Case Law[2023] ZAWCHC 145South Africa
ALG Boerdery (Pty) Ltd and Another v Van Heerden and Others (2699/2023) [2023] ZAWCHC 145 (14 June 2023)
High Court of South Africa (Western Cape Division)
14 June 2023
Judgment
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## ALG Boerdery (Pty) Ltd and Another v Van Heerden and Others (2699/2023) [2023] ZAWCHC 145 (14 June 2023)
ALG Boerdery (Pty) Ltd and Another v Van Heerden and Others (2699/2023) [2023] ZAWCHC 145 (14 June 2023)
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sino date 14 June 2023
IN THE HIGH COURT OF SOUTH AFRICA
(WESTERN CAPE DIVISION, CAPE TOWN)
Case No: 2699/2023
In the matter between:
ALG
BOERDERY (PTY) LTD
First
Applicant
GERRIT
ERASMUS VAN DER MERWE
Second
Applicant
and
HILDA
JOHANNA VAN HEERDEN
First
Respondent
JOHANNES
STEPHANUS SPAMER
Second
Respondent
HERMAN
BESTER N.O.
Third
Respondent
HILBER
(PTY) LTD
Fourth
Respondent
HILBER
II (PTY) LTD
Fifth
Respondent
HILDA
JOHANNA VAN HEERDEN N.O.
Sixth
Respondent
HENDRIK
PETRUS VOS N.O.
Seventh
Respondent
KARIN
LINDA DREYER N.O.
Eighth
Respondent
Coram:
Justice J Cloete
Heard:
12 June 2023
Delivered
electronically:
14 June 2023
JUDGMENT
CLOETE
J
:
[1]
This
is an opposed interlocutory application for relief in terms of
uniform rule 35(14). It is brought at the instance of the
first
and fifth to eighth respondents in the main application set down for
hearing on 30 August 2023, to compel the first and second
applicants
in that application to produce a host of documents. The main
application is opposed by these respondents along with
the second
respondent.
[2]
The
reason is described in the rule 35(14) notice preceding the current
application as being ‘
for purposes
of pleading, the following documents
[are
required]
which are relevant to a
reasonably anticipated issue…’
.
For convenience, and save where otherwise indicated the first and
fifth to eight respondents are referred to herein as “the
respondents” and the first and second applicants as “the
applicants”.
[3]
In
the main application the applicants seek the court’s
declaration that: (a) the appointment of the second respondent
(“Spamer”) as director of the fourth respondent
(“Hilber”) on 12 December 2022 is void; (b) the
resolution taken on 16 January 2023 to place Hilber in business
rescue is void; (c) consequently, the appointment of
the third
respondent (“Bester”) as business rescue practitioner
(“BRP”) is void; and (d) business
rescue in respect
of Hilber did not commence.
[4]
At
this stage only the founding affidavit in the main application is
before the court since the respondents maintain they require
the
documents listed in their rule 35(14) notice to prepare their
answering affidavit. Perusal of that founding affidavit
reveals the
following:
4.1
It contains 101 paragraphs. Of these, paragraphs 51 to 76 (“the
relevant paragraphs”) deal
with the issues which the later
court must determine. The remaining paragraphs provide historical and
other context and/or deal
with matters which arose subsequent to the
events giving rise to the issues;
[1]
and
4.2
In the relevant paragraphs reliance is placed on the proper
interpretation of a certain clause(s) in
a joint venture agreement in
relation to Spamer’s challenged appointment, which is a matter
of law and not fact;
[2]
and statutory
provisions pertaining to the impugned business rescue resolution and
subsequent appointment of the BRP. Annexed are
documents and
correspondence upon which the applicants rely in support of their
averments in the relevant paragraphs.
[5]
Accordingly,
despite the parties’ competing versions in relation to their
overall disputes (evident from the founding affidavit
in the main
application and advanced in substantial part to motivate urgency,
which is the basis upon which that application was
initially
brought), it is evident that any factual dispute(s) which may arise
from the answering affidavit in relation to the relevant
paragraphs
will have limited impact on the legal issues which the later court
must determine.
[6]
This
is borne out by the fact that a sole paragraph in the rule 35(14)
notice – i.e. paragraph 74 – deals with
the relevant
paragraphs. It refers to paragraph 61 of the founding affidavit
as well as annexure FA14 thereto, and reads ‘
copies
of the following documents requested in Annexure FA14’
.
No documents are separately listed but, on the assumption that
paragraphs 75 to 79 of that notice – which fall under the
subheading ‘
Ad paragraph 96.6
of the founding affidavit’
–
were
intended to refer to those documents, they are itemised therein as
follows:
‘
75.
A list reflecting the creditors of Hilber.
76. Copies
of any and all responses by the applicants to the e-mail, Annexure
FA14.
77. Copies
of any agreements as set out in paragraph 1 of the e-mail.
78. Copies
of any agreements as set out in paragraph 2 of the e-mail.
79. Copies
of any agreements as set out in paragraph 3 of the e-mail.’
[7]
Annexure
FA14 to the founding affidavit is an email from the first respondent
(“Van Heerden”) to the second applicant
(“Van der
Merwe”) dated 12 January 2023 requesting certain financial
documentation and information in relation
to Hilber, seemingly for
purposes of the shareholders/directors meeting scheduled for
16 January 2023. At all relevant times
Van Heerden and Van der
Merwe were co-directors of Hilber until Spamer was also purportedly
appointed as such on 12 December
2022.
[8]
This
email was thus sent by Van Heerden to Van der Merwe
after
the impugned
appointment of Spamer on 12 December 2022 and any documents
sought therein cannot be relevant to such appointment.
In addition,
according to Spamer (who is the deponent to both the main and
replying affidavits in the current application) that
information and
documentation (amongst others) has never been provided to Van
Heerden. The relevance of this allegation is that
on 16 January
2023, Van Heerden nonetheless signed the impugned resolution to place
Hilber in business rescue in terms of
s 129 of the Companies
Act
[3]
i.e. on the
basis that the board of directors had reasonable grounds to believe
Hilber was financially distressed and there
was a reasonable prospect
of rescuing it.
[9]
It
is not in dispute that this resolution was taken at a time when Van
der Merwe was no longer in attendance at that meeting. It
thus stands
to reason that Van Heerden (and Spamer) must already have had
information and documentation in their possession which
they
considered sufficient to conclude that business rescue, due to
financial distress, was the appropriate option for Hilber.
In these
circumstances, I do not see how documents produced
ex
post facto
can be of any relevance to
the taking of that resolution. Further, it should also be
self-evident that these documents have no relevance
to Van Heerden’s
subsequent
appointment
of
Bester as BRP.
[10]
Put
differently, the documents requested in the rule 35(14) notice for
determination of the issues by a later court are neither
essential
nor material to the ‘
proper
conduct and fair determination of the case’
which the
respondents are required to meet. As stated in
Lewis
Group Ltd v Woollam (2)
[4]
:
‘
[4]
Rule 35, which regulates the discovery procedure in general civil
litigation, is primarily applicable
in action proceedings. Rule
35(13) provides, however, that
“
The
provisions of this rule relating to discovery shall
mutatis
mutandis
apply,
in so far as the court may direct, to applications”.
The
fact that, differently to the position in respect of actions, a party
seeking discovery in motion proceedings is able to obtain
it only
insofar as the court might direct points to the availability of the
procedure in applications as being out of the ordinary,
and, to that
extent, exceptional. Indeed, in
Moulded
Components and Rotomoulding South Africa (Pty) Ltd v Coucourakis
1979
(2) SA 457
(W) at 470D-E, Botha J remarked:
“
In
application proceedings we know that discovery is a very, very rare
and unusual procedure to be used and I have no doubt that
that is a
sound practice and it is only in exceptional circumstances, in my
view, that discovery should be ordered in application
proceedings.”
[5]
In
Moulded Components
,
the learned Judge declined the request to make the procedure
applicable for a number of reasons, including the failure of the
party seeking discovery to have sought the documents concerned
earlier, the danger that acceding to the request could lead to an
unwholesome widening of the ambit of the proceedings, the limited
relevance of the documents sought, the wide form in which the
relief
was sought and the court’s perception that the contemplated
exercise would be something of a “fishing expedition”.
The court’s reasoning confirms that the determination of an
application for discovery in motion proceedings proceeds upon
an
examination of the request with reference to its particular content
assessed in the context of the peculiar characteristics
of the
litigation and mindful of the premise that the request should, as a
matter of policy, be granted only exceptionally.
[6]
The pertinent principles have been rehearsed in a number of other
reported judgments, notably
Saunders
Valve Co Ltd v Insamcor (Pty) Ltd
1985
(1) SA 146
(T),
Premier Freight (Pty)
Ltd v Breathetex Corporation (Pty) Ltd
2003
(6) SA 190
(SE),
STT Sales (Pty) Ltd v
Fourie and others
2010 (6) SA 272
(GSJ)
and
FirstRand Bank Ltd t/a Wesbank v
Manhattan Operations (Pty) Ltd
2013 (5)
SA 238
(GSJ). It seems to me that the essential criterion is whether
discovery would be material to the proper conduct and fair
determination
of the case.’
[11]
In support of the
rule 35(14) relief Spamer also explicitly stated (in the replying
affidavit) that ‘
[i]t
has become even more important that the parties’ disputes be
determined once and for all to avoid a multiplicity of applications
and actions and the Respondents therefore intend to bring all the
issues/disputes before this Court for determination’.
That is a course of
action open to the respondents, but not in the context of a rule
35(14) application, as was made clear in
Ingledew
v Financial Services Board
:
[5]
‘
[15]
Both section 32(1)(a)
[of
the Constitution]
and
rule 35(14) confer a right to obtain information. However,
section 32 confers a general and an unqualified right to
information.
By contrast, the subrule confers a limited right.
It can only be invoked during litigation by a litigant after
appearance
to defend an action has been entered and its terms
unequivocally limit the nature of the documents and tape recordings
covered
by the rule to those “relevant to a reasonably
anticipated issue in an action” and further limits the
documents in
question to those required “for purposes of
pleading”. There is no reasonable constitutional
construction of
the rule that could broaden such purpose to
accommodate the construction of it contended for by the applicant.
Accordingly,
the subrule grants a right to information that is
narrower, to that extent, than the right in section 32(1)(a).’
[12]
The same applies to
any contemplated counter-application, as was held in
Quayside
Fish Suppliers CC v Irvin & Johnson Ltd
:
[6]
‘
[16]
Mr
Burger
,
who appeared for the applicant, submitted that the
Cullinan
Holdings
case
was wrongly decided. Mr
Burger
contended
that the interpretation attributed to Rule 35(14) by Van Dijkhorst J
effectively renders the Rule inoperative. I cannot
agree with this
submission. Rule 35(14) is limited in application and is aimed at
operating only in the very specific circumstances
set out in the
Rule. To interpret it more widely would make inroads into the general
principle that prior to the institution of
an action a party cannot
snoop around other people’s books. See, too,
The
MV
Urgup
:
Owners of the MV
Urgup
v Western
Bulk Carriers (Australia) (Pty) Ltd and Others
1999
(3) SA 500
(C) at 515B-I. In my view, the issues pending between the
parties are those reflected in the pleadings. What the applicant is
asking
me to do is to permit it to search amongst the documents of
the respondent to find out whether or not it has an additional or
alternative
counterclaim against the respondent. If this is what Rule
35(14) contemplates, it will give a plaintiff in reconvention a right
which a plaintiff in convention does not have. The legislature could
never have envisaged that once appearance to defend has been
entered
to a claim in convention it would give a plaintiff in reconvention
carte
blanche
to
ask for the production of documents to establish whether he/she has a
legal or factual foundation to formulate a claim in reconvention.’
[13]
During argument
counsel for the respondents developed their contention that the
applicants seek in the main application to have
the business rescue
resolution set aside under s 130(1)(a) of the Companies Act, and
it is for this reason that some of the
documents required to be
produced will assist in determining whether or not Hilber is indeed
financially distressed. However as
pointed out by counsel for the
applicants this fundamentally misconstrues the basis of the relief
claimed in the main application.
In
Panamo
Properties v Nel
[7]
the court put it as
follows:
‘
[22] Counsel
derived support for the first submission from
D
H Brothers
, where
a resolution to commence business rescue was passed without the board
of directors being properly constituted. The
court said that this
amounted to a failure to comply with the procedural requirements of
s 129(1) of the Act. In my view that
was incorrect. The
consequence of the board not having been properly constituted, (which
was not what occurred in the present case),
would be that the
resolution was not a resolution of the board of directors. As such it
was a nullity and ineffective for the purpose
of commencing business
rescue proceedings. Equally, in the absence of such a resolution,
there was nothing to set aside in terms
of s 130(1)(a)(iii)…’
[14]
In the result the following order is made:
1.
The
interlocutory rule 35(14) application is dismissed with costs,
including the costs of two counsel where so employed, such costs
to
be paid jointly and severally by the first and fifth to eighth
respondents; and
2.
The
first, second and fifth to eighth respondents in the main application
set down for hearing on 30 August 2023 shall deliver their
answering
affidavit(s), if any, within ten (10) court days from date hereof.
J I CLOETE
For
1
st
and
5
th
to
8
th
respondents in the main application
:
Adv
R W F MacWilliam SC
Instructed
by
:
Spamer
Triebel Inc. (JS Spamer)
For
1
st
and
2
nd
applicants in the main application
:
Adv
I J Muller SC and Adv H Du Toit
Instructed
by
:
Van
der Spuy & Partners (CH Van Breda)
[1]
See
Rail
Commuters’ Action Group v Transnet Ltd
2006
(6) SA 68
(C) at 84B and G.
[2]
KPMG
Chartered Accountants (SA) v Securefin Ltd and Another
2009
(4) SA 399
(SCA) at para [39].
[3]
No
71 of 2008.
[4]
[2017]
All SA 231 (WCC)
[5]
[2003] ZACC 8
;
2003
(4) SA 584
(CC) at para
[15]
.
[6]
2000
(2) SA 529
(CPD) at para [16], cited with approval in
Ingledew
(
supra
)
at para [15].
[7]
2015
(5) SA 63
(SCA) at para [22].
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