Case Law[2022] ZAGPJHC 983South Africa
Makhatholela v Minister of Police and Another (2021/3710) [2022] ZAGPJHC 983 (13 December 2022)
High Court of South Africa (Gauteng Division, Johannesburg)
13 December 2022
Judgment
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# South Africa: South Gauteng High Court, Johannesburg
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## Makhatholela v Minister of Police and Another (2021/3710) [2022] ZAGPJHC 983 (13 December 2022)
Makhatholela v Minister of Police and Another (2021/3710) [2022] ZAGPJHC 983 (13 December 2022)
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sino date 13 December 2022
REPUBLIC
OF SOUTH AFRICA
IN
THE HIGH COURT OF SOUTH AFRICA
GAUTENG
DIVISION, JOHANNESBURG
CASE
NUMBER:
2021/3710
REPORTABLE:
NO
OF
INTEREST TO OTHER JUDGES: NO
REVISED:
NO
In
the matter between:
NKOSI CHRIS
MAKHATHOLELA
APPLICANT
AND
MINISTER
OF POLICE
FIRST RESPONDENT
NATIONAL
DIRECTOR OF PUBLIC PROSECUTIONS
SECOND RESPONDENT
JUDGMENT
Delivered:
This judgment was handed down electronically by circulation to
the parties’ legal representatives by e-mail. The date and time
for hand-down is deemed to be 10h00 on the 13
th
of
December 2022.
DIPPENAAR
J
:
[1]
The
applicant seeks condonation for the late delivery of a notice in
terms of section 3(2) of the Institution of Legal Proceedings
Against
Certain Organs of State Act
[1]
(“the
Act”). The main issue to be determined is whether the
applicant’s non-compliance with the Act ought to be
condoned in
terms of the requirements of s 3(4)(b) of the Act.
[2]
The respondents challenged compliance with
these requirements and further contended that the applicant’s
delay in seeking
condonation is fatal and that the notice contained
substantive defects which are not condonable. It was further argued
that the
applicant has not made out a case for condonation as the
bulk of his claims have prescribed, he has not shown good cause nor a
lack of prejudice which could justify condonation.
[3]
The background facts are that the applicant
was arrested on 13 January 2012 on the strength of allegations that
he was in possession
of an unlicensed firearm. On 14 January 2012 he
was taken to Brixton police cells where the applicant alleges he was
assaulted
and coerced to make a written confession statement. He was
later charged with various other charges, including attempted murder,
ATM bombing and car high jacking. The applicant’s bail
application was refused and he remained in custody. The applicant
never pleaded and the trial never commenced, despite multiple court
appearances. The applicant remained incarcerated for 8 years,
10
months and 5 days. The charges against the applicant were withdrawn
on 18 November 2022 due to a lack of evidence. During the
criminal
trial, the applicant was represented by Legal Aid South Africa.
[4]
On 29 November 2020 the applicant consulted
attorneys and was advised that he would need to ask for condonation
for non-compliance
with the notice period in the Act, if the
respondents were to plead prescription. A written notice in terms of
s 3 of the Act (“the
notice”) was sent to the respondents
on 2 December 2020.
[5]
The action proceedings were instituted on
29 January 2021. The respondents objected by way of special plea to
the applicant’s
non- compliance with the Act on 17 March 2021.
The respondents pleaded that the notice was not served within the six
months prescribed
in terms of s 3(2) of the Act without any further
facts being pleaded. In his replication the plaintiff pleaded that
the written
notice was given on 2 December 2020. The applicant
amended his particulars of claim on various occasions, increasing the
quantum
of his claim.
[6]
On 13 April 2022 the respondents delivered
a notice of intention to amend their special plea and plea to raise
the issue of prescription
in relation to the applicant’s claim
for unlawful arrest and detention and to amend their plea. The trial,
which had been
enrolled for hearing on 19 April 2022 was postponed as
a result. Trial bundles have been prepared and expert notices and
summaries
delivered. The respondents’ amendment was effected on
12 May 2012. The present application was launched on 5 May 2022.
Is the delay in asking
for condonation fatal?
[7]
An
applicant for condonation must furnish a proper explanation for his
default which would be sufficiently comprehensive to enable
a court
to understand why it occurred and therefore to enable a court to make
a proper assessment as to whether to exercise a discretion
in
applicant’s favour
[2]
.
[8]
Condonation
must be applied for as soon as the party concerned realises that it
is required
[3]
. It is well
established that the delay in launching a condonation application
should be fully explained and the explanation must
be reasonable and
cover the entire period of the delay. As explained in by Heher JA in
Madinda
[4]
,
failure to do so may adversely affect condonation or it may merely be
a reason to censure the applicant or his legal representatives
without lessening the force of the application. In general terms the
interests of justice play an important role in condonation
applications If a court is satisfied that the three requirements of s
3(4)(b) have been met. In practical terms this means the
overall
impression made on a court by the facts set out by the parties.
[5]
[9]
The respondents argued that condonation
should have been sought after delivery of their special plea on 17
March 2021 challenging
compliance with s 3 of the Act. According to
the respondents, the applicant’s version was nonsensical,
internally contradictory
and mutually destructive, given that his
attorneys had already raised the possible need to seek condonation
during the consultation
of 29 November 2020. According to the
applicant the special plea was vague and he only appreciated that he
needed to seek condonation
once the respondents raised prescription.
[10]
I do not agree with the respondents’
contention. The special plea was cast in broad terms with only the
conclusion pleaded
that the applicant failed to comply with s 3 of
the Act. No primary facts were pleaded in support of that contention
and prescription
was not expressly raised. From the applicant’s
replication it is clear that he relied on the s 3 notice of 2
December 2002.
The applicant’s version that he could not read
into the special plea of 17 March 2021 as to what was implied
thereby, is
not unreasonable.
[11]
It was only after delivery of respondents’
notice of intention to amend that their case pertaining to
non-compliance with
s 3 and prescription became apparent. The
condonation application was launched shortly thereafter.
[12]
The matter was clearly very much alive it
was not suggested that the respondents were prejudiced or misled by
the additional delay.
[13]
In those circumstances, it cannot be
concluded that there was an inordinate delay in the launching of the
condonation application
or that the application was not launched as
soon as the applicant knew that it was required, justifying the
dismissal of the application
on this basis alone.
Are there substantive
defects in the notice which cannot be condoned?
[14]
The
applicant’s contention that the court is bestowed with the
power to excuse any failure to comply with the rules of court
is
misconceived, as it disregards that the rules set out in the Act are
statutory rules, distinct from a courts power to condone
non
-compliance with the rules of court
[6]
.
The Act does not contain any provision empowering a court to condone
the failure to comply with the notice’s substantive
requirements
[7]
. Thus only non-
compliance with the time period can be condoned.
[15]
The respondent argued that the notice
contained substantive defects falling into two categories. The first
category was that the
respondents were informed of a claim in an
amount far less than the claim he now pursues, given that the notice
referred to a claim
of R15 million, action was instituted for an
amount of R20 million and the applicant’s claim has increased
to R50 million.
It was argued the applicant failed without
explanation to properly equip the respondents to do what the Act
intends, being to properly
assess whether and how to commit public
funds to either defending or settling the claim.
[16]
In
my view, this argument does not pass muster. Considering the
underlying purpose of s 3 of the Act
[8]
,
which is to assist the organ of state to conduct proper
investigations into the claim and then to decide whether to make
payment
or defend the intended action,
[9]
a subsequent increase of the amount claimed by the applicant would
not have had a material impact on the respondents’ decision,
given that they had already elected to defend the claim based on the
initial amount claimed in the notice. Whether the applicant
will in
due course be able to prove the substantial amount presently claimed,
is for the trial court to determine.
[17]
The second category of defects contended
for was that the notice failed to inform the respondents that a claim
of malicious prosecution
could be forthcoming, which claim amounts to
60% of his claim. It was argued that the notice did not contain any
allegation that
the prosecution was undertaken with the requisite
malice necessary to sustain that cause of action and the respondents
were never
placed in a position to responsibly consider whether to
commit public funds to defending the case or approach a settlement.
[18]
The s 3 notice set out various facts
pertaining to the applicant’s arrest and detention, his assault
and coercion to make
a confession, his multiple court appearances
after investigations were completed in June 2012, the fact that the
trial never commenced
and his incarceration until 18 November 2020
when the charges were finally withdrawn due to lack of evidence. The
notice attached
a copy of the docket and the charge sheet.
[19]
The letter stated:
“
As
a result of the unlawful arrest and detention, our client suffered
injuries as a result of the assault by the officers, defamation
of
character, unlawful detention, was imprisoned for approximately 9
years, his right to freedom and dignity was infringed and
had to
endure an unnecessary and protracted process of litigation”.
[20]
In terms of s 3(2) of the Act, the
applicant was obliged to briefly set out the facts giving rise to the
debt and such particulars
of the debt as were within his knowledge.
[21]
In my view, the facts set out in the notice
are sufficient to comply with the requirements of s 3(2). Read in
context, although
the words “malicious prosecution” were
not expressly used, it is clear from the substance of the letter that
the applicant
intended to claim for all the events which transpired
including the “litigation” (or rather prosecution) which
ensued.
[22]
I conclude that the respondents’
challenge on this ground must fail.
Has the applicant
established the requirements of s 3(4)(b) of the Act?
[23]
Section 3 of the Act provides:
“
(1)
No legal proceedings for the recovery of a debt may be instituted
against an organ of state unless –
(a) the creditor has
given the organ of state in question notice in writing of his or her
or its intention to institute the legal
proceedings in question; or
(b) the organ of state
in question has consented in writing to the institution of that legal
proceedings-(i) without such notice;
or (ii) upon receipt of a notice
which does not comply with the requirements set out in subsection 2.
(2) A notice must-
(a) within six months
from the date on which the debt became due, be served on the organ of
state in accordance with section 4(1);
and
(b) briefly set out –
(i) the facts giving rise to the debt; and (ii) such particulars of
such debt as are within the knowledge
of the creditor
(3) For purposes of
subsection (2)(a)-
(a) a debt may not be
regarded as being due until the creditor has knowledge of the
identity of the organ of state and the facts
giving rise to the debt,
but a creditor must be regarded as having acquired such knowledge as
soon as he or she or it could have
acquired it by exercising
reasonable care, unless the organ of state willfully prevented him or
her or it from acquiring such knowledge;
and
(b) a debt referred to
in section 2(2)(a), must be regarded as having become due on the
fixed date.
(4)(a) If an organ of
state relies on a creditor’s failure to serve a notice in terms
of subsection (2)(a), the creditor may
apply to a court having
jurisdiction for condonation of such failure.
(b) The court may
grant an application referred to in paragraph (a) if it is satisfied
that-
(i)
the debt has not been extinguished
by prescription;
(ii)
good cause exists for the failure by
the creditor; and
(iii)
the organ of state was not
unreasonably prejudiced by the failure;
(c) If an application
is granted in terms of paragraph (b), the court may grant leave to
institute the legal proceedings in question,
on such conditions
regarding notice to the organ of state as the court may deem
appropriate.”
[24]
The
requirements of s 3(4)(b) are cumulative and a court may only
exercise its discretion to condone non-compliance if all three
requirements are met
[10]
.
[25]
It
is well established that the phrase “if the court is satisfied”
sets a standard which is not proof on a balance of
probabilities but
an overall impression made on a court which brings a fair mind to the
facts set up by the parties
[11]
.
[26]
The
first requirement envisages that the court must be satisfied that the
applicant relies on an extant cause of action
[12]
.
[27]
According
to the respondent the majority of the applicant’s claims have
prescribed, given that the applicant was arrested
on 13 January 2012
and released on 18 November 2020. Reliance was placed on ss 11(d) and
12(1) of the Prescription Act
[13]
in arguing that the alleged debts claimed by the applicant prescribed
three years after they were due.
[28]
The applicant disputed that his claims have
prescribed and argued that the claim for unlawful arrest, subsequent
detention and malicious
prosecution was a continuous transaction
which could not be regarded as complete until the outcome of the
criminal prosecution
when the charges against him were withdrawn.
[29]
That
characterisation is contrary to established law.
[14]
An unlawful arrest is not a continuing wrong, nor is it inextricably
linked to an alleged unlawful detention that may follow it
[15]
.
The approach with a continuous wrong is that it results in a series
of debts arising from moment to moment, as long as the wrongful
conduct endures. The applicant’s claim is thus based on three
different causes of action.
[30]
I
agree that the applicants claim for unlawful arrest has become
prescribed as it accrued on the date of his arrest. In relation
to
the applicant’s claim for unlawful detention the applicant sues
for separate debts arising on each day of his detention
[16]
.
The continued detention gave rise to a separate cause of action for
each day the applicant was so detained during the detention
period.
Although a portion of the applicant’s claim may well have
prescribed it cannot be concluded that his entire claim
has
prescribed. In relation to the claim for malicious prosecution, that
claim has not prescribed, given that prescription commences
to run
when the prosecution fails
[17]
.
[31]
I conclude that the applicant has
established that at least part of his claims remain extant.
[32]
As
held in
Madinda
[18]
,
a determination of good cause entails a consideration of all those
factors which have a bearing on the fairness of granting condonation
and affecting the proper administration of justice. Relevant factors
might include: (i) the prospects of success in the proposed
action;
(ii) the reasons for the delay; (iii) the sufficiency for the
explanation offered; (iv) the bona fides of the applicant
and (v) any
contribution by other persons or parties to the delay and the
applicant’s responsibility therefor. In any given
factual
complex, it may be that only some of many such possible factors
become relevant. Ultimately an applicant must at least
furnishing an
explanation for his default sufficiently full to enable a court to
understand how it really came about and to assess
his conduct and
motives.
[19]
[33]
In
considering good cause, the prospects of success on the merits play
an important role, depending on the reasons for the delay
which are
provided by the applicant. If there are no prospects of success, it
raises the question as to why a court should exercise
a discretion to
condone
[20]
.:
[34]
As
explained in
Madinda
,
the issue is whether the applicant has produced acceptable reasons
for nullifying in whole or at least substantially any culpability
on
his part which attaches to the delay in serving the notice timeously.
It is trite that strong merits may mitigate fault and
a lack of merit
may render mitigation pointless. As further explained by Heher
JA
[21]
,
“
There
are two main elements at play in s 4(b), viz the subject’s
right to have the merits of his case tried by a court of
law and the
right of an order of state not to be unduly prejudiced by delay
beyond the statutorily prescribed limit for the giving
of the notice.
Subparagraph (iii) calls for the court to be satisfied as to the
latter. Logically, subparagraph (ii) is directed,
at least in part,
to whether the subject should be denied a trial on the merits. If it
were not so, consideration of prospects
of success could be entirely
excluded from the equation on the ground that failure to satisfy the
court of the existence of good
cause precluded the court from
exercising its discretion to condone. That would require an
unbalanced approach to the two elements
and could hardly favour the
interests of justice. Moreover, what can be achieved by putting the
court to the task of exercising
a discretion to condone if there is
not prospect of success? In addition, that the merits are shown to be
strong or weak may colour
an applicant’s explanation for
conduct which bears on the delay: an applicant with an overwhelming
case is hardly likely
to be careless in pursing his or her interests,
while one with little hope of success can easily be understood to
drag his or her
heels. As I interpret the requirement for good cause
for the relay, the prospects of success re a relevant consideration.“
[35]
The
concept of good cause was examined in
Minister
of Agriculture and Land Affairs v CJ Rance (Pty)Ltd
[22]
.
The prospects of success as relevant to the test for good cause was
explained thus by Majiedt AJA:
“
The
prospects of success of the intended claim play a significant
role-“strong merits may mitigate fault; no merits may render
mitigation pointless. The court must be placed in a position to make
an assessment of the merits in order to balance that factor
with the
cause of the delay as explained by the applicant. A paucity of detail
on the merits will exacerbate matters for a creditor
who has failed
to fully explain the cause of the delay. An applicant thus acts at
his own peril when a court is left in the dark
on the merits of an
intended action, eg where an expert report central to the applicant’s
envisaged claim is omitted from
the condonation papers”
[36]
The
respondents argued that the applicant has fallen far short of the
requirements established in
CJ
Rance
and that it would be speculative and inappropriate for the court to
determine that there are prospects of success that go to satisfy
good
cause.
[23]
They further argued
that the applicant has made fatal admissions in his replication to
the respondent’s amended plea pertaining
certain issues
justifying his further detention. In doing so they invited the court
to consider the pleadings filed in the matter.
[37]
In his founding affidavit the applicant
alleged that he has high prospects of success. His case was that the
first respondent proceeded
with the arrest and lengthy detention
while it was unreasonable and no objective grounds or justification
existed for his detention
and it failed to take any reasonable steps
whatsoever to ensue applicant was released from prison. The second
respondent did not
act with an honest belief founded on reasonable
grounds that the institution of the criminal proceedings was
justified whilst there
were no legal grounds for arresting and
detaining him. Although in his founding affidavit, the applicant
devoted only a few paragraphs
to his prospects of success, he
attached a copy of his particulars of claim, setting out the material
facts on which he relies
in the action in relation to his claims for
unlawful arrest, unlawful detention and malicious prosecution.
[38]
Pleadings have closed and the issues have
crystallised between the parties. The pleadings establish that there
are triable issues
which require oral evidence to be led in order to
be determined. Extensive trial bundles have been prepared and expert
reports
delivered. As those documents were not part of the
application, l will not consider them in any detail. Their existence
is however
a factor which cannot be ignored.
[39]
It would not in my view be appropriate to
express any firm view on the alleged “fatal admissions”
contended for by the
respondents as they are issues which will be for
a trial court to determine in due course. Suffice it to state that on
the available
facts placed before me, I am not persuaded by the
argument that the applicant has placed insufficient evidence before
the court
to establish reasonable prospects of success.
[40]
In my view considering all the facts placed
before me, the applicant has set up a prima facie case of unlawful
arrest, unlawful
detention and malicious prosecution. The applicant’s
fundamental right is to have his oral evidence evaluated in a fair
trial
against the opposing evidence that the respondents can produce.
There are numerous factual disputes on the pleadings applicant which
can only be determined once evidence has been led.
[41]
The applicant used the first available
opportunity to assert his determination to see justice done when he
sought an attorney’s
advice a few days after he was released.
The s 3 notice followed a few days later and action was instituted
the following month.
[42]
The
applicant explained the reason for the delay that he had no access to
appropriate legal representation prior to his release
when the
charges were withdrawn against him. No countervailing evidence was
presented by the respondents. It was not disputed that
the applicant
was represented by Legal Aid and did not have access to legal
representation regarding any delictual claim whilst
he was in
detention
[24]
.
[43]
The respondents further argued that the
applicant has not shown that he proceeds in good faith, thus
indicating a lack of good cause.
Reliance was placed on the
applicant’s alleged contradictory versions about the need for
condonation, which it was argued
is inherently unbelievable. I have
already dealt with that issue. And provided reasons why I disagree.
[44]
Reliance was also placed on the applicant’s
alleged failure to explain the delay of more than a year in bringing
the application
and his failure to inform the court of significant
substantive defects in the notice. I have already deal with the
latter issue
and why it lacks merit.
[45]
Regarding
the delay in launching the application, as pointed out in
Madinda,
[25]
post notification delays
are not a factor which ought to be taken into account in determining
good cause as they related not to
good cause but to condonation.
[46]
Heher JA held: “
Whether
a proper explanation is furnished for delays that did not contribute
to the failure is part of the exercise of the discretion
to condone
in terms of s 3(4) but it is not, in this statutory context, an
element of good cause.”
In this
context any delay on the part of the applicant in launching the
current application after delivery of the respondents’
special
plea during March 2021 is not a relevant consideration to take into
account for purposes of determining good cause.
[47]
I am not persuaded that the respondents’
argument pertaining to a lack of good faith passes muster. For the
reasons advanced,
I conclude that the applicant has illustrated good
cause as envisaged by s 3(4)(b)(ii).
[48]
I turn to consider the issue whether the
respondents were unreasonably prejudiced by the applicant’s
failure to timeously
give the notice. The respondents complained that
they were not given a proper opportunity to consider the applicant’s
claims
and were unreasonably prejudiced and that the applicant has
not illustrated that they were not.
[49]
The respondents argued that granting
condonation would be unreasonably prejudicial to them, facilitating
the precise prejudice to
the state which the Act is designed to avoid
being to defend a case where it was never given the statutorily
mandated opportunity
to consider the proper response in light of its
custodianship of public funds.
[50]
The applicant’s case on this issue is
that the first and second respondents are jointly liable, are state
organs and therefore
cannot suffer any prejudice if the condonation
application is successful. I agree with the respondents that such
notion lacks merit.
[51]
The
Act expressly makes provision for the absence of unreasonable
prejudice as a specific factor of which the applicant must satisfy
a
court and emphasises “
the
need to give due weight to both the individual’s right of
access to justice and the protection of state interest in receiving
timeous and adequate notice
”
[26]
.
[52]
As held in
Madinda,
the approach to the existence of unreasonable prejudice requires a
common sense analysis of the facts, bearing in mind that whether
the
grounds of prejudice existed often lie peculiarly within the
knowledge of the respondent. Although the onus is on an applicant
to
bring the application within the terms of a statute a court should be
slow to assume prejudice for which the respondent itself
did not lay
a basis.
[53]
At this stage it cannot be ignored that the
parties have been litigating at full stretch for nearly two years and
that the matter
would have proceeded to trial in April 2022 were it
not for the respondents’ notice of intention to amend their
plea and
introduce a special plea of prescription. The respondents
have had adequate time to plan to face the applicant’s claims
and
have done so. The docket and all the available documents have
been discovered and it cannot be concluded that the respondents have
been unable to investigate the applicant’s claims.
[54]
The fact that the quantum of the
applicant’s claims has increased, does not alter this position.
It cannot on the facts of
this case be concluded that the respondents
have been wholly ill prepared to properly assess the claims and
quantum thereof brought
by the applicants.
[55]
The fact that the applicant has increased
his claim over time is not sufficient to constitute unreasonable
prejudice of the kind
contended for by the respondents. The applicant
will have to prove his claims at trial. I have already concluded that
the applicant’s
notice was not fatally defective as contended
by the applicant.
[56]
Other than broad generic averments, the
respondents have not put up any facts to support their contention of
unreasonable prejudice.
Although the applicant’s contention
lacks merit, it cannot on the facts be concluded that the respondents
have been unreasonably
prejudiced.
[57]
For these reasons, I am satisfied that the
applicant has met the requirements in s 3(4)(b) of the Act.
Should condonation be
granted?
[58]
It
is well established that once a court is satisfied that all three
requirements have been met, the discretion to condone operates
according to the established principles in such matters.
[27]
[59]
Considering all the relevant facts, and
applying the relevant principles, I am persuaded that the applicant
has provided a sufficient
explanation for the delay. I am further
persuaded to exercise the discretion afforded in favour of the
applicant and that condonation
should be granted.
[60]
There is no reason to deviate from the
normal principle that costs follow the result. Both parties were
represented by two counsel.
I am persuaded that the employment of two
counsel was warranted, where so employed.
[61]
I grant the following order:
[1] The late delivery of
the applicant’s notice in terms of section 3 of the Institution
of Legal Proceedings Against Certain
Organs of State Act 40 0f 2002
is condoned;
[2] The respondents are
directed to pay the costs of the application, including the costs of
two counsel, where employed.
EF
DIPPENAAR
JUDGE
OF THE HIGH COURT
JOHANNESBURG
APPEARANCES
DATE
OF HEARING
: 06 October 2022
DATE
OF JUDGMENT
: 13 December 2022
APPLICANT’S
COUNSEL
: Adv U.B. Makuya
Adv V. Rikhotso
APPLICANT’S
ATTORNEYS
: Rikhotso
M.O. Attorneys Inc.
RESPONDENT’S
COUNSEL
: Adv
F.J. Nalane SC
Adv D. Linde
RESPONDENT’S
ATTORNEYS
: The State Attorney
[1]
40 of 2002 as amended
[2]
Premier, Western Cape v Lakay
2012 (2) SA 1
(SCA) para [17]
[3]
Minister of Agriculture v CJ Rance
2010 (4) Sa 109
(SCA) para [39]
[4]
Madinda v Minister of Safety and Security 2008 (4) SA 312 (SCA)
[5]
Madinda paras 32-35
[6]
Premier, Western Cape v Lakay
2012 92) SA 1
(SCA) para [14]
[7]
Mohlomi v Minister of Defence
[1996] ZACC 20
;
1997 (1) SA 124
(CC) paras [17] and
[19]
[8]
Mabaso
v National Commissioner of Police and Another
2020 (2) SA 375 (SCA)
[9]
Para [13]-[15]
[10]
Madinda para [6]
[11]
Madinda para [8]
[12]
Madinda para [[9]
[13]
68 of 1969
[14]
Minister of Police v Yekiso
2019 (2) SA 281
(WCC) para [19] and the
authorities cited therein; Lombo v African National Congress
2002
(5) SA 668
(SCA) para [26]; Barnett and Others v Minister of Land
Affairs and Others
2007 (6) SA 313
(SCA0 para [20]
[15]
Lombo supra; Minister of Police and Another v Yekiso
2019 (2) SA 281
(WCC) para [19]
[16]
Lombo para [19]; Bernett para [20]
[17]
Human v Minister of Safety and Security 2013 JDR 2302 (GNP)
[18]
Madinda v Minister of Safety and Security
2008 94) SA 312
(SCA) para
[10]
[19]
Madinda para [11] and the authorities cited therein
[20]
Madinda para [12]
[21]
Madinda para [12]
[22]
2010 (4) SA 109
(SCA) para [37]
[23]
Yekiso para [34]
[24]
Minister of Police v Yekiso 2019 (2) SA281 (WCC)
[25]
Madinda paras [14] and [20]
[26]
Madinda para [15]
[27]
Madinda Para [16] referring to
eg
United Plant Hire (Pty) Ltd v Hills and Others
1976 (1) SA 717
(A)
at 720 E-G
sino noindex
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