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# South Africa: South Gauteng High Court, Johannesburg
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[2022] ZAGPJHC 781
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## Lombard Insurance Company Limited v McCrae (09093/13)
[2022] ZAGPJHC 781 (13 October 2022)
Lombard Insurance Company Limited v McCrae (09093/13)
[2022] ZAGPJHC 781 (13 October 2022)
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sino date 13 October 2022
SAFLII
Note:
Certain
personal/private details of parties or witnesses have been
redacted from this document in compliance with the law
and
SAFLII
Policy
FLYNOTES:
COMMERCIAL COURT DIRECTIVE
Civil
procedure – Commercial Court – Actions designated
“commercial” in terms of the Commercial Court
Directive – Procedural steps in peremptory terms –
Where parties choose the commercial track they are ordinarily
obliged to adhere to the procedure set out in the Directive –
Interpretation and application of Directive
.
REPUBLIC
OF SOUTH AFRICA
IN
THE HIGH COURT OF SOUTH AFRICA
GAUTENG
DIVISION, JOHANNESBURG
CASE
NO.: 09093/13
REPORTABLE:
YES
OF
INTEREST TO OTHER JUDGES: YES
REVISED:
NO
13/10/2022
In
the matter between:
LOMBARD
INSURANCE COMPANY LIMITED
(Registration
Number:
1990/001253/06)
Plaintiff
and
GORDON
ANDREW McCRAE
(Identity
Number:
[....])
Defendant
JUDGMENT
PULLINGER,
AJ
(
Summary
–
actions designated “commercial” in terms of
the Commercial Court Directive. The procedural steps stipulated in
the Directive
are couched in peremptory terms. Where parties choose
the commercial track they are ordinarily obliged to adhere to the
procedure
set out in the Directive. Cases designated as commercial
cases should be disposed of expeditiously, in accordance with a clear
timetable and the procedure stipulated in the Directive (unless a
particular provision in the Directive is not applicable))
.
Introduction
[1]
This matter came before me from the Commercial Court as a civil
trial.
[2]
On 19 November 2020, the learned case management judge certified this
matter as trial ready. But the matter was not ripe for trial.
[3]
This judgment is occasioned, therefore, by a postponement application
at the behest of the defendant. Succinctly stated, the defendant is
not ready to proceed to trial, either on the action as a whole,
or on
the issue he raises in his special plea.
[4]
The facts giving rise to the postponement application are not
contentious.
[5]
On 26 April 2022, the plaintiff’s attorneys applied for the
allocation
of a trial date.
[6]
The trial date of 3 October 2022 was allocated in or during the
beginning
of May 2022, and a notice of set down was delivered by
the plaintiff’s attorneys on 5 May 2022.
[7]
At the beginning of July 2022, the defendant appointed Messrs
Otto
Krause Inc as his attorneys. At the time of their appointment,
the defendant provided Otto Krause Inc with such documents as he
had
in his possession.
[8]
By 18 July 2022, Otto Krause Inc found themselves in the
position
that they would not be ready to proceed with the trial in
this action on 3 October 2022. On that date, a letter was
dispatched
to the plaintiff's attorneys requesting that the action be
postponed for the following reasons:
"5.
In short … we record that it is our
understanding that the matter is set down for trial for 4 October
2022, our client for a long period did not have the benefit of legal
representation and that our client seeks postponement of the
matter
for the reasons as are more fully set out hereunder.
6.
Our clients [
sic
] position remains at
the basis of the suretyship that your client is attempting to enforce
against him is for the contractual obligations
contained in the
surety document itself. This our client contends is incorrect because
the correct construct of a suretyship should
rather be that any
liability of our client under the suretyship should arise from the
principal's debtors [
sic
] breach of the contract.
7.
In this regard we would appreciate it if you
would favourably consider this request for a postponement
sine die
and after careful consideration of the following:
7.1
during the hearing of the matter, a
clear distinction was going to be drawn between:
7.1.1
the obligation which arises from the
principal debtor's breach of contract, that being the principal
obligation that the surety document offers security for; and
7.1.2
the contractual debt itself, i.e. the surety
document, which is in fact a secondary legal obligation,
and attached
to your clients' [
sic
] particulars of claim as "L5".
8.
The matter in broad terms therefore clearly relates to a written
contract of surety and the
remedies available to a surety under such
circumstances. In this regard it is trite that the obligation between
a creditor and
a surety is the same as that of the obligation between
the creditor and the principal debtor.
9.
It has always been our client's contention
that the contractual debt is contrived because of the historic
certification that was merely repeated later to complete your clients
[
sic
] cause of action. Our client remains steadfast on this
point as well as the resulting prescription argument.
10.
Moreover, there was never any primary obligation between
our respective clients or any performance obligation on
our client.
Therefore, our clients [
sic
] position remains that any
obligation that he may have towards your client is the result of the
obligation which arises from the
principal debtors [
sic
]
alleged breach of the contract, which necessitated the payments by
your client as a result of the guarantees that it issued.
11.
The furtherance of the matter on 4 October 2022 will
consequently be dependant on a proper and full investigation
of the
principal debtors [
sic
] alleged breach of contract (the
primary obligation) and not the secondary contractual debt itself,
i.e. the surety document.
12.
We respectfully submit that you will agree that if the
surety document created a primary obligation, your client
would for
instance have the right to call on our client to fulfil the contract
obligations of the primary debtor by for instance
seeking specific
performance of its obligations. Obviously, this is not your client's
position in that it only seeks enforcement
of the secondary
obligation, i.e. the suretyship.
13.
It is further trite that a surety normally becomes
enforceable as soon as the principal debtor is in default. Moreover,
ex facie
the document attached as "L5" to the
particulars of claim, it is alleged that our client found himself as
co principal
debtor jointly and severally with MDM.
Consequently, any liability of our client becomes enforceable at the
same time as MDM (the
principal debtor) was in default.
14.
There have now been numerous matters that commenced in
the South Gauteng High Court (Johannesburg) that dealt at
length with
the questions of the alleged default of MDM in the Loulo Project in
Mali. See for instance in this regard:
14.1.1
Case Number: 2006
06/3034;
14.1.2
Case Number: 2006
06/6507;
14.1.3
Case Number: 2008
08/36671;
14.1.4
Case Number: 2011
11/45553.
15.
None of these matters resulted in the final
determination by the court on the date of the alleged default was or
even whether MDM was ever in fact in default of its obligations.
16.
We therefore respectfully submit that at the very least
these cases point to the fact that the court hearing this
matter will
need to consider all the facts to determine the principal debtor
[
sic
] alleged default before it could ultimately decide on the
obligation which arises from the principal debtor's breach of
contract.
17.
We speculate but imagine that this was one of the
reasons why your client approached the court for separation of
issues
and in order to have the prescription issue and the question of
default heard separately. The ultimate failure of that application
in
the finding by Fischer J that " …
a hearing
of the entire factual complex will be beneficial if not necessary for
a proper determination of the matter
", supports our client's
contention that a "
holistic ventilation
" of all the
issues is needed.
18.
In the current matter the alleged default of MDM will
consequently play a central role in the final determination
of the
matter. This is going to necessitate but not be limited to the
leading of evidence on:
18.1
the voluminous Loulo Project in Mali contract;
18.2
the certification by J Steel and his whole evidence
in that regard;
18.3
the conclusion of the repayment agreement and the
outcome thereof;
18.4
the oral evidence of Watson and his report;
18.5
the final L & D accounts of the different companies
and the evidence by the liquidators in that regard;
18.6
payments made by Somilio and by others to the
liquidators …".
[9]
The contentions in this letter form the basis of the defendant's
allegations
in his application for postponement. I express no opinion
on the correctness or otherwise of the legal submissions in Otto
Krause
Inc’s letter, and no submissions in relation thereto
were advanced in argument before me.
[10]
The
approach taken by Otto Krause Inc on behalf of the defendant appears
responsible and in accordance with the principles stated
in
Myburgh
Transport
.
[1]
[11]
The plaintiff declined the defendant’s request on 30 August
2022. A further request
that the trial be postponed by agreement was
made on 8 September 2022 and, from what I am able to deduce,
declined on or about
12 September 2022.
[12]
This, very properly, occasioned a substantive application launched by
the defendant on
21 September 2022.
[13]
The plaintiff opposed the application for postponement on numerous
cogent grounds. The
most significant of which is that this
postponement is the third postponement in the matter, and that the
defendant has been absolutely
supine in preparing his defence over a
very extended period of time.
[14]
The argument has merit. The current version of the plea is dated
29 August 2016. The
plea is a comprehensive and well drawn
pleading that could only have been prepared with the assistance of
the defendant and
on his instruction.
[15]
For reasons that are opaque, the attorneys of record then acting for
the defendant withdrew
and new attorneys were appointed at a very
late stage.
Procedural
background
[16]
This action commenced by way of combined summons on 13 March 2013. On
17 April 2013,
Messrs Wayne van Niekerk Inc. entered a notice of
intention to defend on behalf of the defendant. The plaintiff then
applied for
summary judgment and the defendant delivered an affidavit
opposing such summary relief. As far as I am able to determine, the
court
granted the defendant leave to defend the action by agreement.
[17]
Thereafter, this matter appears to have meandered towards a trial on
19 May 2015.
The trial on 19 May 2015 was postponed by agreement
because the defendant was not in possession of certain documents,
apparently
in the possession of his erstwhile attorney, Wayne van
Niekerk, who had by then been struck from the roll of attorneys. Some
correspondence
was exchanged between Messrs Alexander Montano
Attorneys, then acting for the defendant, and the plaintiff’s
attorneys regarding
various documents, before Messrs Schindlers
Attorneys were appointed by the defendant, and the trial again
postponed so that a
substantive amendment could be effected to the
plea. As recorded above, the current version of the plea delivered on
behalf of
the defendant by Schindlers Attorneys was delivered at the
end of August 2016.
[18]
In 2018, the plaintiff launched an application for a separation of
issues in terms of Rule 33(4).
The application for separation
sought to separate the special plea and the issues in paragraphs 21,
22 and 25 of the defendant's
plea from the remainder of the issues in
the action.
[19]
This application was argued before Fischer J on 31 July 2018.
The defendant was unrepresented
and opposed the application for
separation of issues himself.
[20]
On 16 August 2018, the learned judge dismissed the separation
application for the reason
that:
"[13]
It seems to me that a hearing of the entire factual complex will be
beneficial if not necessary for a proper determination
of the matter.
The fact that the claim is based on a hierarchy of obligations which
are part of a broader contractual context militates
against the
granting off the order sought. I am not persuaded that a separation
of the issues along the lines proposed by the plaintiff
will
necessarily be more convenient than a holistic hearing. Nor am I
persuaded that a holistic ventilation of all issues will
result on a
significantly more protracted determination of the issues. In fact,
it seems inevitable that an attempt to try the
proposed issues
separately will lead to a broader enquiry."
[21]
In the hope that the special plea of prescription could, at least, be
disposed of, I canvassed
with Mr Garvey, for the defendant, the
possibility of the trial proceeding solely on the question of
prescription raised in
the defendant's special plea. At face value,
and as pointed out by Mr Daniels SC, for the plaintiff, the
formulation of the
defendant's special plea is very narrow.
Prima
facie
, it requires the interpretation of a series of security
agreements. There is no contention that any of the security
agreements
are not what they purport to be, or in any manner
ambiguous.
[22]
Mr Garvey, having taken instructions, reiterated his client's
position, being that substantial
evidence would be required for the
special plea to be determined.
[23]
I have
reservations whether any of the evidence required by the Defendant
would be admissible at trial. The law relating to the
admissibility
of evidence of surrounding circumstances is now settled.
[2]
Issues of admissibility are determined with regard the relevance of
the evidence to the issues on the pleadings
[3]
for, if they are not relevant to the issues as formulated in the
pleadings, the evidence is
ex
lege
inadmissible.
[4]
This is one of
the reasons that I decided to reserve the question of costs, and is
something to which I shall return shortly.
[24]
Subsequent to the plaintiff’s separation application failing,
and on 5 February
2019, the plaintiff applied for the
designation of this matter as a "
commercial
matter
",
and that it be prosecuted in accordance with the Commercial Court
Practice Directive of 3 October 2018 ("
the Directive
").
[25]
On 22 February 2019, this action was certified as a commercial court
case and became subject
to the Directive.
The Commercial Court
Directive
[26]
The
relevant portions of the Directive
[5]
provide:
"CHAPTER
3 – THE FIRST CASE MANAGEMENT CONFERENCE
1.
As soon as reasonably possible after the
Commercial Court case is allocated to a Judge or two Judges,
the
first Case Management Conference must be held at a time and date
determined by the Judge or two Judges allocated to the matter,
on
application by the plaintiff within 15 (fifteen) days of allocation.
If the plaintiff fails to make an application as required
any other
party may apply for Case Management Conference.
2.
At the First Case Management Conference, the
following general matters must be canvassed:
a)
A general sense of what
the matter is about;
b)
What needs to be done to
bring the matter to trial;
c)
A timetable for getting
the matter expeditiously to trial;
d)
A potential trial date;
e)
The number of witnesses
likely to be called, including expert witnesses;
f)
The probable length
of the trial; and
g)
Creating an appropriate
electronic means for communications and exchange and filing
of
documents.
3.
The Judge or the two Judges will then,
absent agreement, determine the timetable to bring the matter
to
trial.
CHAPTER 4 – GETTING
THE MATTER READY FOR TRIAL
1.
Matters heard in the Commercial Court will be dealt with in line with
broad principles of fairness,
efficiency and cost-effectiveness.
2.
The following steps will usually be of
application, subject to the requirements of the particular case.
3.
The plaintiff, within the period specified
by the Judge at the first Case Management Conference, must
file a
statement of the case containing the following:
a)
The plaintiff’s
cause(s) of action and relief claimed;
b)
The essential documents
the plaintiff intends to rely on, and
c)
A summary of the evidence
the plaintiff intends to rely on.
4.
The defendant, and third parties, if any,
within the periods specified by the Judge or Judges at the
first Case
Management Conference must file a responsive statement of the case
containing the following:
a)
The defendant’s or
third party’s defence(s) and any counterclaim relied
upon;
b)
The essential documents
the defendant or third-party intend(s) to rely on;
c)
A summary of the evidence
the defendant or third-party intend(s)to rely on.
5.
Any party against whom a claim is made must
similarly file a statement of defence.
6.
No request for further particulars may be
sought in the Commercial Court.
CHAPTER 5 – THE
SECOND CASE MANAGEMENT CONFERENCE AND CONSEQUENTIAL STEPS
1.
A Second Case Management Conference must be held at which the parties
will present either an agreed
list of triable issues or, absent
agreement, each party’s identification of the triable issues.
All interlocutory issues
will be dealt with at this conference or at
any postponed date, including determination of the triable issues.
2.
At this conference the dates for filing of
full witness statements by the parties will be fixed, it
being
understood that the witness statements will constitute, save with the
leave of the Judge or Judges, the evidence in chief
of the particular
witness.
3.
No general discovery is required in
commercial court cases.
4.
At a second Case Management Conference, the
Judge or Judges may allow for the targeted disclosure of
documents.
If permitted, a request for disclosure must be made concerning
specific documents or classes of documents that are relevant
to the
dispute as defined in the statement of case or responsive statement
of the case. Any enforcement applications relating to
disclosure will
be determined by the Judge or Judges in good time to permit of
orderly preparation for trial.
5.
Expert evidence that is sought to be led at
trial is to be dealt with as follows:
a)
If the matter involves
expert evidence, within the times determined by the Judge or
Judges,
the experts must:
b)
Convene a meeting of the
experts;
c)
File their expert reports;
d)
Produce a joint minute
setting out the issues of agreement and disagreement as between
the
experts and the reasons for the disagreement.
e)
The Judge or Judges may
convene a meeting with the experts to narrow the issues to
be
determined at trial.
6.
Should further conferences be required,
parties may approach the allocated Judge or Judges to convene
a
conference upon good cause; the allocated Judge or Judges will
determine whether to convene such a conference and dispose of
any
further matters arising."
[27]
It appears
that practice directives enjoy the same status as the Uniform Rules
of Court.
[6]
But, even if this
is not the case, it is entirely irrational and wasteful that
litigants would apply, in terms of the Directive,
for the
certification of a matter as “commercial”, and then
ignore the mechanism provided in the Directive for the
prosecution of
the matter.
[7]
Further, the
procedural steps stipulated in the Directive are couched in
peremptory terms. I can see little scope for litigants,
who chose to
have their dispute resolved by application of the Directive, avoiding
or sidestepping the carefully considered and
well-designed process
therein.
[28]
There is,
then, an obligation on litigants, their legal practitioners and
judges, ordinarily, to adhere to the procedure stipulated
in the
Directive.
[8]
I say “ordinarily”
because of the power retained by courts to regulate their own process
and because the mechanism
I shall now discuss being more appropriate
for proceedings by way of action than by way of application.
[29]
I have quoted the provisions of the Directive in full, not to add
undue length to this
judgment, but to set out the structure of the
Directive, and to give context to the discussion that follows as to
the reason why
the steps envisaged at each stage of Directive are
important in giving effect to the purpose thereof. As far as I have
been able
to ascertain, there are, as yet, no judgments dealing with
the interpretation and application of the Directive. It is for this
reason that I embark on the discussion below.
[30]
Chapter 3 of the Directive concerns the
first case management meeting. It is apparent from clause 1 of
Chapter 3 that
it is to be held within a short time of the
allocation of a case to the commercial stream, and, in clause 2,
it contemplates
that some eight issues
must
be traversed. These eight issues are, for obvious reasons,
fundamental to the expeditious prosecution of a case. At the end of
the first meeting, the case management judge will set a timetable
either by agreement between the parties, or on the exercise of
his or
her own discretion. It is, therefore, contemplated that the parties,
with guidance of the case management judge, will from
the very
outset, work towards ensuring that a matter is ripe to be heard by a
pre-determined hearing date.
[31]
Chapter 4 of the Directive concerns
the steps to be taken immediately after the first case management
meeting. It requires,
inter alia
,
the delivery of “statements" setting out the cause of
action and relief claimed, on the one hand, and the defence/s
relied
upon on the other, the identification of the essential documents on
which parties will rely and a summary of their evidence
(“
Summary
Statements
”).
[32]
The
delivery of Summary Statements is a very important step in the
prosecution of a commercial court matter, because requests for
further particulars are impermissible in terms of the Directive.
[9]
[33]
The
purpose of the Summary Statement is to provide insight, with a degree
of precision and clarity, into each party’s case
to prevent any
surprise or prejudice at trial. This conclusion must be one of logic
and common sense, given that this is the precise
purpose that
requests for further particulars and answers thereto, exchanged in
terms of the Uniform Rules of Court, would ordinarily
fulfil.
[10]
[34]
Clearly,
therefore, the delivery of a Summary Statement is necessary
irrespective of whether pleadings (as contemplated by Uniform
Rules
of Court) have been exchanged. Again, the underlying purpose of
expedition and pragmatism is clear; pleadings in the traditional
sense comprise a statement of such material facts
[11]
necessary
for a party to prove a cause of action or a defence
[12]
,
but does not traverse the evidence that will be adduced to prove
those facts or identify the witnesses who will give that evidence.
As
such, traditional pleadings do little to illuminate the ambit of the
evidence available to the parties and which will be led
ultimately.
Where Summary Statements are not delivered, the purpose and efficacy
of the Directive is undermined.
[35]
Under Chapter 5 of the Directive, a
second case management conference is convened. The purpose of the
second case management
meeting is to remove any procedural obstacles
that may have arisen from the steps taken by the parties, or not so
taken as the
case may be, prior to that meeting.
[36]
If the steps in Chapters 3 and 4 of
the Directive have been properly followed, then it would be a matter
of course for the
parties to prepare a list of agreed triable issues,
or at least that triable issues are identifiable, and any
interlocutory issues
can then be identified and resolved in an
orderly manner.
[37]
The
most important aspect of the second case management meeting, for
purposes of the Directive, is the fixing of a date for the
delivery
of witness statements. It is envisaged by the Directive that the
witness statements will constitute a witness’ evidence
in chief
and, naturally, attach or reference all documents to which that
witnesses’ evidence relates.
[13]
[38]
The clear purpose of this part of the
Directive is to eliminate the otherwise very wide ambit of discovery,
and to confine it to
the identification of documents on which the
parties will rely directly. The link to the Summary Statements is
again clear as these
define the ambit of the true dispute and
identify any contentious documents.
[39]
Discovery,
as envisaged in the Uniform Rules, can be a very time consuming and
expensive exercise. Discovery, as a general proposition,
requires
that “
…
every
document relates to the matter in question in the action which, it is
reasonable to suppose, contains information which may
– not
which must – either directly or indirectly enable the party
requiring the affidavit either to advance his own
case or to damage
the case of his adversary. I have put in the words 'either directly
or indirectly' because, as it seems to me,
a document can properly be
said to contain information which may enable the party requiring the
affidavit either to advance his
own case or to damage the case of his
adversary, if it is a document which may fairly lead him to a train
of enquiry which may
have either of these two consequences
’”
[14]
,
must be discovered.
[40]
General discovery is, therefore, very wide
and encompasses documents that may not necessarily be relied upon by
a litigant. The
clear purpose of the Directive is to prevent this
unnecessary expenditure of time and the litigants’ resources.
[41]
The Directive recognises that there will be
times when the opposing side may be in possession of a document or
documents that are
necessary for the trial. As such, the Directive
makes provision for the targeted disclosure of documents. As with
general discovery,
the documents sought must be relevant and
admissible to the dispute as defined in the statement of case or
responsive statement.
The procedure permitted by the Directive the
cumbersome procedure in Rule 35(3) of the Uniform Rules of Court.
[42]
Finally, Chapter 5 of the Directive
deals with the issue of expert witnesses, and seeks to streamline
expert evidence and limit
points of disagreement, all with a view to
even further refining the triable issue or issues between the
parties.
[43]
Reverting to the timetable set under Chapter 3 of the Directive. With
proper application
of mind to the issues listed in Chapter 3
that culminate in the timetable, postponements should be rare and
only be required
in exceptional cases; matters should be capable of
being tried, cost effectively and expeditiously, within the
parameters of the
timetable.
[44]
As with all litigation, the
bona fide
cooperation of the
litigants and their representatives is required and expected; for in
the absence thereof, the process provided
by the Directive to
expedite the resolution of disputes will flounder, and matters
designated as commercial will limp along without
any direction. This
is at odds with a fast track designed specifically for the benefit of
litigants who chose the resolution of
a commercial dispute outside of
the strictures of the ordinary track provided by the Uniform Rules.
[45]
Properly construed and applied, the Directive provides an efficient
and effective fast
track to litigants with a
bona fide
desire
to resolve their dispute. This is why the Directive is only made
applicable to commercial cases after consideration of an
application
for such a designation. And, once a case becomes subject to the
Directive, proper compliance therewith is central to
the success
thereof.
The present case
[46]
The Directive was not followed in this case. I am led to believe that
this is, in part,
due to the defendant not being represented. This
fact seems to me all the more reason that the Directive should have
been followed
to a greater degree, because there would have been no
room for a lengthy hiatus in the preparation of the trial.
[47]
The is no indication from the documents filed of record that any
directions for the delivery
of summary statements, witness statements
or the disclosure of such documents, as are strictly necessary for
the ventilation of
this action, were given.
[48]
The issue of documents is a long standing issue, and appears to be a
real impediment to
the prosecution of this matter.
[49]
It is in this context that I, very reluctantly, granted the
application for postponement,
directed the parties to agree on terms
for the filing of witness statements and ancillary issues, including
the plaintiff's right
to apply to court to have the defendant's
defence struck out and apply for judgment should any of the
directions given by a case
management judge not be followed.
[50]
The parties, for various reasons, were not able to agree on the terms
of a draft order,
save to make provision that the Deputy Judge
President appoint a case management judge to guide the parties
through the process
set out in the Directive, and to give directions
for the bringing of substantive application for targeted disclosure.
An order
making certain procedural rulings will ensue. The costs
occasioned by the postponement will also be reserved.
[51]
This appears to me to be a just and equitable result in the
circumstances. When this matter
comes before a trial court again, the
trial court will be in a position to hear the defendant's evidence,
determine whether any
of the evidence required by the defendant is
admissible and whether this postponement (and the opposition to the
separation of
issues) was a dilatory strategy or not.
[52]
By reserving the wasted costs of the trial on 3 and 4 October
2022, i the trial court
seized with this matter in due course will be
able to do better justice to the parties than what I have been able
to do, since
I simply do not have the facts to determine the degree
of the defendant's culpability in failing to ensure that his defence
was
properly and timeously prepared, his failure to have retained
legal representatives, and to have gathered the witnesses and
evidence
that he requires to establish the defence summarised in the
letter to which I referred above.
[53]
Should it
transpire that the defendant has been engaged in dilatory strategies
and/or the opposition to the separation of issues
(before Fisher J
or me), cynical or vexatious in the sense contemplated in
Alluvial
Creek
[15]
,
the plaintiff should be entitled to request the trial court to order
that those costs reserved before Fisher J and me be
paid on an
appropriate punitive scale.
[16]
Order
[54]
In the result, the following order is made:
[54.1]
the trial in this action is postponed
sine
die
;
[54.2]
the wasted costs occasioned by this
postponement are reserved for determination by the trial court
hearing this matter in due course;
[54.3]
the parties are directed, jointly, to
approach the learned Deputy Judge President requesting the
appointment of a case management
judge for purposes of convening a
first case management meeting as contemplated in Chapter 3 of
the Commercial Court Directive,
and for the further management of
this action as contemplated in Chapters 4 and 5 of the
Commercial Court Directive within
5 days of this Order;
[54.4]
the plaintiff is directed to deliver its
Summary Statement within 5 days of this order and the defendant its
Summary Statement within
a further 5 days of delivery of the
plaintiff’s Summary Statement;
[54.5]
the defendant is directed to make such
substantive application as he is advised to make for the targeted
disclosure of documents
as contemplated in the Commercial Court
Directive within 5 days delivery of its Summary Statement referred to
in paragraph 54.4
above;
[54.6]
the plaintiff may deliver any such
answering affidavit as it is advised to deliver within a period of 10
days from the date of the
defendant's application, and a replying
affidavit may, if necessary, be delivered a further 5 days
thereafter;
[54.7]
any application for targeted disclosure is
to be heard in accordance with such directions as the case management
judge appointed
by the Deputy Judge President, pursuant to
paragraph 3 above, may direct.
A
W PULLINGER
ACTING
JUDGE OF THE HIGH COURT
GAUTENG
DIVISION, JOHANNESBURG
This
judgment was handed down electronically by circulation to the
parties’ and/or parties’ representatives by email
and by
being uploaded to CaseLines. The date and time for hand-down is
deemed to be
10h00
on
13 October 2022
.
Date
of hearing:
3 and 4 October 2022
Date
of judgment:
13 October 2022
Appearances:
Counsel
for the plaintiff:
A J Daniels SC
Attorney
for the plaintiff:
Frese Gurovich Attorneys
Mr
I P Gurovich/L0060.1405
Counsel
for the defendant:
C Garvey
Attorney
for the defendant:
Otto
Krause Inc
Mr
Krause/ADS/MAT41345
[1]
Myburgh
Transport v Botha t/a S A Truck Bodies
1991 (3) SA 310
(NmS) at 311 B – C/D
[2]
Tshwane
City v Blair Atholl Homeowners
Association
2019 (3) SA 398
(SCA) at [63] to [69]
[3]
Swissborough
Diamond Mines (Pty) Ltd and others v Government of the Republic of
South Africa and others
1999 (2) SA 279
(T) at 316 E to 317 B
[4]
Section
2 of the Civil Proceedings Evidence Act, 1965
[5]
I
quote the provisions of the Directive as they stood at the time.
On 2 June 2022 the Deputy Judge President issued a revised
Directive.
[6]
Section
173 of the Constitution
[7]
In
the instant case, the plaintiff applied for the certification of
this action as “commercial”. Notwithstanding
some
resistance from the defendant, the matter was duly certified as
commercial.
[8]
In
re:
Several
Matters on the Urgent Court Roll
2013 (1) SA 549
(GSJ) at [13]
[9]
Chapter
4, clause 6
[10]
Annandale
v Bates
1956 (3) SA 549
(W) at 550 H and 551 E;
Lotzoff
v Connell and another
1968 (2) SA 127
(W) at 129 C – F and the authorities therein
cited
[11]
Mabaso
v Felix
1981 (3) SA 865
(A) at 875 A – H
[12]
Rule
18(4) of the Uniform Rules of Court;
Trope
v South African Reserve Bank and another
1992 (3) SA 208
(T) at 210 F/G to J
[13]
Chapter
5, clause 2
[14]
Compagnie
Financiere et Commerciale du Pacifique v Peruvian Guano Co
(1882) 11 QBD 55
, cited with approval in
Investec
Bank Limited v O’Shea N.O.
,
an unreported judgment of the Western Cape Division, under case
number 10038/2014, dated 16 November 2020
[15]
In
re
Alluvial
Creek
1929 CPD 532
at 535
[16]
Consider:
Waste
Products Utilisation (Pty) v Wilkes and another
2003 (2) SA 515
(W) at 587 F/G to 588 D
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