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# South Africa: Western Cape High Court, Cape Town
South Africa: Western Cape High Court, Cape Town
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## Bester N.O. and Others v Horn (11641/2015)
[2022] ZAWCHC 247 (23 November 2022)
Bester N.O. and Others v Horn (11641/2015)
[2022] ZAWCHC 247 (23 November 2022)
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sino date 23 November 2022
IN
THE HIGH COURT OF SOUTH AFRICA
(WESTERN
CAPE DIVISION, CAPE TOWN)
Case
Number: 11641/2015
In
the matter between:
Lambertus
von Wielligh Bester N.O.
First Plaintiff
Reinette
Pieters
N.O.
Second Plaintiff
Barend
Pietersen
N.O.
Third Plaintiff
(Acting
in their capacity as joint trustees of
the
sequestrated estate of the RVAF Trust
IT
932/2004)
And
Gertruida
Johanna
Horn
First Defendant
and
various other Defendants forming part
of
the consolidated action
JUDGMENT
ELECTRONICALLY DELIVERED
23
NOVEMBER 2022
Baartman,
J
[1]
The
defendants
[1]
,
applicants
in the main application for a separation of issues,
now
apply
for
leave
to
appeal
against
my
judgment,
dated 5
October 2022
(the
October judgment),
refusing
the separation application. It is in issue whether the judgment is
appealable and whether the defendants met the test for
leave to
appeal
[2]
.
#
# Is the judgment
appealable?
Is the judgment
appealable?
[2]
It is now
accepted that a judgment/order that is not final in effect might
nevertheless be appealable, if it is in the interests
of justice to
hear the appeal. In Lebashe
[3]
,
the court,
faced with an order that effectively intruded on a constitutional
right, held that it was in the interests of justice
to grant leave to
appeal. This is not such a case.
[3]
In refusing the application for the separation of issues, I have not,
nor could I have, finally pronounced on any issue. On the contrary, I
was persuaded that the evidence to be led in support of the
divergent
views expressed, during lengthy arguments, were an indication that
the evidence to be led would be lengthy and that the
same witnesses
would be subjected to cross-examination multiple times. It is
axiomatic that the witnesses would also be subjected
to credibility
findings in the various hearings.
[4]
Mr Stelzner
SC, who appeared with Mr Rabie, the defendants' counsel, submitted
that the prescription plea would have to be decided
on the facts of
each specific case. There are approximately 400 cases. I have no
doubt that it would be convenient to those defendants
to have
their
issues
separated.
The
relevant
defendants
were
among 9 000
investors enticed into investing in a Ponzi scheme. Their funds were
invested in the RVAF Trust
[4]
(the
Trust).
On
3 September 2012, the Trust was finally liquidated.
[5]
Mr Brand
(Mr Brand),
the Trust's only surviving trustee, is
elderly and has since 2012 testified in various proceedings; he would
have to testify in
the separated hearing and again in the main trial.
The latter hearing would undoubtedly be some years hence. It is in
dispute how
much of Mr Brand's evidence would_be relevant in a
separated hearing; in any event, in the main trial, he would be
required to
testify again about events that occurred pre- and
post-2012.
[6]
Mr Brand would be confronted with his evidence in earlier proceedings
and court time would be taken up with substantially the same factual
matrix. In those circumstances, it is difficult to appreciate
the
submission that it would be in the interests of justice to grant
leave to appeal. It is not enough that the separation is convenient
for the defendants.
[7]
I am
persuaded that it would not be in the interests of justice to grant
leave and have already indicated that I have not disposed
of any of
the issues to be dealt with in the trial. In the circumstances of
this
matter,
expressing
a
view
based
on
the
papers
before
me
cannot
be
construed
as having finally disposed of the issue. That is not the
purpose of
the rule; instead, the rule is directed at the procedure for a
convenient
and
expedited
trial
[5]
.
Govern
AJA
held
[6]
:
'
...
On
my
reading of
the rule,
unless an
order
is
made,
the
court is required
to deal
with the
action as a whole'. In the circumstances of this matter, the
judgment/order is not appealable.
#
# Prospects of success
Prospects of success
[8]
Despite, my view on the appealability. I have nevertheless considered
the prospects of success on appeal. As indicated above, the
defendants had invested in the Trust and in 2012, it was finally
liquidated.
The claims against the defendants, relevant to the
prescription plea, were instituted more than 3 years after the
plaintiffs took
office. The claims arose in the following
circumstances: (paras 3- 5 of the October judgment)
'[3] The defendants in
this action are investors who have received a return on their
investment in the scheme. Their funds were
invested in [the Trust],
the entity in the scheme through which Pretorius invested their
money. The Trust was provisionally sequestrated
on 1 August 2012, and
on 3 September 2012 a final sequestration order was granted. The
plaintiffs were appointed as provisional
trustees on 7 August 2012
and as final trustees on 23 October 2012. The plaintiffs seek to
recover from the defendants the profit
they received from the Trust
over and above their investment. The Trust had approximately 9 000
investors; the plaintiffs therefore
had to determine who the
"winners" had been and institute action against them to
recover their winnings.
[4] The plaintiffs based
their main claim, for the return of money paid from the Trust's bank
accounts to the defendants, in excess
of the amount invested, on
unjustified enrichment. They allege that the payments were
unauthorised and
sine causa
in that:
(a)
the Trust lacked capacity to make the payments as at times of the
payments, there were only
two trustees, Pretorius and Mr Brand
(Brand),
holding office while the trust deed specified a
minimum of three trustees;
(b)
Pretorius acted unilaterally as the Trust's controlling mind to the
exclusion of Brand;
(c)
the two trustees failed to exercise their powers in accordance with
the Trust deed;
(d)
the payments made to the defendants were made pursuant to an unlawful
and fraudulent Ponzi
scheme operated through the Trust.
(5) Alternatively, the
plaintiffs based their claim for return of the payments on sections
26(1)(a) and (b) and/or section 29 of
the Insolvency Act, 24 of 1936
(i.e., dispositions without value and voidable preferences).'
[9]
The defendants intend to raise 2 prescription pleas. The basis for
the
first prescription plea appears from the October judgment to be
as follows: (paras 6-7)
'[6] The 462 defendants
alleged that separating their prescription issue
(the
first prescription issue)
and
staying the rest of the trial would be convenient for the court and
the parties. These defendants allege that on 7 August 2012,
the
plaintiffs had access to all the relevant information to have
instituted action against them, in that, on that date, the
plaintiffs,
as the provisional trustees, had access to the Trust's
property where separate hard copy investor files containing relevant
information
pertaining to potential claims against them were kept.
On the same
date, the Master of the High Court also
authorised
the
plaintiffs
to
appoint
attorneys
to provide
legal
advice
[7]
.
The
defendants
allege
that
the
plaintiffs
prioritised
other
matters
thereby
delaying the action against them and therefore the claims against
them had prescribed. It is common cause that action was
instituted
more than 3 years after 7 August 2012.
[7] The defendants rely,
to a great extent, on the Bester judgment in which the brokers who
assisted Pretorius had the prescription
issue separated and obtained
judgment in their favour, which relief the Supreme Court of Appeal
(SCA)
upheld, and the Constitutional Court refused to
entertain a further appeal. In Bester, the court held as follows:...
' (Some internal
footnotes omitted.)
[10]
I accepted
that there 'might be a saving of many days of evidence, but that the
separation will inevitably delay the finalisation
of the main trial'.
Mr Steiner's submission that the prescription plea would have to be
decided on the facts of each specific case
suggests that I was
optimistic in holding that there might be a saving of many days of
evidence.
In this
matter, both parties have accepted that an appeal would follow the
outcome of the separated hearing. King J
[8]
held:
'Defendant based the
application on the following factors:
(a)
The merits are in dispute and the issues can easily and conveniently
be separated. This
is so.
(b)
In the event that the defendant succeeds on the merits there would be
no further incurrence
of costs; in this context it is relevant that
plaintiff is on legal aid and it would accordingly be public funds
which would be
disbursed. This applies also to defendant's costs
which would come from the MVA Fund....
(c)
Should plaintiff succeed on the merits a date for the resumed trial
could be arranged for
a date three to four months hence. Plaintiff
gives the delay period as "11 months plus".
Neither estimate takes
into account the possibility of an appeal.
(d)
The so-called loss of interest is immaterial insofar as future
medical expenses and future
loss of earnings would be calculated as
at date of determination. That is so, but the claim of R238 080
includes claims of R50
000 for general damages and over R10 000 in
respect of incurred medical expenses...There is also, of course, the
"interests
of expedition and finality of litigation" which
are better served by the disposal of the whole matter in one hearing
Despite
the wording of Rule 33(4), this, in my view, remains
axiomatic.
In my view the balance of
convenience in this matter has been shown clearly to favour
plaintiff. The application ... dismissed…'
[11]
In respect of the second special plea, the defendants' case is the
following: (paras 20-24
of the October judgment)
'[20] The plaintiffs
claimed repayment of amounts paid to investors before 1 August 2009,
more than 3 years prior to their appointment
as the Trust's trustees.
The affected investors want to raise prescription as a special plea
to be dealt with in a separate hearing.
It is common cause that the
Trust at times relevant to the dispute had only two appointed
trustees, while the trust deed prescribed
a minimum of three
trustees. Therefore, the Trust could not have authorised any payment.
[21]
The defendants allege that the trustees, appointed to represent the
Trust and its creditors, cannot institute
action to recover amounts
paid out more than 3 years after payment. The defendants allege that
Brand could have instituted action
timeously for the recovery of the
amounts paid out. He, so the submission went, had the necessary
knowledge and
locus standi
and further that any Trust
beneficiary had the required
locus standi.
[22]
The defendants concede that Brand's evidence 'may be relevant. As the
sole surviving trustee of the RVAF
trust' but importantly that he had
already testified in the brokers' matter and that a transcript of his
evidence is available.
Brand is an elderly man who, if possible,
should not have to testify about the same facts in multiple
proceedings.
[23]
However, in a further "Defendants' Note", the following is
alleged:
"73. No evidence
will have to be led for the second special plea of prescription, the
lack of jurisdiction and the Administration
of Estates special pleas
as these special pleas can be decided by way of a stated case."
[24]
However,
in
the
same
note,
it
is
alleged
that:
"106
... Brand
in
particular
[had] the necessary knowledge of the alleged facts". As
indicated above, it is in dispute whether Brand had the
necessary
knowledge in respect of the investors.
Brand's
knowledge of the brokers' files cannot simply be equated with
knowledge of the investors' files. Brand's knowledge in respect
of
the investors' files is in dispute and would require evidence to be
led. Nugent JA
[9]
held
that:... '
[12]
I agreed
that the second prescription plea was 'eminently arguable'. However,
it would not dispose of the entire matter in respect
of the relevant
defendants, as it was only raised in respect of the 'plaintiffs'
claims based on unjustified enrichment'. Opperman
J
[10]
held as
follows:
'[17] It remains that the
danger of a calamity for both parties and the interest of justice
should the matter be separated, is just
too real on the facts
released by the Applicants and Respondent in the papers. The grant of
the application, although it may result
in the saving of two to five
days, may cause a delay in the reaching of a final decision in the
case because of the possibility
of a lengthy interlude between the
first hearing and the main hearing. This matter is old; it hales from
2009. Most important are
the dangers that were described by Erasmus
with reference to case law and that have already started to show
itself in this case.
History and law prove that the case must proceed
unseparated....
[18] Separation of the
special plea of prescription from the liability and quantum portion
of the matter is not convenient in law.
The application for leave to
appeal is not based on a sound, rational basis that convinces that
there are prospects of success
on appeal and another court would come
to another conclusion.'
[13]
In respect of comments such as that the plaintiffs in respect of
their special plea 'hold
good prospects' and that the defendants'
case is 'eminently arguable' in the context of a Rule 33(4) hearing,
these cannot be construed
as a pronouncement of the issue. That is
simply not the purpose of the process. Similarly, without more, it
cannot dictate that
a separation of issues is appropriate.
# Conclusion
Conclusion
[14]
I, for the reasons stated above, am persuaded that the defendants
have not met the requirements
for leave to appeal and make the
following order:
(a) The application is
dismissed with costs, to include the costs of two counsel.
Baartman,
J
[1]
In terms of a court order, dated 5 November 2018, and a directive,
dated 18 November 2021, approximately 466 defendants, against
whom
the plaintiffs had instituted actions in the various magistrates'
courts, were transferred to this court and consolidated.
[2]
Section 17 of the Superior Courts Act, 10 of 2013 (the Act): '17.
Leave
to appeal
-
(1) Leave to appeal may only be given where the judge or judges
concerned are of the opinion that -
(a)
(i) the appeal would have a reasonable prospect of success; or
(ii)
there is some other compelling reason why the appeal should be
heard, including conflicting judgments on the matter under
consideration; ...
(c)
where the decision sought to be appealed does not dispose of all the
issues in the case, the appeal would lead to a just and
prompt
resolution of the real issues between the parties.'
[3]
United
Democratic Movement and Another v Lebashe Investment Group (Pty) Ltd
and Others
2022
JDR 2651 (CC).
[4]
4
The
RVAF Trust, with ref.NO. IT932/2004, was established on 26 March
2004. Pretorius and Eduard Brand were trustees. It is common
cause
that the Trust deed provided for a minimum of three trustees who had
to act jointly in all events.
[5]
Rule 37(A) (12)(f) read with Rule 33(4) of the Uniform Rules of
Court: Rule 37(A)(12):
'The
case management judge may at a case management conference -
...(f)
order a separation of issues in appropriate cases notwithstanding
the absence of agreement by the parties thereto;...'
Rule
33(4): 'If, in any pending action, it appears to the court
mero
motu
that there is a question of law or fact which may
conveniently be decided either before any evidence is led or
separately from
any other question, the court may make an order
directing the disposal of such question in such manner as it may
deem fit and
may order that all further proceedings be stayed until
such question has been disposed of, and the court shall on the
application
of any party make such order unless it appears that the
questions cannot conveniently be decided separately.'
[6]
First
National Bank-A Division of Firstrand Bank Limited v Clear Creek
Trading 12 (Pty) Limited and another
[2015]
JOL 32957
(SCA) para 11.
[7]
Section 18(2)
of the
Insolvency Act, 24 of 1936
.
[8]
Braaf v
Fedgen Insurance LTD
1995
(3) SA 938
(C) 9401-941D.
[9]
Denet
(Edms) Bpk v Vorster
2004
(4) SA 481
(SCA) para 3.
[10]
Phatshoane
Henney Attorneys and another v Trollip
(Leave
to Appeal) (2021] JOL 49637 (FB).
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