Case Law[2023] ZAWCHC 122South Africa
Pentagon Financial Solutions (Pretoria) (Pty) Ltd and Others v Pieter Willem Basson the Legare Business Trust and Others (13001/2021) [2023] ZAWCHC 122; [2023] 3 All SA 560 (WCC) (15 May 2023)
Judgment
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# South Africa: Western Cape High Court, Cape Town
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## Pentagon Financial Solutions (Pretoria) (Pty) Ltd and Others v Pieter Willem Basson the Legare Business Trust and Others (13001/2021) [2023] ZAWCHC 122; [2023] 3 All SA 560 (WCC) (15 May 2023)
Pentagon Financial Solutions (Pretoria) (Pty) Ltd and Others v Pieter Willem Basson the Legare Business Trust and Others (13001/2021) [2023] ZAWCHC 122; [2023] 3 All SA 560 (WCC) (15 May 2023)
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sino date 15 May 2023
IN THE HIGH
COURT OF SOUTH AFRICA
WESTERN CAPE
DIVISION, CAPE TOWN
Case
number: 13001/2021
In
the matter between:
PENTAGON
FINANCIAL SOLUTIONS
First
applicant
(PRETORIA)
(PTY) LTD
ASSOCIATED
PORTFOLIO SOLUTIONS (PTY) LTD
Second
applicant
APS
FIDUCIARY SERVICES (PTY) LTD
Third
applicant
CORNELIS
RUSSOUW KRUGER
Fourth
applicant
JACOB
VAN DER WESTHUIZEN NEETHLING
Fifth
applicant
HAROLD
LENNOX NIMMO
Sixth
applicant
PATRICIA
JESSIE KOTZE
Seventh
applicant
and
PIETER
WILLEM BASSON
First
respondent
THE
LEGARE BUSINESS TRUST
herein
represented by:
PIETER
WILLEM BASSON N.O.
Second
respondent
PHILIPPA
BASSON N.O.
Third
respondent
MILTONS
MATSAMELA
Fourth
respondent
THE
PURCHASER OF THE PROPERTY
Fifth
respondent
THE
REGISTRAR OF DEEDS
Sixth
respondent
JUDGMENT DELIVERED ON 15 MAY 2023
VAN ZYL AJ:
Introduction
1. I
have two interlocutory applications before me:
1.1.
an application in terms of Rule 30A to compel a response to a notice
in terms
of Rule 35(12) of the Uniform Rules of Court; and
1.2.
an application in terms of Rule 35(13) for an order allowing
the discovery
of certain documentation.
2. The
applications were brought by the respondents in the main
application. I shall,
for the sake of convenience, refer to the
parties as they are in the main application.
The
main application
3. The
main application in the course of which the interlocutory
applications have been
brought comprises of two parts. Part A
sought interim relief seeking to interdict the first respondent from
passing transfer
of his immovable property situated in Somerset West
pending the final determination of Part B of the application. The
interim relief
was refused and the property was subsequently
transferred.
4. Part
B sought final relief in relation to the relief claimed in Part A,
but this relief
has been rendered moot because of the refusal of the
interim interdict. What remains under Part B is an application
for declaratory
relief in terms of which the alleged purported
rescission by the first respondent of a Rule 34 settlement agreement
reached in
case number 23759/2016 in this Court, and a related
arbitral process before John Butler SC (“the arbitrator”)
is declared
to be invalid. Finally, relief is claimed in terms
of which the first respondent is declared to be in contempt of an
order
granted by this Court on 24 August 2020 under case number
13917/2020.
5. The
history leading up to these applications is for all material purposes
common cause.
The main application arises out of an arbitration
before the arbitrator referred to above as to the fair market value
of the first
respondent's shares and loan accounts in the first to
third applicant companies (referred to respectively as “APS”,
“Pentagon”, “APS Fiduciary” as well as
“Petprops”) in terms of
section 163
of the
Companies Act
71 of 2008
. The arbitration commenced on 1 April 2019 and continued
until 18 December 2019, when an award was issued by the arbitrator
entitled
“
Award on All Merits Issues, Subject to Quantum
Calculations
”. The arbitration proceedings were not
finalised at the time the main application was launched, but have
since been
concluded.
6. There
is no material dispute between the parties that during the
arbitration the applicants
(who were there the defendants) discovered
1309 documents, with the schedules enumerating these documents
running to 88 pages.
The parties enjoyed the full benefit of
Rule 35
during the conduct of the arbitration (the rule was
incorporated by way of the arbitration agreement). The first
respondent was,
according to the applicants (this is not disputed by
the respondents), granted unfettered access to all financial
information at
an early stage.
7. As
regards the foreign funds of APS, the commencement of the arbitration
was delayed
because the first respondent belatedly requested a vast
amount of documentation relating to what is called the APS Ci Global
Flexible
Feeder Fund. The documentation was discovered on a memory
stick.
8. After
all of the evidence at the arbitration hearing had been led, and
after the publication
of the arbitrator's penultimate award (which
was not in the first respondent’s favour) the first respondent
launched what
was referred to as a "forensic audit application",
seeking relief from the arbitrator in terms of which all financial
records of APS and Pentagon relating to the 2014 to 2020 financial
years would be made available preparatory to a forensic audit.
This was because he suspected the applicants of having committed
fraud. Annexure "B" to the notice of motion comprised
an
extensive list of documentation which the first respondent stated was
necessary for the conduct of the forensic audit, similar
in nature
and scope to the documents now sought in terms of
Rule 35(13).
9. The
arbitrator ruled that the relief sought was "a
wholesale and
arguably overbroad discovery exercise of every financial record
"related to"
the first and second defendants for the
years 2014 to 2020 which cannot be granted."
He noted that,
despite the comprehensive answering affidavit in relation to the
fraud allegedly perpetrated by the applicants, the
first respondent
had not given a detailed response in reply.
10.
After the arbitration had been running for more than three and a
half
years, the first respondent, in a letter dated 15 February 2021 (the
“avoidance letter”), attempted to avoid the
settlement
agreement in terms of which the arbitral proceedings were conducted,
by
"rescinding''
it on the basis of the abovementioned
alleged fraud.. He did not attempt to interdict the arbitration
proceedings, and did
not launch proceedings under the
Arbitration Act
42 of 1965
to set aside the arbitration award as having been
improperly obtained.
11.
The main application was therefore instituted because the first
respondent, by means of the avoidance letter, made it clear that he
intends avoiding the consequences of the arbitration.
The
fourth applicant, Mr Kruger, was the deponent to the founding
affidavit in the main application.
The
interlocutory applications
12.
The respondents launched their application in terms of
Rule 35(13)
as
a matter of urgency on 26 August 2021. On 2 September 2021 the
application was struck off the roll for lack of urgency.
13.
The respondents’ notice in terms of
Rule 35(12)
was delivered
on 24 August 2021. The application in terms of
Rule 30A
was
instituted on 30 September 2021 after the applicants had failed to
respond by the due date. The applicants did respond
after the
institution of the application, on 7 October 2021.
14.
When no further steps were taken to progress the hearing of
these applications, the applicants launched a substantive application
on 6 December 2021 claiming relief in terms of which the
interlocutory applications should be enrolled for hearing. This
application was ultimately resolved by way of an order granted
in
January 2022 by agreement between the parties, which included an
order that the interlocutory discovery applications related
to the
main application should be heard together first, whilst the main
application itself should stand over for later determination.
In
terms of the order, further, this Court is to make directions as to
the further conduct of the main application, and other inter-related
applications.
The
Rule 30A
application in relation to the notice under
Rule 35(12)
0in; line-height: 150%">
15. By
way of background, in this application the respondents claimed
compliance with the
Rule 35(12)
notice as a whole and, upon receipt
of the applicants’ response to the notice on 7 October 2021,
claimed a
"proper'
response in terms of
Rule 35(12)
in
relation to Items 1, 8 and 14 in a supplementary affidavit delivered
by the first respondent. The initial claim was for 25 items
of
documentation, some containing up to five sub-items.
16.
The applicants’ response
to the
Rule 35(12)
notice was
contained in an affidavit deposed to by the sixth applicant ("the
Nimmo affidavit”)
.
The Nimmo affidavit gave
comprehensive responses and documentation in relation to the 25 items
sought and indicated that, although
some documents were annexed, some
of the categories of documentation sought were too voluminous for
convenient annexation to an
affidavit. Some of the items were
provided on a memory stick or by way of file transfer.
17.
In their heads of argument
and at the hearing of the application, the
respondents persisted in respect of two items only, namely Item 1,
being so-called the
shareholders book, and Item 14, comprising the
documents submitted to cancel the winding-up process of APS
International.
General
applicable principles
18.
Rule 35(12)
provides as follows:
“
(a)
Any party to any proceeding may at any time before the hearing
thereof deliver a notice in accordance
with Form 15 in the First
Schedule to any other party in whose pleadings or affidavits
reference is made to any document or tape
recording to —
(i)
produce
such document or tape recording for inspection and to permit the
party requesting production to make a copy or transcription
thereof;
or
(ii)
state
in writing within 10 days whether the party receiving the notice
objects to the production of the document or tape recording
and the
grounds therefor; or
(iii)
state
on oath, within 10 days, that such document or tape recording is not
in such party's possession and in such event to state
its
whereabouts, if known.
(b)
Any party failing to comply with the notice referred to in paragraph
(a) shall not, save with
the leave of the court, use such document or
tape recording in such proceeding provided that any other party may
use such document
or tape recording.
”
19.
Rule 30A
, in turn, provides the following:
“
(1)
Where a party fails to comply with these rules or with a request made
or notice given pursuant thereto,
or with an order or direction made
by a court or in a judicial case management process referred to in
rule 37A
, any other party may notify the defaulting party that he or
she intends, after the lapse of 10 days from the date of delivery of
such notification, to apply for an order —
(a)
that
such rule, notice, request, order or direction be complied with; or
(b)
that
the claim or defence be struck out.
(2)
Where a party fails to comply within the period of 10 days
contemplated in subrule (1), application
may on notice be made to the
court and the court may make such order thereon as it deems fit.
”
20.
In terms of
Rule 30A(1)
, the
Court must first determine whether there has been non-compliance with
the
Rule 35(12)
notice. In
Helen
Suzman Foundation v Judicial Service Commission
[1]
the Constitutional Court
stated
that:
“…
I
have no quarrel with the fact that in terms of
rule 30A(2)
there is
an exercise of discretion as to what an appropriate order should be
once a court has held - under
rule 30A(1)
- that there has been
non-compliance with
the
rules. As
to
the
antecedent
question arising
from
rule 30A(1)
whether
there has, in fact, been non-compliance with the rules, there is no
question of an exercise of discretion. The court must
determine - as
an objective question of fact or law- whether there has been
non-compliance.
"
21.
The respondents submit that there has been non-compliance on the
applicants’ part with the
Rule 35(12)
notice in respect of
Items 1 and 14.
22.
It seems that there is no onus on a party in the context of a
Rule
30A
application seeking documents in terms of
Rule 35(12)
(although
the matter is not completely settled – I shall return to this
later). However, a party who seeks such documentation
has the
burden of adducing evidence as to the relevance of the document, and
to show that the document is not privileged and can
be produced.
23.
A court retains a “
general
discretion to strike
a
balance between the
conflicting interests of the parties to the
case.
Implicit
in that is that it should not fetter its own discretion in any manner
and particularly not by adopting a predisposition
either in favour of
or against granting production. And, in the exercise of that
discretion, it is obvious, I think, that a court
will not make
an order against a party to produce a document that cannot be
produced or is privileged or irrelevant
"
.
[2]
24.
I proceed to consider whether the respondents are entitled to access
to the two items they insist upon.
Item
1: the shareholders' book
25. The
respondents claim access to the
"'book " (list of
clients) of each shareholder (Basson, Kruger, Nimmo and Neethling)"
referred to in thirteen separate paragraphs in the founding
affidavit in the main application.
26. The
applicants argue that there are essentially three reasons that the
“book” or “books” cannot be produced. The
first point is that the shareholders "book” cannot
be
produced as, properly construed, it is not a document. Allied
to this is the second point, namely that, even if there
is a document
called a "book”, what that document is changes from time
to time - it is a moving target. The rule requires
production of a
specified and identifiable document, which is not possible in
relation to this item. The third point is that
this "book”
of clients is in any event irrelevant to the issues in the main
application.
27. The
applicants contend in the alternative that, even if a "book”
of clients can be produced, they have serious confidentiality
concerns and accordingly, should the Court determine that such client
information must nonetheless be compiled and divulged, they seek
protection
"as to the manner and form in which it is handed
over, and from abuse of this information in the hands of [the first
respondent].
"
Is
the “book” or ”books” a document, and can it
be produced?
28. As
regards their first and second points, the applicants argue that the
shareholders
"book (list of clients)"
as claimed by
the respondents is not a document but rather a concept. It is not an
existing list, whether electronic or on paper.
They explain, in an
answering affidavit deposed to by Mr Kruger in the present matter,
that
"if one were, for
example, to
ask
me
to
provide information as to
which clients comprise my book, I would have to
compile
such a list, bringing a document into existence in order to provide
this information. Moreover, every time I acquired
a new client,
my “book” would change.
If one were
notionally to create a client list comprising my "book" on
a
specific date
in 2017, it would be different from
such a list on other date in 2017 or the following year, and
materially different from such
a list in 2010. Where the word "book"
is used in the thirteen instances relied upon by First to Third
Respondents, not
one of them is time bound
as
to a particular
date from which information could be compiled."
[Emphasis
added.]
29. They
point out further (in an affidavit deposed to by Mr Nimmo) that
"the
data used to generate client lists is
dynamic, constantly
changing
as
new clients are added, and
others ceased to be
clients
by their
decease or by choice. There is no specific client list referred to by
Kruger in his affidavit ... instead he referred
to it as
a
concept, not
a
list at any given time."
[Emphasis
added.]
30. The
respondents, however, refer to what that Mr Nimmo states in relation
to the “book” in a second affidavit delivered in this
application: “…
the companies are in possession of
electronic data comprising of the identities of its clients from time
to time, and whose ‘book’
that client belonged in.
This data is captured inter alia from the type of documents referred
to by Basson in paragraph 16
of his affidavit. From this raw
electronic data, it is conceivable that a document can be brought
into existence reflecting
a ‘list’ of clients at any
given time.
”
31. The
respondents argue that Nimmo’s evidence means that there are
both electronic and hard copy documents recording the prescribed
detail of the clients that constitute the "book of clients"
of each shareholder. The word "book" is a collective noun
used to refer to a batch of specific documents containing client
details which are used on a regular basis for the following purposes,
as appears from various allegations contained in Kruger’s
founding affidavit in the main application:
31.1. To
identify those clients for whom a particular person rendered
financial services: “
Each shareholder had a ‘book’.
A ‘book’ was a reference to those clients for whom a
particular person rendered financial services. There was no
overlap. To take a simple example, I
did
not
render financial services
to
First
Respondents' clients, and he did not render financial services
to my clients
."
31.2. To
allocate income derived from the clients: “
This had the
consequence that the value to be accorded
to
shares
owned
by
shareholders would
be
determined
entirely by the income they derived from rendering financial services
to
their "book" of clients. To
quote
an
example, mv
book of clients was
responsible for over 40% of the revenue of the
group of
companies; that of First Respondent for approximately 7%.
My
shares accordingly had
a
greater
value.
"
31.3. To
determine and distribute earnings by book size: “
Butler SC
held in favour of the Defendants in relation to the
applicability of
the
EWYK
principle. … Accordingly, Butler SC upheld the Respondents'
pleaded contention that the applicable principle governing
distribution of earnings to shareholders in APS and Pentagon is (as
he found in paragraph 66)
that:
‘
... that
which [First Respondent as a shareholder would]
look to, and which a buyer would also look to, in terms
of
future cash flows would essentially be represented by advice fees and
asset management fees accruing on the book administered
by the
shareholder, as distinct from the pro rata shareholding in
those entities’.
…
With effect from 1 March
2016, First Respondent suggested (and I agreed) that we would no
longer pool earnings at all; in other
words our earnings would be
determined by book size alone.
"
32. The
"book" of clients of each shareholder is, accordingly, not
some esoteric concept without concrete existence. The list of clients
comprising the book of each shareholder exists and has been
used and
referred to each time earnings from clients were determined and
distributed to the shareholders.
33. All
of this, the respondents say, demonstrates that:
33.1. The
"books" are at least data messages as defined in section 1
of the Electronic Communications
and Transactions Act 25 of 2002
(“the ECTA”), which provides that a data message “
means
data generated, sent, received or stored by electronic means and
includes- (a) voice, where the voice is used in an automated
transaction; and (b) a stored record
”;
33.2. They are
in writing, as contemplated in section 12 of the ECTA: “
A
requirement in law that a document or information must be in writing
is met if the document or information is-
(a) in the form of a
data message; and (b) accessible in a manner usable for
subsequent reference
”;
33.3. They are
subject to production under section 17(1)(b) of the ECTA: “
(1)
Subject to section 28, where a law requires a person to produce a
document or information, that requirement is met if the person
produces, by means of a data message, an electronic form of that
document or information, and if - … (b) at the time
the
data message was sent, it was reasonable to expect that the
information contained therein would be readily accessible so as
to be
usable for subsequent reference
”; and
33.4. They
fall within the ambit of section 19(2) of the ECTA: “
(2) An
expression in a law, whether used as a noun or verb, including the
terms 'document', 'record', 'file', 'submit', 'lodge',
'deliver',
'issue', 'publish', 'write in', 'print' or words or expressions of
similar effect, must be interpreted so as to include
or permit such
form, format or action in relation to a data message unless otherwise
provided for in this Act
”.
34. Our
courts have held that electronically stored information is
discoverable
under Rule 35 procedures.
35.
Sections
12 and 17 were applied in
Le
Roux v Viana
.
[3]
The question was whether books and documents belonging to a
company in liquidation and
recorded on
a
hard drive
were
documents for
the purposes of
section
69(3)
of the
Insolvency Act 24
of 1936
, which provides that: “
If
it appears to a magistrate to whom such application is made, from a
statement made upon oath, that there are reasonable grounds
for
suspecting that any property, book or
document
belonging to an insolvent estate is concealed upon any person, or at
any place or upon or in any vehicle or vessel or receptacle
of
whatever nature, or is otherwise unlawfully withheld from the trustee
concerned, within the area of the magistrate’s jurisdiction,
he
may issue a warrant to search for and take possession of that
property, book or
document
”.
[Emphasis added.]
36. It
was argued that if it was correct that the books and documents
recorded
on the hard drive, even though they belonged to the
companies in liquidation, were not in the form contemplated in the
section,
they were not susceptible to seizure in terms of that
section.
37.
The
Court found
[4]
that, properly construed, the reference to books and documents in
section 69(3)
had nothing to do with the format of those books and
documents. Relying on the
Concise
Oxford English Dictionary
[5]
the Court was satisfied that
"document'
included "
written,
printed or electronic matter that provides information or evidence or
that serves
as
an official record
”.
38.
The
Court continued:
[6]
“
There is no dispute
in this case that the books and documents stored on the hard drive
and targeted by the warrant relate to the
financial and business
affairs of the companies in liquidation. That being the case those
books and documents, irrespective of
the form they are in, are
clearly within the contemplation of
s 69
and are susceptible to
seizure under a warrant in terms of that section. It can hardly be
suggested … that we should not
take judicial notice of the
technological advancements regarding electronic data creation,
recording and storage because this was
unheard of in 1936 when the
Insolvency Act was
passed.
”
Here the Court expressly referred to the provisions of
sections 17
and
19
of the ECTA in a footnote.
39.
The
Uniform Rules of Court do not contain any specific provision for the
discovery of electronically stored information in High
Court
litigation. Rule 35(1) provides for the discovery of “documents
and tape recordings”. The word “document”
is not
defined in the rules and, accordingly, bears its ordinary meaning.
I agree with the respondents’ counsel’s submission
that the approach taken in
Le Roux v Viana
applies equally to
a consideration whether information stored on a computer constitutes
a “document” for the purposes
of discovery under Rule 35.
40.
In
Makate v Vodacom
[7]
the Court held that:
“
I
am accordingly satisfied that an e-document, ie. electronic material
whether it be in the form of a communication or stored data
that is
retrievable through a filtering process or a data search, is
discoverable under
Rule
35
procedures.
Even if it were not so it would be open to utilise the provisions
of
Rule
35
(7)
in order to ensure that the discovery process achieves its objective
in the electronic age.”
41.
The
Court made the further point
[8]
that
:
"
Certainly
electronic data-recordal fits within the term 'tape-recording' in its
extended rule (15) form. In any event,
s 12
of the
Electronic
Communications and Transactions Act 25 of 2002
provides that, insofar
as a
data
message is concerned, such message, provided certain requirements are
satisfied, would constitute
a
document for the purposes of
rule
35.
”
0in; line-height: 150%">
42.
The
Court remarked
[9]
that: “
It is necessary
to add that information stored on a computer’s hard drive or
remote server is extracted by means of commands
which can either
limit the data by means of a search request for corresponding data or
through a filter process (most commonly
found in basic off- the shelf
personal use accounting packages) by reference to date, subscriber
and innumerable other programmed
criteria. I am satisfied that it
still retains the characteristic of a document or tape recording, the
filtering or search function
simply limiting the amount of data
retrieved into a relevant form for its purpose
.”
43. These
findings were not disturbed in the subsequent litigation of the
matter.
44.
A
similar approach wat taken to the meaning of “document”
in the English case of
Derby
and Co Ltd v
Weldon (No 9)
.
[10]
The first question in that case was whether the database of a
computer's on-line system on which backup files were recorded is
a
document within the meaning of a relevant ordinance. This question
was answered affirmatively. Whilst that judgment is not binding
on
this Court, it illustrates the general acceptance of a broader view
of what constitutes a “document” in the context
of
litigation.
45.
In
this
Court, the matter of
Bertie
van
Zyl (Pty) Ltd v
Up
To Date
Tomatoes (Pty) Ltd
[11]
concerned an application for disclosure of the electronic records of
the Johannesburg Fresh Produce Market, from which certain
figures
contained in one of the affidavits before the court had been
obtained. The respondent in
that case contended that it
was not enough for
the applicant to
have merely supplied a report
printed from those electronic records, and that it (that is, the
respondent) was entitled to access
the records from which the report
had been taken. The Court upheld this contention,
[12]
stating that “
I agree
with its contention in this regard because reference by Daniels and
Range is made to the electronic records which Range
had access to. He
then printed a report from those records
”.
46.
The
Court concluded:
[13]
“
[40]
In
conclusion on this issue, I am of the view that the offer to inspect
copies of a printed report does not fully comply with the
provisions
of
Rule 35(12).
As I have already indicated reliance is placed on the
electronic records of the Johannesburg Fresh Produce Market as a
source document.
The printed report is a product of the electronic
records. Secondly, the respondent is entitled to inspect the
electronic records
of Johannesburg Fresh Produce Market as discussed
above and should that not be possible, the respondent is entitled to
approach
the court in terms of
rule 30A.
[41] I am in
agreement with the respondent that if the applicant wishes to rely on
the information attained from
the electronic records of Johannesburg
Fresh Produce Market, it must make those records available for
inspection in terms of the
rules. To rely upon those documents
without affording inspection to the respondent would, in my view,
result in an injustice as
the respondent would not be able to test
the averments made by Van Zyl with reference to the Johannesburg
Fresh Produce Market
.”
47. In
view of these authorities, I agree with the respondents in the
present
matter that the "books" as they existed at various
relevant dates are documents for the purposes of
Rule 35
, and that
they can be produced.
48. As
to the date of the information to be provided, the respondents point
out that, in the founding affidavit in the main application, Mr
Kruger made assertions as to the position “at all times”.
This encompasses, at least, the period from the beginning of
2016 until 30 May 2017, and arguably until the disputed award
of the
arbitrator made on 18 December 2019.
Elsewhere in the affidavit Mr Kruger refers in broad
terms to the position "by 2016", without specifying a date.
He is nevertheless able to quantify the book of the first respondent,
which he alleges was 7% of the total assets under management.
49. On
the face of it, therefore, so the respondents argue, the state of the
book from the beginning of 2016, until the disputed award of the
arbitrator made on 18 December 2019, should be made available.
Relevance
50. The
applicants dispute, thirdly, the relevance of the
"book"
of clients to the main proceedings, pointing out that
"at
issue
[in the main application]
is whether
[the first
respondent]
has validly avoided the settlement agreement concluded
in May 2017, and client lists are irrelevant to
this
question".
51. In
the supplementary affidavit the respondents do not deal with
this
issue, and do not explain why the
"book''
of clients is
relevant to the issue in the main application. Instead, they state
that Mr Nimmo's allegations are
"contradicted by various
allegations in Kruger's founding affidavit in the main application".
The respondents suggest that Mr Kruger's references to the
client "book", given in his history of the arbitration
process,
make the issue which has already been arbitrated – the
fair market value of the first respondent’s immovable property
- relevant in the main application.
52. In
their heads of argument, the respondents point out that Mr
Nimmo does
not substantiate the alleged irrelevance of the shareholders’
book. They say that
"the shareholders' books are
relevant as the allocation of earnings and dividends is a
prominent issue in the main application proceedings. The First
Respondent resiled from the settlement and arbitration agreement on
the basis of fraud, which in part relates to the allocation of
earnings and dividends according to the book size and assets under
management of each shareholder."
53. The
applicants argue that this is in fact not the issue in the
main
application; it is an issue already arbitrated. If the avoidance
letter is considered it is clear that the
"allocation of
earnings and dividends according to the book size"
is not an
issue. The grounds of rescission referred to in the avoidance letter
is based on alleged fraudulent misrepresentations
constituted by:
53.1. An
allegedly
"forged matrix'
used as a basis for the
financial model to calculate the value of the first respondent's
shares;
53.2. Material
evidence which was allegedly
"deliberately withheld'
pertaining to APS International, the foreign income of APS, the
valuation of APS shares, minutes of directors and Exco meetings,
and
details of how the legal fees of the majority shareholders were paid;
53.3. An
allegation that the legal fees payable by the majority shareholders
were not company expenses;
53.4. Mr
Kruger's
"fraudulent denial'
of the 2013 Grundling
valuation of APS; and
53.5. An
allegation that Mr Kruger made false statements in relation to the
first respondent's abscondment
from his employment.
54. The
issues in the main application thus relate to whether these
misrepresentations were made, and whether the relevant documents were
withheld. This is a factual enquiry which does not, whether
directly
or indirectly, traverse the issue of the allocation of earnings
according to book size. The production of a "book''
of
clients, even if it were possible, is not relevant to the issues at
hand in the main application.
55.
The
respondents refer, however, to the matter of
Democratic
Alliance and others v Mkhwebane and another
[14]
as being apposite with
regard to the question of relevance:
“
[34]
Reliance
on a document by the party from whom the document or tape recording
is sought is a primary indicator of relevance
. That
appears clearly from what is set out above.
Given the
purpose of
rule 35(12)
it cannot, however, be the sole indicator. The
document in question might not be relied on by the party from which
it is sought
but might be material in relation to the issues that
might arise or to a defence that is available to the party seeking
production
.
[35]
In
refusing production of the requested documents, Papier J appears to
have attached some significance to the fact that the appellants,
prior to the launching of the main proceedings, claimed to have
evidence to substantiate their allegations against Ms Mkhwebane.
To
the extent that the judge held or implied that the appellants, in
defending the main case, were limited to the evidence at their
disposal when the impugned publication was made, he erred.
A person defending a defamation claim on the grounds of truth and
public benefit or fair comment is entitled, after the launching
of
proceedings, to gather further evidence to support those defences and
to use the rules of court for that purpose, including
the rules
relating to the discovery and production of documents.”
[Emphasis added.]
56. The
"primary indicator(s) of relevance"
in the present
case are the references to the "book(s)" in various
paragraphs of the founding affidavit in the main application.
The
most significant references are the instances where:
56.1. Mr
Kruger compares the proportionate size of his book (over 40%) with
that of the first respondent
(approximately 7%). Mr Kruger does not
refer in this respect to any particular date. In the context of the
founding papers this
must be taken to have applied at least between
31 May 2016 and 18 December 2019;
56.2. Mr
Kruger alleges that his "
book-size
dwarfed
First Respondent's at all times
";
56.3. Mr
Kruger refers to the size of the First Respondent's "book"
as "always small. By
2016, it was 7% of the total assets under
management (AUM)"; and
56.4.
Reference is made to the payment of dividends according to book-size.
At the very least this
comprehends comparisons of the various
"books" as at the dates of determination of those
dividends.
57.
Mkhwebane
[15]
makes it clear that, apart
from being relevant if referred to, a document is relevant
for the purposes of
Rule 35(12)
if it might be material to the issues that might arise or to a
defence that is available to the party seeking production. The ambit
of
Rule 35(12)
is very wide. The position is contrasted with the
assessment of relevance once pleadings have closed.
58.
Mkhwebane
summarises the position as
follows:
[16]
“…
It
appears to me to be clear that
documents in respect of which there is a direct or indirect reference
in an affidavit
or
its annexures that are relevant, and which are not privileged, and
are in the possession of that party,
must
be produced. Relevance is assessed in relation to
rule 35(12)
, not on
the basis of issues that have crystallised, as they would have, had
pleadings closed or all the affidavits been filed,
but rather on the
basis of aspects or issues that might arise in relation to what has
thus far been stated in the pleadings or
affidavits and possible
grounds of opposition or defences that might be raised
and, on the basis that they will better enable the party seeking
production to assess his or her position and that they might assist
in asserting such a defence or defences
….”
[Emphasis added.]
59. The
requirement of relevance in the present matter is thus satisfied by
reference to the
applicants' papers. Mr Kruger's references to and
reliance upon the "book" are "primary indicator(s) of
relevance"
in those aspects or issues in relation to it might
arise in the course of the further conduct of the litigation.
60.
I
agree with the respondents’ submissions. The requested
documents relating to the shareholders’ book can be
determinative of the issues relating to the allocation of earnings
and dividends for the purposes of valuing the parties’
shares.
This is an issue that might very well arise in the main application.
In the circumstances, I am of the view
that the client book or list
may well be relevant and should be provided, and that an appropriate
order should be made to prevent
the abuse of the information
contained therein. The respondents have no dispute with an
arrangement as to confidentiality,
and I do not have to go into the
authorities usefully set out by the parties in their heads of
argument. I intend following
the format of the order granted in
Value Logistics Ltd v Britz
and others
,
[17]
as suggested by the applicants.
Item
14: Documents submitted to cancel the winding-up of APS International
61. These
documents comprise
"documents submitted in the steps taken to
cancel the winding up process of APS International",
and
those
"which were
required in
paragraphs
(a)
to
(i)
of
the
FSC
letter dated 20
October 2019
(CRK 50-h, page 671)."
The latter includes the
following documentation:
61.1. An
updated business plan;
61.2.
Certified true copies of the shareholders' resolution rescinding the
winding up process;
61.3. An
undertaking that the company has not transacted without a valid
Global Business Licence;
61.4.
Outstanding Annual Reports pursuant to section 55 of the Securities
Act (if any);
61.5.
Management accounts (duly signed and dated) from the date it has
surrendered its licences;
61.6.
Confirmation that Intercontinental Trust Ltd hold updated customer
due diligence documents on the
shareholders and beneficial
owners/ultimate beneficial owners;
61.7. An
updated register of shareholders/beneficial owners (including a chart
of the shareholding structure)
and directors of the company;
61.8.
Confirmation that the company is in good standing in terms of fees
with the Registrar of Companies;
61.9.
Settlement of annual fees for the year 2019/2020.
62. The
applicants did not produce any of the requested documents for
the
following reasons stated Mr Nimmo's affidavit: “
I
am
a
minority member on
this
board, and
certainly do
not
control it. I have no authority on behalf of
APS International to furnish its documentation, nor do I even have
access to the documentation
referred to. From my own knowledge, APS
International was given certain items which needed attending to in
order to reverse the
winding up process. These
requirements were attended to
in Mauritius, and the
result was that the winding up
process was reversed.
"
63. The
respondents argue that Mr Nimmo's allegations do not justify the
failure to produce the documents in question. They say that the
fourth to sixth applicants (Messrs Kruger, Neethling, and Nimmo),
in
contravention of the
Companies Act and
in breach of their fiduciary
duties, misappropriated a corporate opportunity pursued by the second
applicant (APS), established
APS International in Mauritius, and made
their family trusts the shareholders. They effectively control APS
International.
Those three applicants have failed to make
proper disclosure to the shareholders of APS that they have
misappropriated the corporate
opportunity pursued by APS.
64. The
respondents contend that the three applicants subsequently misled
the
APS shareholders in the directors' report contained in the audited
financial statements for the 2017 financial year, being
the year in
which APS International had been set up in Mauritius, by stating:
"During the financial year, no contracts were entered into
which directors or officers of the company had an interest and which
significantly affected the business of the company".
The
shares held by the applicants' family trusts are in fact the property
of APS. The assets and income of APS International must
therefore be
taken into account in valuing the shares of APS.
65. The
respondents contend that the documents referred to under Item
14 are
relevant to determine the issues relating to APS International in the
application proceedings. Mr Nimmo is a director
and the family
trusts are shareholders of APR International. They are thus
entitled to copies of the requested documents
and can produce them in
order to comply with the
Rule 35(12)
notice.
66.
The applicants essentially have three grounds of opposition to the
disclosure of the documents sought:
66.1. Firstly,
the respondents have not explained how the documents they seek will
assist in the proof of
misappropriation by the applicants of the
corporate opportunity represented by APS International;
66.2. As a
matter of law a person who is a director of a company not party to
the present proceedings cannot
be ordered to produce documentation
not in his possession, but which is in the position of that other
company; and
66.3. The
provisions of the Mauritian Companies Act 15 of 2001 referred to by
the respondents have not been
adequately proven.
Relevance
67.
The applicants refer to the respondents’ submission that these
documents
"are relevant to determine issues relating
to
APS
International
in
the
application
proceedings."
The respondents aver that Messrs Kruger, Nimmo and Neethling
misappropriated a corporate opportunity when they established APS
International
in Mauritius. They do not, however, explain in
their affidavits how the documents they seek will conduce to the
proof of
this misappropriation.
68.
Against this contention the respondents point out that the documents
sought under Item 14 are referred to in various paragraphs of Mr
Nimmo’s affidavits in the interlocutory application.
He
does not object to the production of those documents on the ground of
irrelevance – the point was raised for the first
time in the
applicants’ heads of argument. There are accordingly no
facts on oath supporting the alleged absence of
relevance.
69.
The respondents return to the
issue of onus in this respect.
Although it seems that the incidence of the onus (in the full
sense) in relation to relevance in applications under Rule 35(12) has
not been finally settled,
[18]
the
dicta
in
Universal City Studios v
Movie Time
,
[19]
Gorfinkel v Gross, Hendler
&
Frank
,
[20]
and
Centre for Child Law v
Hoërskool Fochville and another
[21]
indicate that, before there
is even an evidentiary onus on the party delivering the notice,
the receiving party must at least
deny relevance, and the burden to
set up facts relieving him of the obligation to produce the document
falls on the recipient of
the notice.
70.
Gorfinkel
was
followed in
Unilever v
Polagric
.
[22]
It was criticised but not overruled in
Mkhwebane.
[23]
Gorfinkel
and
Unilever
remain
binding precedents unless this Court finds that they were clearly
wrong. I am not inclined to do so.
Hoërskool
Fochville
[24]
indicates that provided
"the term onus is not
... confused with the burden to adduce evidence"
the
approach in those cases can safely be followed. Thus, the burden to
set up facts must be understood as an evidentiary burden
and not a
full
onus.
It
is nevertheless a duty incumbent on the party seeking to be relieved
of the obligation to produce a document to which it has
referred.
This the applicants have not done.
Production
of the documents and proof of Mauritian company law
71.
As indicated, the applicants did not produce the requested documents
as Mr Nimmo stated that he had
"no authority on behalf of APS
International to furnish its documentation, nor do I even have access
to the documentation referred
to.
"
72.
The respondents submit that
"with Nimmo as an appointed
director and the family trusts the
shareholders of
APS International,
they are entitled to
the copies of the requested documents and they can produce
them in order to comply with the Rule 35 (12) notice.”
The respondents quote from section 153 of the Mauritian Companies
Act, submitting that this allows Mr Nimmo as a director to disclose
information "as
required by law".
73.
Various other sections from the statute are also quoted in
support of the contention that Mr Nimmo has the right to procure and
disclose this information. The respondents submit that
"in
light of his statutory powers and duties as a director, Nimmo's
allegation in paragraph 31.4 of his affidavit (‘nor
do I even
have access to
the
documentation referred
to') cannot be accepted as
a
valid basis for refusing to
produce the documentation”.
74.
The applicants argue that even
if
the
respondents’ submissions in
relation to the Mauritian
Companies Act and Mauritian company law are correct, this Court
cannot have regard thereto, because it
is foreign law that has not
been proved. Foreign law is a question of fact to be
proved by experts, failing
which it
is
presumed to
be
the
same as the relevant South
African law.
[25]
Although
section 1
of the
Law of Evidence Amendment Act 45 of 1988
empowers a court to take judicial notice of
foreign law when such law can
be ascertained readily and with sufficient certainty, the applicants
argue that the provisions relied
upon by respondents are not readily
ascertainable with sufficient certainty.
75.
A consideration of
Mkhwebane
, however, makes it clear that it
is unnecessary for purposes of the application under
Rule 35(12)
to
prove these provisions. The respondents are correct in their
submission that I do not have to decide any issue by applying
the
Mauritian law. The enquiry is limited to the requirements of
Rule 35(12).
0in; line-height: 150%">
76.
The applicants argue that the
leap which the respondents ask this Court to make - namely that Mr
Nimmo can
and
should
be
compelled to use
his
powers as a director to compel
APS International, a foreign entity not a party to these proceedings,
to procure from Mauritius and
produce in these proceedings that
company's documentation - is a bridge too far. A person who is
a director of a
company
not party
to
the proceedin
g
.
s
cannot be ordered
to produce documentation not in
his possession but in the possession of such other company. Where a
party seeks documents in terms
of
Rule 35(12)
and those documents are
not in the other party's
possession, a court will
generally not make an order against such party to produce the
document.
[26]
77.
The principle is however not
immutable, but is dependent on the particular facts of the matter.
In
Moulded Components
&
Rotomoulding
SA
(Pty) Ltd v Coucarakis
[27]
the Court acknowledged that “…
it
is easy to conceive of cases where a document is not in the
actual physical possession of a party, but where the Court would
nevertheless not hesitate to make an order in terms of
Rule 35(12)
”
.
78.
One of the items claimed under Item 14 is
"an updated
register of shareholders/beneficial owners (including a chart of the
shareholding structure) and directors of the
Company
" which
must be available for public inspection in terms of section 225 of
the Mauritian Companies Act. The applicants
argue that these
are thus documents which are kept available for public inspection and
which can be procured by the respondents
themselves by following the
prescribed procedures.
79.
I do not think that that is relevant for the purposes of Rule
35(12).
The facts of the matter at hand should be considered.
The notice under Rule 35(12) was issued in respect of an affidavit
made by Mr Kruger in the main application. He testified that the
requirements in annexure "CK 11" (comprising the documents
listed earlier in identifying the scope of Item 14) were complied
with, and the winding-up process was stopped. The defence
that
Mr Nimmo does not have authority to produce the requested documents
on behalf of the Mauritian company is a red herring. Mr
Kruger's affidavit refers to actions to which he was apparently a
party (resolving to seek the liquidation of the company), and
it is
Mr Kruger who asserts that the requirements of CK 11 were satisfied.
Whether Mr Nimmo has authority to produce the requested
documents on
behalf of the company is beside the point. Mr Kruger is the deponent
of the affidavit in relation to which the documents
are sought.
80.
In these circumstances, I am of the view that the documentation
comprising Item 14 of the Rule 35(12) notice should be produced.
The
Rule 35(13) application
General
principles
81.
The
applicants have not given any indication of their defence to the
respondents
'
Rule
35(13) application other than to contend that
"the
founding
papers fail to make out
a
case"
and
that they intend
to
"oppose
the
matter
on
the
basis
of
the
Respondents' own papers"
.
The respondents thus argue that the applicants' failure to deliver an
answering affidavit which responds to the
allegations
in
the
respondents' founding affidavit has
the
consequence
that such allegations must be taken to be established facts.
[28]
82.
Rule 35(13) reads as follows: “
The provisions of this rule
relating to discovery shall mutatis mutandis apply, in so
far as the court may direct, to
applications
”.
83.
The Court
has the discretionary power in terms of Rule 35(13) to direct that
all the provisions of Rule 35 relating to discovery
shall apply to
applications. It was
held
in
Premier
Freight
(P
t
y)
Ltd
v
Breathetex
Co
rp
oration
(P
t
y)
Ltd
[29]
that
this power should be exercised only in exceptional
circumstances:
"
[7]
The cases on Rule 35(13) make one thing clear. An order in terms of
the Rule is not simply there for the asking. It is only
in
exceptional circumstances that the Rules of discovery should be made
to apply to application proceedings shall deal with this
in more
detail below.
[8]
On the other hand, certain important constitutional values must also
be borne in
mind…
“
84.
In
Cancom
(
Pt
y)
Ltd
and others v TMT Services and Su
pp
liers
(P
t
y)
Ltd
and others
,
[30]
the Court stated: “
Our
courts are more inclined to exercise its discretion in favour of
ordering discovery in motion proceedings, in cases where discovery
is
asked for by a respondent who requires documents to answer the case
it has to meet. This is understandable, as it is the
applicant
who chose motion proceedings and the respondents would be prejudiced,
without the opportunity to resort to the usual
discovery process
provided for in Rule 35, to answer a case against it.
"
85.
The applicants emphasise that
an order in terms of Rule 35(13) making discovery applicable to
motion proceedings is
not
to
be
had for
the
asking.
Exceptional
circumstances must exist to warrant such an order.
[31]
In
Moulded Components supra
it was held
[32]
that in application proceedings
"discovery
is
a
very,
very rare and unusual procedure"
and
it is therefore sound practice that it is only in exceptional
circumstances that discovery should be ordered in motion
proceedings.
The court refused
such relief in circumstances
where the documents sought were cast in very wide terms, and the Rule
35(13) application effectively
amounted to a fishing expedition.
[33]
86.
The applicants argue that
courts are accordingly reluctant to order discovery in
motion proceedings in the
early
stages,
especially before the
respondent has delivered
its
opposing affidavit. Discovery
will
only
be ordered in
terms
of
Rule
35(13) where there
are
reasonable grounds for doubting the correctness of
the
allegations made on behalf
of
an
applicant.
[34]
87.
The respondents point out,
however, that they are
subject
to
precisely
the same
prejudice
as
that
regarded as decisive in
Saunders Valve:
[35]
“
Because
of the fact that motion proceedings have been instituted, the
respondent is called upon now, not only to plead to the claim
as set
out in the founding affidavits and the notice of motion, but also to
place before the Court its evidence. In my opinion,
having
regard to the circumstances to which I have referred, the respondent
would be prejudiced if discovery were not to be made
at this stage
and so give the respondent the opportunity of deciding what evidence
should be placed before the Court in answer
to the matters upon which
the onus will ultimately rest upon the applicant. It
follows too, in my judgment, that it would
be unfairly prejudicial to
the respondent if it were called upon to file answering
affidavits prior to such discovery having
been made by the applicant.
I would add too that this is obviously a matter where technical
evidence may well be vital. The evidence
which the respondent wishes
to obtain will, no doubt, include matters of a technical nature
which will of necessity relate
to documents which should properly be
discovered by the applicant
.”
88.
The respondents criticize the
applicants’ unqualified statement, with reference to
Saunders Valve,
that
our courts are reluctant to order discovery in
motion proceedings in
the
early stages, especially before
the respondent has delivered its opposing affidavit. In
Saunders Valve
the
interlocutory applicant was in fact granted an extension of time to
deliver an answering affidavit, and a discovery order was
made with
immediate effect.
[36]
89.
The context in which
exceptional circumstances can be found to exist was referred to in
STT Sales (Pty) Ltd v Fourie
and others
,
[37]
where the Court stated:
"
Rule
35 of the rules regulating the conduct of the proceedings of the
several provincial and local
divisions of
the
Supreme Court
of South Africa (the rules)
provides in rule 35(13) that the provisions of the rule relating to
discovery apply mutatis mutandis
to applications. Only in exceptional
circumstances is an order made directing discovery in application
proceedings. See Saunders
Valve Co Ltd v lnsamcor (Pty) Ltd
1985 (1)
SA 146
(T) at 149F
-
I
;
Premier Freight (Pty) Ltd v
Breathetex Corporation (Pty) Ltd
2003 (6) SA 190
(SE) at 196A -B.
In
the
above
two
case
s
.
discove
r
'
y
was
allowed
prior
to the finalisation
of the delivery of affidavits.
The
exce
p
tional
circumstances in each case
·
were that the res
p
ondent
was
p
re
j
udiced
,
in that it re
q
uired
discove
ry
of
documents in order to
enable it
to
file
its answer
.
Only if
the applicant, who
had
chosen motion
proceedings
as
the method by which it would proceed against the respondent in each
case
,
was
directed to make discovery of the documents, would the respondents'
prejudice be alleviated. Discovery was ordered prior to
the
equivalent of close of proceedings in a trial."
[Emphasis
added.]
90.
In deciding whether exceptional
circumstances exist and whether to order discovery a court exercises
a discretion in the strict
sense. This means that this Court
may adopt any one of a range of options about which there may well be
a justifiable difference
of opinion as to which one would be the most
appropriate.
[38]
Factors that will be taken into account include the following:
[39]
90.1.
Principles of fairness and equity: the court will be guided by
constitutional values, though the open
and transparent society
created by the Constitution indicates a stricter approach, as
litigants can exploit this in preparing for
legal battle.
90.2. Whether
the applicant for discovery is the applicant or the respondent in the
main application.
In the present matter the respondents in the
main application seek discovery.
90.3. Whether
the application is made at an early or late stage of the proceedings.
90.4. The
nature of the matter and the evidence that has been adduced.
Discovery could be unnecessary
where evidence has been adduced.
90.5. The
extent of the discovery sought. A request for general discovery may
indicate a fishing expedition,
whereas requests for specific
discovery might indicate a genuine need.
91.
I proceed to discuss these factors in the context of the present
matter.
The
nature of the matter and whether evidence has been adduced
92.
It is common cause that extensive evidence was led in the arbitration
proceedings, and voluminous discovery had been made prior to the
leading of evidence. The respondents nevertheless submit
that
this is an exceptional case which justifies the application of the
discovery procedures in Rule 35.
93.
As set out earlier, the main application seeks declaratory relief
in
terms of which the alleged purported rescission by the first
respondent of a Rule 34 settlement agreement reached in this Court,
and the related arbitration that followed is declared to be invalid.
Contempt relief is also sought against the first respondent.
The relief, sought on motion, is wide-ranging:
93.1.
an
order
declaring invalid
the
respondents' rescission, on
the
basis
of fraud, of settlement and arbitration agreements;
93.2.
an
order limiting the legal remedies available to the respondents;
93.3.
an
order that is in effect an anti-dissipation order;
93.4.
orders
directing
that
anticipated disputes of
fact
be
submitted to
oral evidence. Notably, the relief
sought by the applicants in prayer 8 of the notice of motion in the
main application is
an
order:
"
8.
Directing:
8
.
1
.
First
Respondent
(should
a
material
dispute of
fact
not
capable of
resolution on the papers arise in regard to affidavits filed by him
in
opposing the relief sought)
to
.
submit
to cros
s
.
-examination
on such issues as may be in dispute in terms of Rule 6(5)(g), on such
terms as
may
be agreed between
the parties
.
or,
absent agreement, as may be directed by the above Honourable Court;
Alternatively
to paragraph 8.1 above
8.2.
An
order directing that material disputes of fact on the papers in
regard to the relief
sought
be
referred for
oral
evidence upon
such terms as may be agreed
between the parties or, absent agreement, determined by the above
Honourable Court
;
Alternatively
to paragraph 8.2 above
8.3.
An
order referring the matter to trial."
94.
The crux of the respondents’ case is the following.
95.
The relief sought in the main application is
final. It is founded on supposed refutations of allegations of
fraud and perjury.
The obvious implication of
the applicants' contentions is
that
the
allegations of
fraud
and
perjury
are themselves deliberately false, and
therefore fraudulent and
perjurious. Thus, although the
application is
presented as
a
negation
of the
respondent's
allegations, on
analysis
it positively asserts fraud on the part of the respondents.
96.
It
is settled law that issues of fraud should not be litigated on
motion.
[40]
It was pointed out in
NDPP
v Zuma
[41]
that motion proceedings were designed to resolve legal issues, not
factual
disputes. The founding papers in the main application run into
many pages of detailed evidence and
argument.
Significantly, they foreshadow many substantial and material disputes
of fact (the respondents refer to 11 examples).
[42]
97.
The
applicants’ choice to proceed on motion is thus highly unusual
and can rightly be characterised as "exceptional"
or
"extraordinary":
“
The
phrase "exceptional circumstances" is not defined in the
Superior Courts Act. Although guidance on the meaning of
the term may
be sought
from
case law, our courts have shown
a
reluctance
to lay down
a
general
rule.
This
is because the phrase is sufficiently flexible to be considered on
a
case-by-case
basis, since circumstances that may be
regarded
as
"ordinary"
in one case may be treated
as
"exceptional"
in another.”
[43]
The
stage at which discovery is sought
98.
In the present matter, the Rule 35(13) application was launched after
discovery had been made in the arbitration proceedings, and after
evidence had been led there. The Rule 35(13) application
was,
of course, brought in the course of new proceedings instituted
against the respondents, namely the main application.
One
cannot disregard the background from which the main application
arose.
99.
The applicants submit, as to
the relevance of the stage which the proceedings have reached, it was
held in
STT Sales (Pty) Ltd
v Fourie and others
[44]
that the “
right
to discovery is an easily abused right and must be properly protected
to
ensure
that
it
is
used
in
the
context
in
which it
was designed for use.
The essential feature
of discovery is that a person requiring
discovery is in
general only entitled to discovery once the battle lines are drawn
and the legal issues established. It is not
a
tool designed to put
a party in
a
position to draw the
battle lines and establish legal issues
.
Rather, it is
a
tool
used to identify factual issues once legal issues are established.
[Emphasis added.]
100.
Thus, in general, to allow
discovery in application proceedings at a stage before the battle
lines are drawn, and the legal issues
identified, would be to
"invite
chaos".
The parties
are likely to deliver further affidavits and embrace new issues, and
will need to respond to each other, leading to
an inevitable mutation
of the evidence produced on motion.
[45]
101.
The remarks in
STT
Sales
were
quoted
with
approval
in
Investec Bank Ltd v
Blumenthal NO and others
[46]
where the Court held that
those remarks were "...
especially
important because they address the forensic function of discovery,
not merely considerations about the interests sought
to be served by
the invocation of one or another legal device".
The
Court quoted various cases indicating that applicants
who
were
successful
in
invoking
Rule
35(13)
were
those
who
had demonstrated "a
clear
prejudice"
which
would
result without
such
relief.
102.
The
respondents criticize the applicants’ reliance on
STT
Sales v Fourie
in support of the dismissal of this application
.
That
case is distinguishable from the present matter
.
It
involved an
applicant
who wanted to apply for final relief and who asserted that if the
respondent were obliged to
make
discovery its entitlement to the final relief would be
evident.
[47]
The Court remarked that that would have been a wrong approach:
"
It
seems to me that it is improper to commence with the premise that an
applicant, who has
chosen
a
particular
course which results in
prejudice
to
him,
is entitled to maintain that course and seek relief to alleviate the
prejudice, notwithstanding general principles prohibiting
such a
relief
”.
[48]
103.
After
opining that the
applicant
could have solved its own
problems
by proceeding by way of action, the Court held
[49]
that:
"
The
only 'exceptional circumstance' in the present matter is the
applicant's determination to follow a course which causes it
prejudice.
"
The
application was dismissed.
104.
The
respondents point out that
Investec
Bank v Blumenthal
is
equally inapplicable to the present matter. That case involved an
application for sequestration in which the applicant sought
an order
under Rule 35(14) without there having been an application under Rule
35(13). The application was fatally irregular and
fell to be
dismissed for that reason.
[50]
The remainder of the judgment is
obiter
.
Nevertheless,
the Court remarked
[51]
that Rule 35 (13) orders have rarely been granted at the behest of an
applicant, and more usually to respondents requiring information
properly to counter the allegations of the applicants. That is the
position in which the respondents find themselves in the present
matter.
The
extent of the request, fairness and prejudice
105.
In relation to the extent of the discovery sought, the notice of
motion seeks an order
that the applicants are directed to make
discovery, in accordance with Rule 35, of documentation listed in an
annexure to the founding
affidavit. The annexure seeks the production
of a vast array of documents, spanning over an extended time period
from 2014 to (in
some cases) the present. It calls, in short, for
comprehensive discovery.
106. The
applicants argue that the respondents do not set out the alleged
prejudice
that they will suffer should discovery be refused, although
they do say that the will suffer prejudice. They also do not
explain why they cannot, at the appropriate juncture, make
application in terms of Rule 6(5)(g) for a referral to oral evidence
if the facts on the affidavits, or the circumstances of the
litigation, warrant such a referral. In fact, the relief
claimed
in the main application envisages that, should circumstances
so require, a referral to oral evidence can be made.
107.
The
respondents contend in their heads of argument that they will be
prejudiced in not being able to respond in the manner required
in
motion proceedings (as set out in
Wightman
t/a JW Construction vs Headfour
[52]
)
because they
"do not
have all the documentation that they need and the Applicants have
refused to provide the Respondents with documents
relating to the
matters in question".
108. The
prejudice to the respondents could have been avoided had the
applicants
instituted action instead of motion proceedings. The
choice of proceedings has deprived the respondents of their automatic
right to demand discovery in terms of Rule 35.
109.
In
Inde
p
endent
News
p
a
p
ers
(Pty)
Ltd
v Minister For Intelli
g
ence
Services:
In Re Masetlha v President of the Re
p
ublic
of South Africa and another
,
[53]
the Court
stated:
"
Ordinarily
courts would look favourably on a claim of a litigant to gain
access to documents or other information reasonably
required to
assert
or
protect a threatened right or
to
advance
a
cause
of
action.
This is so because courts take seriously the valid interest of a
litigant to be placed in a position to present its case
fully during
the course of litigation. Whilst weighing meticulously where the
interests
of
justice
lie, courts strive to afford a party a reasonable
opportunity to achieve its purpose in advancing its
case. After
all, an adequate opportunity to prepare and present one's case is a
time-honoured part of a litigating party's right
to a fair
trial.
"
110.
And
in
African
Bank Ltd v Buffalo Cit
v
Munici
pali
ty
[54]
the Court
stated:
"
[14] I
do not understand the request of the first respondent to go beyond
what it is entitled to in terms of Rule 35 of the Uniform
Rules. In
any event the applicant would be entitled to object to any documents
that go beyond what is allowed by Rule 35
[15]
It
is
also clear that
the
first
respondent is
not
on a fishing expedition. Its
request is not for a general discovery but is accompanied by an
annexure of the documents sought to
be discovered. The first
respondent has confined itself to the documents mentioned in the
annexure despite the fact that it would
have been entitled to request
general discovery
…
[17] In the
circumstances fairness dictates that I should exercise my discretion
in favour of the first respondent and allow it
to demand discover.
[18] I am of
the view that in this case exceptional circumstances exist that
I should direct that the ..applicant makes discovery
of the documents
listed in the annexure ….
The
applicant will, however,
have
the right to object to the discovery of any document to which, in
terms
of
Rul
e
-
-
35(2)(b)
of
the
.
Uniform Rules, it is
entitled to raise a valid
objection
."
111. I
agree with the submission made on the respondents’ behalf hat
these considerations apply equally in this matter, and that fairness
dictates that the Court should exercise its discretion in favour
of
the respondents and allow them to demand discovery of the documents
specified in annexure PBD-1 to the notice of motion
.
Constitutional
values of openness and transparency
112. The
respondents submit that an order in terms of Rule 35(13) would
"accord with the constitutional values of openness and
transparency."
113.
It
is of course so that constitutional values of openness and
transparency must be given due weight. The applicants contend,
however, that other constitutional values however are also
implicated, particularly section 34 of
the Constitution pertaining to
access to court and the rights of litigants, which include the
expeditious finalisation of litigation,
and fairness.
[55]
The principle of finality of arbitration awards is a cardinal
principle in terms of
both
the common law and the
Arbitration Act, which
the courts are bound to
support. A party who has entered into an arbitration agreement
with the advantage of finality will
not readily be absolved from that
undertaking.
[56]
114.
The
scope of motion proceedings has been extended in recent times as they
are generally less costly and more expeditious than a
trial action.
Motion proceedings may be employed in any situation, unless,
for example, a statute requires otherwise, or
where material disputes
of fact are apparent from the outset. The type of claim is not the
touchstone as to whether motion or action
proceedings should be
chosen.
[57]
Whether the choice of motion proceedings was appropriate is a matter
for the court to decide based on whether
"broadly
speaking ...
[the
proceedings involve]
deciding
real and substantial disputes of
fact”.
[58]
The wide-spread use of
application proceedings does not mean that a court should ignore the
Uniform Rules in relation to applications
and effectively conflate
the provisions of the Rules in relation to trials, on the one hand,
and applications, on the other. The
rules have their place in the
regulation of the orderly conduct of litigation in whatever format.
115.
I
agree, however, with the submission made by the respondents’
counsel that the particular facts of the matter are important
in this
respect, even if, on the applicants’ argument, the respondents
will
enjoy
the
benefit
of
the
Plascon Evans
rule
[59]
in the main application. The matter is now outside the realm of
the arbitration proceedings. It appears to me that
material
aspects of the main application are inevitably headed towards the
leading of oral evidence, or referral to trial.
The applicants
foresaw this at the time of the institution of the main application.
Discovery will inevitably be required,
irrespective of which
documents may already be in the respondents’ possession as a
result of the arbitration proceedings.
Conclusion
on the Rule 35(13) application
116. In
all of these circumstances I agree with the respondents that the
nature
of the main application constitutes an exceptional case for
the purposes of discovery at this stage.
Costs
117.
I see no reason to deviate from the general rule that costs should
follow the result in
the application under Rule 35(13).
118.
The respondents’ request in terms of Rule 35(12) was reduced
substantially in the
course of the proceedings. The applicants
had to deliver a voluminous answer to the Rule 35(12) notice, which
called for
much information that had already previously been
provided, and a substantial concession occurred after the delivery of
the answering
affidavit. In the premises I think that it is
fair that each party should pay its own costs in respect of the
application
under Rule 30A.
Order
119.
The following order is granted:
119.1.
The application in terms of Rule 30A succeeds and the
applicants are directed to provide the documents described in Item 1
and Item
14 of the respondents’ notice in terms of Rule 35(12)
dated 24 August 2021.
119.2.
The documents are to be provided by no later than 17:00 on
Monday, 19 June 2023, or within such extended period as the parties
may
agree upon, or as may be directed by court order.
119.3.
Failing compliance by the applicants as directed above, the
respondents may approach this Court on the same papers, duly
supplemented,
for an order dismissing or striking out the applicants’
claim in Part B of the notice of motion in the main application.
119.4.
In relation to Item 1,
119.4.1.
The
“books” or lists of clients for Mr Basson, Mr Kruger, Mr
Nimmo and Mr Neethling are to be extracted as they existed
from time
to time from 1 January 2016 up to 18 December 2019.
119.4.2.
The
relevant information may be provided to the respondents in electronic
format.
119.4.3.
The
information provided in terms of paragraph 119.4.1 above shall,
subject only to any further agreement between the applicants
and the
respondents regulating access, or any further order of this Court,
only be accessed by the respondents' legal representatives,
and only
after the respondents have provided
a
letter undertaking that
the
information so delivered will be (1) kept confidential;
and (2) used only for the purposes of the litigation under case
number 13001/2021.
119.4.4.
The
parties shall each bear their own costs of the Rule 30A application.
119.4.5.
It is
directed, in terms of Rule 35(13), that the provisions of Rule 35
shall apply in the main application to the extent set out
below.
119.4.6.
The
applicants are directed to discover and make available for inspection
and copying, in accordance with Rule 35, the documents
listed in
annexure PBD-1 to the founding affidavit in the application under
Rule 35(13), by no later than 17:00 on Monday, 19 June
2023 or within
such extended period as the parties may agree upon, or as may be
directed by court order.
119.4.7.
The
provisions of Rule 35 shall apply to the extent necessary to give
effect to the terms of paragraph 119.4.6.
119.4.8.
The
applicants shall pay the costs of the application in terms of Rule
35(13), jointly and severally, the one paying, the other
to be
absolved, including the costs of two counsel where employed.
119.5.
The respondents are to deliver answering affidavits to the main
application by no later than Monday, 31 July 2023.
119.6.
The time periods provided for in the Uniform Rules of Court
will regulate the delivery of further affidavits and heads of
argument
.
119.7.
The following proceedings shall be enrolled for simultaneous
hearing on the semi-urgent roll on Tuesday, 24 October 2023 or such
other date as the parties may agree upon, subject to leave having
been obtained from the Acting Judge President:
119.7.1.
The
proceedings brought by the first respondent (there as applicant)
under case number 4780/2020;
119.7.2.
The
proceedings brought by the applicants under Part B of case number
1300/2021; and
119.7.3.
The
proceedings brought under case number 7505/2022.
P.
S. VAN ZYL
Acting
judge of the High Court
Appearances:
For the
applicants:
S. C. Kirk-Cohen
SC (with him M. Greig),
Instructed by
Webber Wentzel
Attorneys
For the first
to third respondents
:
W. Duminy SC
(with him J. van Dorsten),
Instructed by
DGF Attorneys
[1]
2018 (4) SA 1
(CC) at para [79].
[2]
Centre
for Child Law v Hoërskool, Fochville
2016
(2) SA 121
SCA at para [18].
[3]
2008 (2) SA 173
(SCA).
[4]
At para [10].
[5]
10th edition, revised.
[6]
At para [10].
[7]
2014
(1) SA 191
(GSJ) at para [40].
[8]
At para [38].
[9]
At para [39].
[10]
[1991]
2 All ER 901 (Ch).
[11]
[2016]
ZAWCHC 105
(28 July 2016).
[12]
At para [24].
[13]
At para [40] and [41].
[14]
2021
(3) SA 403
(SCA) at paras [34] and [35].
[15]
At para [34].
[16]
At para [41]. See also
Caxton
and CTP Publishers v Novus Holdin
g
s
[2022]
2 All SA 299
(SCA) at para [32].
[17]
[2021]
ZAGPJHC 682 (15 November 2021) at para [84], and see
Caxton
and CTP Publishers v Novus Holdin
g
s
supra
at para [33].
[18]
See
Mkhwebane
supra
at
paras [38] to [40].
[19]
1983
(4) SA 736 (D).
[20]
1987
(3) SA 766 (C).
[21]
2016
(2) SA 121 (SCA).
[22]
2001
(2) SA 329 (C).
[23]
See also
Caxton
and CTP Publishers v Novus Holdin
g
s
[2022]
2 All SA 299
(SCA) at para [24].
[24]
At para [18], and
supported
in
Mkhwebane
at
para [40] and
Caxton
at
para [24].
[25]
SS
v
HP
[2019]
3 All SA 645
(GJ) at para [53].
[26]
See
Moulded
Components
&
Rotomoulding
SA
(Pty)
Ltd v Coucarakis
1979
(2) SA 457
(W) at 461A-B; Cilliers
et
al Herbstein and Van Winsen Civil Practice of
the
High Courts
of
South Africa
(4ed)
p
788.
[27]
1979
(2) SA 457
(W) at 461D.
[28]
Municipality
of Mossel Bay
v
The
Evangelical Lutheran Church
[2013]
ZASCA 64
(24 May 2013) at para [6].
[29]
2003
(6) SA 190 (SE).
[30]
[2021]
ZAWCHC 12
(19 January 2021) at para [30].
[31]
See, for example,
Saunders
Valve Company Ltd v lnsamcor (Pty) Ltd
1985
(1) SA 146
(T) at 149;
STT
Sales (Pty) Ltd v Fourie and others
2010 (6) SA 272
(GSJ) at para [15].
[32]
At 470D-H.
[33]
At 470H. See also
The
MV Urgup: Owners of the MV Urgup v Western Bulk Carriers (Australia)
(Ply) Ltd and others
1999 (3) SA 500
(C) at 513G-I.
[34]
See
Saunders
Valve supra
at
149B-E
;
The MV Urgup supra
at
514A
;
East Cross Sea Transport Inc v Elgin Brown
&
Hamer
(Pty) Ltd
1992
(1) SA 102
(D) at 109C-E.
[35]
At 149F-H.
[36]
At
150 F-1.
[37]
2010
(6) SA 272
(GSJ) at 276B-G.
[38]
Oakdene
Square Properties (Pty) Ltd and others v Farm Bothasfontein
(Kayalami) (Pty) Ltd
2013 (4) SA 539
(SCA) at para [19].
[39]
African
Bank Ltd v Buffalo City Municipality
2006
(2) SA 130
(CkH) at para [8].
[40]
See,
for example,
Prinsloo
NO v Goldex 15,
2014
(5) SA 297
(SCA) at paras [18] and [19];
Pe
p
kor
v AJVH Holdin
g
s
2021
(5) SA 115
(SCA) at para [39].
[41]
[2009] ZASCA 1
;
2009
(2) SA 277
(SCA) at para
[26]
,
[42]
The case thus calls out for oral evidence: see
East
Coast Sea Transport v Elgon Brown and Hamer
1992
(1) SA 102 (D).
[43]
Lieschin
g
and
others v S
2019
(4) SA 219
(CC) at para [39].
[44]
2010 (6) SA 272
(GSJ) at paras [15]-[16].
[45]
STT
Sales supra
at para [17].
[46]
[2012] ZAGPJHC 21 (5 March) at para [22].
[47]
See paras
[11] and
[18]
of the judgment.
[48]
At para [18].
[49]
At para [19].
[50]
See para [8].
[51]
At para [15].
[52]
[2008] ZASCA 6
;
2008 (3) SA 371
(SCA) at para
[13]
.
[53]
2008
(5) SA 31
(CC) at para [25].
[54]
2006
(2) SA 130
(CkH) at paras [14]-[18].
[55]
Van
Zyl N.O. v Road Accident Fund
2022
(3) SA 45
(CC) at para [20].
[56]
Leadtrain
Assessments (Pty) Ltd v Leadtrain (Pty) Ltd
2013
(5) SA 84
(SCA) at para [15];
Metallurgical
&
Commercial
Consultants (Pty) Ltd v Metal Sales Co (Pty) Ltd
1971
(2) SA 388
(W) at 391F.
[57]
Ter
Beek v United Resources
CC
1997 (3) SA 315
(C) at 329D-G.
[58]
Ismail
v Durban City Council
1973
(2) SA 362
(N) at
373F-375A;
and see Cilliers
et
al Herbstein & van Winsen's The Civil Practice of the High
Courts of South Africa
(5ed) p 292.
[59]
Plascon-Evans
Paints (Tvl) Ltd v Van Riebeeck Paints (Pty) Ltd
[1984] ZASCA 51
;
1984
(3) SA 623
(A) at 634E-G.
sino noindex
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