Case Law[2025] ZAGPPHC 153South Africa
Madlala v Road Accident Fund (RAF) (65311/17) [2025] ZAGPPHC 153 (14 February 2025)
Headnotes
Summary: In an action where the offending motor vehicle and its driver has not been established, the onus to prove negligence still rests on the claimant. It is not sufficient for the claimant to on his ipse dixit without any form of corroboration testify that the unidentified motor vehicle was negligent. Where a Court is not satisfied that a claimant has discharged his onus of proof, absolution from the instance is warranted. This Court was not satisfied with the say-so of the plaintiff. Accordingly, an absolution from the instance was warranted.
Judgment
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# South Africa: North Gauteng High Court, Pretoria
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## Madlala v Road Accident Fund (RAF) (65311/17) [2025] ZAGPPHC 153 (14 February 2025)
Madlala v Road Accident Fund (RAF) (65311/17) [2025] ZAGPPHC 153 (14 February 2025)
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sino date 14 February 2025
SAFLII
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Policy
IN
THE HIGH COURT OF SOUTH AFRICA
GAUTENG DIVISION,
PRETORIA
CASE NO 65311/17
(1)
REPORTABLE: NO
(2)
OF INTEREST TO OTHER JUDGES: YES
(3)
REVISED
DATE:
12/2/25
SIGNATURE
In the matter between:-
BRAVEMAN
MVELO MADLALA
Plaintiff
and
ROAD
ACCIDENT FUND (RAF)
Respondent
Summary:
In an action where the offending
motor vehicle and its driver has not been established, the onus to
prove negligence still rests
on the claimant. It is not sufficient
for the claimant to on his
ipse dixit
without any form of corroboration testify that the unidentified motor
vehicle was negligent. Where a Court is not satisfied that
a claimant
has discharged his onus of proof, absolution from the instance is
warranted. This Court was not satisfied with the say-so
of the
plaintiff. Accordingly, an absolution from the instance was
warranted.
ORDER
It is ordered:-
1.
The Road Accident Fund is absolved from the instance.
2.
There is no order as to costs.
JUDGMENT
MOSHOANA
J
[1]
This is an action instituted by the plaintiff, Mr Braveman Mvelo
Madlala against the defendant,
the Road Accident Fund (RAF) for
damages arising from the bodily injuries suffered by him in a motor
vehicle accident that occurred
on 31 July 2016. As customary, the
RAF, despite having delivered a plea resisting the action, failed to
appear in Court to tender
any evidence. At the trial of the action,
this Court received oral testimony from the plaintiff only.
FACTUAL
MATRIX AND EVIDENCE TENDERED
[3]
On 31 July 2016, a motor vehicle accident occurred. The plaintiff
sustained bodily injuries as
a result of that accident. He was
hospitalised and received medical treatment. In his pleadings, the
plaintiff alleged that the
accident happened as a result of the
negligent driving of an unidentified motor vehicle. The RAF disputed
this allegation. In order
to prove the alleged negligence, the
plaintiff delivered oral testimony.
[4]
Briefly, the testimony of the plaintiff was that on the day in
question, he was travelling along
an unknown road in Midrand. The
road is a single carriage way with one lane in each direction. He was
a driver at the time, driving,
without any passengers, a vehicle with
registration letters and numbers C[...] 3[...] V[...] G[...]. As he
approached what he termed
a “gentle curve” on this
unknown road, he noticed an unidentified motor vehicle which emerged
from the opposite lane.
What happened next, the said unidentified
motor vehicle, without any warning, encroached into his lane of
travel, so he testified.
[5]
He took an evasive action by swerving to the left in an attempt to
avoid a collision between his
vehicle and the unidentified vehicle.
He, due to the sudden emergence of the unidentified vehicle, lost
control of his motor vehicle
and hit a tree. The driver of the
unidentified motor vehicle failed to stop at the scene of the
accident. He sustained injuries
and was taken by an ambulance from
the scene of the accident to the hospital. With regard to the merits
of the claim, the plaintiff
closed his case without leading any other
evidence.
ANALYSIS
[7]
It must be pointed out upfront that the claim of the plaintiff falls
under section 17(1)(b) of
the Road Accident Fund Act (RAFA)
[1]
.
This Court, must declare, that claims falling under this section are
the most problematic ones, particularly where the RAF does
not
present any version. Litigants seem to have taken a view that once
evidence is presented that an unidentified vehicle caused
the
accident, this Court as a matter of course must be satisfied that the
RAF is liable.
[8]
As it shall be demonstrated below, this Court takes a view that the
liability of the RAF is not
as axiomatic as the litigants wish to
have it. Section 17(1)(b) of RAFA provides as follows:
“
17
Liability of Fund and agents
– (1) The Fund or an agent shall
(b)
subject to any regulations made under section 26
, in the case
of a claim for compensation under this section arising from the
driving of a motor vehicle where the identity of neither
the owner
nor the driver thereof has been established, be obliged to compensate
any person (third party) for any loss or damage
which the third party
has suffered
as a result of any bodily injury
to himself or
herself …
caused by or arising from the driving of a motor
vehicle
by any person …,
if the injury
…
is due to the negligence or other wrongful act of the driver or
owner of the motor vehicle
…”
[9]
What bears emphasis is that the liability is subject to constraints
set out in a regulation. Before
consideration is given to the
regulations, it is of significance to adumbrate, what appears to this
Court to be the essential requirements
to ignite liability of the
RAF. Those are-
·
Bodily
injuries (pertinent to this case);
·
Caused by or
arising from the driving of a motor vehicle by another person;
·
The bodily
injury is due to the negligence or wrongful act of the driver or
owner of the motor vehicle.
[10]
Observably, the onus to establish existence of these essential
requirements lies squarely on the shoulders
of a claimant. Failure to
discharge the onus in respect of any of these essential requirements
implies that the RAF is not liable
to compensate. In
casu
,
this Court was satisfied that the plaintiff sustained bodily
injuries. On the available evidence, this Court is not satisfied
that
the said bodily injuries were caused or arose from the driving of a
motor vehicle by another person. Also, that the bodily
injury is due
to the negligence of the driver of a motor vehicle. On his own
version, the plaintiff lost control of the motor vehicle
he was
driving. Having lost control, he hit a tree. Thus, the injuries he
sustained, as he testified, were caused by the collision
with the
tree.
[11]
However, the case that the plaintiff was seeking to mount is that of
him losing control as a result of the
negligent driving of the
unidentified motor vehicle. The version that the unidentified motor
vehicle suddenly encroached into his
lane of travel is
uncorroborated. Other than testifying that he was approaching a
gentle curve, there is no evidence as to the
layout of the unnamed
road. No photographs were presented. The Accident Report (AR)
indicates that there was only one vehicle involved.
The sketch plan
attached to the AR does not indicate any other vehicle and the
direction it would have emerged from.
[12]
Section 16 of the Civil Proceedings Evidence Act (Evidence Act)
[2]
provides as follows:
Sufficiency
of Evidence
“
16
Judgment may be given in any civil proceedings on the evidence of any
single competent and
credible witness
.”
[13]
Credible evidence is evidence that is likely to be believed. A
credible witness is a witness who is believed
to be truthful. It
remains the duty of this Court to assess the evidence of the
plaintiff in order to weigh the probabilities.
[3]
In my view, it is never sufficient for a plaintiff to, without any
form of corroboration, say-so, that an offending vehicle caused
him
or her to lose control of a vehicle driven by him or her. A greater
possibility exists that such a say-so may have been manufactured.
Such that, it may be easy for a driver who had lost control of a
vehicle due to his or her own lapse of concentration, to allege
that
another unidentified vehicle did so. This possibility was observed by
the SCA in the matter of
Mbatha
v MMVAF
(
Mbatha
)
[4]
.
The Court expressed itself in the following terms: -
“
[11]
Taking into consideration that there are good reasons for having
stricter requirements for unidentified vehicle
cases, the argument
has to fail. In
these cases the
possibility of fraud is greater
; it is
usually impossible for the Fund to find evidence to controvert the
claimant’s allegations; the later the claim the
greater the
Fund’s problems…”
[14]
This Court takes a firm view that inherent in these cases of
unidentified vehicle is the greater possibility
of fraud. This,
requires any Court faced with such cases to carefully scrutinize the
evidence, particularly that of a single witness.
The cautionary rules
are bound to apply. The sentiments expressed in
Mbatha
were reverberated by the SCA almost two decades later in
Jones
v RAF
(
Jones
)
[5]
.
There, the SCA expressed itself as follows:
“
[22]
The reason appears to be a view that the regulation serves a
legitimate government purpose, which is
to
eliminate fraud and to facilitate proof
,
because the possibility of fraud is greater in unidentified vehicle,
since it is usually difficult for the RAF to find evidence
to
controvert the claimant’s allegations…”
[15]
It is important to observe that the SCA found that the regulation
exist to facilitate proof. The regulation
with regard to unidentified
vehicle has undergone various metamorphosis. It seems to be the case
that the situation of unidentified
vehicles is now regulated by
regulation 2 as published in the GG 31249 of 21 July 2008. In the
main, the regulation regulates the
prescription period. When read out
of context, it simply means that once the claim is lodged within the
two year period, such may
be considered to be compliant. In my view,
the regulation ought to be read symbiotically with the requirements
outlined in section
17(1)(b) of RAFA already discussed above.
[16]
This Court agrees with the sentiments expressed by the learned
Raulinga J in
Ninteretse
v RAF
(
Ninteretse
)
[6]
,
when he expressed himself in the following terms: -
“…
the
plaintiff bears the onus to prove on a balance of probabilities that
the insured driver was negligent and that the negligence
was the
cause of the collision from which he sustained the bodily injuries.
There is no onus on the defendant to prove anything.
Even in the
instance where the defendant has not tendered evidence to rebut the
evidentiary burden of the
prima
facie
case
presented by the plaintiff in this case, the plaintiff may not
succeed with his claim depending on the nature and weight of
the
evidence so tendered.”
[17]
Dealing with a “hit and run” situation, this Court in
Dlamini
v RAF and Others
(
Dlamini
)
[7]
expressed itself in the following terms: -
“
In
order to fall under the parameters of the above section, it must be
alleged and proven that (a) a motor vehicle was driven; (b)
the
identity of the owner or driver of that motor vehicle has not been
established. To the extent that Dlamini alleges that a motor
vehicle
was driven, he bears the onus to prove that allegation. It does not
follow that because a claimant alleges that the identity
of a driver
or owner was not established then a motor vehicle was driven and
wrongfully for that matter. Proving that a motor vehicle
was driven
does not require the
ipse
dixit
of the claimant. What is required is evidence. In law, evidence means
any of the material items or assertions of fact that may
be submitted
to a competent tribunal as a means of ascertaining the truth of any
alleged matter of fact under investigation before
it.
[8]
If the
ipse
dixit
was sufficient, then in all cases, including the fabricated ones, of
“hit and run” the RAF will be obligated to pay.
As
noted above, this type of a claim is subject to the provisions of the
Regulations. On 25 April 1997, the Minister of Transport
empowered by
section 26 of RAFA published the Regulations. In terms of regulation
2 (1) (b), in the case of any compensation or
any claim for
compensation referred to in section 17 (1) (b) of the Act, the Fund
shall not be liable to compensate any third party
unless – (b)
the third party took all reasonable steps to establish the identity
of the owner or the driver of the motor
vehicle concerned. In dealing
with similar provisions applicable to the Canadian law, the Court
in
Leggett v Insurance Corp. of British Columbia
(
Leggett
[9]
),
per the learned Mr. Justice Taylor stated the following:
“
As
the trial judge recognized,
the
protection against fraudulent claims
is
only one of the purposes of the requirement that the claimant show
inability to identify the other driver and owner
as
a condition of being able to claim under the section
.
In my view the overall purpose of the section is
to
limit the exposure of the corporation to claims brought by persons
who, in the matter seeking to identify those responsible for
accident, have done everything they reasonably could to protect what
ordinarily would be their own interest, and which, by virtue
of the
section, become the interests of the corporation.
The corporation’s exposure under the section is limited to
claims brought by those who could not have ascertained the identity
of the parties responsible. It does not, in my view, extend to claims
by those who have
chosen not to do
so.
This
Court echoes the same sentiments echoed above. Where a claimant
eschews the responsibility to take reasonable steps to identify
the
owner or driver, such a claimant does not have a claim against the
RAF. The Supreme Court of British Columbia was also guided
by
Leggett
when in
Springer
v Kee
[10]
it concluded thus:
“
The
onus is on the plaintiff to establish that she made all reasonable
efforts to establish the identity of the driver
.
Although each case must be decided on its own facts, the authorities
indicate that the
onus is not one easily
displaced, even in the circumstances in which the unidentified
vehicle has fled the scene
. Geopel J.
also notes at para 18, that
the
plaintiff is under a continuing obligation following an accident to
use all reasonable efforts to ascertain the identity of
the driver.
In my view a proper
determination of the efforts which might reasonably lead to
discovering the identity of the unknown driver or
owner must be made
with due regard to the location where the collision occurred and the
circumstances in which the collision occurred.
For an example, a
collision which occurs at a busy intersection of a well-populated
area on a weekday 8:30 a.m., in relatively
slow-moving traffic might
be witnessed by many people who: recognised the car or driver in
question, or noted the licence plate
number…”
In an
instance where, the negligent driver fled the scene, Kerr J in
Morris
v Doe
[11]
examined the steps taken by the plaintiff to ascertain the identity
of the negligent driver in the days or weeks following the
accident.
As it shall be demonstrated later, Dlamini led no evidence of any
steps he took to identify the driver or owner of the
bakkie. This
failure to take steps is compounded by the fact that it took Dlamini
two years to report the accident. With regard
to the occurrence of
the accident, Dlamini is the only witness, thus the cautionary rule
finds application. Mr Geach SC argued
that cautionary rules only
apply in criminal cases. I do not agree. Section 16 of Civil
Proceedings Evidence Act
[12]
expressly provides that the evidence must be from a credible witness.
It is
a rule of evidence that traditionally the evidence of a single
witness should be treated with caution.
[13]
The evidence of Dlamini must be reliable and trustworthy. The
question is, is his evidence reliable or not? Dlamini bears the
overall onus to prove that the RAF was indeed liable to have
compensated him. On the other end of the pendulum lies the fact that
Dlamini may have lost control of the vehicle whereafter it capsized
and injured him. In
National
Employers’ General Insurance Co Ltd v Jagers
(
Jagers
),
[14]
the erudite Eksteen AJP confirmed that discharging the onus on the
balance of probabilities simply means that the Court must be
satisfied, on the balance of probabilities, that the plaintiff was
telling the truth and his version was therefore acceptable.
The fact
that there is no countermanding version does not necessarily
transmute the uncorroborated version to be true and acceptable.
Dlamini
bore the onus to show that a wrongdoer caused the damage he suffered.
In other words, he must create a causal link between
the damages he
suffered and the actions of the wrongdoer.
[15]
Dlamini was emphatic that the banging sound when the vehicle he was
driving collided with the trailer was still indelibly edged
in his
mind. However, he could not tell the Court what the colour of the
bakkie was. Ironically, only when the Court enquired,
did he manage
to describe the trailer and its size, details that are too
complicated to remember twenty years later, than the mere
colour of
the bakkie. On his own version, which only emerged when the Court was
seeking clarity, he recalls seeing the bakkie through
the rear view
mirror approaching at a high speed behind him. Such attention to
details would, in my view, simultaneously have drawn
his attention to
the colour of this vehicle driven at a high speed. Hamilton visited
the scene of the accident the very next day
after being given a
location by the police, and the only thing he could encounter was the
radio of the Fiat Uno vehicle. Strangely,
nothing was found related
to the trailer since, on Dlamini’s uncorroborated version, he
collided with the trailer and not
the bakkie.”
[16]
[18]
What is particularly concerning in this matter is that, there is no
credible evidence to suggest that the
alleged encroaching into the
lane of travel of the plaintiff is causally linked to the collision
with the tree, which on the sketch
drawn, appears to be lying some
meters away from the shoulder of the unknown road. It is apparent
from the version of the plaintiff
that swerving to the left
successfully avoided a potential head on collision. Thus, had he not
collided with the tree, he would
not have been injured. The Important
and unanswered question is why did he drive into the tree after he
successfully avoided a
head on collision?
[19]
Regard being had to the above unanswered question, it must
axiomatically follow that the plaintiff negligently
injured himself.
He tendered no evidence as to how it came about that he collided with
a tree in the process of seeking to avoid
a collision. Did he see the
tree but because he himself lost control he could not avoid the
collision with the tree? This Court
is none the wiser. Did he attempt
to apply the brakes as and when his vehicle was heading towards a
tree? This Court was not told.
On his version the alleged offending
vehicle did not make any contact with his vehicle with a possibility
of pushing it towards
the tree that caused him injuries. With these
important questions lingering in the mind of this Court, is the Court
satisfied?
Far from it.
[20]
An interesting finding was reached by the Court in
Masila
.
Although this Court is not bound by those findings, this Court finds
them apt when regard is had to the evidence tendered in this
matter –
the collision with the tree. At paragraph 17 the court expressed:
“
17
...In my view this mean that before the
alleged bright lights, if any, at the distance of over 8 metre
the
plaintiff should have realised that there was a donkey in front of
her unless she drove her motor vehicle without a proper
lookout…
but in my view the cause of accident is not the bright lights from
unknown insured motor vehicle but it is a donkey
on the road which
she could not abruptly realised..”
[21]
Quintessentially, had the plaintiff not collided with the tree, which
collision this Court was not told that
it was unavoidable, he would
not have sustained the bodily injuries he sustained. It must be so
that when the collision with the
tree happened, the unidentified
motor vehicle had long safely gone past. The onus lies on the
plaintiff to prove that his injuries
were caused by the negligent
driving of the unidentified motor vehicle. The fact that section
16(1) of the National Road Traffic
Act
[17]
was allegedly contravened does not in of itself suggest negligence at
all. The alleged fact that the contravention happened, is
predicated
on very shaky grounds. It remains the
ipse
dixit
of the plaintiff not supported by any objective facts. It could well
be that there was no another vehicle. The AR, suggests that
it was a
one vehicle accident. That vehicle, being the vehicle of the
plaintiff, collided with the tree. Of significance, the plaintiff,
unashamedly stated to the Metro Police and to this Court that he lost
control of the vehicle prior to hitting the tree on the side
of the
road. Losing control of a vehicle is generally considered to be a
form of negligence as it is indicative of a failure to
exercise
reasonable care and skill while driving. Since this Court is bereft
of cogent evidence to support the cause of the loss
of control, the
conclusion to reach in such dearth of evidence is that the injuries
were caused by the negligent driving of the
plaintiff. Such evidence
is insufficient to ignite liability contemplated in section 17(1)(b)
of RAFA. To the extent that the plaintiff
suggested that he acted by
colliding with a tree in a sudden emergency, the doctrine of sudden
emergency does not apply to him
and the tree. The RAF had pleaded in
the alternative that in the event a collision between the plaintiff’s
motor vehicle
and that of the insured driver occurred then and only
then did the RAF allege contributory negligence.
[22]
The doctrine of sudden emergency occurs where a person who, by
another’s want of care, finds himself
in a position of imminent
danger, cannot be held guilty of negligence merely because in that
emergency he does not act in the best
way to avoid the danger
[18]
.
On the plaintiff’s own version, the danger to have been averted
was a head on collision with the alleged oncoming unidentified
motor
vehicle. In that imminent danger, the plaintiff acquitted himself
with distinction to avoid the danger. Having successfully
done so,
that marks the end of the imminent danger situation. What then
presented itself thereafter is another danger of a collision
between
the plaintiff’s motor vehicle and the tree lying stationery few
meters away from the shoulder of the unnamed road.
Clearly, before
such a collision happened, on the plaintiff’s own version, he
lost control of his own vehicle. Unfortunately,
in this second
imminent danger, the plaintiff failed to acquit himself with
distinction. Perhaps, had he not lost control of his
own motor
vehicle, he could not have collided with the tree. That
notwithstanding, the second collision, after successful avoidance
of
the first collision, is not covered by section 17(1)(b) of the RAFA.
It is a collision with a tree as opposed to a motor vehicle.
Therefore, technically speaking, his actions prior to the second
collision, in an attempt to avoid the collision, are of no moment
since the RAF had been removed from the equation. The insured motor
vehicle had safely passed unscathed. Negligence, involves a
foreseeability test. There is no evidence to suggest that the
unidentified driver of the unidentified insured motor vehicle would
have foreseen that his alleged actions of encroaching into the lane
of travel of the plaintiff would have caused the plaintiff
to collide
with a tree and injure himself in the process. At best, the insured
driver would have foreseen that his alleged encroachment
into the
lane of travel of the plaintiff would have caused a collision, which
would have caused the plaintiff some bodily injuries.
On the evidence
of the plaintiff, such an eventuality did not occur. Where a
Court, as it is the case herein, is faced with
insufficient evidence
to find in favour of a plaintiff, an absolution from the instance is
warranted. This Court is not satisfied
with the sufficiency of the
evidence of the plaintiff and it is minded to grant an absolution
from the instance. In an instance
where default judgment is
requested, of which, the present instance is, rule 39(1) of the
Uniform Rules provides that in a default
situation, the plaintiff
must still prove a case on the balance of probabilities in order to
obtain a favourable judgment
[19]
.
For reasons outlined above, this Court is far from being satisfied
that the plaintiff has provided sufficient evidence on a balance
of
probabilities.
[23]
In the premises, the order stated at the dawn of this judgment must
issue and it is so ordered.
GN MOSHOANA
JUDGE OF THE HIGH
COURT
GAUTENG
DIVISION, PRETORIA
Appearances
:
Counsel
for the plaintiff:
Adv. K
S Mashaba
Instructed
by:
Macrobert
Inc Attorneys, Pretoria
Counsel
for the respondent:
No
appearance
Date
heard:
11
February 2025
Date
of Judgment:
14
February 2025
[1]
Act 56 of 1996 as amended.
[2]
Act
25 of 1965 as amended.
[3]
See
Stellenbosch
Farmers’ Winery Group Ltd and Another v Martell et Cie and
others
2003 (1) SA 11
(SCA) and
Santam
Bpk v Biddulph
(105/2003) ZASCA (16 February 2004).
[4]
1997
(3) SA 713 (SCA).
[5]
2020
(2) SA 83 (SCA).
[6]
(29586/13)
[2018] ZAGPPHC 493 (2 February 2018)
[7]
(7658A/2008) [2024] ZAGPPHC 277 (20 March 2024).
[8]
Nagel,
Heinrich and Norton, Jerry.
"Evidence".
Encyclopedia
Britannica
,
18 Feb 2024, https://www.britannica.com/topic/evidence-law.
Accessed
19 March 2024.
[9]
1992 CanLII 1263 (BC CA).
[10]
2012 BCSC 129 (CanLII)
[11]
2011 BCSC 253.
[12]
Act 25 of 1965 as amended.
[13]
See
Northam
Platinum Mines v Shai NO & others
(2012) 33 ILJ 942 (LC) and
Ntoro
v RAF
[2023] ZAGPJHC 357 (
Ntoro
).
[14]
1984 (4) SA 437
(E) at 440D-G.
[15]
See
Grove
v The Road Accident Fund
[2011] ZASCA 55
at para 7.
[16]
Paras 22-27 of
Dlamini
.
See also
Masila
v Road Accident Fund
(7718/2017) [2024] ZALMPPHC 203 (11 December 2024) (
Masila
)
[17]
Act 93 of 1996 as amended.
[18]
See
R
v Cawood
1944 GWL 50
at 54.
[19]
See
Ntsala
& others v Mutual & Federal Insurance Co. Ltd
1996 (2) SA 184
(T) at 190E-F and
Sardi
v Standard and General Insurance Co Ltd
1977 (3) 776 (AD) at 780C-D.
sino noindex
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