died intestate. He claimed a proprietary . .
  • Appeal from – Thorner v Major and others CA ((2008-09) 11 ITELR 344, [2008] 2 FCR 435, Bailii, [2008] EWCA Civ 732, [2008] WTLR 1289, [2009] 3 All ER 945)
    The deceased had written a will, revoked it but then not made another. The claimant had worked for the deceased understanding that property would be left to him, and now claimed that the estate property was held under a trust for him.
    Held: . .
  • Cited – Ramsden v Dyson HL ([1866] LR 1 HL 129, [1866] 12 Jur NS 506)
    The Vice-Chancellor had held that two tenants of Sir John Ramsden, the owner of a large estate near Huddersfield, were entitled to long leases of plots on the estate. They ostensibly held the plots as tenants at will only, but they had spent their . .
  • Cited – Clarke v Edinburgh and District Tramways Co HL (1919 SC (HL) 35)
    The House considered the ability of an appellate court to reconsider the facts.
    Held: The privileges enjoyed by a trial judge extend not only to questions of credibility.
    Lord Shaw said that the judge enjoys ‘those advantages, sometimes . .
  • Cited – Yeoman’s Row Management Ltd and Another v Cobbe HL (Bailii, [2008] UKHL 55, Times, [2008] 35 EG 142, [2008] 31 EG 88, [2008] WTLR 1461, [2008] 1 WLR 1752, HL)
    The parties agreed in principle for the sale of land with potential development value. Considerable sums were spent, and permission achieved, but the owner then sought to renegotiate the deal.
    Held: The appeal succeeded in part. The finding . .
  • Cited – Uglow v Uglow and others CA (Bailii, [2004] EWCA Civ 987, [2004] WTLR 1183.)
    The deceased had in 1976 made a promise to the claimant. The promise was not honoured in the will, and the claimant asserted a proprietary estoppel.
    Held: The judge was right to have found that the promise was bound up with the claimant being . .
  • Cited – Gissing v Gissing HL ([1970] 3 WLR 255, [1971] AC 886, [1970] 2 All ER 780, Bailii, [1970] UKHL 3)
    The family home had been purchased during the marriage in the name of the husband only. The wife asserted that she had a beneficial interest in it.
    Held: The principles apply to any case where a beneficial interest in land is claimed by a . .
  • Cited – Dann v Spurrier ((1802) 7 Ves Jun 231, Commonlii, [1789] EngR 482, (1789-1817) 2 Ves Jun Supp 26, (1789) 34 ER 982 (A))
    The tenant had carried out improvements to the property. It was uncertain whether the length of the term (7, 14 or 21 years) was at the option of the lessee alone.
    Held: The case was decided on construction of the lease. Lord Eldon made it . .
  • Cited – Gillett v Holt and Another CA (Times 17-Mar-00, Gazette 23-Mar-00, Bailii, [2000] EWCA Civ 66, [2001] Ch 210, [2000] 2 All ER 289, [2000] 2 WTLR 195, [2000] Fam Law 714, [2000] 1 FCR 705, [2000] 3 WLR 815, [2000] 2 FLR 266)
    Repeated assurances, given over years, that the claimant would acquire an interest in property on the death of the person giving the re-assurance, and upon which the claimant relied to his detriment, could found a claim of equitable estoppel. The . .
  • Cited – In re Basham dec’d; Basham v Basham ([1986] 1 WLR 1498, [1987] 1 All ER 405)
    The claimant and her husband had helped her mother and her stepfather throughout the claimant’s adult life. She received no remuneration but understood that she would inherit her stepfather’s property when he died. After her mother’s death and until . .
  • Cited – JT Developments v Quinn and Another CA ([1991] 2 EGLR 257, (1990) 62 P and CR 33)
    The plaintiff told the defendant it was willing to grant a lease on the same terms as those contained in a new tenancy that the plaintiff had recently granted to the tenant of a nearby shop, also owned by the plaintiff. The defendant carried out . .
  • Cited – Walton v Walton CA (Unreported, 14 April 1994)
    The mother had repeatedly promised to her son that he would inherit her farm in return for which he left school early and had worked for low wages. Her stock phrase to him had been: ‘You can’t have more money and a farm one day’.
    Held: . .
  • Cited – Layton v Martin ([1986] 2 FLR 227)
    The deceased had written to the Plaintiff offering her ‘what emotional security I can give, plus financial security during my life, and financial security on my death.’
    Held: The statement could was insufficient to establish either a . .
  • Cited – Carmichael and Another v National Power Plc HL (Times 23-Nov-99, Gazette 01-Dec-99, Gazette 17-Dec-99, House of Lords, Bailii, [1999] 4 All ER 897, [1999] UKHL 47, [1999] 1 WLR 2042, [2000] IRLR 43, [1999] ICR 1226)
    Staff who worked only as and when required, and who then had the right to turn down work offered were not employees and were not therefore entitled to written particulars of employment. The absence of mutuality and the discontinuity of any . .

(This list may be incomplete)
This case is cited by:

  • Cited – Gill v Woodall and Others ChD (Bailii, [2009] EWHC B34 (Ch), [2009] EWHC 834 (Ch))
    The claimant challenged her late mother’s will which had left the entire estate to a charity. She asserted lack of knowledge and approval and coercion, and also an estoppel. The will included a note explaining that no gift had been made because she . .
  • Cited – Nugent v Nugent ChD ([2014] 3 WLR 59, [2014] 2 All ER 313, Bailii, [2013] EWHC 4095 (Ch), [2013] WLR (D) 516, WLRD)
    The court was asked whether the court has, following the the 2002 Act, an inherent power to order the cancellation of a unilateral notice registered against a title registered under the 2002 Act and, if so, in what circumstances, and how, such a . .
  • Cited – Bradley and Another v Heslin and Another ChD (Bailii, [2014] EWHC 3267 (Ch))
    The parties were neighbours. One had a right of way over the other’s land. A gate existed over it. B wished to close the gate for security, but H wished it open in order to be able to drive through it without having to get out of his car, and so he . .
  • Cited – Wright v Waters and Another ChD (Bailii, [2014] EWHC 3614 (Ch))
    The claimant sought provision from her late mother’s estate under the 1975 Act, and asserting a proprietary estoppel. The mother had transferred andpound;10,000 to the daughter several years before. The mother had said it was to be invested on her . .
  • Cited – Rawlings v Chapman and Others ChD (Bailii, [2015] EWHC 3160 (Ch))
    In 1992 the claimant paid substantial amounts of money towards the cost of building and fitting out a new house on farmland owned by the deceased, Mr. Hopkins, at Aggs Hill, Cheltenham. She alleged that she did so in reliance on promises, frequently . .
  • Cited – Legg and Another v Burton and Others ChD (Bailii, [2017] EWHC 2088 (Ch))
    The parties disputed whether wills were mutual. The claimants challenged the probate granted to a later will of their deceased mother, saying that her earlier will had been mutual and irrevocable after the death of their father.
    Held: The . .

(This list may be incomplete)
Leading Case
Last Update: 16 December 2018
Ref: 324694

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Matalan Retail Ltd v Revenue and Customs: ChD 5 Aug 2009

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matalan_hmrcChD2009
References: [2009] EWHC 2046 (Ch), Times 21-Oct-2009, [2010] Bus LR D25, [2009] STC 2638
Links: Bailii
Coram: Christopher Clarke J
Ratio: The taxpayer imported swimwear for sale. The respondent had incorrectly indicated that such swimwear had one classification. The claimant sought to prevent the respondent reclassifying the goods, saying that they had made given binding tariff information. It depended on the proportion of rubber in the suits. The respondent viewed the calculation differently.
Held: the commissioners were not prevented by estoppel or abuse from retaining the monetary difference between the correct higher rates paid and the sums which would have been due under the original lower classification.
The Binding Tariff Information system could only apply to goods of the precise description applied. It could not apply to different but similar lines: ‘A Regulation is legislative in character and of general application. A BTI is specific to an individual and can only be relied upon by the holder in respect of goods corresponding in every respect with those described in it. Regulation 651/2007 does not contain the limiting provisions as to its application specified by the Code in respect of BTIs.’ A tribunal’s decision on a rate of tax for one year is not binding for subsequent years, but where a court has settled an issue of fact as between parties, they are estopped from later arguing inconsistently. A tribunal determining a rate of applicable tax is not so bound.
Statutes: Council Regulation 2913/92
This case cites:

  • Cited – Vtech Electronics (UK) Plc v The Commissioners of Customs and Excise ChD (Bailii, [2003] EWHC 59 (Ch), [2003] EuLR 118)
    . .
  • Cited – Krings GmbH v Oberfinanzdirektion Nurnberg ECJ (C-130/02, Bailii, [2004] EUECJ C-130/02)
    Europa Common Customs Tariff – Combined Nomenclature – Tariff heading – Preparation with a basis of extract of tea. . .
  • Cited – Caffoor v Columbo Income Tax Commissioner PC ([1961] AC 584)
    Taxation and rating decisions are sui generis. Lord Radcliffe said: ‘The critical thing is that the dispute which alone can be determined by any decision given in the course of these proceedings is limited to one subject only, the amount of the . .
  • Cited – Broken Hill Pty Co Ltd v Broken Hill Municipal Council PC ([1926] AC 94, Bailii, [1925] UKPC 96)
    A decision of the High Court of Australia on the construction of a section of a statute dealing with rating value did not estop the parties from relitigating the issue on a subsequent year’s assessment. . .
  • Cited – Society of Medical Officers of Health v Hope HL ([1960] AC 553)
    A local valuation court had decided in 1951 that the Society’s land was exempt from rates under section 1 of the 1843 Act. The exemption was conditional on certain facts relating to the Society and its purpose in occupying the building. In 1956 the . .
  • Cited – Commissioners of Customs and Excise v DFS Furniture Company Plc CA (Bailii, [2002] EWCA Civ 1708)
    . .
  • Cited – Specialist Group International Ltd v Deakin and Another CA ([2001] EWCA Civ 777, Bailii)
    Law upon res judicata – action estoppel and issue estoppel and the underlying policy interest whereby there is finality in litigation and litigants are not vexed twice on the same matter.
    (May LJ) ‘the authorities taken as a whole tend to . .
  • Cited – Hoysted v Federal Taxation Commissioner PC ([1926] AC 155)
    An implied decision of the High Court on the true construction of a will estopped the parties from contending for a different construction relating to a later year’s assessment. . .
  • Cited – Johnson v Gore Wood and Co HL (Gazette 05-Jan-01, House of Lords, Times 20-Dec-00, Gazette 22-Feb-01, Bailii, [2000] UKHL 65, [2001] 2 WLR 72, [2001] 1 All ER 481, [2002] 2 AC 31)
    A company brought a claim of negligence against its solicitors, and, after that claim was settled, the company’s owner brought a separate claim in respect of the same subject-matter.
    Held: It need not be an abuse of the court for a shareholder . .
  • Cited – In re Vandervell’s Trusts (No 1); Vandervell Trustees Limited v White and Others HL ([1971] AC 912, Bailii, [1970] UKHL TC – 46 – 341, [1970] 3 WLR 452, [1970] 3 All ER 16, [1970] TR 129,, 46 TC 341)
    Practice – Parties – Joinder – Proceedings between subjects raising issues material to income tax – Joinder of Commissioners of Inland Revenue – Income Tax Act 1952 (15 and 16 Geo. 6 and 1 Eliz. 2, c.10), ss. 52 and 64 ; Income Tax Management Act . .

(This list may be incomplete)

Last Update: 17 December 2018
Ref: 371884

The post Matalan Retail Ltd v Revenue and Customs: ChD 5 Aug 2009 appeared first on swarb.co.uk.

Prudential Assurance Co Ltd v Exel UK Ltd and Another: ChD 25 Jun 2009

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References: [2009] EWHC 1350 (Ch), [2010] L and TR 7, [2010] 1 P and CR 7
Links: Bailii
Coram: Jeremy Cousins QC
Ratio: The landlord denied the effectiveness of a notice given to break the lease, saying that it had not been given by all the tenants. The tenants replied that the landlord was estopped from not accepting the notice.
Jurisdiction: England and Wales

Last Update: 18 December 2018
Ref: 374032

The post Prudential Assurance Co Ltd v Exel UK Ltd and Another: ChD 25 Jun 2009 appeared first on swarb.co.uk.


Budejovicky Budvar Narodni Podnik v Anheuser-Busch Inc: CA 20 Oct 2009

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References: [2009] EWCA Civ 1022, [2010] RPC 7, (2010) 33(1) IPD 33003
Links: Bailii
Coram: Ward LJ, Jacob LJ, Warren LJ
Ratio: The parties had long disputed the use of the trade marks ‘Bud’ and ‘Budweiser’ for their beers. The claimant now said that the defendants had made an abusive registration under the 1994 Act, by requesting a declaration that the registration by the claimants was invalid, being later in time, though on the same day.
Held: No abuse had been shown: ‘People are entitled to use the rules of substantive and procedural law to their best advantage.’ and ‘Merely to use the process cannot be an abuse of it.’ No estoppel was made out.
Nevertheless, there was a question for the European Court to resolve as to the meaning of ‘acquiescence’ in a case of honest concurrent use, and a question was referred accordingly.
Statutes: Trade Marks Directive 89/104, Trade Marks Act 1994
Jurisdiction: England and Wales
This case cites:

  • See Also – Anheuser-Busch Inc v Budejovicky Budvar Narodni Podnik; Budejovicky Budvar Narodni Podnik v Anheuser Busch Inc ChD (Times 20-May-98)
    It is possible to grant two identical trade marks in respect of beer where either there was no confusion, or an honest concurrent use could justify such double registrations. . .
  • See Also – Anheuser-Busch Inc v Budejovicky Bodvar Narodni Podnik; Budejovicky Bodvar Narodni Podnik v Anheuser-Busch CA (Times 14-Mar-00, Bailii, [2000] EWCA Civ 30)
    The registration of two trade marks (‘Budweiser’) with the identical names was against the Act since it would appear to encourage the very confusion the Act sought to avoid. Nevertheless, where there was genuine honest concurrent use, that use might . .
  • See Also – Podnik v Anheuser-Busch Inc CA ([2003] RPC 25, Bailii, [2002] EWCA Civ 1534)
    . .
  • See Also – Anheuser-Busch Inc v Budejovicky Budvar CA ([1984] FSR 413, (1984) 4 IPR 260)
    The plaintiff sold the well-known ‘Budweiser’ beer in the US, but it was not generally available in the UK, being sold in American military bases and in a few duty-free shops. However, the beer was widely known throughout the UK because of the . .
  • Cited – General Electric Co v General Electric Co Ltd; GE TM; Re GE Trade Mark HL ([1972] 2 All ER 507, [1973] RPC 297, [1972] 1 WLR 729)
    Lord Diplock said: ‘The common law of trade marks before 1875
    The use by manufacturers of distinctive marks upon goods which they had made is of very ancient origin, but legal recognition of trade marks as a species of incorporeal property was . .
  • See Also – Anheuser-Busch v Budejovicky Budvar, narodni podnik ECJ (C-245/02, Bailii, [2004] EUECJ C-245/02, [2004] I-10989)
    Agreement establishing the World Trade Organisation – Articles 2(1), 16(1) and 70 of the TRIPs Agreement – Trade marks – Scope of the proprietor’s exclusive right to the trade mark – Alleged use of the sign as a trade name. . .
  • See Also – Budejovicky Budvar Narodni Podnik v Anheuser-Busch Inc ChD (Bailii, [2008] EWHC 263 (Ch))
    . .
  • Cited – Taylors Fashions Ltd v Liverpool Victoria Trustees Co Ltd ChD ([1982] QB 133, [1981] 2 WLR 576, [1981] 1 All ER 897, [1979] 251 EG 159, Bailii, [1979] EWHC Ch 1)
    The fundamental principle that equity is concerned to prevent unconscionable conduct permeates all the elements of the doctrine of estoppel. In the light of the more recent cases, the principle ‘requires a very much broader approach which is . .
  • Cited – Habib Bank Ltd v Habib Bank AG Zurich CA ([1981] 1 WLR 1265, [1981] 2 All ER 650)
    A combination of defences based on delay was pleaded in a passing off action objecting to the use of a name which the defendants had been using without objection for many years. A permanent injunction was claimed.
    Held: Oliver LJ said as to . .
  • Cited – Johnson v Gore Wood and Co HL (Gazette 05-Jan-01, House of Lords, Times 20-Dec-00, Gazette 22-Feb-01, Bailii, [2000] UKHL 65, [2001] 2 WLR 72, [2001] 1 All ER 481, [2002] 2 AC 31)
    A company brought a claim of negligence against its solicitors, and, after that claim was settled, the company’s owner brought a separate claim in respect of the same subject-matter.
    Held: It need not be an abuse of the court for a shareholder . .
  • Cited – Wilmott v Barber ChD ((1880) 15 Ch D 96)
    Fry J set out the test of unconscionability: ‘A man is not to be deprived of his legal rights unless he has acted in such a way as would make it fraudulent for him to set up those rights. What, then, are the elements or requisites necessary to . .
  • Cited – Gerolsteiner Brunnen v Putsch ECJ (Bailii, [2004] EUECJ C-100/02)
    There was a conflict between the registered mark Gerri (for inter alia mineral water) and an alleged infringement ‘Kerry Spring’ for Irish mineral water from the Kerry Spring sold by a company called Kerry Spring Water. The referring court held . .
  • Cited – Sunrider Corporation (T/A Sunrider International) v Vitasoy International Holdings Ltd ChD (Bailii, [2007] EWHC 37 (Ch), Times 27-Feb-07)
    An application had been made to have the trade mark declared invalid. The owner replied saying that the five year period during which a mark might be challenged had expired.
    Held: The five year period commenced not from the date when the . .

(This list may be incomplete)

Last Update: 18 December 2018
Ref: 376206

The post Budejovicky Budvar Narodni Podnik v Anheuser-Busch Inc: CA 20 Oct 2009 appeared first on swarb.co.uk.

Iesini and Others v Westrip Holdings Ltd and Others: ChD 16 Oct 2009

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References: [2009] EWHC 2526 (Ch), [2011] 1 BCLC 498, [2010] BCC 420
Links: Bailii
Coram: Lewison J
Ratio: The claimants were shareholders in Westrip, accusing the Defendant directors of deliberately engaging in a course of conduct which has led to Westrip losing ownership and control of a very valuable mining licence and which, but for their intervention, would have led to Westrip losing all or almost all of its remaining assets. They say that the course of conduct that they allege amounts to breaches of duty by the individual defendants.
Held: Section 263 (2) (a) will apply only where the court is satisfied that no director acting in accordance with section 172 would seek to continue the claim. If some directors would, and others would not, seek to continue the claim the case is one for the application of section 263 (3) (b).
Where the claimant brings a derivative claim for the benefit of the company, he will not be disqualified from doing so if there are other benefits which he will derive from the claim. However, in relation to the rescission claim a person may be prevented from bringing a derivative claim if he participated in the wrong of which he complains.
Statutes: Companies Act 2006 261
This case cites:

  • Cited – Foss v Harbottle ([1843] 67 ER 189, [1843] EngR 478, Commonlii, (1843) 2 Hare 461)
    A bill was lodged by two of the proprietors of shares in a company incorporated by Act of Parliament, on their own and the other shareholders’ behalf. They claimed against three bankrupt directors, a proprietor, solicitor and architect charging them . .
  • Cited – Wallersteiner v Moir (No 2) CA ([1975] QB 373, [1975] 1 All ER 849, [1975] 2 WLR 389)
    The court was asked whether Moir would be entitled to legal aid to bring a derivative action on behalf of a company against its majority shareholder.
    Held: A minority shareholder bringing a derivative action on behalf of a company could obtain . .
  • Cited – Prudential Assurance Co Ltd v Newman Industries Ltd (No 2) CA ([1982] Ch 204)
    A plaintiff shareholder cannot recover damages merely because the company in which he has an interest has suffered damage. He cannot recover a sum equal to the diminution in the market value of his shares, or equal to the likely diminution in . .
  • Cited – In Re Little Olympian Eachways Ltd ChD (Times 29-Jul-94, Ind Summary 03-Oct-94, [1995] 1 WLR 560, [1994] 2 BCLC 420)
    A Jersey company (Supreme) had brought a petition under the section against the company. An application was made for security for costs against Supreme. It could only be made if Supreme was resident outside the UK. Supreme argued that, despite being . .
  • Cited – Lowe v Fahey ([1996] 1 BCLC 262)
    Where there has been material misconduct, even in the shape of a single act, the primary remedy is under section 459, not by a shareholder’s derivative action. . .
  • Cited – Airey v Cordell and Others ChD (Bailii, [2006] EWHC 2728 (Ch), [2007] BusLR 391, [2007] BCC 785)
    Application by the claimant for permission to amend his Particulars of Claim to plead a new claim.
    Held: Warren J pointed out that there are many cases in which some directors, acting in accordance with section 172, would think it worthwhile . .
  • Cited – Fanmailuk.Com Ltd and Another v Cooper and others ChD (Bailii, [2008] EWHC 2198 (Ch))
    Claim for a declaration that the entire share capital was held on trust for the claimant.
    Held: Engelhart QC said: ‘on an application under section 261 it would be ‘quite wrong . . to embark on anything like a mini-trial of the action’ . .
  • Cited – Franbar Holdings Ltd v Patel and others ChD (Bailii, [2008] EWHC 1534 (Ch), [2009] 1 BCLC 1)
    Action alleging breach of shareholders’ agreement.
    Held: Directors may have genuine and proper differences of opinion as to the correctness of making a section 172 claim. . .
  • Cited – Nurcombe v Nurcombe CA ([1985] 1 WLR 370)
    The court discussed a minority shareholder’s action to enforce the company’s claim as a derivative claim. Browne-Wilkinson LJ said that such an action, where a courts in equity permitted a person interested to bring an action to enforce the . .
  • Cited – Barrett v Duckett CA (Ind Summary 15-Aug-94, [1995] 1 BCLC 243)
    A shareholder is to show the court justification for derivative action in company name.
    Peter Gibson LJ said: ‘The shareholder will be allowed to sue on behalf of the company if he is bringing the action bona fide for the benefit of the . .
  • Cited – Godden v Merthyr Tydfil Housing Association CA (Bailii, [1997] EWCA Civ 780, (1997) 74 P and CR D1)
    The Plaintiff was a building contractor; the Defendant a housing association engaged in developing suitable sites for residential accommodation for letting to tenants. Before the contract the parties had successfully completed what was been called . .
  • Cited – Shah v Shah CA (Times 15-May-01, Bailii, [2002] QB 35, [2001] EWCA Civ 527, [2001] 3 WLR 31, [2001] 4 All ER 138)
    The court was asked as to the enforceability of a document under the terms of which the defendants were to make a payment of pounds 1.5 million to the claimant. The document was described as a deed and provided for each defendant to sign in the . .
  • Cited – Konamaneni v Rolls Royce Industrial Power (India) Limited ChD (Bailii, Times 31-Jan-02, [2001] EWHC Ch 470, [2002] 1 WLR 1269)
    The claimants founded their action on the assertion that the defendants had been corrupt in obtaining contracts in India. The defendants argued that the English courts had no jurisdiction. The claimants held various small shareholdings in a company . .
  • Cited – Central Estates (Belgravia) Ltd v Woolgar CA ([1972] 1 QB 48)
    A lessee made a claim to acquire the freehold of his house under the 1967 Act. The making of such a claim prevented the landlord from forfeiting the lease unless lessee had not made his claim in good faith.
    Lord Denning MR said: ‘To my mind, . .
  • Cited – Goldsmith v Sperrings Ltd CA ([1977] 1 WLR 478, [1977] 2 All ER 566)
    The plaintiff commenced proceedings for damages for libel and an injunction against the publishers, the editors and the main distributors of Private Eye. In addition, he issued writs against a large number of other wholesale and retail distributors . .
  • Cited – Smith v Croft (No 3) ChD ([1987] BCLC 355)
    Knox J said: ‘Ultimately the question which has to be answered in order to determine whether the rule in Foss v. Harbottle applies to prevent a minority shareholder seeking relief as plaintiff for the benefit of the company is, ‘Is the plaintiff . .
  • Cited – Jaybird Group Ltd v Greenwood ([1986] BCLC 319)
    An indemnity as to costs in a derivative claim is not limited to impecunious claimants. The justification for the indemnity is that the claimant brings his claim for the benefit of the company. Once the court has reached the conclusion that the . .
  • Cited – Smith v Croft ChD ([1986] 1 WLR 580, [1986] 2 All ER 551, [1986] BCLC 207)
    Walton J was concerned with two appeals from the Master. The first appeal was from an order made ex parte ordering the company to indemnify the claimant against costs. The appeal against that order was allowed, and Walton J decided that there was so . .

(This list may be incomplete)
This case is cited by:

  • Cited – Dawson-Damer and Others v Taylor Wessing Llp and Others ChD (Bailii, [2015] EWHC 2366 (Ch))
    The clamants sought orders under the 1998 Act for disclosure of documents about them by the defendant solicitors and others. The defendants said that the request would require the consideration of a very large number of documents, considering in . .

(This list may be incomplete)

Last Update: 18 December 2018
Ref: 377212

The post Iesini and Others v Westrip Holdings Ltd and Others: ChD 16 Oct 2009 appeared first on swarb.co.uk.

Henry and Another v Henry: PC 17 Feb 2010

Calzaghe v Warren: QBD 20 Jan 2010

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References: [2010] EWHC 71 (QB)
Links: Bailii
Coram: Jack J
Ratio: The claimant boxer had secured judgement for fight fees from a company operated by the respondent manager and promoter. After the judgment the defendant had put the company into administration. The claimant now sought payment from the defendant personally, alleging dishonesty in the conduct of the claim. The defendant sought to argue that there was no issue estoppel to prevent him denying his dishonesty in this second case.
Held: The issue had been decided in the earlier case. The claimant should be allowed to amend his pleadings as requested.
This case cites:

  • Cited – Carl Zeiss Stiftung v Rayner and Keeler Ltd (No 2) HL ([1967] 1 AC 853, [1966] 2 All ER 536, [1967] RPC 497, [1966] 3 WLR 125)
    An agency had to be proved in a search to identify an entity which the law recognised (a) existed and (b) was legally responsible for the acts in issue in the proceedings. The House was asked whether the fact that an issue had already been . .
  • Cited – Hunter v Chief Constable of the West Midlands Police HL ([1982] AC 529, [1981] 3 WLR 906, Bailii, [1981] UKHL 13, [1981] 3 All ER 727)
    An attempt was made to open up in a civil action, allegations of assaults by the police prior to the making of confessions which had been disposed of in a voir dire in the course of a criminal trial.
    Held: This was a collateral attack . .
  • Cited – OJSC Oil Company Yugraneft v Abramovich and others ComC (Bailii, [2008] EWHC 2613 (Comm))
    The claimants sought damages alleging a massive fraud by the defendants. The court considered whether the parties could receive a fair trial of the action in Russia.
    Held: They could. Christopher Clarke J said: ‘Firstly, this case is in no way . .
  • Cited – In re Queens Moat Houses Plc; Secretary of State for Trade and Industry v Bairstow, Hersey, Marcus, Porter ChD ([2004] EWHC 1730 (Ch), Bailii)
    Mr Bairstow had been found guilty of grave misconduct and neglect of his duties in wrongful dismissal proceedings which he brought against a company of which he had been the managing director. The Secretary of State now sought an order against him . .
  • Cited – In re H and R (Minors) (Child Sexual Abuse: Standard of Proof) HL (Independent 17-Jan-96, [1996] AC 563, [1996] 1 FLR 80, Bailii, [1995] UKHL 16, [1996] Fam Law 74, [1996] 1 FCR 509, [1996] 2 WLR 8, [1996] 1 All ER 1)
    Children had made allegations of serious sexual abuse against their step-father. He was acquitted at trial, but the local authority went ahead with care proceedings. The parents appealed against a finding that a likely risk to the children had still . .
  • Cited – The Secretary of State for Trade and Industry v Bairstow CA (Bailii, [2003] EWCA Civ 321, Times 31-Mar-03, Gazette 09-May-03, [2004] Ch 1, [2003] 3 WLR 841, [2003] 1 BCLC 696, [2003] BCC 682, [2003] CP Rep 46, [2004] 4 All ER 325)
    The Secretary of State attempted, in the course of director’s disqualification proceedings, to rely upon findings made against Mr Bairstow in an earlier wrongful dismissal action to which he had been a party but the Secretary of State not. The . .
  • Cited – Johnson v Gore Wood and Co HL (Gazette 05-Jan-01, House of Lords, Times 20-Dec-00, Gazette 22-Feb-01, Bailii, [2000] UKHL 65, [2001] 2 WLR 72, [2001] 1 All ER 481, [2002] 2 AC 31)
    A company brought a claim of negligence against its solicitors, and, after that claim was settled, the company’s owner brought a separate claim in respect of the same subject-matter.
    Held: It need not be an abuse of the court for a shareholder . .

(This list may be incomplete)

Last Update: 23 December 2018
Ref: 427294

The post Calzaghe v Warren: QBD 20 Jan 2010 appeared first on swarb.co.uk.

SAS Institute Inc v World Programming Ltd: ComC 13 Dec 2018

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