Continuing to act after negligence rights, problems and consequences

Size: px
Start display at page:

Download "Continuing to act after negligence rights, problems and consequences"

Transcription

1 Continuing to act after negligence rights, problems and consequences Leslie Blohm QC, St John s Chambers Published on 29 th April 2014 What is the scope of this talk? 1. With the best will in the world, no professional gets through an average career without making his share of mistakes. This talk considers what solicitors (and some other professionals) can do when they make mistakes that cause their clients loss; what they should do; and what the consequences of any particular course of conduct may be. 2. The areas that this may have ramifications in are: - The availability of fresh causes of action - Limitation of actions - Mitigation of loss/remoteness of further loss - Regulatory punishment. The source of the professional s powers and obligations 3. There are broadly speaking three sources from which the professional s powers and obligations derive in these circumstances. These are: - The common law, being the terms of the retainer supplemented by the duty of care in negligence; Page 1 of 12

2 - Equity, and in particular the fiduciary obligation of loyalty that most professionals will owe towards their clients for the duration of the retainer 1 ; - Professional regulation. A continuing obligation to review work? 4. Let s start with a consideration of the obligations of the negligent professional. What must he do? One argument that not infrequently crops up in connection with limitation points is an assertion that the professional is under an obligation to review his work. The argument runs that even if the negligent default is statute-barred, the professional s negligent failure to review, and inform the client of the default (within the limitation period) is itself an actionable breach. 5. The Courts have drawn a distinction between three situations, being: (1) When the professional is unaware of the breach. Here there will only be a fresh cause of action if the obligation to review falls within the scope of the professional s instructions; and this will not be implied save in clear cases; (2) When the professional is aware of the breach. Here the professional is obliged to inform his client if (a) the retainer requires it; or (b) a fiduciary relationship exists between the client and the professional or (c) professional regulation requires it. For solicitors this is likely to mean that they are obliged to spill the beans if, but only if, the retainer is still in existence at the date of the acquisition of knowledge. (3) When the professional is aware of the possibility that he has been negligent. Here his obligation is to be measured by the yardstick of the right-thinking professional, keen to do the right thing. 1 The duty of confidentiality extends post- termination of retainer; Page 2 of 12

3 An obligation to review in ignorance of the breach? 6. A slew of cases relating to ignorance of the professional s breach start with Midland Bank v. Hett Stubbs Kemp [1979] Ch 384, where solicitors negligently failed to register an option as a land charge, rendering it voidable as security (and in the events that happened, void). Oliver J held that on the facts of the case there was a continuing duty on the part of the solicitors to ensure that the option was protected. The solicitors kept the option in their strong room; they had subsequently been consulted about the option, and failed to mention (or appreciate) that the option was unregistered. That was a cause of action in negligence on which the Claimant could rely, and the terms of Oliver J. s judgment indicated that in appropriate (but not all) circumstances a continuing duty to act or advise would be found. 7. The scope of the decision in Hett Stubbs Kemp was seriously narrowed in Bell v. Peter Browne & Co.[1990] 2 QB 495, where solicitors failed to protect by registration their client s agreed share in the former matrimonial home. Some years later his wife announced she had sold the property and spent the proceeds. The claim against the solicitors was statute barred, the Court of Appeal holding that the solicitors were, on the facts, under no duty to review past events. The Court of Appeal accepted that such an obligation might be expressly undertaken, but thought it would be only exceptionally be implied. 8. In Nouri v. Marvi [2010] 3 EGLR 79 a fraudster forged the signature of the owner of a leasehold flat on a transfer to himself. The Respondent solicitors acted on the sale. By the time the claimant sued the solicitors (for breach of a duty allegedly owed to him to take reasonable care ensure that the fraudster was who he said he was 2 ) more than six years had passed. Ironically, in the interim the claimant had been seeking, unsuccessfully, to 2 The claim could not be in contract (the fraudster, not Mr. Nouri, was the solicitor s client) and so was in tort. Page 3 of 12

4 have the register rectified 3. The claimant argued that the solicitors were under a continuing duty to take steps to prevent the claimant from losing his registered title; and that obligation, and breach, continued until the fraudster was registered as owner. The court concluded that there were no special facts to suggest that the solicitor assumed a continuing duty to Mr. Nouri that survived the completion of the transaction Although these cases concern solicitors obligations, there is no reason to think that any different principles apply to any other profession. In New Islington and Hackney Housing Association v. Pollard Thomas and Edwards Ltd. (2000) 85 Const LR 194 the claimants sued the architects of social housing for designing accommodation with inadequate sound-proofing. The action was brought more than six years from the delivery of the design, but the architect s retainer had continued thereafter until the issue of final certificates. Dyson J held that in the absence of an express term an architect was not under a duty to review his design unless something occurred which made it necessary, or at least prudent, to do so. A duty to inform where the breach is known of? 10. Let s turn to the position where the professional is aware of the breach. What is his obligation then? In New Islington Dyson J had a shot at setting out the principles 5 : 17..In Midland Bank Trust Co Ltd and another v Hett, Stubbs & Kemp (a firm) [1979] Ch 384, [1978] 3 All ER 571, at p 403C of the former report, Oliver J said: "It is not seriously arguable that a solicitor who or whose firm has acted negligently comes under a continuing duty to take care to remind himself of the negligence of which, ex hypothesi, he is unaware." 3 See Nouri v. Marvi [2006] 1 EGLR Patten LJ at [38] 5 These are obiter dicta; PTE Ltd neither knew nor ought to have been aware of the alleged defect. Page 4 of 12

5 18. In my view, that observation is as apt to apply to an architect as it is to a solicitor. The position is quite different where the architect (or solicitor) knows, or ought to know, of his earlier negligence. When that occurs, then he may well be under a contractual obligation to review his earlier performance, and advise his client honestly and competently of his opinion. Whether he is in fact under such a duty when he has actual or constructive knowledge of his earlier breach of contract will depend on whether the contract is still being performed. If the contract has been discharged (for whatever reason), then the professional person may be under a duty in tort to advise his client of his earlier breach of contract, but it is difficult to see how he can be under any contractual duty to do so. 11. I would suggest that where the professional knows of the breach, and the retainer is continuing, the rule is strict: there is an obligation to disclose the breach. This arises for a number of reasons: (1) The obligation to disclose (I think) satisfies the contractual test for implied terms. The officious by-stander would, if asked whether the professional should disclose to his client that he had broken the terms of his contract, say of course. In New Islington at [18] Dyson J. suggested that If the contract has been discharged (for whatever reason), then the professional person may be under a duty in tort to advise his client of the earlier breach of contract. For my part, I think it unlikely that an independent tortious duty would exist where there was no contractual obligation, in the absence (pace Nouri v. Marvi supra) of an assumption of responsibility. (2) Most professionals owe their clients fiduciary duties in equity. One fiduciary duty is loyalty the obligation to faithfully serve one s client in preference to one s own interests. If the client has a (valuable) right to sue his adviser, then the adviser is obliged to ensure that the client can enjoy that benefit, even if it is at his own expense. However, fiduciary obligations (save confidentiality) do not extend beyond the termination of the retainer. It follows that where the professional discovers the Page 5 of 12

6 breach after the retainer has determined, he is not obliged 6 to disclose the breach. (3) There is often a professional obligation to disclose the breach. In the case of solicitors, this arises under the 2011 Code of Conduct, O 1.16: [solicitors must] inform current clients if you discover any act or omission which could give rise to a claim against you Note: (i) that this obligation is confined to current, not past clients 7 ; and (ii) that the obligation is wider than knowledge of breaches; it extends to potential claims. We ll have a look at what potential claims might mean in the next section of the talk; and (iii) the obligation does not stipulate that the retainer under which the breach arose must be the same one that continues; or even that the retainer must be continuous. All it seems to require is that the client is a current client. 6 In the absence of contractual terms to the contrary. 7 The 2011 Code did not initially refer to current clients, which might have given rise to a possible obligation to inform former clients of breaches, which would be significant. Page 6 of 12

7 Obligation to inform where there is a suspicion of a breach? 12. If the obligation to inform of a known breach arises only where the retainer is continuing, then it follows that the retainer must be continuing for suspicion to oblige the professional to make disclosure. This gives rise to the question what amounts to suspicion sufficient to inform? This will often be a question of fine judgment and assessment on the part of the professional, weighing up his professional obligations against the inconvenience and embarrassment of such disclosure. 13. In New Islington at [18] Dyson J. suggested that the obligation to review earlier performance arose or might arise where there was constructive knowledge; that is where the professional did not know, but reasonably could have discovered it had he enquired. That seems to me to be inconsistent with the approach of the Court of Appeal in Ezekiel v. Lehrer [2002] Lloyds Rep PN 260, approving the view of Neuberger J in Gold v. Mincoff Science [2001] Lloyd s Rep PN 423. Thus, Ward LJ put the matter graphically in this way: [25] Secondly, if it is correct that a solicitor, or barrister or any professional person genuinely believes that the advice he has given is good advice, and not negligent advice, then it would be absurd to suggest that he has to tell the client at the time he gives the advice that it may be negligent and that the client had better take other advice to see whether or not it is negligent. The adviser to whom the client turns would be bound to give the same warning. Like Rugby football's mythological Ooh-Aah bird, the client would be going round and round in ever decreasing circles seeking advice on the advice on the original advice ad infinitem (and professional life would end up suffering the bird's ghastly fate). Putting the analogy to one side, Ward LJ s warning applies to the professional who genuinely believes that his advice was good; whether or not he objectively should have realised it was bad. Constructive notice should therefore be irrelevant. Page 7 of 12

8 14. The professional s obligation, as a fiduciary, is to act in the best interests of his client. There is a point at which a professional should consider that circumstances are such that the client should be warned of a potential breach. When the professional s belief reaches that point, then the obligation to communicate concern it triggered. However one analyses it, (a) it is a matter of intuition whether concerns should be disclosed and (b) a court is likely to tend to consider that any potential claim should be disclosed, unless risible. 15. This approach may be supported by the Solicitor s Code at (IB 1.12) Considering whether a conflict of interests has arisen or whether the client should be advised to obtain independent advice where the client notifies you of their intention to make a claim or if you discover an act or omission which might give rise to a claim. Page 8 of 12

9 If the professional discovers his breach, and stays silent, can he rely on the passing of time under the Limitation Act? 16. The question arose in Williams v. Fanshaw Porter & Hazelhurst [2004] 2 All ER$ 616. The solicitor acted for a client in a claim for professional negligence against two doctors. In 1994 the solicitor, without instructions, agreed to the dismissal of the action against one, the solicitor considering that the doctor could be re-joined if desired. The solicitor clandestinely and unsuccessfully applied for the doctor to be re-joined; she them started a new claim against the doctor which was (unsurprisingly) struck out 8. In 1996 the solicitor advised to client to seek other legal advice, without informing the client of her default. 17. The client commenced an action for professional negligence as little over six years from the original order of dismissal. The claimant relied on deliberate concealment under section 32 Limitation Act 1980 to extend the running of time. It provided: '... where in the case of any action for which a period of limitation is prescribed by this Act, either--(a) the action is based upon the fraud of the defendant; or (b) any fact relevant to the plaintiff's right of action has been deliberately concealed from him by the defendant; or (c) the action is for relief from the consequences of a mistake; the period of limitation shall not begin to run until the plaintiff has discovered the fraud, concealment or mistake (as the case may be) or could with reasonable diligence have discovered it... (2) For the purposes of subsection (1) above, deliberate commission of a breach of duty in circumstances in which it is unlikely to be discovered for some time amounts to deliberate concealment of the facts involved in that breach of duty.' 8 The client appealed unsuccessfully. Page 9 of 12

10 18. It was section 32(1)(b) that was relied upon. The Court of Appeal set the scene by referring to two earlier decisions of the House of Lords, Sheldon v. RHM Outhwaite [1995] 2 All ER 558 and Cave v. Robinson Jarvis [2003] 1 AC 384. As far as Cave was concerned, it was summarised in this way: The subsection [section 32(2)] required the defendant, not just to know what he was doing, but also to know that it was a breach of duty. It did not apply to a negligent breach of duty which the defendant did not realise he was committing. 19. In the present case the solicitor had not informed the client of his actions because he was embarrassed to do so; and because he believed (until the dismissal of the appeal from the striking out application) that his actions were curable. The judge at first instance held that a failure to inform in these circumstances did not fall within section 32(1)(b). The Court of Appeal allowed the appeal. Park J. noted: (1) The concealment need not be of the cause of action, simply a relevant fact; (2) The defendant need not appreciate that the fact was relevant to the cause of action; (3) Deliberate concealment required the consideration of whether to disclose the fact or not; (4) The defendant must be under a duty to disclose the fact, or the fact must be one that would be normally disclosed in the normal course of the relationship with the Defendant. 20. At the time that the consent order was made, the solicitor did not believe he had erred. His failure to inform the client then was not deliberate concealment. By the time his application had been struck out, he must have known he had blundered. His motivation for withholding such a relevant fact from the client was irrelevant. The point as Mance LJ put it at [29]) that a solicitor owes his client a duty to keep his client informed about the general conduct of the matter he is handling. Where there is a duty to Page 10 of 12

11 inform. The intentional suppression of information which it is known should be communicated pursuant to that duty can be readily regarded as concealment of that information (at [36]). 21. Equally it was irrelevant that the solicitor only appreciated that his blunder had irreparable consequences once his attempt to start a fresh action had spectacularly failed: It is a commonplace of human experience that someone who has made a mistake may realise it in time to take steps which prevent the mistake having harmful consequences. If he can do that it does not change the fact that he made a mistake in the first instance. The recorder erroneously proceeds on the basis that, if the consequences are successfully averted, there never was a mistake (or a blunder) to begin with. So you think you can extricate yourself? 22. There is always a temptation to try to correct one s mistakes. If a professional is not obliged to act when he has committed a breach, might he be prohibited from acting? For solicitors at least, this turns on a consideration of the Solicitors Code. Under O (3.4) a solicitor may not act if there is an own interest conflict or a significant risk of an own interest conflict. An own interest conflict is defined as meaning any situation where the solicitor s obligation to act in the best interests of the client in relation to a matter conflicts, or there is a significant risk that it may conflict, with the solicitors interests in that or a related matter. Unlike 9 the obligations arising where there is a client conflict (that is, a conflict between two clients interests) no provision is made for a solicitor to act, or to continue to act, where an own interest conflict arises. 23. The literal meaning of the Code is that a solicitor may not continue to act for a client where there is an own interest conflict. But surely, you might think, where there is fully informed consent on the part of the client, he 9 See O(3.6 (3.7). Page 11 of 12

12 might waive the conflict, such that there is no own interest conflict? The Code permits that for client conflict only, and the implication is that it is not available for own interest conflicts. The consequences of continuing to act 24. Let s assume that our professional considers that it has been in breach; it has fully informed the client, and the client is keen for the professional to continue to act and to seek to remedy the position to the advantage of both; and there is no regulation preventing this. What happens then? 25. The first point to make is that such a decision is likely to be unwise except in the Judge s favourite get-out, special circumstances. It is very difficult for the professional to be objective in his consideration of his client s best interests. Furthermore, if it all goes wrong a Court is likely to be sceptical of any suggestion that the consequences did not flow from the initial negligence. There may be situations where a change of professional advisers will inevitably lead to disaster, for example by the missing of a critical time limit, and acting or continuing to act for the client one has already damaged may be the least worst decision for both parties. The moral of the story is of course not to get into this position in the first place. Leslie Blohm QC St John's Chambers leslie.blohm@stjohnschambers.co.uk April 2014 Page 12 of 12

IN THE HIGH COURT OF NEW ZEALAND AUCKLAND REGISTRY CIV [2015] NZHC DENISE MICHELLE ROOSE First Plaintiff

IN THE HIGH COURT OF NEW ZEALAND AUCKLAND REGISTRY CIV [2015] NZHC DENISE MICHELLE ROOSE First Plaintiff IN THE HIGH COURT OF NEW ZEALAND AUCKLAND REGISTRY CIV-2014-404-1025 [2015] NZHC 2035 BETWEEN AND AND AND AND DENISE MICHELLE ROOSE First Plaintiff DENISE DEVELOPMENTS LIMITED Second Plaintiff DMR DEVELOPMENTS

More information

LIMITATION OF LIABILITY BY ACCOUNTANTS

LIMITATION OF LIABILITY BY ACCOUNTANTS LIMITATION OF LIABILITY BY ACCOUNTANTS Introduction 1. Traditionally, a central plank of an accountant s corporate work has been carrying out the audit. However, over the years the profession s role has

More information

EQUITABLE REMEDIES IN COMMERCIAL LITIGATION: Concurrent session 1A Constructive trust

EQUITABLE REMEDIES IN COMMERCIAL LITIGATION: Concurrent session 1A Constructive trust EQUITABLE REMEDIES IN COMMERCIAL LITIGATION: Concurrent session 1A Constructive trust LIMITATION PERIODS, DISHONEST ASSISTANCE, KNOWING RECEIPT AND CONSTRUCTIVE TRUSTS Thursday, 5 March 2015 for the Joint

More information

The Hon Justice Peter McClelland AM Royal Commission into Institutional Responses to Child Sexual Abuse GPO Box 5283 Sydney NSW 2001 Australia

The Hon Justice Peter McClelland AM Royal Commission into Institutional Responses to Child Sexual Abuse GPO Box 5283 Sydney NSW 2001 Australia 14 April 2015 The Hon Justice Peter McClelland AM Royal Commission into Institutional Responses to Child Sexual Abuse GPO Box 5283 Sydney NSW 2001 Australia Dear Justice McClelland, SUPPLEMENTARY SUBMISSION

More information

Before : LADY JUSTICE ARDEN and LORD JUSTICE BRIGGS Between : - and -

Before : LADY JUSTICE ARDEN and LORD JUSTICE BRIGGS Between : - and - Neutral Citation Number: [2016] EWCA Civ 1034 Case No: B5/2016/0387 IN THE COURT OF APPEAL (CIVIL DIVISION) ON APPEAL FROM Civil and Family Justice Centre His Honour Judge N Bidder QC 3CF00338 Royal Courts

More information

Examining the current law relating to limitation and causes of action (tortious and contractual) within a construction context

Examining the current law relating to limitation and causes of action (tortious and contractual) within a construction context Examining the current law relating to limitation and causes of action (tortious and contractual) within a construction context Received (in revised form): 11th September, 2005 Sarah Wilson is an associate

More information

IN THE HIGH COURT OF JUSTICE BETWEEN AND TECU CREDIT UNION CO-OPERATIVE SOCIETY LIMITED

IN THE HIGH COURT OF JUSTICE BETWEEN AND TECU CREDIT UNION CO-OPERATIVE SOCIETY LIMITED REPUBLIC OF TRINIDAD AND TOBAGO CV 2010-01135 IN THE HIGH COURT OF JUSTICE BETWEEN ERNEST TROTMAN CAMILLE RICHARDS TROTMAN Claimants AND TECU CREDIT UNION CO-OPERATIVE SOCIETY LIMITED ************************************************

More information

Undertakings Ben Handy, Barrister, St John s Chambers

Undertakings Ben Handy, Barrister, St John s Chambers Undertakings Ben Handy, Barrister, St John s Chambers Published on 25 March 2014 What is an undertaking? a statement, given orally or in writing, whether or not it includes the word undertake or undertaking,

More information

Directors' Duties in Guernsey

Directors' Duties in Guernsey Directors' Duties in Guernsey March 2018 1. OVERVIEW 1.1 This note provides a brief synopsis of the common law duties owed by directors of companies ("companies") incorporated in the Island of Guernsey

More information

Galliford Try Construction Ltd v Mott MacDonald Ltd [2008] APP.L.R. 03/14

Galliford Try Construction Ltd v Mott MacDonald Ltd [2008] APP.L.R. 03/14 JUDGMENT : Mr Justice Coulson : TCC. 14 th March 2008 Introduction 1. This is an application by the Defendant for an order that paragraphs 39 to 48 inclusive of the witness statement of Mr Joseph Martin,

More information

LEGAL 509 to the Government Gazette of Mauritius No. 105 of 3 December 2016

LEGAL 509 to the Government Gazette of Mauritius No. 105 of 3 December 2016 LEGAL 509 to the Government Gazette of Mauritius No. 105 of 3 December 2016 THE LIMITED LIABILITY PARTNERSHIPS ACT 2016 Act No. 24 of 2016 I assent Bibi Ameenah Firdaus Gurib-Fakim 2 December 2016 President

More information

ARCHITECTS REGISTRATION COUNCIL SEMINARS

ARCHITECTS REGISTRATION COUNCIL SEMINARS ARCHITECTS REGISTRATION COUNCIL SEMINARS CONTRACT FORMATION FRED PHIRI ARCH.Bw May 27, 2017 1 Contents Legal Systems Legal Systems Examples Legal System Applications Civil Law Relationships Law of Obligations

More information

JUDGMENT. Assets Recovery Agency (Ex-parte) (Jamaica)

JUDGMENT. Assets Recovery Agency (Ex-parte) (Jamaica) Hilary Term [2015] UKPC 1 Privy Council Appeal No 0036 of 2014 JUDGMENT Assets Recovery Agency (Ex-parte) (Jamaica) From the Court of Appeal of Jamaica before Lord Clarke Lord Reed Lord Carnwath Lord Hughes

More information

A BILL FOR A LAW FOR THE ADMINISTRATION OF CIVIL JUSTICE IN EKITI STATE EKITI STATE OF NIGERIA

A BILL FOR A LAW FOR THE ADMINISTRATION OF CIVIL JUSTICE IN EKITI STATE EKITI STATE OF NIGERIA A BILL FOR A LAW FOR THE ADMINISTRATION OF CIVIL JUSTICE IN EKITI STATE EKITI STATE OF NIGERIA 1 EKITI STATE OF NIGERIA ADMINISTRATION OF CIVIL JUSTICE BILL, 2018 ARRANGEMENT OF SECTIONS 1. Objectives

More information

TURKS AND CAICOS ISLANDS TRUSTS BILL 2015 ARRANGEMENT OF CLAUSES

TURKS AND CAICOS ISLANDS TRUSTS BILL 2015 ARRANGEMENT OF CLAUSES TURKS AND CAICOS ISLANDS TRUSTS BILL 2015 ARRANGEMENT OF CLAUSES PART I PRELIMINARY CLAUSE 1. Short title and commencement 2. Interpretation 3. Meaning of insolvent 4. Meaning of personal relationship

More information

APPEAL FROM DECISION OF SOCIAL SECURITY APPEAL TRIBUNAL ON A

APPEAL FROM DECISION OF SOCIAL SECURITY APPEAL TRIBUNAL ON A * 41/93 Commissioner s File: CIS/674/1994 SOCIAL SECURITY ACT 1986 SOCIAL SECURITY ADMINISTRATION ACT 1992 APPEAL FROM DECISION OF SOCIAL SECURITY APPEAL TRIBUNAL ON A QUESTION OF LAW DECISION OF THE SOCIAL

More information

SAMPLE QUESTIONS FOR LEVEL 4 DIPLOMA IN PARALEGAL STUDIES

SAMPLE QUESTIONS FOR LEVEL 4 DIPLOMA IN PARALEGAL STUDIES SAMPLE QUESTIONS FOR LEVEL 4 DIPLOMA IN PARALEGAL STUDIES UNIT 1 ENGLISH LEGAL SYSTEM Explain how laws are made in the UK and the role that the Crown plays in this process (10 marks) This question relates

More information

LITIGATION PRIVILEGE THE DOMINANT PURPOSE TEST- THE POST- ENRC LANDSCAPE.

LITIGATION PRIVILEGE THE DOMINANT PURPOSE TEST- THE POST- ENRC LANDSCAPE. LITIGATION PRIVILEGE THE DOMINANT PURPOSE TEST- THE POST- ENRC LANDSCAPE. The Court of Appeal is to consider the ENRC 1 judgment later this year. In that case Andrew J held that an investigation into possible

More information

Directors Duties Handbook

Directors Duties Handbook Introduction This handbook has been prepared for directors of private limited companies to provide them with a summary of their duties under the Companies Act 2006 (2006 Act). This guide should not be

More information

DISTRIBUTION TERMS. In Relation To Structured Products

DISTRIBUTION TERMS. In Relation To Structured Products DISTRIBUTION TERMS In Relation To Structured Products These Terms set out the rights and obligations of Citigroup Global Markets Limited, Citigroup Centre, Canada Square, Canary Wharf, London E14 5LB,

More information

AUSTRALIAN CAPITAL TERRITORY. Mediation Act No. 61 of An Act relating to mediation and the registration of mediators

AUSTRALIAN CAPITAL TERRITORY. Mediation Act No. 61 of An Act relating to mediation and the registration of mediators AUSTRALIAN CAPITAL TERRITORY Mediation Act 1997 No. 61 of 1997 An Act relating to mediation and the registration of mediators [Notified in ACT Gazette S300: 9 October 1997] The Legislative Assembly for

More information

Code of Practice Issued Under Section 377A of the Proceeds of Crime Act 2002

Code of Practice Issued Under Section 377A of the Proceeds of Crime Act 2002 Code of Practice Issued Under Section 377A of the Proceeds of Crime Act 2002 Presented to Parliament under section 377A(4) of the Proceeds of Crime Act 2002 Code of Practice Issued Under Section 377A

More information

THE LAW SOCIETY CONVEYANCING ARBITRATION RULES

THE LAW SOCIETY CONVEYANCING ARBITRATION RULES THE LAW SOCIETY CONVEYANCING ARBITRATION RULES (For disputes arising under the Contract for Sale of Land 2005 Edition) Preamble The Council of the Law Society of New South Wales resolved at a meeting on

More information

TRADING TERMS OF KLINGER LTD

TRADING TERMS OF KLINGER LTD 1. INTERPRETATION 1.1 In these terms of trade: (1) Business Day means a day other than Saturday, Sunday or a public holiday in the place in which a document is received or an act is done, as may be applicable;

More information

EMC Proven Professional Program

EMC Proven Professional Program EMC Proven Professional Program Candidate Agreement version 2.0 This is a legal agreement between you and EMC Corporation ( EMC ). You hereby agree that the following terms and conditions shall govern

More information

IN THE HIGH COURT OF JUSTICE (Sub-Registry, Tobago) BETWEEN AND REASONS

IN THE HIGH COURT OF JUSTICE (Sub-Registry, Tobago) BETWEEN AND REASONS REPUBLIC OF TRINIDAD AND TOBAGO IN THE HIGH COURT OF JUSTICE (Sub-Registry, Tobago) Claim No: CV 2009-2373 BETWEEN SEAN EVERT DENOON CLAIMANT AND OLIVER SALANDY DEFENDANT Before the Honourable Mr. Justice

More information

SAMOA INTERNATIONAL MUTUAL FUNDS ACT 2008

SAMOA INTERNATIONAL MUTUAL FUNDS ACT 2008 SAMOA INTERNATIONAL MUTUAL FUNDS ACT 2008 Arrangement of Provisions PART 1 PRELIMINARY 1. Short title and commencement 2. Interpretation 3. Meaning of fit and proper PART 2 ADMINISTRATION 4. Registrar

More information

AEROPOST TRINIDAD LIMITED PETER EDWARDS AND VINCY AVIATION SERVICES CARIBBEAN FREIGHT & COURIERS LTD. 2008: November, 17th November, 18th DECISION

AEROPOST TRINIDAD LIMITED PETER EDWARDS AND VINCY AVIATION SERVICES CARIBBEAN FREIGHT & COURIERS LTD. 2008: November, 17th November, 18th DECISION THE EASTERN CARIBBEAN SUPREME COURT IN THE HIGH COURT OF JUSTICE SAINT VINCENT AND THE GRENADINES HIGH COURT CIVIL CLAIM NO: 368/2008 BETWEEN: AEROPOST TRINIDAD LIMITED PETER EDWARDS 1st applicant 2nd

More information

Published on e-first 1 June AGENCY LAW

Published on e-first 1 June AGENCY LAW Published on e-first 1 June 2018 3. AGENCY LAW Pearlie KOH LLB (Hons) (National University of Singapore), LLM (University of Melbourne); Advocate & Solicitor (Singapore); Associate Professor, Singapore

More information

Paralegal Professional Conduct Guidelines

Paralegal Professional Conduct Guidelines Paralegal Professional Conduct Guidelines ~Effective October, 2008~ As of October 1, 2014, this version of the Paralegal Professional Conduct Guidelines is no longer in effect. Amendments to the Guidelines

More information

Disclosure: Responsibilities of a Prosecuting Authority

Disclosure: Responsibilities of a Prosecuting Authority Disclosure: Responsibilities of a Prosecuting Authority Julie Norris A. Introduction The rules of most professional disciplinary bodies are silent as to the duties and responsibilities vested in the regulatory

More information

JUDGMENT. 1 I am required to decide the disputes disclosed by the defendant's. special plea of prescription raised in defence to the plaintiffs claim.

JUDGMENT. 1 I am required to decide the disputes disclosed by the defendant's. special plea of prescription raised in defence to the plaintiffs claim. IN THE HIGH COURT OF SOUTH AFRICA GAUTENG DIVISION, PRETORIA CASE NO: 5664/2011 In the matter between: EDWARD THOMPSON Plaintiff and CITY OF TSHWANE METROPOLITAN MUNICIPALITY Defendant JUDGMENT Tuchten

More information

BERMUDA COMPANIES AND LIMITED LIABILITY COMPANY (BENEFICIAL OWNERSHIP) AMENDMENT ACT : 41

BERMUDA COMPANIES AND LIMITED LIABILITY COMPANY (BENEFICIAL OWNERSHIP) AMENDMENT ACT : 41 QUO FA T A F U E R N T BERMUDA COMPANIES AND LIMITED LIABILITY COMPANY (BENEFICIAL OWNERSHIP) 2017 : 41 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 Citation Amends section 2 Amends section 86 Inserts Part VIA

More information

/...1 PRIVATE ARBITRATION KIT

/...1 PRIVATE ARBITRATION KIT 1007453/...1 PRIVATE ARBITRATION KIT Introduction This document contains Guidelines, Rules and a Model Agreement in respect of private arbitrations. It is designed to assist practitioners when referring

More information

Good Faith and Honesty: Bhasin v Hrynew

Good Faith and Honesty: Bhasin v Hrynew Good Faith and Honesty: Bhasin v Hrynew June 9, 2015 Toronto, Ontario Marc Kestenberg, Partner, Norton Rose Fulbright Canada LLP Marlo Kravetsky, Senior Counsel, TD Bank Group Deborah Reine, Senior Counsel,

More information

Legal Services Commission v Aaronson No1 [2006] APP.L.R. 05/24

Legal Services Commission v Aaronson No1 [2006] APP.L.R. 05/24 JUDGMENT : Mr Justice Jack : QBD. 24 th May 2006. 1. On 26 August 2005 the Legal Services Commission issued a claim under Part 8 of the Civil Procedure Rules against a firm of solicitors, Aaronson & Co,

More information

BERMUDA COMPANIES AND LIMITED LIABILITY COMPANY (BENEFICIAL OWNERSHIP) AMENDMENT ACT : 41

BERMUDA COMPANIES AND LIMITED LIABILITY COMPANY (BENEFICIAL OWNERSHIP) AMENDMENT ACT : 41 QUO FA T A F U E R N T BERMUDA COMPANIES AND LIMITED LIABILITY COMPANY (BENEFICIAL OWNERSHIP) 2017 : 41 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 Citation Amends section 2 Amends section 86 Inserts Part

More information

Child Protection (Offenders Prohibition Orders) Act 2004 No 46

Child Protection (Offenders Prohibition Orders) Act 2004 No 46 New South Wales Child Protection (Offenders Prohibition Orders) Act 2004 No 46 Contents Part 1 Part 2 Preliminary Page 1 Name of Act 2 2 Commencement 2 3 Definitions 2 Child protection prohibition orders

More information

PROOF OF CLAIM AND RELEASE FORM

PROOF OF CLAIM AND RELEASE FORM Deadline for Submission: September 15, 2017 PROOF OF CLAIM AND RELEASE FORM IF YOU PURCHASED OR OTHERWISE ACQUIRED CAESARSTONE, LTD. COMMON STOCK ( CAESARSTONE ) DURING THE PERIOD FROM FEBRUARY 12, 2014

More information

MAY 2012 BUSINESS AND CORPORATE LAW SOLUTION

MAY 2012 BUSINESS AND CORPORATE LAW SOLUTION SOLUTION 1 A court decision that is called as an example or analogy to resolve similar questions of law in later cases. The doctrine of decisis et not quieta movere. Stand by past decisions and do not

More information

GOVERNMENT OF RAS AL KHAIMAH

GOVERNMENT OF RAS AL KHAIMAH GOVERNMENT OF RAS AL KHAIMAH RAS AL KHAIMAH INTERNATIONAL CORPORATE CENTRE REGISTERED AGENT REGULATIONS 2018 TABLE OF CONTENTS PART I PRELIMINARY PROVISIONS 1. Short title, commencement and authority 2.

More information

Combar/CLLS Guidance note on the Agreement for the Supply of Services by a Barrister in a Commercial Case

Combar/CLLS Guidance note on the Agreement for the Supply of Services by a Barrister in a Commercial Case Combar/CLLS Guidance note on the Agreement for the Supply of Services by a Barrister in a Commercial Case Introduction... 2 Background... 2 Entering into an agreement incorporating the Terms... 3 The Services...

More information

Online Case 8 Parvez. Mooney Everett Solicitors Ltd

Online Case 8 Parvez. Mooney Everett Solicitors Ltd 125 Online Case 8 Parvez v Mooney Everett Solicitors Ltd [2018] 1 Costs LO 125 Neutral Citation Number: [2018] EWHC 62 (QB) High Court of Justice, Queen s Bench Division, Sheffield District Registry 19

More information

A GUIDE TO WHISTLE BLOWING WHISTLE BLOWING POLICY AND PROCEDURE

A GUIDE TO WHISTLE BLOWING WHISTLE BLOWING POLICY AND PROCEDURE A GUIDE TO WHISTLE BLOWING WHISTLE BLOWING POLICY AND PROCEDURE 1 Version 1 CONTENTS 1. INTRODUCTION 2. WHISTLE BLOWER S RIGHTS. 3. INITIAL STEPS. 4. DECIDING ON PROCEDURES. 5. WHISTLEBLOWER POLICY AND

More information

Accountancy Scheme Sanctions Guidance

Accountancy Scheme Sanctions Guidance Guidance Financial Reporting Council April 2018 Accountancy Scheme Sanctions Guidance The FRC s mission is to promote transparency and integrity in business. The FRC sets the UK Corporate Governance and

More information

PART 5 DUTIES OF DIRECTORS AND OTHER OFFICERS CHAPTER 1 Preliminary and definitions 219. Interpretation and application (Part 5) 220.

PART 5 DUTIES OF DIRECTORS AND OTHER OFFICERS CHAPTER 1 Preliminary and definitions 219. Interpretation and application (Part 5) 220. PART 5 DUTIES OF DIRECTORS AND OTHER OFFICERS CHAPTER 1 Preliminary and definitions 219. Interpretation and application (Part 5) 220. Connected persons 221. Shadow directors 222. De facto director CHAPTER

More information

PaxForex Introducing Broker Agreement

PaxForex Introducing Broker Agreement PaxForex Introducing Broker Agreement PROVIDES THE FOLLOWING: 1. WHEREAS the IB is interested to introduce new clients to the company subject to the terms and conditions of the present agreement. 2. WHEREAS

More information

BUSINESS AND CORPORATE LAW NOV 2010

BUSINESS AND CORPORATE LAW NOV 2010 BUSINESS AND CORPORATE LAW NOV 2010 SOLUTION 1 a) Limitation of actions requires that since there must be an end to litigation, certain classes of lawsuits must be brought within a fixed period of time,

More information

FOUNDATIONS LAW CONTENTS

FOUNDATIONS LAW CONTENTS DIFC LAW NO. 3 OF 2018 CONTENTS PART 1: GENERAL... 1 1. Title... 1 2. Legislative authority... 1 3. Application of the Law... 1 4. Scope of the Law... 1 5. Date of enactment... 1 6. Commencement... 1 7.

More information

Senate Bill No. 72 Senators Care and Amodei

Senate Bill No. 72 Senators Care and Amodei Senate Bill No. 72 Senators Care and Amodei CHAPTER... AN ACT relating to business entities; adopting the Uniform Limited Partnership Act (2001) and providing for its applicability on a voluntary basis;

More information

JUDGMENT. R v Sally Lane and John Letts (AB and CD) (Appellants)

JUDGMENT. R v Sally Lane and John Letts (AB and CD) (Appellants) REPORTING RESTRICTIONS APPLY TO THIS CASE Trinity Term [2018] UKSC 36 On appeal from: [2017] EWCA Crim 129 JUDGMENT R v Sally Lane and John Letts (AB and CD) (Appellants) before Lady Hale, President Lord

More information

REPEALED LIMITATION ACT CHAPTER 266

REPEALED LIMITATION ACT CHAPTER 266 Section 1 LIMITATION ACT CHAPTER 266 Contents 1 Definitions 2 Application of Act 3 Limitation periods 4 Counterclaim or other claim or proceeding 5 Effect of confirming a cause of action 6 Running of time

More information

March 2016 INVESTOR TERMS OF SERVICE

March 2016 INVESTOR TERMS OF SERVICE March 2016 INVESTOR TERMS OF SERVICE This Agreement is between you and Financial Pulse Limited and sets out the terms on which Financial Pulse offers you access to and use of certain services via the online

More information

Contentious Probate Update. Is want of knowledge and approval effectively a. dead duck following Gill v. Woodall?

Contentious Probate Update. Is want of knowledge and approval effectively a. dead duck following Gill v. Woodall? Contentious Probate Update Is want of knowledge and approval effectively a dead duck following Gill v. Woodall? The Liberal View by Guy Adams, St John s Chambers (Delivered as one side of a debate on the

More information

COMPANIES LAW DIFC LAW NO. 2 OF

COMPANIES LAW DIFC LAW NO. 2 OF COMPANIES LAW DIFC LAW NO. 2 OF 2009 TABLE OF CONTENTS PART 1: GENERAL... 1 1. Title... 1 2. Legislative authority... 1 3. Application of the law... 1 4. Date of enactment... 1 5. Commencement... 1 6.

More information

DISPUTE RESOLUTION RULES

DISPUTE RESOLUTION RULES DISPUTE RESOLUTION RULES First Issued: March 1998 Amended: November 1999 Amended: July 2000 Amended: September 2001 Amended: September 2003 Amended: October 2004 Amended: May 2005 Amended: September 2005

More information

PROTOCOL IN FEE DISPUTES BETWEEN BARRISTERS AND SOLICITORS

PROTOCOL IN FEE DISPUTES BETWEEN BARRISTERS AND SOLICITORS PROTOCOL IN FEE DISPUTES BETWEEN BARRISTERS AND SOLICITORS (as amended by the Council of the Bar Association of Queensland on 13 April 2015) 1. This Protocol is unilaterally applied by the Bar Association

More information

a) You must present acceptable photo identification for admission to the test center.

a) You must present acceptable photo identification for admission to the test center. COMPUTER-BASED TESTING CANDIDATE EXAMINATION AGREEMENT READ THIS EXAMINATION AGREEMENT ( AGREEMENT ) BEFORE PROCEEDING WITH THE (ISC) 2 EXAM AND CERTIFICATION PROCESS. BY TAKING THE EXAMINATION, I AM AGREEING

More information

Legal Services Act 2007 SRA (Disciplinary Procedure) Rules EXECUTIVE SUMMARY

Legal Services Act 2007 SRA (Disciplinary Procedure) Rules EXECUTIVE SUMMARY SRA BOARD 15 January 2010 Public Item 6 CLASSIFICATION PUBLIC Summary Legal Services Act 2007 SRA (Disciplinary Procedure) Rules EXECUTIVE SUMMARY 1. This paper invites the SRA Board to decide on the appropriate

More information

CLSA GLOBAL PORTFOLIO TRADING SERVICES ANNEX. In this Annex, the following capitalised terms have the following meanings:

CLSA GLOBAL PORTFOLIO TRADING SERVICES ANNEX. In this Annex, the following capitalised terms have the following meanings: CLSA GLOBAL PORTFOLIO TRADING SERVICES ANNEX 1. Definitions and Interpretation In this Annex, the following capitalised terms have the following meanings: "Affiliates" shall mean members of the CLSA Group;

More information

Mental Capacity Act 2005 AS IT IS TO BE AMENDED BY THE MENTAL HEALTH ACT 2007

Mental Capacity Act 2005 AS IT IS TO BE AMENDED BY THE MENTAL HEALTH ACT 2007 Mental Capacity Act 2005 AS IT IS TO BE AMENDED BY THE MENTAL HEALTH ACT 2007 Purpose This document is intended to show how the Mental Capacity Act 2005 will look as amended by the Mental Health Act 2007,

More information

including existing and future fixtures, fittings, alterations and additions.

including existing and future fixtures, fittings, alterations and additions. Version 2.3 Account No: Date: In this document: we, us and our means Fleet Mortgages Limited of 2 nd Floor, Flagship House, Reading Road North, Fleet, Hampshire, GU51 4WP (registered in England and Wales

More information

DECISION OF THE SOCIAL SECURITY COMMISSIONER

DECISION OF THE SOCIAL SECURITY COMMISSIONER CH/571/2003 DECISION OF THE SOCIAL SECURITY COMMISSIONER This is an appeal by Wolverhampton City Council ("the Council" ), brought with my leave, against a decision of the Wolverhampton Appeal Tribunal

More information

International Mutual Funds Act 2008

International Mutual Funds Act 2008 International Mutual Funds Act 2008 CONSOLIDATED ACTS OF SAMOA 2009 INTERNATIONAL MUTUAL FUNDS ACT 2008 Arrangement of Provisions PART I PRELIMINARY 1. Short title and commencement 2. Interpretation 3.

More information

LIABILITY IN RESPECT OF OFFERING OF INTERESTS IN A CAYMAN ISLANDS EXEMPTED LIMITED PARTNERSHIP

LIABILITY IN RESPECT OF OFFERING OF INTERESTS IN A CAYMAN ISLANDS EXEMPTED LIMITED PARTNERSHIP LIABILITY IN RESPECT OF OFFERING OF INTERESTS IN A CAYMAN ISLANDS EXEMPTED LIMITED PARTNERSHIP MEMORANDUM CONCERNING LIABILITY IN RESPECT OF OFFERING OF INTERESTS IN A CAYMAN ISLANDS EXEMPTED LIMITED PARTNERSHIP

More information

Before: MR RECORDER BERKLEY MISS EASHA MAGON. and ROYAL & SUN ALLIANCE INSURANCE PLC

Before: MR RECORDER BERKLEY MISS EASHA MAGON. and ROYAL & SUN ALLIANCE INSURANCE PLC IN THE COUNTY COURT AT CENTRAL LONDON Case No: B53Y J995 Court No. 60 Thomas More Building Royal Courts of Justice Strand London WC2A 2LL Friday, 26 th February 2016 Before: MR RECORDER BERKLEY B E T W

More information

Twenty Years Forward, Twenty Years Back A Legal Review. Outline of a Talk to the Professional Indemnity Forum Conference

Twenty Years Forward, Twenty Years Back A Legal Review. Outline of a Talk to the Professional Indemnity Forum Conference Twenty Years Forward, Twenty Years Back A Legal Review Outline of a Talk to the Professional Indemnity Forum Conference William Flenley QC, Hailsham Chambers 1 Summary 1. I have been asked to speak about

More information

LNDOCS01/ COMMERCIAL LICENSING REGULATIONS 2015

LNDOCS01/ COMMERCIAL LICENSING REGULATIONS 2015 LNDOCS01/895081.5 COMMERCIAL LICENSING REGULATIONS 2015 Section TABLE OF CONTENTS Page PART 1: LICENSING OF CONTROLLED ACTIVITIES...4 1. The general prohibition...4 2. Controlled activities...4 3. Contravention

More information

Before : MR JUSTICE KNOWLES CBE Between : (1) C1 (2) C2 (3) C3. - and

Before : MR JUSTICE KNOWLES CBE Between : (1) C1 (2) C2 (3) C3. - and Neutral Citation Number: [2016] EWHC 1893 (Comm) IN THE HIGH COURT OF JUSTICE QUEEN'S BENCH DIVISION COMMERCIAL COURT Case No: CL-2015-000762 Royal Courts of Justice Strand, London, WC2A 2LL Date: 29/07/2016

More information

A breach of contract occurs where a party does not comply with one or more of the terms of contract, express or implied.

A breach of contract occurs where a party does not comply with one or more of the terms of contract, express or implied. CITY UNIVERSITY OF HONG KONG Breach and Remedy Refer to Richards, P. Law of Contract Chapters 16-18 Uff, J. Construction Law 9 th Edition Chapter 9 BREACH OF CONTRACT A breach of contract occurs where

More information

BERMUDA MEDICAL PRACTITIONERS ACT : 38

BERMUDA MEDICAL PRACTITIONERS ACT : 38 QUO FA T A F U E R N T BERMUDA MEDICAL PRACTITIONERS ACT 1950 1950 : 38 TABLE OF CONTENTS 1 2 3 4 5 5AA 5AB 5A 5B 6 7 7A 7B 8 9 10 11 12 12AA 12A 13 13A 14 15 16 17 PRELIMINARY Interpretation Unqualified

More information

Before : MR JUSTICE LEGGATT Between : LONDON BOROUGH OF RICHMOND UPON THAMES. - and

Before : MR JUSTICE LEGGATT Between : LONDON BOROUGH OF RICHMOND UPON THAMES. - and Neutral Citation Number: [2012] EWCA Civ 3292 (QB) Case No: QB/2012/0301 IN THE COURT OF APPEAL (QUEEN S BENCH DIVISION) ON APPEAL FROM THE KINGSTON COUNTY COURT HER HONOUR JUDGE JAKENS 2KT00203 Royal

More information

COMMENTARY JONES DAY. a major shareholder (or represents such a shareholder); or

COMMENTARY JONES DAY. a major shareholder (or represents such a shareholder); or September 2008 JONES DAY COMMENTARY Conflicts of Interest for Private Equity Portfolio Company Directors New statutory provisions governing directors conflicts of interest will come into force on 1 October

More information

REPORTING COMPANY LAW OFFENCES. Information for auditors

REPORTING COMPANY LAW OFFENCES. Information for auditors REPORTING COMPANY LAW OFFENCES Information for auditors September 2009 The Institute of Certified Public Accountants in Ireland ODCE Information Notice I/2009/4 REPORTING COMPANY LAW OFFENCES Information

More information

CONCERNING CONCERNING. MR PAIGNTON of Auckland DECISION

CONCERNING CONCERNING. MR PAIGNTON of Auckland DECISION LCRO 222/09 CONCERNING An application for review pursuant to Section 193 of the Lawyers and Conveyancers Act 2006 AND CONCERNING a determination of the Auckland Standards Committee 2 BETWEEN MR BALTASOUND

More information

Mark Brabazon discusses some of the changes the Legal Profession Act 2004 will make to costs disclosure in New South Wales.

Mark Brabazon discusses some of the changes the Legal Profession Act 2004 will make to costs disclosure in New South Wales. Costs Disclosure New regime more extensive and onerous than its predecessor ILLUSTRATION: NIGEL BUCHANAN Mark Brabazon is a tax and commercial/equity barrister at Fifth Floor Selborne Chambers. His practice

More information

Before : LORD JUSTICE LEWISON LORD JUSTICE FLOYD and LORD JUSTICE PETER JACKSON Between :

Before : LORD JUSTICE LEWISON LORD JUSTICE FLOYD and LORD JUSTICE PETER JACKSON Between : Neutral Citation Number: [2018] EWCA Civ 250 Case No: A3/2016/4009 IN THE COURT OF APPEAL (CIVIL DIVISION) ON APPEAL FROM THE HIGH COURT OF JUSTICE, CHANCERY DIVISION Mr Justice Henderson CH-2016-000066

More information

Limitation period for breach of fiduciary duty 3 years or 10?

Limitation period for breach of fiduciary duty 3 years or 10? Limitation period for breach of fiduciary duty 3 years or 10? 1. It has never been clearly decided what limitation 1 period applies in Jersey to a claim alleging breach of fiduciary duty against a company

More information

Order COLLEGE OF PHARMACISTS OF BRITISH COLUMBIA

Order COLLEGE OF PHARMACISTS OF BRITISH COLUMBIA Order 02-03 COLLEGE OF PHARMACISTS OF BRITISH COLUMBIA David Loukidelis, Information and Privacy Commissioner January 24, 2002 Quicklaw Cite: [2002] B.C.I.P.C.D. No. 3 Document URL: http://www.oipcbc.org/orders/order02-03.pdf

More information

Part 1 Interpretation

Part 1 Interpretation The New Limitation Act Explained Page 1 Part 1 Interpretation This Part defines terms and provides some general principles of interpretation for the new Limitation Act ( new Act ). Division 1 Definitions

More information

The Real Estate Institute of New Zealand Incorporated. The Real Estate Agents Act 2008 Exemption Request:

The Real Estate Institute of New Zealand Incorporated. The Real Estate Agents Act 2008 Exemption Request: JUNE 2016 RESPONSE OF: The Real Estate Institute of New Zealand Incorporated ON The Real Estate Agents Act 2008 Exemption Request: Consultation Material for the New Zealand Institute of Forestry Te Pūtahi

More information

The Reasonable Person Test An Objective/Subjective Dichotomy

The Reasonable Person Test An Objective/Subjective Dichotomy Is it always true that the reasonable person test eliminates the personal equation (Glasgow Corp v Muir, per Lord MacMillan)? In particular, how do you reconcile Philips v William Whiteley with Nettleship

More information

IN THE COURT OF APPEAL. Between THE ATTORNEY GENERAL OF TRINIDAD AND TOBAGO. And

IN THE COURT OF APPEAL. Between THE ATTORNEY GENERAL OF TRINIDAD AND TOBAGO. And REPUBLIC OF TRINIDAD AND TOBAGO IN THE COURT OF APPEAL Civil Appeal No. S 304 of 2017 Between THE ATTORNEY GENERAL OF TRINIDAD AND TOBAGO Appellant And MARCIA AYERS-CAESAR Respondent PANEL: A. MENDONÇA,

More information

CHAPTER 8: GENUINE AGREEMENT

CHAPTER 8: GENUINE AGREEMENT CHAPTER 8: GENUINE AGREEMENT GENUINE AGREEMENT AND RESCISSION A valid offer and valid acceptance generally results in an enforceable contract. If one of the parties used physical threats to acquire the

More information

Contract and Tort Law for Engineers

Contract and Tort Law for Engineers Contract and Tort Law for Engineers Christian S. Tacit Tel: 613-599-5345 Email: ctacit@tacitlaw.com Canadian Systems of Law There are two systems of law that operate in Canada Common Law and Civil Law

More information

UNITED STATES DISTRICT COURT EASTERN DISTRICT OF WISCONSIN. Case No. 12-C-884-JPS CLASS ACTION PROOF OF CLAIM AND RELEASE FORM

UNITED STATES DISTRICT COURT EASTERN DISTRICT OF WISCONSIN. Case No. 12-C-884-JPS CLASS ACTION PROOF OF CLAIM AND RELEASE FORM PENSION TRUST FUND FOR OPERATING ENGINEERS and ROBERT LIFSON, Plaintiffs, v. ASSISTED LIVING CONCEPTS, INC. and LAURIE BEBO, Defendants. UNITED STATES DISTRICT COURT EASTERN DISTRICT OF WISCONSIN Case

More information

Conflict of Interest Guidelines

Conflict of Interest Guidelines When in doubt ask your personal legal advisor whether a conflict of interest exists. Introduction Section 4.3 for Members of Councils and Local Boards At some point, a question may arise as to whether

More information

BERMUDA 2004 : 32 OMBUDSMAN ACT 2004

BERMUDA 2004 : 32 OMBUDSMAN ACT 2004 BERMUDA 2004 : 32 OMBUDSMAN ACT 2004 Date of Assent: 17 December 2004 Operative Date: 1 May 2005 1 Short title 2 Interpretation 3 Application of the Act 4 Office of Ombudsman 5 Functions and jurisdiction

More information

THE GENERAL ASSEMBLY OF PENNSYLVANIA SENATE BILL INTRODUCED BY GREENLEAF, ALLOWAY, SCHWANK, FONTANA, MENSCH AND HUGHES, MARCH 6, 2013

THE GENERAL ASSEMBLY OF PENNSYLVANIA SENATE BILL INTRODUCED BY GREENLEAF, ALLOWAY, SCHWANK, FONTANA, MENSCH AND HUGHES, MARCH 6, 2013 PRIOR PRINTER'S NO. PRINTER'S NO. THE GENERAL ASSEMBLY OF PENNSYLVANIA SENATE BILL No. Session of INTRODUCED BY GREENLEAF, ALLOWAY, SCHWANK, FONTANA, MENSCH AND HUGHES, MARCH, SENATOR GREENLEAF, JUDICIARY,

More information

AMENDED AND RESTATED BY-LAWS PRUDENTIAL FINANCIAL, INC. A New Jersey Corporation. Effective November 14, 2017

AMENDED AND RESTATED BY-LAWS PRUDENTIAL FINANCIAL, INC. A New Jersey Corporation. Effective November 14, 2017 AMENDED AND RESTATED BY-LAWS of PRUDENTIAL FINANCIAL, INC. A New Jersey Corporation Effective November 14, 2017 AMENDED AND RESTATED BY-LAWS OF PRUDENTIAL FINANCIAL, INC. (hereinafter called the Corporation

More information

Limitations Act 2002: A huge reform of existing law

Limitations Act 2002: A huge reform of existing law Limitations Act 2002: A huge reform of existing law by Graeme Mew Gowling Lafleur Henderson LLP On December 9, 2002, the Ontario legislature passed Bill 213 - the Justice Statute Law Amendment Act - by

More information

Memorandum of Understanding. between. HM Land Registry. and. Solicitors Regulation Authority (SRA)

Memorandum of Understanding. between. HM Land Registry. and. Solicitors Regulation Authority (SRA) Memorandum of Understanding between HM Land Registry and Solicitors Regulation Authority (SRA) 1 Introduction 1. HM Land Registry (LR) and the Solicitors Regulation Authority (SRA) ("the parties") are

More information

INSTITUTE OF LEGAL EXECUTIVES RIGHTS OF AUDIENCE CERTIFICATION RULES

INSTITUTE OF LEGAL EXECUTIVES RIGHTS OF AUDIENCE CERTIFICATION RULES INSTITUTE OF LEGAL EXECUTIVES RIGHTS OF AUDIENCE CERTIFICATION RULES JANUARY 2011 RIGHTS OF AUDIENCE CERTIFICATION RULES DEFINITIONS 1. In these Rules, except where otherwise indicated: "Advocacy Certificate"

More information

Strict Liability and Product Liability PRODUCT LIABILITY WARRANTY LAW

Strict Liability and Product Liability PRODUCT LIABILITY WARRANTY LAW Strict Liability and Product Liability PRODUCT LIABILITY The legal liability of manufacturers, sellers, and lessors of goods to consumers, users and bystanders for physical harm or injuries or property

More information

State Owned Enterprises Act 1992

State Owned Enterprises Act 1992 No. 90 of 1992 TABLE OF PROVISIONS Section 1. Purposes 2. Commencement 3. Definitions 4. Subsidiary 5. Act to prevail 6. Act to bind Crown PART 1 PRELIMINARY PART 2 STATUTORY CORPORATIONS: REORGANISATION

More information

574 [1969] REGINA v. GRANTHAM

574 [1969] REGINA v. GRANTHAM 574 [1969] [COURTS-MARTIAL APPEAL COURT] " REGINA v. GRANTHAM 1969 Feb. 20; March 20 Lord Parker C.J., Widgery L.J. and Lawton J. Military Law Courts-Martial Appeal Court Jurisdiction Right -n of appeal

More information

Cuthbert v Gair (t/a The Bowes Manor Equestrian Centre) [2008] APP.L.R. 09/03

Cuthbert v Gair (t/a The Bowes Manor Equestrian Centre) [2008] APP.L.R. 09/03 JUDGMENT : Master Haworth : Costs Court. 3 rd September 2008 1. This is an appeal pursuant to CPR Rule 47.20 from a decision of Costs Officer Martin in relation to a detailed assessment which took place

More information

NC General Statutes - Chapter 32C Article 1 1

NC General Statutes - Chapter 32C Article 1 1 Chapter 32C. North Carolina Uniform Power of Attorney Act. Article 1. Definitions and General Provisions. 32C-1-101. Short title. This Chapter may be cited as the North Carolina Uniform Power of Attorney

More information

BANKRUPTCY ACT (CHAPTER 20)

BANKRUPTCY ACT (CHAPTER 20) BANKRUPTCY ACT (CHAPTER 20) Act 15 of 1995 1996REVISED EDITION Cap. 20 2000 REVISEDEDITION Cap. 20 37 of 1999 42 of 1999 S 380/97 S 126/99 S 301/99 37 of 2001 38 of 2002 An Act relating to the law of bankruptcy

More information

The clause (ACAS Form COT-3) provided:

The clause (ACAS Form COT-3) provided: THE CONSTRUCTION OF COMPROMISE AGREEMENTS The leading case is Bank of Credit and Commerce International SAI v Ali [2001] UKHL 8; [2002] 1 AC 251. It was also an extreme case where the majority of the House

More information