Case Law[2025] ZAWCHC 67South Africa
Milnerton Central Residents Association v Toefy N.O and Others (9/2024) [2025] ZAWCHC 67 (21 February 2025)
Judgment
begin wrapper
begin container
begin header
begin slogan-floater
end slogan-floater
- About SAFLII
About SAFLII
- Databases
Databases
- Search
Search
- Terms of Use
Terms of Use
- RSS Feeds
RSS Feeds
end header
begin main
begin center
# South Africa: Western Cape High Court, Cape Town
South Africa: Western Cape High Court, Cape Town
You are here:
SAFLII
>>
Databases
>>
South Africa: Western Cape High Court, Cape Town
>>
2025
>>
[2025] ZAWCHC 67
|
Noteup
|
LawCite
sino index
## Milnerton Central Residents Association v Toefy N.O and Others (9/2024) [2025] ZAWCHC 67 (21 February 2025)
Milnerton Central Residents Association v Toefy N.O and Others (9/2024) [2025] ZAWCHC 67 (21 February 2025)
Download original files
PDF format
RTF format
make_database: source=/home/saflii//raw/ZAWCHC/Data/2025_67.html
sino date 21 February 2025
SAFLII
Note:
Certain
personal/private details of parties or witnesses have been
redacted from this document in compliance with the law
and
SAFLII
Policy
IN
THE HIGH COURT OF SOUTH AFRICA
WESTERN
CAPE DIVISION, CAPE TOWN
CASE
NO: 9/2024
In
the matter between
MILNERTON
CENTRAL RESIDENTS ASSOCIATION
APPLICANT
And
ZAAHIR
TOEFY
N.O.
FIRST RESPONDENT
ANTON
BREDELL N.O.
SECOND RESPONDENT
LITTLE
SWIFT INVESTMENTS 92 (PTY) LTD
THIRD RESPONDENT
Date
of hearing: 20 November 2024
Date of judgment:
Judgment was handed down electronically by circulation to the
parties’ representatives
by email and released to SAFLII.
The date for hand down is deemed to be 21 February 2025
JUDGMENT
RELIEF APPLIED FOR
[1]
The applicant applies for the following
relief:
[1.1]
Reviewing and setting aside the decision of
the first respondent on 6 January 2023 (reference
14/3/1/A1/18/0609/23) to grant to
the third respondent environmental
authorisation (“
EA
”)
for a proposed residential development and associated infrastructure
on erven 2[...] and 2[...]2, Milnerton;
[1.2]
Reviewing and setting aside the decision of
the second respondent taken on 11 May 2023 to dismiss the appeals and
uphold the EA.
[1.3]
Remitting the matter back to the first
respondent for determination in accordance with the precepts of the
National Environmental
Management Act, 107 of 1998 (“
NEMA
”)
and the
Environmental Impact Assessment Regulations, 2014
,
promulgated in terms of NEMA.
[1.4]
The applicant also asks this court to
exercise its discretion to extend the 180-day period of review
contemplated in section 7(1)
of the Promotion of Access to
Administrative Justice Act, 2000 (“
PAJA
”)
in terms of the Court's discretion under section 9(1) of PAJA.
INTRODUCTION
[2]
The applicant is a community organisation
representing the residents of Milnerton Central, including the
Esplanade pocket of Milnerton.
The Esplanade is a narrow
portion of Milnerton situated between the Diep River mouth and the
R27 road - the R27 being an
arterial and important road running from
the City of Cape Town close to the sea through the Western suburbs of
Cape Town up the
West Coast – and across the Diep River mouth
from the well-known Wood Bridge Island. The R27 (Main Drive) is
a scenic
route that extends from the Otto du Plessis Drive -
Blaauwberg Road Intersection to the Milnerton lagoon mouth. It is
approximately
10 kilometres long. The route is regarded as
significant as it offers unique views of Table Bay, Table Mountain,
and the
Milnerton Lagoon. The Milnerton Lagoon is a natural area,
although it is situated in the centre of one of the city’s
oldest
suburbs.
[3]
The proposed development at the centre of
this judicial review, which was granted an EA by the first
respondent, is a sizeable six-storey
block of flats on the esplanade
side of the R27, where there are no other blocks of flats or
buildings of such height.
[4]
The applicant seeks to review and set aside
two impugned decisions, the first made by the first respondent and
the second (appeal)
made by the second respondent in terms of NEMA
and the
Environmental Impact Assessment Regulations, 2014
promulgated
in terms of NEMA (“the 2014 EIA Regulations”). In
essence, the review application concerns the correctness
of these
decisions.
[5]
The first respondent is the “competent
authority”, as contemplated in NEMA regarding environmental
authorisation applications,
and the second respondent is the “appeal
authority”. The first and second respondents oppose this
application and are
referred to as the “respondents”.
[6]
The third respondent is the company that
intends to develop the block of flats and has not opposed this
application. I refer to
the third respondent as the “developer”.
The developer, as it was legally obliged to do, appointed an
Environmental
Assessment Practitioner (“EAP”) to prepare
a Basic Assessment Report, the final version of which is dated 5
September
2022 (the “BAR”).
[7]
The applicant has six grounds of review that are
detailed in its founding affidavit and supplementary affidavit filed
in terms of
Uniform Rule 53(4). The six grounds of review, so
the applicant contends, fall within the ambit of
sections
6(2)(b) and/or 6(2)(c) and/or 6(2)(d) and/or 6(2)(e)(iii) and/or
6(2)(f)(ii) of Promotion of Access to Administrative Justice
Act,
2000 (“PAJA”).
[8]
Mr Fehr, representing the applicant, did
not vigorously pursue all six grounds of review. He emphasised,
in particular, the
first ground of review regarding non-compliance
with mandatory legal requirements relating to alternatives to
building a block
of flats, secondly, the alleged bias of the EAP or
lack of independence, thirdly the failure to properly weigh up
ownership of
a nearby development in considering the third
respondent’s application, fourth environmental concerns related
to the completion
of the Pots Dam wastewater treatment plant, the
100-year flood line and the depth of the water table during the wet
season.
[9]
Opposed hereto Ms S Mahomed argued on
behalf of the first and second respondents that:
[9.1]
As a starting point, the respondents submit
that an EA only means that insofar as the environment is concerned,
the proposed development
is sound. The application for an EA is
only one of the applications in the planning and development
process. Developments
of this nature require numerous planning
applications and processes, and only once the party seeking to
develop a property is successful
in all of these applications and
processes, can the development commence. In its founding affidavit,
the applicant stated that
the Municipal Planning Tribunal (“MPT”)
rejected the developer’s land use management application
(“LMUS”)
in terms of the City’s Municipal Planning
By-Law, 2015.
[9.2]
It is imperative to mention that the
decisions that form the subject of this review application involved
weighing up various facts,
circumstances, and an extensive range of
documents addressing several issues that had to be considered and
reviewed. The representations
of various parties had to be obtained
and considered in light of the principles reflected in the central
statute, NEMA, and various
other policy and planning documents.
[9.3]
The respondents submitted that the EA and
the appeal decision are just and correct, resulting from a
comprehensive consultative
and fair process.
[10]
The affidavits filed herein exceeded more
than 300 pages, and the record of the decisions extended to 6000
pages. The Court faces
a challenging task regarding the depth of
information and the relevant evidence required. Consequently, there
is a significant
risk that the Court could become sidetracked by
peripheral issues, disputes, and technicalities. Therefore, I will
begin by examining
the judicial responsibilities of the review Court.
COURT’S ROLE TO
ENSURE FAIR ADMINISTRATIVE PROCESS IN ACCORDANCE WITH THE LAW
[11]
Courts
are reluctant to become involved in the issue of policy, particularly
when such policy relates to the development and implementation
of
highly technical and complex decisions.
[1]
Chaskalson
CJ stated the Court’s role in
Bel
Porto School Governing Body and others v Premier, Western Cape and
another
[2]
as
follows:
‘
The
role of the courts has always been to ensure that the administrative
process is conducted fairly and that decisions are taken
in
accordance with the law and consistently with the requirements of the
controlling legislation. If these requirements are
met, and if
the decision is one that a reasonable authority could make, courts
would not interfere with the decision.’
[12]
The
Court must recognise that a decisionmaker has wide discretion to
strike a balance in furthering the objectives and principles
of the
Act governing the decision. In such capacity, the decision
takes and gives, to a large extent, effect to government
economic
policies, and under these circumstances, judicial review calls for
deference. In
Logbro
Property CC v Bedderson N.O
.
and others
[3]
,
Camaron, AJ (as he was then) quoted with approval the words of the
learned author Cora Hoexter as follows:
‘…
a
judicial willingness to appreciate the legitimate and
constitutionally-ordained province of administrative agencies; to
admit
the expertise of those agencies in policy-laden or polycentric
issues; to accord their interpretation of fact and law due respect;
and to be sensitive in general to the interests legitimately pursued
by administrative bodies and the practical and financial constraints
under which they operate. This type of deference is perfectly
consistent with a concern for individual rights and a refusal
to
tolerate corruption and maladministration. It ought to be
shaped not by an unwillingness to scrutinize administrative
action,
but by a careful weighing up of the need for – and the
consequences of – judicial intervention. Above
all, it
ought to be shaped by a conscious determination not to usurp the
functions of administrative agencies; not to cross over
from review
to appeal.
[13]
The
aforesaid principle aligns with the fact that a review does not
concern the question of whether there is a better decision or
option
available to the decision taker. The fact that there may be
more than one rational way of dealing with a particular
problem does
not make the choice of one rather than the other irrational. It
is within the domain of the executive to make
these decisions.
The Court cannot interfere with rational decisions that have been
lawfully made simply because it believes
a different decision would
have been more preferable. The Court should, therefore, not
utilise judicial review as an opportunity
to scrutinise the decision
maker’s decisions in favour of the Court’s own views, as
this would obliterate the distinction
between a review and an appeal.
This is especially pertinent in cases concerning subject matters
related to administrative actions
that are technical or in which the
Court has no particular proficiency.
[4]
[14]
In
Minister
of Environmental Affairs and Tourism and Others v Phambili Fisheries
(Pty) Ltd; Minister of Environmental Affairs and Tourism
and Others
Bato Star Fishing (Pty) Ltd
[5]
the Court held further that:
‘
During
the course of the argument for Phambili we were frequently told that
something that the Chief Director had done was “wrong”.
This is the language of appeal, not review. I do not think that the
word was misused, because time and time again it appears that
what is
really under attack is the substance of the decision, not the
procedure by means of which it was arrived at. That is not
our job. I
agree with what is aid by Hoexter…:
“
The
important thing is that Judges should not use the opportunity of
scrutiny to prefer their own views as to the correctness of
the
decision, and thus obliterate the distinction between review and
appeal”. …’.
[6]
[15]
In
Pietermaritzburg
Pistol Club v Member of the Executive Council – Department of
Economic Development and another,
[7]
the
Court referred to the constitutional constraints with regard to the
different powers exercised by different decision-takers
in making
decisions regarding environmental matters. The decision maker
may not intrude upon the rights of a different department
regarding
land use and land use management, including municipal planning.
In
Fuel
Retailers Association of SA v Director General Environmental
Management, Department of Agriculture, Conservation and
Environmental,
Mpumalanga Province and others
[8]
Ngcobo
J stated:
‘
The
local authority considers need and desirability from the perspective
of town-planning and an environmental authority considers
whether a
town-planning scheme is environmentally justifiable. A proposed
development may satisfy the need and desirability
criteria from a
town-planning perspective and yet fail from an environmental
perspective.’
[16]
Local
authorities must, therefore, exercise powers confirmed in giving
effective the purpose of the empowering legislation and in
pursuit of
that purpose. The local authority is the caretaker of the
community interest in relation to building applications.
This
empowers the local authority to consider the impact of a building
proposal on the surrounding area, its direct neighbours,
but also the
environment.
[9]
[17]
In
Sea
Front For All v MEC, Environmental Planning
[10]
,
the
legal position was aptly summarised as follows:
‘
Judicial
review is, in essence, concerned, not with the decision but with the
decision-making process. Review is not directed at
correcting a
decision on the merits. Upon review, the court is, in general terms,
concerned with the legality of the decision,
not with its merits. The
function of judicial review is to scrutinise the legality of
administrative action, not to secure or to
substitute a decision by a
judge in the place of the decision of an administrator…’
INTERNAL REMEDY AND
GROUNDS OF REVIEW NOT ADVANCED IN THE APPEAL PROCESS
[18]
The application for the EA was lodged on 3
June 2022, supported by the developers EAP. On 5 September
2022, the first Basic
Assessment Report (“BAR”) was
received from the EAP, and on 17 November 2022, the EA was granted.
On 3 April
2023, the first of thirteen appeals were lodged against
the EA. The current applicant was one of the thirteen
appellants.
The appellants in the appeal process raised the
following grounds of appeal:
[18.1]
Visual impact;
[18.2]
The impact on traffic;
[18.3]
Safety and security risks;
[18.4]
Public participation;
[18.5]
Proposed buildings’ shadow-effect;
[18.6]
Alternatives to the activity;
[18.7]
The independence of the consultants;
[18.8]
The need and desirability of the project;
[18.9]
Flood lines, coastal edge and climate
change risks;
[18.10]
The provision of bulk services;
[18.11]
The impact on the biodiversity in the
buffer zone adjacent to the Table Bay Nature Reserve and Milnerton
lagoon estuary;
[18.12]
Wind impact.
[19]
The second respondent considered each of
the grounds of appeal and gave a detailed reasoned decision, dated 11
May 2023, regarding
the grounds of appeal relied upon by the thirteen
appellants in the internal appeal.
[20]
The respondents argued, in opposing the
judicial review, that two grounds of review were not grounds of
appeal raised in the internal
appeal. The two grounds not
raised in the appeal related to the ownership of the development and
that of the Burmeister Circle
Development and, second, the heritage
importance of the properties involved. The respondents
accordingly argued that all
internal remedies in terms of s 7(2) of
PAJA must be exhausted before a Court can entertain a judicial
review. The rule is,
however, not absolute, and an applicant
can proceed with the judicial review if they can convince a Court
that there are exceptional
circumstances and that it is in the
interest of justice.
[21]
It
is settled that an applicant wanting to challenge an administrative
action must exhaust the internal remedies before proceeding
with a
review.
[11]
The
respondents argued accordingly that the applicant had to address the
question of why these grounds were not raised in the internal
appeal
and that it cannot rely upon these grounds of review since they
should have formed part of the internal process.
[22]
There is a distinction between a ground of
review and an internal remedy. Just as a cause of action differs from
an application
or action, grounds of appeal are not equivalent to a
remedy. It could never have been the intention of the
legislature, by
implementing s 7(2) of PAJA, that a ground for review
could not be raised unless it formed part of the internal remedy
process
and the reasoning for the ultimate decision reached as a
result thereof. If this was the legal position, it would render the
provisions
of Uniform Rule 53 meaningless concerning the filing of a
record and the procedural right used by the applicant to amplify
their
founding affidavit and grounds of review after receiving such a
record.
[23]
However,
it is significant to note the grounds of appeal that were not
included in the review application. The applicant attacks
the
decisions on a narrow basis, abandoning some grounds of appeal of
greater environmental significance. The Court was provided,
as
indicated, with a record of decision exceeding 6000 pages. In
preparing to hear arguments, the parties were requested to inform
the
Court which parts of the record required perusal. Surprisingly, the
applicant and respondents indicated that the Court only
needs to
consider the annexures to the affidavits and that, if necessary, the
Court would be directed to specific parts of the
record. It
became evident during the argument that almost no reference was made
to the record itself, but rather that the
submissions primarily
related to the affidavits and annexures thereto. Upon reviewing all
the evidence, the applicant could not
credibly dispute the factual
information, reasoning, or conclusions of the various reports,
investigations, and expert opinions
contained in the record.
Different to the judgments in
Philippi
Horticultural Area Food and Farming Campaign and another v MEC for
Local Government, Western Cape and others
[12]
and
Sea
Front For All v MEC, Environmental Planning
[13]
and
further
Minister
of Environmental Affairs and Tourism and others v Phambili Fisheries
(Pty) Ltd; Minister of Environmental Affairs
and Tourism and
others v Bato Star Fishing (Pty) Ltd
[14]
there
is no serious factually based attack on the correctness of the
recommendations that the respondents considered in reaching
their
respective decisions. There is no clear error or omission of
relevant information substantiated by the applicant’s
own
evidence or expert opinion. There is no glaring mistake in any
of the reports or recommendations.
FIRST GROUND OF REVIEW
– NON-COMPLIANCE WITH MANDATORY LEGAL REQUIREMENT
[24]
The applicant submits that when considering
the environmental authorisation application, the first respondent was
obliged (in terms
of Regulation 18 of the EIA Regulations) where the
peremptory word “must” is used to have regard to sections
24O and
24(4) of NEMA. In terms of section 24O(b) of NEMA, an
application must take into account all relevant factors including:
‘
(iii)
where appropriate, any feasible and reasonable alternatives to the
activity which is the subject
of the application and any feasible and
reasonable modifications or changes to the activity that may minimise
harm to the environment;
(viii)
any guidelines, departmental policies, and environmental management
instruments … and any
other information in the possession of
the competent authority that are relevant to the application.’
[25]
In terms of section 24(4)(b)(i) of NEMA
when considering the application, a Competent Authority must include
“
investigation of the potential
consequences or impacts of the alternatives to the activity on the
environment and assessment of
the significance of those potential
consequences or impacts, including the option of not implementing the
activity”
.
[26]
The applicant argues that the EAP, the BAR,
and the Respondents, in reaching their Decisions, acknowledged
(correctly) that the
City of Cape Town’s (the City’s)
‘Tall Building Policy’ of 2013 is a relevant policy for
determining the
application. This policy also stresses (like NEMA)
that a developer must propose alternatives to the development. The
Tall Building
Policy states explicitly that low, medium, and
high-rise schemes for the development site should be prepared,
producing comparative
information about the different options. There
should also be a cost-benefit analysis of these different
alternatives, which should
deal with issues including visual impacts
and require a study of alternative building forms explorations
motivating for the option
proposed.
[27]
The
Environmental Impact Assessment
Regulations of 2014
defines the term “
alternatives”
as follows:
‘
Alternatives’
in relation to a proposed activity, means
different means of meeting the general purpose and requirements of
the activity, which
may include alternatives to the –
(a)
Property on which or location where
the activity is proposed to be undertaken;
(b)
Type of activity to be undertaken;
(c)
Design or layout of the activity;
(d)
Technology to be used in the
activity; or
(e)
Operational aspects of the
activity.’
[28]
NEMA
does not contain a definition for the term “
alternative”
.
However, this Court in
Sea
Front For All and another v MEC, Environmental and Development
Planning, Western Cape and Others
[15]
held
regarding the Environmental Conservation Act 73 of 1989 that the
point of departure for the proper consideration of a review
application of this nature is s 24 of the Constitution which provides
that:
‘
Everyone
has the right –
(a)
To an environment that is not
harmful to their health or well-being; and
(b)
To have the environment protected,
for the benefit of present and future generations, through reasonable
legislative and other measures
that –
(i)
Prevent pollution and ecological
degradation;
(ii)
Promote conservation; and
(iii)
Secure ecologically sustainable
development and use of natural resources while promoting justifiable
economic and social development.’
[29]
Fourie J in
Sea
Front For All
in line with the
authorities referred to aforesaid, further found that
‘
...
judicial review is in essence concerned, not with the decision, but
with the decision-making process. Review is not directed
at
correcting a decision on the merits. Upon review the Court is in
general terms concerned with the legality of the decision,
not with
its merits. The function of judicial review is to scrutinise
the legality of administrative action, not to secure
or to substitute
a decision by a Judge in the place of the decision of an
administrator. ...’
[16]
[30]
Regulation
1 of the 1983 ECA Regulations defined the term “alternative”
as “in relation to an activity ... any
other possible cause of
action, including the option not to act.” In
Sea
Front For All
,
the Court, therefore, held that to this end, the functionary is
required to consider reports, which should not only concern the
impact of the proposed activity but also alternative causes of
action, including the option not to act. The decisionmaker
is
required to consider on the strength of the evidence presented,
whether the land in question ought to continue with its land
use in
the current form or as per the applicant’s proposal. In
Sea
Front For All
,
the applicants contended that, as is the case herein, the alternative
proposals were not properly considered, including the “No-Go”
option, and that the ROD is unlawful and forced to be set aside.
[17]
The
Court concluded that the MEC was repeatedly advised that it was
necessary to investigate and consider the alternatives and that
he
could not and should not rely on the City’s proposal alone and
that it was clear that the MEC did not consider the No-Go-option.
[31]
Regulation 19(3) of the EIA Regulations
provides that the “
basic
assessment report must contain the information set out in Appendix 1
to these Regulations”
(i.e. this
is, again, mandatory). Appendix 1 provides the objective of the basic
assessment process - the objective of the basic
assessment process is
to, through a consultative process, identify the alternatives
considered, including the activity, location,
and technology
alternatives, and describe the need and desirability of the proposed
alternatives. Scope of assessment and
content of basic
assessment reports - A basic assessment report must contain the
information that is necessary for the competent
authority to consider
and come to a decision on the application, and must include a full
description of the process followed to
reach the proposed preferred
alternative within the site, including details of all the
alternatives considered; details of
the public participation
process undertaken in terms of regulation 41 of the Regulations,
including copies of the supporting documents
and inputs; a
summary of the issues raised by interested and affected parties, and
an indication of the manner in which the
issues were incorporated, or
the reasons for not including them; the environmental attributes
associated with the alternatives
focusing on the geographical,
physical, biological, social, economic, heritage and cultural
aspects; positive and negative
impacts that the proposed
activity and alternatives will have on the environment and on the
community that may be affected focusing
on the geographical,
physical, biological, social, economic, heritage and cultural
aspects; if no alternatives, including
alternative locations for
the activity were investigated, the motivation for not considering
such.
[32]
Clearly, the developer was obliged to
provide alternatives to the proposed development, and the respondents
were obliged to consider
those alternatives and their impacts.
As a general proposition, it is trite that failing to comply with
peremptory provisions
renders a decision reviewable and liable to be
set aside. The applicant contends that these mandatory
requirements were not
complied with by the developer or the EAP, and
thus, the decision-makers should have rejected the EA application on
this basis.
[33]
Opposed
hereto the first and second respondents place reliance upon the
judgment in
Golden
Falls Trading 125 (Pty) Ltd v MEC, Gauteng Department of Agriculture
and Rural Development and Others
[18]
where the court dealt with the review application where the applicant
averred that the environmental sustainability of any development
forms the cornerstone of NEMA and that NEMA imposes a heavy burden of
proof in that regard on an applicant for Environmental Authorisation
for listed activities in terms of NEMA.
[34]
The applicant, in that case, stated that NEMA imposes a great
responsibility on any competent environmental authority, such as the
respondents, to apply strictly with the Environmental Management
Principles contained in s 2 of NEMA, and,
inter alia
, to
follow a cautious and risk-averse approach in its consideration of
applications, especially in circumstances when all information
pertaining to the possible impacts of such listed activities have not
properly been investigated, or are unknown.
[35]
The applicant, in Golden Falls, also alleged that the
respondents in that matter were required to apply strict procedural
requirements and standards described not only in terms of the
relevant regulations but also to comply rigorously with formal
prescriptions,
policies, and guideline documents issued by the
aforementioned respondents themselves.The court dealt with whether
NEMA and the
Regulations require exact, precise and 100% compliance
in each and every instance where the word ‘
must
’
is used as follows:
‘
[9]
… answer to this question, in my view, can only be found if
one analyses the purpose that
is sought to be achieved by NEMA and
its Regulations. The first and second respondents are organs of
state and in the given
context their acts are of an administrative
nature. The applicant must therefore, in the context of each
ground of review
relied on, bring itself within the ambit of PAJA.
The question therefore is what right provided for in PAJA was
deprived
of, and, if such deprivation did occur, whether such was
unfair in the proper context. Such a finding would in my view
depend
on the approach of a court to the question whether or not the
given provisions of NEMA and the Regulations have been complied
with.
On the other hand, NEMA provides that an interested
person may seek appropriate relief in respect of any breach of any
provision
of the Act. In this case the applicant relied on PAJA
only in this context, i.e. it sought no relief in terms of section 32
of NEMA.
…
[10]
…The decision in Weenen Transitional Local Council v Van Dyk
2002 (4) SA 654
(SCA) is particularly instructive. The court
analysed the local Council's scheme of assessing, levying and
collecting rates,
and determined that it was obliged to issue four
notices before it could claim payment of rates due to it. It had
however published
only one notice. This notice was allegedly also
defective for a number of reasons. The relevant section of the
particular Act required
two notices at least five days apart.
In that particular context the court said that the correct approach
to the objection
was to follow a common-sense approach by asking the
question whether the steps taken by the local authority were
effective to bring
about the exigibility of the claim measured
against the intention of the legislature as ascertained from the
language, scope and
purpose of the enactment as whole, and the
statutory requirement in particular. Legalistic debates as to
whether the enactment
is peremptory (imperative, absolute, mandatory,
categorical, imperative) or merely directory; whether ‘shall’
should
be read as ‘may’; whether strict as opposed to
substantial compliance is required: whether the delegated legislation
dealing with formal requirements are of legislative or administrative
nature, etc. may be interesting, but seldom
essential to the
outcome of a real case before the Courts. They tell us what the
outcome of the Courts’ interpretation
of the particular
enactment is; they cannot tell us how to interpret. The proper
approach was to follow the trend away from
the strict legalistic to
the substantive (at 659). This avoidance of a narrowly textual and
legalistic approach was thereafter
also followed by the
Constitutional Court in African Christian Democratic Party v
Electoral Commission
[2006] ZACC 1
;
2006 (3) SA 305
(CC) para [25]. This is
the modern, correct approach, and has fortunately found its way into
NEMA itself by way of the provisions
of section 47A which does not
invalidate the failure to take any steps in terms of this Act as a
prerequisite for any decision
or action, if such failure is not
material, does not prejudice any person and is not procedurally
unfair.’
[36]
Section 47A of NEMA clearly indicates that failing to take any steps
regarding NEMA’s
specific environmental management requirements
as a prerequisite for any decision or action does not invalidate that
decision or
action if such failure (a) is not material; (b) does not
prejudice any individual; and (c) is not procedurally unfair.
[37]
The first review ground pertains to alleged
non-compliance with mandatory legal requirements relating to
alternatives to building
a block of flats. The applicant contends
essentially that:
[37.1]
Only one alternative was provided: a six-storey
block instead of an eight-storey block.
[37.2]
The developer should have included different
building forms, such as townhouses or double-storey townhouses.
These would not
create the visual issues complained of, and traffic
and parking issues would be ameliorated.
[37.3]
The failure of the EAP and the third respondent to
properly engage with and consider alternatives as required by law and
the first
and second respondents’ alleged failure to reject the
application on this basis constitutes a material non-compliance with
the laws as the reasons why the impugned decisions should be reviewed
and set aside.
[38]
The only other alternatives suggested were fewer storeys or no
development, which the developer
termed the ‘No-Go’
alternative. The first respondent found that the ‘No-Go’
alternative would maintain
the ‘status quo’ of the
existing properties in their current state and that since the
preferred alternative would not
result in an unacceptable
environmental impact, it was not warranted.
[39]
As regards the preferred alternative, the first respondent took
cognisance of the comments
and recommendations made by the I&APs
in terms of the proposed height, potential visual impacts, potential
wind impacts and
potential shadow effect of the proposed development.
He decided that the preferred alternative should be six storeys high
instead
of eight, comprising 75 apartments of varied sizes, including
a mix of duplex and simplex residential units, a small retail area,
and parking bays.
[40]
As for the impact assessment and mitigation measures, particularly
“
activity, need and desirability”
, the first
respondent found that:
‘
The subject
property is located within an area identified as the urban inner core
in terms of the Cape Town Spatial Development
Framework, 2012, where
investment is specially targeted in order to spatially transform and
integrate the City. This will
ensure inward growth and
connectivity, as well as diversification and densification in line
with the City’s Transit-Oriented
Development (‘TOD’)
Strategy, 2016.
The Integrated
Development Plan (“IDP”) of the City of Cape Town has
established 11 priorities on focus areas of the
IDP. One of the
priorities focuses specially on dense and transient oriented urban
growth and development, stating that the
transit-oriented
development: ‘is about changing, developing and stimulating the
built form of the City so that the movement
patterns of people and
goods are optimised in order to create urban efficiencies and enable
social equality and economic development’.
The proposed
development falls within the urban edge of Milnerton and will provide
much needed high-density residential developments
within close
proximity to public transport. The proposed development is
located with close proximity to the Lagoon Beach
MyCiTi Bus Station
and the R27 transit route and would therefore aim to contribute to
the provision of housing opportunities with
increased accessibility
to public transport and economic opportunities.
The City of Cape Town’s
Densification Policy recognises the need for appropriate
densification across the City to promote
longer term sustainability
of Cape Town’s natural, urban and rural environments. The
Densification Policy was approved
in February 2012 to specifically,
amongst others, guide decision-making with regards to density related
applications. The
Densification Policy identifies various
Density Priority Zones of the subject property being located within
such a zone.’
[41]
In the appeal decision, the second respondent considered the issue of
alternatives in terms
of section 24(4)(b)(i) of NEMA and, in
particular, all the issues raised during the public participation
process, the I&AP’s
documents and recommendations in this
regard as well as the EAP’s comments and responses.
[42]
It is evident from the comprehensive decisions made by the first and
second respondents
that the scoping in the EIA processes was broad in
its scope and took into account a variety of factors and impacts,
with numerous
professional opinions and reports sourced on different
issues, especially concerning the alternatives.
[43]
Of further particular importance to this
judgment is that the second respondent reasoned and considered the
first ground of appeal
regarding alternative land use in great detail
as follows:
‘
4.32
The Final BAR states, inter alia, the following with regards to the
consideration of alternatives:
4.32.1
Alternative land uses were investigated in the Basic Assessment
Process to inform the best
land use option for this site are in line
with the 2014 EIA Regulations.
4.32.2
The preferred development site comprises of the following
properties: Erf No. 2[...]
and Erf No. 2[...]2, Milnerton,
Western Cape. No other site or property alternative has been
investigated as the subject
property is owned and has been the owned
by the applicant for numerous years. The proposed development
site is located within
the urban edge of Milnerton. The
property is also currently used and zoned for residential purposes.
4.32.3
The proposed development is aimed at densification within the urban
edge. Providing much
needed high-density residential
developments in the Western Cape within close proximity to major
nodes and public transport.
4.32.4
From a biophysical aspect, the subject property has been degraded and
therefore does not support
sensitive habitats. The proposed
development site is of no conservation importance, with little to no
environmental significance
to the functioning of the surrounding
estuarine system because the site falls within a transformed area of
residential development
that contains little or no estuarine
vegetation or fauna and are no longer functionally linked to the
estuary.
4.32.5
Mitigation measures have been recommended and included in the EMPr to
ensure that the proposed
development does not cause adverse impacts
on the receiving environment.
4.32.6
The development will create new employment opportunities during the
construction phase.
The job opportunities created will result
in positive economic and social effects for the local area.
4.32.7
During the preliminary investigation of the proposed development, it
was indicated by the CoCT’s
Environmental Management Department
that they are not in favour of an eight-storey apartment building.
The proposed development
was therefore lowered to six-storeys in
total to accommodate the recommendation of the CoCT’s
Environmental Management Department.
4.32.8
The proposed development will be 1-storey lower than the tallest
buildings within its immediate
surrounds and therefore be in-line
with the context of the area. The preferred alternative will
have the lowest impact on
the receiving environment, while optimising
the socio-economic benefits of the proposed development.
4.32.9
The positive impacts will include:
4.32.9.1
Densification of the urban edge.
4.32.9.2
Creation of high-density residential development within close
proximity to public transport.
4.32.9.3
Creation of both short-and long-term employment opportunities.
4.32.9.4
The preferred alternative incorporates all the findings of the
specialist studies, these include
that the properties which have
already been transformed will be developed to result in the best
possible socio-economic outcome
while ensuring that no
sensitive/protected areas are impacted upon.
4.32.10 The
negative impacts:
4.32.10.1
There will be increased noise and dust levels experienced during the
construction phase of the proposed development.
Mitigation
measures have been incorporated in the EMPr to lower these impacts to
acceptable levels.
4.32.10.2 The
proposed development will have Medium Visual impact significance on
its surroundings before mitigation.
A Landscaping plan has also
been compiled that will further mitigate the visual impact of the
proposed development.’
[44]
It is also clear that the environmental, social, and economic factors
have all been satisfied
and are in line with the object of NEMA.
Regulation 18 of the EIA Regulations read with sections 24(4) and 24O
of NEMA are couched
in peremptory terms, but there has been
substantial compliance by the first and second respondents in that
their decisions took
into consideration the purpose of the Regulation
18 read with sections 24(4) and 24O of NEMA when assessing the EIA
application
and the appeal.
[45]
In terms of 47A(2) of NEMA, the decisions taken by the first and
second respondents are
therefore not invalidated by their alleged
failure to request further reports setting out further alternatives
to the ones already
presented by the qualified professionals in the
EIA process and that such alleged failure is not material, does not
prejudice any
person, including the applicant, and is not
procedurally unfair.
[46]
Fabricius J
in
Golden
Falls Trading 125 (Pty) Ltd v MEC Gauteng Department of Agricultural
and Rural Development and others
[19]
recognised that NEMA imposes a great responsibility on any competent
authority such as the first and second respondents to apply
environmental management principles in implementing the strict
procedural requirements and standards prescribed in the Act and
Regulations. Fabricius J further held that:
‘
Before
I continue with Applicant’s grounds for review, it is clear
from the Act and the Regulation that the word “must”
is
mentioned in dozens of sections and regulations, in the context of
what is required of an Applicant for an environmental
authorisation.’
[20]
[47]
The issue
of whether provisions are peremptory or merely directory is a matter
of construction and interpretation. In
Telkom
v CSARS
[21]
the SCA interpreted and applied the well-known dictum of Endumeni as
follows:
‘
Endumeni asserted
that the interpretive technique to be utilised in establishing the
meaning of words, as between contracts, statutes
and other documents,
was essentially a unitary exercise in methodology, but did not assert
that it was a uniform one. The exercise
was unitary in that whatever
the nature of the document, consideration had to be given to the
language used in the light of the
ordinary rules of grammar and
syntax; the context in which the provision appeared; the apparent
purpose to which it was directed
and the material known to those
responsible for its production. The exercise was not uniform, because
the background to the preparation
and production of the particular
document, whether contract statute or other document, had to be
conserved from the outset.’
[22]
.
[48]
The correct
approach is to question whether the steps taken were effective in
bringing about the objective of the legislation.
The proper
approach to follow away from strict legalistic substantive compliance
is to avoid a narrow textual and legalistic approach.
The
modern constitutionally correct approach has found its way into NEMA
itself by way of the provisions of s 47A which does not
invalidate
the failure to take any steps as a pre-requisite for any decision or
action if such failure is not material, does not
prejudice any person
and is not procedurally unfair.
[23]
[49]
Section 2 of NEMA lists the principles that should be applied
throughout the Republic to
the actions of all organs of State that
may significantly affect the environment. Section 2(2) provides
that:
‘
Environmental
Management must place people and their needs at the forefront of its
concern, and serve their physical, psychological,
developmental,
cultural and social interest equitably.’
[50]
Section 2(3) further provides that development must be socially,
environmentally, and economically
sustainable, requiring that new
development avoid the disturbance of ecosystems and loss of
biological diversity or minimise its
effects.
[51]
Section
6(2) of PAJA authorises a Court to judicially review an
administrative action if a mandatory or material condition prescribed
by an empowering provision was not complied with. Based upon
this the applicant argues that alternative forms of development
should have been considered. The applicant argues that there is
no evidence that the developer or the respondents considered
for
example the feasibility or reasonability of a so-called duplex or
low-rise development instead of a multi-storey building.
Applying s 6(2) is however not a simple matter. It does not
entail a binary tick box exercise given that certain requirements
are
classified as mandatory and compliance need to be substantial or
adequate. Ultimately the Court must decide if the objects
of
the Act were achieved. If this question is answered in the
affirmative, one would not be bothered by nebulous concepts
such as
substantial or adequate. It is further so that statutes cannot
be interpreted in a manner that will lend itself to
an impractical,
unbusinesslike or oppressive interpretation.
[24]
[52]
The issue of alternative forms of development have been raised
throughout the EA application,
the internal appeal and in the
judicial review. The applicant and other interested parties had
more than one opportunity
to participate in the public participation
process and the appeal in forwarding concrete facts of further
alternatives that should
be considered. It would be
unbusinesslike and oppressive if a developer had to investigate and
provide detailed information
regarding each and every plausible
alternative form of development. The second respondent considered the
issue of alternatives
in terms of s 24(4)(b)(i) of NEMA and, in
particular, all the issues of consideration of alternatives raised
during the public
participation process and the IAP’s documents
and recommendations in this regard.
[53]
The decision process was extensive in its reach and considered a
range of factors, including
numerous professional opinions and
reports obtained on different issues and, in particular, alternative
forms of development.
If there are shortcomings, they are
limited to the issue of alternatives, which the first and second
respondents competently and
comprehensively addressed.
[54]
A finding that the decision should be judiciary reviewed on the
narrow basis that alternatives
such as townhouse development should
have been considered or that the developer was obliged to show that
these would not be feasible,
reasonable or sustainable, would be a
narrow textual and unduly legalistic approach to the provisions and
objectives of NEMA.
The application process and public
participation procedure were fair, and I cannot foresee that the
alleged failure to consider
specifically the development of
townhouses on the properties tainted the ultimate decision or
rendered the process unfair.
SECOND GROUND OF
APPEAL – EAP’S INDEPENDENCE
[55]
Regulation 14(2) of the EIA Regulations gives interested and affected
parties the right
to notify a competent authority of non-compliance
with Regulation 13 (which sets out the requirements that an EAP must
meet), including:
[55.1]
Being independent (Regulation 13(1)(a)),
[55.2]
Being objective (Regulation 13(1)(d)); and
[55.3]
Taking into account the matters referred to in Regulation 18
(Regulation
13(1)(e)) which incorporates the requirements in sections
24O and 24(4) of NEMA (discussed above).
[56]
Regulation 14(3) is peremptory and states that the competent
authority “
must investigate
the allegation
promptly
”. It is common cause that there was no
investigation performed by the competent authority into the alleged
bias and the appeal
authority did not identify this as problem. The
applicant argues that the respondents failed to apply mandatory legal
requirements,
and the decisions must therefore be reviewed and set
aside on this ground alone. It was submitted that the respondents
also failed
to address this ground adequately. The respondents, on
the other hand, submitted that the applicant and other interested
parties
bore some onus of proving a lack of independence, and the
competent authority would only be required to investigate the
complaint
if it established that such onus or threshold had been met.
[57]
Opposed hereto the first and second
respondents argue that t
he question of whether an EAP is/was
biased is a question of fact. On the other hand, a reasonable
suspicion of bias is tested
against the perception of a reasonable,
objective and informed person. In order to establish a lack of
objectivity or to establish
bias on the part of the EAP, the
applicant had to satisfy the following factors:
[57.1]
There must be a suspicion that the EAP might, not would, be
biased.
[57.2]
The suspicion must be that of a reasonable person in the
position of the person affected.
[57.3]
The suspicion must be based on reasonable grounds.
[57.4]
The suspicion must be one which the reasonable person would,
not might, have.
[58]
Accordingly, the respondents submitted that the applicant
failed to address any of these factors. The EAP attached a copy of
his
curriculum vitae to the BAR which showed that the EAP had 17
years of experience in the area of environmental impact assessment
reports. Investigations were also done in order to confirm
whether the EAP was registered with the Environmental Assessment
Practitioners Association of South Africa (‘
EAPASA
’)
and the EAP is in fact registered therewith.
[59]
In
Sea Front
For All
the applicants also relied upon
the alleged lack of independence as a ground of review. In that
matter, it was common cause
that the independent consultant had a
financial interest in the successful development of the property.
The Court held that:
‘
On
Track does not dispute that, in principle, regs 3(1)(a) and (c) of
the 1183 ECA Regulations also apply to an independent specialist
such
as Commlife (as opposed to an independent consultant). However,
On Track contends that the requirement of independence
should not be
interpreted to mean that such independence specialist must, of
necessity, have no involvement whatsoever with the
applicant for an
environmental authorisation. Mr Newdigate further argued that,
in any event, it has not been shown that
Commlife had a direct and
substantial interest that warranted declaration to the MEC.’
[25]
[60]
The Court rejected the contention by the
applicant, ruling that
‘
To
allow for a lesser degree of independence on the part of such a
specialist would, in my view, seriously compromise the impartiality
and integrity of the specialist’s report, and thereby undermine
the legitimacy and efficacy of the environmental impact assessment
process. I conclude that, in the prevailing circumstances,
Commlife did not meet the requirement of independence stipulated
by
regulation 3(1)(c).’
[61]
The facts in
Sea
Front For All
are distinguishable from
the facts herein. There is no direct evidence supporting the
compliant of bias, or lack of independence.
The applicant
addresses the independence of the EAP boldly in three paragraphs in
the founding affidavit. No facts are provided
to substantiate
the alleged complaints made by interested parties about the lack of
objectivity and/or independence of the EAP.
The EAP is
registered with the Environmental Assessment Practitioners
Association of South Africa (EAPASA) and this issue was addressed
in
the appeal decision in paragraphs 4.35 to 4.38. The applicant
accordingly failed to establish this ground of review.
THIRD GROUND OF REVIEW
– OWNERSHIP OF THE BURMEISTER CIRCLE DEVELOPMENT
[62]
The developer is related and/or controlled by the same persons who
own the nearby Burmeister
Development, which is similarly a
multi-storey block of flats. The applicant contends that the third
respondent and/or the EAP
should have disclosed this ‘
otherwise
the argument that an area is going through a densification process
with tall buildings beginning to be built is not correct
and that
instead, it is one group of people who have decided to develop in
this way, starting on an easier site for approval and
then using past
approvals to motivate future ones, all without properly disclosing
the shared ownership and control in this clear
motivation.
’
[63]
With respect, this submission makes no logical sense since it is not
a legal requirement.
There is nothing in law that obliges the
developer to have disclosed any commercial relation with other
previously approved developments.
It is also not a valid ground
of review as it does not fall within the categories as defined in
section 6 of PAJA.
[64]
The ownership of the Burmeister Circle Development is irrelevant to
this development as
each application for an EA is assessed on its own
merits. The proximity of the site to the Burmeister Circle
Development was mentioned
in the appeal decision in the context of
these developments being the beginning of densification in the
area.
[65]
In any event, the existing Burmeister Circle Development was
not the only motivating factor. The primary consideration was
the fact that the site is located in an area earmarked for
densification, and it was aligned with the City’s Densification
Policy and the TOD.
There is no legal objection on
related companies developing properties in the same area to disclose
it, and no procedural fairness
issues arise on this ground for
review, which should be dismissed.
ENVIRONMENTAL CONCERN
[66]
The broad ground that the first and second
respondents did not take into account or attribute sufficient weight
to certain environmental
concerns related inter alia to:
[66.1]
The impact of increased flow of treated wastewater along the
Diep River and estuary when the Potsdam plant which discharges into
it, doubles in capacity, as planned by the City.
[66.2]
The absence of testing the water during wet weather conditions
with consideration of consequences for construction and soil
condition;
and
[66.3]
The alleged failure of the EAP to model the potential loads,
potential wave run-ups.
[67]
The applicant’s contention in this
regard seems to be that given that the Potsdam Waste Water Treatment
Works (“the
Potsdam WWTW”) is going to be upgraded and
that the Milnerton Lagoon and the Diep River catchment are targeted
for the discharge
of the high-quality treated wastewater, which will
significantly increase the water flow into the Diep River Estuary and
double
the flow, that the EAP failed to address this in the final BAR
and that the final BAR did not model the above and did not provide
the first respondent and me with this crucial information and the
consequences arising therefrom.
[68]
The applicant assumes that just because the
Potsdam WWTW upgrade will double its capacity to handle the needs of
a growing city,
from 47 million litres to 100 million litres, that
this will automatically double the flow of treated water into the
Diep River
and the estuary. It is not clear upon what evidence the
applicant relies on that the Potsdam WWTW upgrade will cause the
discharge
of high-quality treated water into the Diep River catchment
and will double the flow to the Diep River estuary.
[69]
The first and second respondents considered
the Weir Road Impact Assessment Report prepared by Anca Environmental
Consultants dated
June 2021 which refers specifically to the five
impacts of the proposed development on the Diep River estuary ranging
from two
being “very low” before mitigation (and rated
insignificant after mitigation), two being rated low (and rated “very
low” after mitigation), and one rated as medium (and rated low
after mitigation).
[70]
The report also sets out the recommended
mitigation measures to be implemented to reduce the severity of the
impacts during the
construction and the decommissioning phase. There
was no basis for the first and second respondents to doubt the
veracity of the
prepared report.
[71]
In addition, the first and second
respondents considered the memorandum by the City dated 8 October
2020 relating to the Potsdam
WWTW, wherein no mention is made of the
Milnerton Lagoon or the Diep River catchment, nor does the Memorandum
say anything about
doubling the flow to the Diep River estuary.
[72]
If regard is had to the memorandum from the
City’s Water and Sanitation Service dated 17 August 2022 which
was attached to
the final BAR, they set out their comment to this
development, wherein they clearly stated that the City’s Water
and Sanitation
Department has no objection to the proposed
development provided certain conditions and additional technical
requirements are met.
This means that if the developer does not
comply with these conditions, they will not be able to proceed with
the development.
[73]
Since it is the City who is upgrading the
Potsdam WWTW, it would be best placed to know what the increased flow
of treated water
will be flowing into which catchment. Had this
been a danger to this development and if the impact of the Potsdam
WWTW upgrade
will have negative impacts on the surrounding areas
close to where the plant will discharge the wastewater into the
catchments
at Diep River or Milnerton, the City would have mentioned
this in their correspondence.
[74]
However, until the Potsdam WWTW has been
upgraded, the applicant’s contention in this regard is nothing
but speculation and
the applicant itself speaks of “potential
impact” and not actual impact.
[75]
The second respondent addresses this issue
in some detail in the appeal decision. The second respondent
considered the geotechnical
report by Core Geotechnical Consultants
dated 11 March 2021 where a geotechnical investigation was conducted
in order to determine
the site geology and geotechnical conditions of
the site and to provide recommendations for the design and related
geotechnical
aspects.
[76]
There was also no basis to doubt the
veracity and accuracy of this report. The
geotechnical report provides
recommendations for design and
construction which take into consideration the depth of the water
table rising during wet periods
and the fact that the re-compaction
of soil close to or at the water table being difficult, but it also
provides recommendation
to overcome these issues.
[77]
The geotechnical specialist did not deem it
necessary to test the water table in winter, but they did include
their recommendations
in light of the predicted change in water table
in winter. It appears from their report that the rise in water
table will
impact excavations only. In any event, this will be an
issue at the time of the detailed design phase of the project and the
actual
construction of the development and it was not a crucial issue
for the purposes of determining whether the EA should be granted
or
refused.
[78]
The second respondent considered the flood
lines, coastal edge and climate changes in light of the issues raised
by the I&APs
during the public participation process of the basic
assessment process. The second respondent also took into
consideration the
comments and responses set out in the reports as
well as the final BAR and the first respondent’s decision in
this regard
found that considering all of the above, the issues in
this regard had been adequately addressed. All cumulative impacts and
potential
impacts were thoroughly assessed.
[79]
For all of the reasons set out above,
including the summary of the three aspects that make up the fourth
ground of review, it is
submitted that the alleged impact of the
increased flow of treated wastewater into the Diep River and estuary
and the possible
flooding by the wave run-ups, the low sand bar, the
high still water level and long period waves are all unsubstantiated
by any
expert reports or factual information produced by the
applicant.
[80]
It is clear from the first and appeal
decisions that each of these three issues was considered in detail.
The applicant provided
no basis for the first or second respondents
to doubt the veracity and accuracy of the expert reports provided by
the EAP.
FIFTH GROUND OF REVIEW
– HERITAGE AND CITY’S POLICY
[81]
Heritage Western Cape (“HWC”)
is the provincial heritage resources authority established by the
Minister of Cultural
Affairs and Sport of the Government of the
Western Cape province in South Africa and which is a public entity
set up under the
terms of the National Heritage Resources Act 25 of
1999 (“NHRA”). It is mandated to care for that part
of South
Africa’s national estate that is of provincial and
local significance in the Western Cape.
[82]
HWC is also best known as the custodian of
approximately 2 500 provincial heritage sites but is also responsible
for the administration
of other forms of heritage protection
established under the NHRA's terms. On 10 June 2021, the HWC assessed
the EAP’s application
for a permit for the total demolition of
the existing structure on Erf 2[...]2, […] W[…] Road,
Milnerton, in terms
of section 34(1) of the NHRA.
[83]
In terms of this letter, the matter was
discussed at the Built Environment and Landscape Committee meeting on
10 June 2021, and
it was resolved to approve the demolition as the
building had insufficient significance to warrant retention.
The committee
noted further that the surrounding area does not fall
within the proposed or declared HPOZ. Furthermore, the area
lacked
architectural cohesion. The decision was made after
considering the draft heritage statement compiled by Aikman
Associates
Heritage Management dated March 2021.
[84]
There was an appeal lodged in terms of
section 49 of the NHRA and Regulation 3(3)(a) of the Provincial
Notice 298 (of August 2003)
and the outcome of the application in
terms of section 34 of the NHRA. The appeal was dismissed on 17
August 2021.
Given that the HWC is the provincial authority in
respect of heritage issues, the first and second respondents were at
liberty
to accept the approval granted by HWC in respect of the
proposed development. The position of the EMD was noted but given the
decision
of HWC, the first and second respondents did not consider it
necessary to re-canvass the issue of heritage when granting the first
and the appeal decisions. In any event, the heritage issue was
responded to in the comments and responses report.
CONCLUSION
[85]
The appeal record before the second
respondent when taking the appeal decision, included three BARs,
numerous expert studies and
reports which span over 6 000 pages.
The index to the Rule 53 record speaks for itself. In opposing the
review, the first
and second respondents both state that they had
regard to all the relevant considerations and information in making
their respective
decisions. From the detailed reasons for their
respective decisions, it is clear that they applied their minds and
discretions.
The applicant contends that the six grounds of review
fall within the scope of sections 6(2)(b), 6(2)(c), 6(2)(d),
6(2)(e)(iii),
and/or 6(2)(f)(ii) of PAJA.
[86]
Nothing in either of these decisions would prompt
a court to second-guess the evaluation of the EIA application
presented to the
first respondent or the appeal submitted to the
second respondent. The process was fair and just, and the applicant
failed to demonstrate
that their application fell within the scope of
s 6(2)(c) of PAJA. The application does not justify the judicial
review of the
respondents’ decisions. Section 6(2)(b) of PAJA
provides that the court has the power to conduct a judicial review of
an
administrative action if there is non-compliance with a
mandatory
and material
procedure or condition, or
according to section 6(2)(d), if a legal error
materially
influenced the action. The respondents considered all relevant
statutory and regulatory provisions, and I found no
material
error in the interpretation and application of the provisions or any
material
non-compliance. There is simply no evidence that the action was taken
for an ulterior purpose or motive as per section 6(2)(e)(ii)
of PAJA.
The legal arguments presented by the applicant do not support a
conclusion that the action itself is irrationally disconnected
from
the purpose for which it was taken or the purpose of the empowering
provision based on the information available to the administrator,
nor do they establish that the reasons provided are irrational under
section 6(2)(f)(ii) of PAJA.
COSTS
[87]
The
applicant places reliance on Biowatch Trust v Registrar, Genetic
Resources and Others,
[26]
but
to reiterate, all six grounds of review are frivolous and have no
merit. When the applicant received the first and second respondents'
answering affidavit, they could and should have considered their
position carefully and withdrawn this review. Instead, it forges
ahead.
[88]
The
Biowatch rule states that if a litigant acts bona fide in protecting
constitutional rights, they should be immune from a costs
order if
unsuccessful. The rationale for this rule is that an award of costs
might have a chilling effect on litigants who might
wish to vindicate
their constitutional rights
[27]
.
Litigants such as the applicant in this matter should not be
discouraged from seeking to vindicate of their constitutional rights
against government institutions. The Full Court of The Free State
Division held that ‘It would be an injustice if litigants
have
to fear approaching court with matters relating to constitutional
litigation
[28]
In exercising
my discretion, I recognise that the applicant is a community-based
organisation representing the residents of the
Milnerton area and
that a cost order is not intended to compensate for the risks one has
been exposed to but rather to reimburse
the actual expenses incurred.
The risk associated with litigation of this nature is something both
parties must bear themselves.
If it were not for the public interest
in the development’s location and the significance of community
participation, I would
have awarded costs to the respondents.
[89]
In the premises, the following order is granted:
(1)
The application is dismissed.
(2)
Each party is ordered to pay its own costs.
VAN
DEN BERG AJ
Appearance
for applicant
Adv
C Fehr
On
instructions from Erleigh and Associates Inc
Appearance
for respondents
Adv
S Mahomed
On
instructions from The State Attorney, Cape Town
[1]
Foodcorp
(Pty) Ltd v Deputy Director – General, Department of
Environmental Affairs and Tourism: Branch Marine and
Coastal
Management and others
[2004] JOL 12478
(C) at para 60
[2]
[2002] ZACC 2
;
2002
(3) SA 265
(CC) at 292
[3]
2003
(2) SA 460
(SCA) at[21]
[4]
Minister
of Environmental Affairs and Tourism and others v Phambili Fisheries
(Pty) Ltd; Minister of Environmental Affairs
and Tourism and
others v Bato Star Fishing (Pty) Ltd
2003 (6) SA 407
(SCA) [46] to [51]
[5]
2003 (6) SA
407
(SCA)
[6]
MEC
for Environmental Affairs v Clairisons
2013 (6) SA 235
(SCA) at [18] to [22]
[7]
[2019] JOL
42427
(KZP) at para [32] and [34]
[8]
2007
(6) SA 4
(CC) at para [85]
[9]
SIMCHA
Trust v Da Cruz
2019 (3) SA 78
(CC) at [30]
[10]
2011 (3) SA 55
(WCC) at [29] 62I – 63A
[11]
Dengetenge
Holdings (Pty) Ltd v Southern Sphere Mining and Development Co
Limited and others
2014 (5) SA 138
(CC) at paras 127 to 133
[12]
2020
(3) SA 486 (WCC)
[13]
2011
(3) SA 55 (WCC)
[14]
2003
(6) SA 407 (SCA)
[15]
2011 (3) SA 55
(WCC)
[16]
Sea
Front For All
[29] 62I to 63A
[17]
Sea
Front For All
[31] and [32] 63C to F
[18]
[2012] ZAGPPHC 361
[19]
[2012] ZAGPPHC 361
[20]
Golden
Falls
ebit para 7 and 8
[21]
2020(40 SA 480
(SCA)
[22]
At 488 B to C [15b]
[23]
Golden
Falls
ebit para 10 and
African
Christian Democratic Party v Electoral Commission
[2006] ZACC 1
;
2006 (3) SA 305
(CC) at 317, para 25
[24]
Natal
Joint Municipal Pension Fund v Endumeni Municipality
2012 (4) SA 593
(SCA) at 606G and 610B to C
[25]
Sea
Front For All
[51] 67B to C
[26]
2009
(6) SA 232 (CC).
[27]
Affordable
Medicines Trust and Others v Minister of Health and Another 2006(3)
SA 247 (CC)
[28]
Afriforum NPC v
Ngwathe Local Municipality and others
[2024] JOL 63938
(FB)
sino noindex
make_database footer start
Similar Cases
Erf 1050 Paternoster (Pty) Ltd v Minister of Forestry, Fisheries and the Environment and Others (3454/22) [2025] ZAWCHC 416 (9 September 2025)
[2025] ZAWCHC 416High Court of South Africa (Western Cape Division)98% similar
Weitz Viljoen and Associates Incorporated v Rising Dragon Consulting (Pty) Ltd t/a Antonie Consulting (14817/2024) [2025] ZAWCHC 294 (14 July 2025)
[2025] ZAWCHC 294High Court of South Africa (Western Cape Division)98% similar
South African Legal Practice Council v Rencken (Reasons) (24020/2024) [2025] ZAWCHC 71 (14 February 2025)
[2025] ZAWCHC 71High Court of South Africa (Western Cape Division)98% similar
Weitz Viljoen and Associates Incorporated v Rising Dragon Consulting (Pty) Ltd t/a Antonie Consulting (Leave to Appeal) (14817/2024) [2025] ZAWCHC 450 (30 September 2025)
[2025] ZAWCHC 450High Court of South Africa (Western Cape Division)98% similar
South African Legal Practice Council v Fourie (2025-199912) [2025] ZAWCHC 547 (26 November 2025)
[2025] ZAWCHC 547High Court of South Africa (Western Cape Division)98% similar