General Rules About Application For Court Orders
General Rules About Application For Court Orders
23.1 Definitions:
4.1 Categories:
Timely Service:
Rule 23.7(1) mandates that a copy of the application notice
must be served:
As soon as practicable after filing.
At least 3 days before the court is scheduled to address
the application, unless a different time limit is specified
in a rule, practice direction, or court order.
Supporting Written Evidence:
If the court is responsible for serving a copy of the application
notice, the applicant must file any supporting written evidence
when filing the application notice (Rule 23.7(2)).
When serving the application notice, it must be accompanied
by copies of:
Any supporting written evidence.
Any draft order attached to the application (Rule
23.7(3)).
Shorter Notice Period:
In cases where the period of notice provided is shorter than
required by the rules or practice direction, the court has
discretion to determine if sufficient notice has been given and
proceed with the application (Rule 23.7(4)).
Exemptions from Re-filing and Re-serving:
Rule 23.7(5) specifies that written evidence does not need to
be re-filed or re-served if it has already been filed or served on
a party.
Supporting Evidence for Interim Remedies:
Service Requirements:
A copy of the application notice must be served promptly after
filing (Rule 23.7(1)(a)).
Notice must be provided at least 3 days before the court
addresses the application, unless a different timeframe is
specified by a rule, practice direction, or court order (Rule
23.7(1)(b)).
Accompanying Documentation:
When serving the application notice, it must be accompanied
by:
Copies of any supporting written evidence.
Copies of any draft order attached to the application
(Rule 23.7(3)).
Court's Discretion:
If the period of notice is shorter than required by the rules or
practice directions, the court may still proceed with the
application if it deems sufficient notice has been given based
on the circumstances (Rule 23.7(4)).
Exemptions:
Written evidence does not need to be filed again if it has
already been submitted, nor does it need to be served on a
party who has already received it (Rule 23.7(5)).
These provisions ensure that parties have adequate time to prepare and
respond to interim applications, promoting fairness and procedural
regularity in court proceedings.
Legal Obligation:
Applicants, including those representing themselves, have a
duty to provide complete and candid disclosure of all relevant
matters on applications made without notice (Fitzgerald v
Williams [1996] Q.B. 657, CA).
Scope of Disclosure:
This includes disclosing any facts or laws that might affect the
judge's decision on granting relief or determining what relief
to grant (Fitzgerald v Williams [1996] Q.B. 657, CA).
Applicants must disclose significant factual, legal, and
procedural aspects of the case to the court (Memory Corp Plc
v Sidhu (No.2) [2000] 1 W.L.R. 1443, CA).
Policy Consideration:
The duty aims to minimize the risk of errors when the court
makes orders affecting the interests of a party who hasn't had
the opportunity to be heard (Memory Corp Plc v Sidhu (No.2)
[2000] 1 W.L.R. 1443, CA).
Obligation to the Court:
The duty is owed to the court itself to maintain the integrity of
the judicial process and protect the interests of those affected
by the order sought (Re OJSC ANK Yugraneft [2008] EWHC
2614 (Ch)).
Consequences of Breach:
Breach of this duty may lead to the court setting aside its
order and refusing to renew it, particularly in cases of freezing
and search orders (Re OJSC ANK Yugraneft [2008] EWHC 2614
(Ch)).
Guidance from Case Law:
In Marc Rich & Co Holding GmbH v Krasner [1999] C.L.Y. 487,
Bingham J outlined specific requirements for applicants:
Demonstrate utmost good faith.
Summarize the case and evidence in support of the
application.
Identify crucial points for and against the application.
Investigate the claim and potential defenses.
Disclose all facts relevant to the judge's decision.
Advocate's Duty:
Advocates have a responsibility to ensure correct legal
procedures, prepare written arguments, and draw the court's
attention to relevant evidence and legal principles (Memory
Corp Plc v Sidhu (No.2) [2000] 1 W.L.R. 1443, CA).
Overlap with Litigant's Responsibility:
The duty extends beyond factual matters, and there is often
overlap between the litigant's responsibility and the
advocate's duty to the court (Memory Corp v Sidhu (No.2)
[2000] 1 W.L.R. 1443, CA).
Legal Principle:
In cases of interim injunctions, failure to observe the duty of
full and fair disclosure may lead to the court discharging the
injunction.
No Excuse for Non-disclosure:
Ignorance of the importance of omitted matters is not a valid
excuse for the applicant. The duty of disclosure applies
regardless of the applicant's awareness.
Consequences of Non-observance:
Even if the court believes that the injunction would have been
granted even with full disclosure, failure to observe the duty
may still lead to discharge of the injunction.
Judicial Precedent:
Scrutton LJ restated this principle in R. v Kensington Income
Tax Commissioners Ex p. de Polignac [1917] 1 K.B. 486, CA.
Jacob J also reviewed the authorities in OMV Supply & Trading
AG v Clarke [1999] C.L.Y. 435.
Purpose of the Rule:
Deprivation of Improper Advantage: Discharging the
injunction deprives the wrongdoer of any improperly obtained
advantage.
Deterrent Effect: It acts as a deterrent, ensuring that
applicants realize their duty and the potential consequences,
including liability in costs.
Case Law Example:
In Brink’s-MAT Ltd v Elcombe [1988] 1 W.L.R. 1350, this
principle was exemplified, emphasizing the consequences of
failing to fulfill the duty of disclosure.
This rule serves to maintain the integrity of the legal process, ensuring
fairness and preventing abuse of court procedures.
Judicial Criticism:
Judges have criticized litigants who, upon being subject to
interim injunctions, allege material non-disclosure on weak
grounds or seek discharge based on minor errors.
Disproportionate Conduct:
Litigants engaging in such behavior may face criticism for
disproportionate conduct in legal proceedings, regardless of
their financial means compared to their opponents.
Judicial Vigilance:
Judges are vigilant in preventing disproportionate litigation
tactics and may intervene to maintain fairness in proceedings.
Marginal Relevance of Evidence:
There are instances where conflicting evidence on alleged
non-disclosure issues may be of marginal relevance or best
left for resolution during the trial.
Avoiding Satellite Litigation:
Concerns have been raised about applications to set aside
freezing injunctions leading to substantial "satellite litigation."
Summary Resolution of Issues:
Issues of non-disclosure or abuse of process should ideally be
dealt with concisely and not become a form of preliminary
trial.
Reserving Issues for Trial:
It is generally inappropriate to seek to set aside a freezing
order for non-disclosure if proof of non-disclosure relies on
facts in dispute, as these issues should be reserved for trial.
Case Law Example:
In Kazakhstan Kagazy Plc v Arip [2014] EWCA Civ 381, the
Court of Appeal emphasized the need to deal with issues of
non-disclosure or abuse of process concisely, stating that
detailed analysis of possible inferences should not be required
during a without-notice application.
Introduction:
Scope of Application:
Clarity of Relief:
Ensuring clarity and specificity in defining the relief sought is essential for
the grant of an interim injunction. Failure to do so may result in the denial
of the injunction.
Legal Framework:
Section 37 of the Senior Courts Act 1981 provides the court
with broad discretion to grant injunctions if deemed just and
equitable.
Personal jurisdiction over the respondent is a prerequisite for
the court's authority.
Unlimited Discretion:
The court's discretion in granting injunctions is unlimited,
subject to statutory restrictions.
Broad Idea International Ltd v Convoy Collateral Ltd and
Fourie v Le Roux establish the broad discretion of the court in
granting injunctions.
Persuasive Precedents:
While Broad Idea is not legally binding, it holds significant
persuasive value and is considered influential in guiding
judicial decisions.
Re G (Court of Protection: Injunction) affirms the persuasive
weight of Broad Idea, suggesting adherence to its principles.
Exercise of Discretion:
Instances where courts have declined jurisdiction often reflect
the court's decision not to exercise its power rather than a
lack of jurisdiction.
The court may decline to grant injunctive relief in accordance
with established practices, except in specific circumstances.
Cross-Undertaking in Damages:
Applicants must provide a cross-undertaking in damages,
ensuring compensation for any losses incurred by the
respondent due to the injunction.
Notice Requirement:
Interim injunction applications should generally be made with
notice to the respondent, except in limited circumstances
where urgent action is necessary.
Duty of Full and Frank Disclosure:
Applicants have a duty to make full and frank disclosure of all
relevant facts and legal aspects to the court, minimizing the
risk of error in the decision-making process.
Preference for Prohibitory Injunctions:
Courts may be more hesitant to grant mandatory injunctions
due to the potential for irremediable prejudice, compared to
prohibitory injunctions.
Overriding Objective:
The court must adhere to the overriding objective of dealing
with cases justly and at proportionate cost, ensuring fairness
and efficiency in the legal process.
Avoidance of Resolving Critical Disputed Questions:
Courts should refrain from resolving critical disputed questions
of fact or complex legal issues during interim injunction
hearings, especially when these issues are central to the case
and remain uncertain.
Consideration of Delay in Freezing Order Applications:
Delay in applying for a freezing injunction may impact the
court's assessment of the risk of dissipation of assets. Delays
could cast doubt on the urgency of the situation or allow the
respondent to dissipate assets.
Jurisdictional Authority:
The court's authority to grant injunctions stems from Section
37 of the Senior Courts Act 1981, allowing the court to issue
injunctions when it deems just and convenient, with wide
discretionary powers.
Flexibility in Injunction Terms:
Injunctions may be granted unconditionally or with specific
terms deemed just by the court, ensuring flexibility in
addressing the circumstances of each case.
Background:
The American Cyanamid Co v Ethicon Ltd case established the procedure and tests
for the court when considering an application for an interlocutory injunction.
Initial Question:
If there is a serious question, the court evaluates whether damages would suffice as a
remedy for the injured party in case of an injunction. If damages are deemed
inadequate, further consideration is warranted.
3. Balance of Convenience:
If damages are inadequate, the court weighs the balance of convenience to
determine whether granting or denying the injunction is more appropriate,
considering the overall impact on both parties.
Two-Stage Approach:
The court should apply a two-stage approach when evaluating the adequacy of
damages and the balance of convenience.
Guidance on Application:
The case provided guidelines on how the court should approach these
questions, ensuring consistency and fairness in decision-making.
Underlying Principles:
Threshold Requirement:
The threshold requirement ensures that only cases with merit proceed to
further consideration.
Equitable Relief:
The court aims to provide equitable relief, balancing the interests of both
parties and ensuring fairness in the resolution of disputes.
Conclusion: The American Cyanamid case introduced a structured approach for courts to
follow when considering applications for interlocutory injunctions, emphasizing the
importance of a serious question to be tried, the adequacy of damages, and the balance of
convenience. These principles ensure fairness and consistency in the granting of injunctions,
safeguarding the interests of all parties involved.
Principles for a Serious Question to be Tried
The guidelines derived from the case of Fellowes & Son v Fisher:
1. Two-Stage Approach:
Lord Diplock in R. v Secretary of State for Transport, Ex p.
Factortame Ltd (No.2) outlined a two-stage approach. The first
stage involves considering whether damages would
adequately compensate the claimant or defendant, depending
on the situation.
2. Guidelines (1) and (2) by Browne LJ:
Browne LJ's guidelines focus on whether damages would be an
adequate remedy for the claimant or defendant. If damages
suffice for the claimant or defendant, the court may not grant
an interlocutory injunction.
3. Proportionality of Harm:
The nature and degree of harm and inconvenience, for which
monetary compensation is inadequate, are crucial factors.
These disproportionate harms to both parties heavily influence
the decision-making process.
4. Practical Limitations of Guideline (2):
A strict application of guideline (2) could lead to automatic
injunctions whenever a serious issue arises, coupled with the
availability of damages. However, this approach may not align
with the intention behind Lord Diplock's guidelines.
5. Case Law Illustration - AB v CD [2014] EWCA Civ 229:
In a contractual dispute involving a damages clause limiting
recoverable losses, the Court of Appeal emphasized that
damages clauses do not automatically preclude the granting
of injunctions. The court considered various factors beyond
direct financial losses, and the pre-quantification of damages
did not undermine the claim for an injunction to prevent
further breaches.
1. Transition to Stage 2:
If doubts arise regarding the adequacy of remedies in
damages for either party, the court proceeds to the second
stage, known as the "balance of convenience." This stage
aims to determine where the overall balance lies regarding
the granting or refusal of an interlocutory injunction.
2. Interpretation of "Convenience":
The term "convenience" in the context of s.37(1) of the Senior
Courts Act 1981 signifies what is just and appropriate.
However, in some cases, the balance to be struck is viewed as
more substantial than mere convenience and is better
characterized as the "balance of the risk of doing an injustice."
3. Consideration of All Circumstances:
The court examines all circumstances of the case to
determine the balance of convenience. Lord Goff emphasized
the importance of Lord Diplock's guidelines (3) and (7) in
Fellowes & Son v Fisher, which highlight the varied factors
influencing this balance and caution against attempting to
assign relative weights to them.
4. Predicting Irremediable Prejudice:
The court engages in predicting the potential for irremediable
prejudice to either party based on the grant or withholding of
the injunction. The guiding principle is to choose the course of
action least likely to cause irreparable harm.
5. Role of Cross-Undertaking in Damages:
The willingness of the applicant to provide a cross-undertaking
in damages significantly influences the court's decision on
whether to grant the interim injunction. The prospect of the
unsuccessful claimant compensating the defendant for losses
incurred during the injunction period weighs heavily in
assessing the balance of convenience.
Case Reference - Birch v Birch [2017] UKSC 53; [2017] 1 W.L.R. 2959, SC:
The Supreme Court clarified that a court lacks the power to impose any
variation on voluntary promises.
A litigant seeking to cease their obligation under an undertaking should apply
for its release or discharge.
The applicant may offer a further undertaking with different terms, which the
court may accept and grant the release based on it.
The court may conditionally grant release contingent on the applicant
providing an additional or differently termed undertaking.
Legal Basis:
The Senior Courts Act 1981 s.37(2) empowers the court to
issue an interlocutory injunction either unconditionally or
subject to terms and conditions deemed just by the court.
Historical Practice:
In American Cyanamid Co v Ethicon Ltd [1975] A.C. 396, HL,
Lord Diplock elucidated the long-standing practice regarding
interlocutory injunctions.
Since at least the mid-19th century, the prevailing practice
has been to attach conditions to the grant of interlocutory
injunctions.
Specifically, this condition entails the claimant providing an
undertaking to compensate the defendant for any losses
suffered due to the injunction if it's subsequently determined
at trial that the claimant was not entitled to the relief sought.
Instances where this compensation obligation may arise
include discontinuation of proceedings, discharge of the
injunction before trial, or a determination at trial that the
claimant's entitlement to restrain the defendant was
unjustified.
Voluntary Nature:
The court lacks the authority to compel an applicant to
provide a cross-undertaking. However, it can refuse to grant
an injunction unless the applicant offers one.
If the court decides to impose such a condition, it's at the
discretion of the applicant to decide whether they are willing
to provide it. Failure to comply may result in the injunction
being denied.
Material Consideration:
The willingness of the applicant to provide a cross-undertaking
is a crucial factor in the court's decision to order an interim
injunction.
An unsuccessful claimant will be liable to compensate the
defendant for any losses incurred due to compliance with the
interim remedy during its effective period.
Retrospective Imposition:
A cross-undertaking cannot be imposed retrospectively,
highlighting its voluntary nature.
Express and Implied Undertakings:
Typically, the cross-undertaking is expressly provided by the
applicant and explicitly incorporated into the court's order.
However, even if not expressly stated, the court may enforce
an implied undertaking unless explicitly agreed otherwise at
the time.
Limited Undertakings:
If a limited cross-undertaking is offered and accepted by the
court, there's generally no room for implying further
obligations beyond what was explicitly offered and accepted.
Fortification with Security:
As an additional condition, the claimant may be required to
fortify the undertaking by providing security.
Purpose and Assessment:
The purpose of a cross-undertaking in damages is to ensure
compensation for any losses incurred concerning the
injunction or undertaking.
The court may need to assess the potential kind and extent of
loss to determine the adequacy of the undertaking, with or
without fortification.
Legal Precedents:
Legal precedents like Re DPR Futures Ltd [1989] 1 W.L.R. 778
and Sinclair Investment Holdings S.A. v Cushnie [2004] EWHC
218 provide guidance on the assessment of undertakings'
value and adequacy.
Financial Limitations:
Impecunious or financially limited applicants may struggle to
offer a credible undertaking or may be unwilling to provide
one to the fullest extent.
Legal Precedent - Allen v Jambo Holdings Ltd:
In Allen v Jambo Holdings Ltd [1980] 1 W.L.R. 1252, CA, it was
established that the court should not deny an interlocutory
injunction to a legally aided claimant solely based on the
limited value of their undertaking in damages. Financial
stability should not impact the pursuit of justice.
Burden of Proof:
If an applicant cannot provide an unlimited cross-undertaking,
the burden is on them to demonstrate why they are unable to
access external funds and why a lesser undertaking should
suffice.
Legal Precedent - JSC Mezhdunarodniy Promyshlenniy Bank
v Pugachev:
In JSC Mezhdunarodniy Promyshlenniy Bank v Pugachev
[2015] EWCA Civ 139, CA, it was emphasized that the
applicant must show why they are unable to offer a
meaningful undertaking, potentially drawing on similar criteria
used in assessing financial resources in other legal contexts.
Goldtrail Travel Ltd v Onur Air Tasimacilik AS:
The Supreme Court's criterion from Goldtrail Travel Ltd v Onur
Air Tasimacilik AS [2017] UKSC 57 may be applicable,
requiring the applicant to establish, on the balance of
probabilities, the unavailability of funds from any source
closely associated with them to fulfill the requirement of
providing a meaningful cross-undertaking in damages.