Case Law[2025] ZASCA 106South Africa
Hassody Katha v Primathie Pillay N.O. and Others (276/2024) [2025] ZASCA 106 (18 July 2025)
Supreme Court of Appeal of South Africa
18 July 2025
Headnotes
Summary: Prescription – Prescription Act 68 of 1969 (the Act) – whether death constitutes a superior force as contemplated in section 3(1)(a) of the Act, which suspends the running of acquisitive prescription.
Judgment
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## Hassody Katha v Primathie Pillay N.O. and Others (276/2024) [2025] ZASCA 106 (18 July 2025)
Hassody Katha v Primathie Pillay N.O. and Others (276/2024) [2025] ZASCA 106 (18 July 2025)
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sino date 18 July 2025
FLYNOTES:
CIVIL
PROCEDURE – Prescription –
Acquisitive
–
Superior
force and death of person – Interpretation –
Contextual and purposive interpretation – Includes
unforeseeable and uncontrollable events such as death –
Superior force phrase would include an occurrence of death
–
Suspends running of acquisitive prescription – Legislative
purpose of provision is to prevent arbitrary deprivation
of
property rights – 30-year period had not been completed –
Claim failed – Appeal dismissed –
Prescription Act 68
of 1969
,
s 3(1)(a).
THE
SUPREME COURT OF APPEAL OF SOUTH AFRICA
JUDGMENT
Reportable
Case no: 276/2024
In
the matter between:
HASSODY
KATHA
APPELLANT
and
PRIMATHIE
PILLAY N O
FIRST RESPONDENT
KANDERUBY
RAMOOTHY N O
SECOND RESPONDENT
THE
MASTER OF THE HIGH COURT, GAUTENG
JOHANNESBURG
THIRD RESPONDENT
Neutral
citation:
Hassody Katha v Primathie Pillay
N.O. and Others
(276/2024)
[2025] ZASCA 106
(18 July 2025)
Coram:
MATOJANE, KOEN JJA AND DLODLO, DAWOOD AND STEYN
AJJA
Heard
:
23 May 2025
Delivered
:
This judgment was handed down electronically by circulation to the
parties’ representatives by email, publication
on the Supreme
Court of Appeal website and released to SAFLII. The date and time for
hand-down of the judgment is deemed to be
18 July 2025 at 11h00.
Summary:
Prescription
– Prescription Act 68 of 1969 (the Act) –
whether death constitutes a superior force as contemplated in section
3(1)
(a)
of the Act, which suspends the running of acquisitive
prescription.
ORDER
On
appeal from:
Gauteng Division of the High Court, Johannesburg
(Moultrie AJ, sitting as court of first instance):
The
appeal is dismissed.
JUDGMENT
Steyn
AJA (Matojane and Koen JJA and Dlodlo and Dawood AJJA concurring):
Introduction
[1]
Pivotal to this appeal is a claim to ownership of an immovable
property located in the Benoni area. The ownership of the
property
has, at all relevant times, been registered in the name of Lutchmia
Katha (Ms Katha), the mother-in-law of the appellant,
Hassody Katha.
After Ms Katha passed away on 18 August 2014 the appellant instituted
an action in the
Gauteng Division of the High Court,
Johannesburg (the high court)
alleging that she
had acquired ownership of the property by acquisitive prescription,
as contemplated in s 1 of the Prescription
Act 68 of 1969 (the 1969
Act). The high court upheld the special plea raised by the first and
second respondents, namely that the
required prescription period was
not completed, and stayed the remaining issues in the action for
later determination. The appeal,
with the leave of the high court, is
against that order.
Background
[2]
The appellant’s claim that she has acquired ownership of the
property by acquisitive prescription, is based on her
having
possessed the property since 1986, for more than 30 years, openly and
as if she was the owner of the property, as provided
in s 1 of the
1969 Act.
[1]
This claim was
resisted by Ms Katha’s two daughters, Primathie Pillay and
Kanderuby Ramoothy, cited in their official capacities
as the first
and second respondents respectively. They are the executrixes of
their mother’s estate, having been appointed
by letters of
executorship issued by the Master of the High Court on 2 October
2017.
[3]
The executrixes
raised
a special plea that, all the other requirements for acquisitive
prescription aside, the appellant should fail in her claim,
since the
required statutory prescription period of 30 years had not been
completed by the end of May 2016. Their special plea
is grounded on
the contention that the death of Ms Katha constituted a ‘superior
force’, as prescribed in section 3(1)
(a)
of the 1969 Act, which
served as an impediment to the completion of the prescription
period.
[2]
[4]
The high court separated
the special plea from all the other issues in the action. The parties
agreed that no evidence would be
led. The
matter
was instead decided on the crisp issue of whether the death of Ms
Katha constituted a ‘superior force’ that served
as an
impediment which delayed the running of acquisitive prescription. The
high court held that the running of the period was
suspended on the
date of Ms Katha’s death, and that her death constituted a
‘superior force’. The special plea
to the appellant’s
claim of acquisitive prescription was accordingly upheld.
[3]
The
issue before this Court is whether that conclusion was correct. The
respondents have not participated in the appeal apart from
filing a
notice to abide by the decision of this Court.
Issues
for determination
[5]
The following issues require determination:
(a)
Whether the interpretation of section 3(1)
(a)
of the 1969 Act,
as determined by the high court, was correct;
(b)
Whether the death of Ms Katha constituted a
‘superior force’ that delayed the running of
the 30-year
acquisitive prescription period.
Legislative
framework
[6]
The legislation in place before the 1969 Act was the Prescription Act
18 of 1943 (the 1943 Act). I consider its terms
important in order to
analyse the changes introduced by the 1969 Act. The law of
prescription had been formalised by the adoption
of the 1943 Act.
Although the 1969 Act repealed the 1943 Act, it did not do so
retrospectively. Accordingly, prescription claims
commencing before
30 November 1970
[4]
have to
comply with the requirements of the 1943 Act. Both the 1943 and 1969
Acts make provision for acquisitive prescription and
the requirements
are substantively the same. The 1969 Act however, in my view,
simplified the text used in the 1943 Act and its
context remains part
of the contextual interpretation of the 1969 Act. It is necessary to
scrutinise the applicable provisions
of the 1969 Act to determine
whether it lends itself to the interpretation followed by the high
court.
[7]
Section 1 of the 1969 Act stipulates as follows:
‘
(1)
Acquisition of ownership by prescription
Subject
to the provisions of this Chapter and of Chapter IV, a person shall
by prescription become the owner of a thing which
he has possessed
openly and as if he were the owner thereof for an uninterrupted
period of thirty years
or for a period which, together with any
periods for which such thing was so possessed by his predecessors in
title, constitutes
an uninterrupted period of thirty years.’
(Emphasis added.)
[8]
The type of possession contemplated in s 1 is civil possession. In
Glaston
House (Pty) Ltd v Cape Town Municipality,
[5]
Corbett J, stated:
‘
At
common law acquisitive prescription confers ownership of property
upon a person who has possessed it continuously for a period
of 30
years
nec
vi nec clam nec precario.
The
possession required is
full
juristic possession (possessio civilis)
,
i.e.
the holding or detaining of the property in question with the
intention of keeping it for oneself. (See
Welgemoed
v Coetzer and Others
,
1946 T.P.D. 701
at pp. 712 - 3)
.
Both
the physical act of detention and the mental state must concur.
The limited
possessio
naturalis
of,
for example, a lessee is not sufficient because he lacks the
intention of acquiring and keeping the property for himself
(Welgemoed's
case,
supra
).
It has not been suggested that successive Prescription Acts (Act 18
of 1943 and Act 68 of 1969) have in any way altered the position;
nor
do I think that they have.’
[6]
(Emphasis added.)
[7]
[9]
The common law, remains important in deciding on issues of
prescription, since the two Acts did not codify prescription
in our
law.
[8]
This
has been made clear i
n
President
Insurance Co Ltd v Yu Kwam
[9]
where the Court decided
on the issue of extinctive prescription and stated in relation to the
prescription legislation that it was:
‘. . . not intended to
be, and in fact was not, an
exhaustive
codification
of the law of prescription in South Africa…’.(Emphasis
added.)
In
Minnaar
v Rautenbach,
[10]
the
court correctly confirmed that the 1943 Act did not change the common
law requirements for acquisitive prescription.
[11]
[10]
Section 3(1) of the 1969 Act provides for the postponement of the
completion of prescription in certain prescribed circumstances.
It
reads as follows:
‘
If–
(a)
the
person against whom the prescription is running
is a minor or is insane, or is a person under curatorship,
or
is prevented by superior force from interrupting the running of
prescription as contemplated in section 4
;
or
(b)
…
(c)
the period of prescription
would, but for the provisions of this subsection, be completed
before
or on, or
within three years after,
the day on which the relevant impediment referred to in paragraph (a)
or (b) has ceased to exist
,
the
period of prescription shall not be completed before the expiration
of a period of three years after the day referred to in
paragraph
(c)
.’ (Emphasis added.)
[11]
Section 4 of the 1969 Act provides for the judicial interruption of
prescription and for the sake of completeness, I
quote it:
‘
(1)
The running of prescription shall, subject to the provisions
of subsection (2), be
interrupted by the service on the
possessor of the thing in question of any process whereby any person
claims ownership in that
thing.
(2)
…
(3)
If the running of prescription is interrupted as contemplated
in subsection (1),
a new period of prescription shall commence
to run, if at all, only on the day on which final judgment is given.
(4)
For the purposes of this section “process” includes a
petition, a notice
of motion, a rule
nisi
and any
document whereby legal proceedings are commenced.’
Interpretation
of the 1969 Act
[12]
The high court in applying the trite principles of interpretation
concluded that the text, purpose and context of s 3(1)
(a)
of
the 1969 Act favour the conclusion that the death of Ms Katha
constituted a superior force and that the acquisitive prescribed
period of 30 years had not been completed. Accordingly, the approach
followed by the high court is now considered. It remains necessary
to re-affirm the
importance of the context of the words used in s 3(1)
(a)
of the
1969 Act and why I did not consider it necessary, despite being
invited by counsel for the appellant to analyse the memorandums
that
preceded the Act, as interpretive aids, in my decision of the meaning
of the words used. In my view the published memorandum
of Prof J C de
Wet, should not form part of the interpretation process. This view is
based on this Court’s repeated endorsement
of the principles of
interpretation as stated in
Natal
Joint Municipal Pension Fund v Endumeni Municipality
(
Endumeni
)
.
[12]
[13]
As to the meaning of words in the specific context that it is used,
Wallis JA stated the following in
Endumeni
:
‘
[T]he present
state of the law can be expressed as follows. Interpretation is the
process of attributing meaning to the words used
in a document, be it
legislation, some other statutory instrument, or contract, having
regard to the context provided by reading
the particular provision or
provisions in the light of the document as a whole and the
circumstances attendant upon its coming
into existence. Whatever the
nature of the document, consideration must be given to the language
used in the light of the ordinary
rules of grammar and syntax; the
context in which the provision appears; the apparent purpose to which
it is directed and the material
known to those responsible for its
production. Where more than one meaning is possible each possibility
must be weighed in the
light of all these factors. The process is
objective not subjective. A sensible meaning is to be preferred to
one that leads to
insensible or unbusinesslike results or undermines
the apparent purpose of the document. Judges must be alert to, and
guard against,
the temptation to substitute what they regard as
reasonable, sensible or businesslike for the words actually used. To
do so in
regard to a statute or statutory instrument is to cross the
divide between interpretation and legislation. In a contractual
context
it is to make a contract for the parties other than the one
they in fact made. The ‘inevitable point of departure is the
language of the provision itself’, read in context and having
regard to the purpose of the provision and the background to
the
preparation and production of the document.’
[13]
(Footnotes omitted)
[14]
This Court then went
further and departed from the golden rule of interpretation, that
existed, and that we were all taught to follow
during our years as
young law students namely the intention of the Legislature which was
regarded as the cardinal rule of statutory
interpretation. Wallis JA
regards this legislative intent as unrealistic and misleading.
[14]
The court in rationalising the conclusion stated the following
reasons:
‘
Unlike the trial
judge I have deliberately avoided using the conventional description
of this process as one of ascertaining the
intention of the
legislature or the draftsman, nor would I use its counterpart in a
contractual setting, ‘the intention of
the contracting
parties’, because these expressions are misnomers, insofar as
they convey or are understood to convey that
interpretation involves
an enquiry into the mind of the legislature or the contracting
parties. The reason is that the enquiry
is restricted to ascertaining
the meaning of the language of the provision itself. Despite their
use by generations of lawyers
to describe the task of interpretation
it is doubtful whether they are helpful. Many judges and academics
have pointed out that
there is no basis upon which to discern the
meaning that the members of Parliament or other legislative body
attributed to a particular
legislative provision in a situation or
context of which they may only dimly, if at all, have been aware.
Taking Parliament by
way of example, legislation is drafted by
legal
advisers in a ministry, redrafted by the parliamentary draftsmen,
subjected to public debate in committee, where it may be
revised and
amended, and then passed by a legislative body, many of whose members
have little close acquaintance with its terms
and are motivated only
by their or their party’s stance on the broad principles in the
legislation
.
In those circumstances to speak of an intention of parliament is
entirely artificial. The most that can be said is that in a broad
sense legislation in a democracy is taken to be a reflection of the
views of the electorate expressed through their representatives,
although the fact that democratically elected legislatures sometimes
pass legislation that is not supported by or unpopular with
the
majority of the electorate tends to diminish the force of this point.
The same difficulty attends upon the search for the intention
of
contracting parties, whose contractual purposes have been filtered
through the language hammered out in negotiations between
legal
advisers, in the light of instructions from clients as to their aims
and financial advice from accountants or tax advisers,
or are
embodied in standard form agreements and imposed as the terms on
which the more powerful contracting party will conclude
an
agreement.
[15]
(Footnotes
omitted, emphasis added)
[15]
Given the conclusion reached in this judgment I avoid seeking the
intention of the Legislature or to consider the legislative history,
which in my view would have included the published notes of Prof J C
de Wet. What were followed were the conventional principles
post
Endumeni
in determining the meaning of the words ‘superior
force’ in s 3(1) of the 1969 Act.
[16]
Any interpretation of a statute should be in accordance with the
provisions of the Constitution.
[16]
Section 39(2) thereof provides that ‘when interpreting any
legislation . . . every court . . . must promote the spirit,
purport and objects of the Bill of Rights’. In
Makate
v Vodacom (Pty) Ltd,
[17]
the
Constitutional Court emphasised the importance of section 39(2) of
the Constitution when it held:
‘
Since
the coming into force of the Constitution in February 1997,
every
court that interprets legislation is bound to read a legislative
provision through the prism of the Constitution.
’
(Emphasis added and footnote omitted.)
[17]
I accordingly commence the process of interpretation by measuring the
acquisition of property through acquisitive prescription
against the
protection offered in the Constitution. Acquisitive prescription
remains a method to obtain ownership of property.
The jurisprudential
tension is between a registered owner on the one hand, who stands to
be deprived of his/her property, and a
prospective owner who claims
an entitlement by acquisitive prescription to the property possessed.
[18]
The right to own property is protected in terms of s 25(1) of the
Constitution.
[18]
Accordingly,
an owner is entitled as of right to protect their rights to the
property when it is claimed. Effectively, any deprivation
of
property,
[19]
including
property obtained through the process of acquisitive prescription,
needs to comply with legislative prescripts. In
casu,
the
registered owner’s right was protected by her daughters, who
defended the claim against her estate. As the executrixes
of her
estate, they have to ensure that her assets are properly administered
and distributed in accordance with her wishes.
[20]
There
can be no doubt that the immovable property owned by Ms Katha
remained an asset in her estate.
[19]
Regarding the interpretation of s 3(1)
(a)
of
the 1969 Act, the following statement by the Constitutional Court in
AmaBhungane
Centre for Investigative Journalism NPC v President of the Republic
of South Africa
[21]
as a guide to
interpretation is instructive:
‘
As always, in
interpreting any statutory provision,
one
must start with the words, affording them their ordinary meaning
,
bearing in mind that statutory
provisions
should always be interpreted purposively, be properly contextualised
and must be construed consistently with the Constitution.
This is a unitary
exercise. The context may be determined by considering other
subsections, sections or the chapter in which the
key word, provision
or expression to be interpreted is located. Context may also be
determined from the statutory instrument as
a whole. A sensible
interpretation should be preferred to one that is absurd or leads to
an unbusinesslike outcome.’
[22]
(Emphasis added and
footnotes omitted.)
[20]
This
Court in
Capitec
Bank Holdings Limited and Another v Coral Lagoon Investments 194
(Pty) Ltd and Others
[23]
emphasised the importance of the meaning of words as follows:
‘
Endumeni
simply
gives expression to the view that the words and concepts used in a
contract and their relationship to the external world
are not
self-defining. The case and its progeny emphasise that the meaning of
a contested term of a contract (or provision in a
statute) is
properly understood not simply by selecting standard definitions of
particular words, often taken from dictionaries,
but also by
understanding the words and sentences that comprise the contested
term as they fit into the larger structure of the
agreement, its
context and purpose. Meaning is ultimately the most compelling and
coherent account the interpreter can provide,
making use of these
sources of interpretation. It is not a partial selection of
interpretational materials directed at a predetermined
result.’
[24]
In
order to determine the purpose of the legislation regard must be had
to the context in which the words appear in section 3 of
the 1969
Act.
[21]
The appellant’s counsel submitted further that death had not
been included as a factor by the Legislature in s
3 of the 1969 Act,
which refers to a ‘superior force’. Accordingly, if it
were to be considered as a factor delaying
the operation of
prescription, then the Legislature would have expressly defined it as
such. This argument relies, inter alia,
on the Legislature having
expressly referred to death as a factor in terms of s 13 of the 1969
Act, in the context of extinctive
prescription. This submission is
however misplaced.
[22]
Section 3, read in its context, is aimed at protecting the rights of
various owners of property, ie minors, the insane,
those under
curatorship and those prevented from protecting their rights due to a
superior force. The class is not a closed category,
if consideration
is given to the words used at the beginning of the section, namely
the reference to ‘the person’.
In the context of
acquiring ownership through acquisitive prescription, it is clear
that prescription cannot run against a person
who is not able to
interrupt the completion of the running of the prescriptive
period.
[25]
Thus
the section provides for an equitable balance between the rights of
owners of property and the possessors of the property who
want to
acquire ownership through acquisitive prescription.
[23]
The term ‘prevented by superior force’ is, as Jones J
concluded in
Gqamane
v The Multilateral Motor Vehicle Accident’s Fund,
[26]
susceptible to a wide variety of meanings. He held, albeit in the
context of section 13(1)
(a)
of
the 1969 Act, that:
‘
either
he must act in a particular way, or he cannot act in a particular
way, because he has no choice in the matter …. In
Knysna
Hotel CC v Coetzee NO
[1997] ZASCA 114
;
1998
(2) SA 743
(SCA) the Supreme Court of Appeal did not give a
definitive exposition of the term “superior force” as
used in the
subsection. It says no more than that it has to be a
superior force which, objectively regarded, prevents the debtor from
enforcing
his claim by summons. Any attempt at an exhaustive
definition is probably counter-productive.’
[27]
There
should be no distinction between the interpretation of the words used
in section 3(1)
(a)
and section 13(1)
(a)
of the 1969
Act. The words used in section 3(1)
(a)
of the 1969 Act are
clear, unambiguous and should be given their ordinary grammatical
meaning.
[24]
Given the tension between the rights of the owner of the property and
the rights of the possessor, who aims at obtaining
ownership of the
property registered in the name of another, ‘superior force’
must be interpreted as an occurrence
beyond the control of the
registered owner; in other words, an event that inhibits the owner
from acting. ‘Superior force’
is little or no different
to the concept of
force majeure
, which
principally
finds its footprint in contractual obligations.
[28]
Death
is not a foreseeable event, nor is it an event controlled by
anyone.
[29]
[25]
Although the appellant advanced a number of grounds of appeal, there
is a central theme to them. This theme is that if
death is regarded
as a ‘superior force’ for the purposes of s 3(1)
(a)
of the 1969 Act, then it is an impediment that only ceases to exist
upon the appointment of the executor of the estate of the owner
of
the property, and this would have a detrimental effect in delaying
the completion of the prescribed period of acquisitive prescription.
The appellant submitted in argument that this could ultimately result
in an indefinite period during which ownership cannot be
obtained due
to the continued existence of the impediment. This, so the argument
went, would lead to legal uncertainty and the
potential of a
multiplicity of lawsuits to enforce the right.
[26]
That argument is however based on a very narrow interpretation of
section 3(1)
(a)
of the 1969 Act. It also does not consider the
class of people listed in terms of section 3(1)
(a)
of the 1969
Act. The same result will obtain in respect of, for example the
period of insanity of an insane person, which could
be for an
undetermined period.
[27]
It was also submitted during oral argument that this Court’s
findings in
Standard
Bank of South Africa Limited v July and others
[30]
support
the appellant’s argument that an heir may step into the shoes
of the executor. We were specifically referred to paragraph
2 of that
judgment which reads:
‘
The
high court held that although as a general rule only an executor can
claim on behalf of an estate, there is an exception to
this
principle, known as the
Beningfield
exception,
which allows beneficiaries of an estate to claim where the executor
will not or cannot. Dawood J considered that since
the executor of
the estate was himself deceased, the beneficiaries could make claims
against a person who had taken transfer of
immovable property when
not entitled to do so. She held that the applicants had
locus
standi
to
make the claims. A referral to oral evidence is pending the decision
of this court on the respondents’
locus
standi
.
Only the bank, raised the issue of
locus
standi
and
only it has appealed against the order, with Dawood J’s leave.
The other respondents in the high court abide the decision
of this
court.’
[31]
That
judgment however merely confirmed that in exceptional circumstances,
beneficiaries have
locus standi
to claim assets from a person
in possession of the assets. No such exceptional circumstances were
raised in the current appeal.
Conclusion
[28]
The context and purpose of s 3(1)
(a)
of the 1969 Act is to
avoid any arbitrary and capricious deprivation of rights of
ownership. Accordingly, ‘superior force’
on a proper
construction of the phrase, in the context of the 1969 Act and having
regard to its purpose, would include an occurrence
of death and it
will suspend the running of acquisitive prescription.
[29]
The high court was not misdirected in its interpretation of the
provision. It correctly upheld the special plea raised
by the
respondents. The respondents elected not to participate in this
appeal. It would be just in the circumstances not to make
any order
as to costs.
[30]
In the result, I make the following order:
The
appeal is dismissed.
E
J S STEYN
ACTING
JUDGE OF APPEAL
Appearances
For
the Appellant: M Karolia
Instructed
by:
DP Attorneys Inc, Johannesburg
Honey & Partners Inc,
Bloemfontein
For
the Respondents:No appearance.
.
[1]
Section 1 of the 1969 Act is quoted in paragraph 7 below.
[2]
It was pleaded that on a proper calculation, taking into account the
date of death of Ms Katha, and section 3(1) of the 1969
Act, the
30-year period calculated from June 1986 would only have been
completed by 1 October 2020.
[3]
I consider it necessary for the sake of completeness to quote the
entire order issued by the court:
‘
1.
The first and second defendants’ special plea to the
plaintiff’s main
claim of acquisitive prescription is
separated from, and is to be determined prior to, all other issues
in the action.
2.
The remaining issues in
the action (including, if necessary, whether the plaintiff
has
possessed the property “openly” and as if the plaintiff
was the owner thereof) shall be stayed until the first
and second
defendants’ aforesaid special plea has been disposed of.
3.
The first and second
defendant’s special plea to the plaintiff’s main
claim
of acquisitive prescription is upheld.
4.
Claim A, as pleaded in
the plaintiff’s particulars of claim (as amended) is
dismissed
with costs.’
[4]
The date on which the 1969 Act came into operation was 1 December
1970.
[5]
Glaston
House (Pty) Ltd v Cape Town Municipality
1973
(4) SA 276 (C).
[6]
Ibid at 281C-F.
[7]
Section
2 of the 1943 Act was similar to s 1 of the 1969 Act. The main
difference lies in the initial requirement of
nec
vi
,
nec
clam
,
nec
precario
in
the 1943 Act having been replaced with the formulation of ‘openly
and as if he was the owner thereof’, in the 1969
Act.
The
Acts apply to both movable and immovable things.
[8]
Pienaar
v Rabie
1983
(3) SA 126
(A) at 134H – 135B and the authorities listed by
the court.
[9]
President
Insurance Co Ltd v Yu Kwam
[9]
1963 (3) SA 766
(A) at
774B-C.
[10]
Minnaar
v Rautenbach
[1999]
1 All SA 571
(NC) (
Minnaar
)
.
[11]
The
court in
Minnaar
dealt
with the requirements of prescription in terms of section 2 of the
1943 Act and did not interpret section 3(1)
(a)
of
the 1969 Act and the outcome of this appeal is dependent on the
interpretation of section 3 of the 1969 Act.
[12]
Natal
Joint Pension Fund v Endumeni Municipality
2012
(4) SA 593
(SCA) (
Endumeni
).
[13]
Endumen
i
para 18.
[14]
Endumeni
para 21.
[15]
Endumeni
para 20.
[16]
The Constitution of the Republic of South Africa, 1996.
[17]
Makate
v Vodacom Ltd
[2016]
ZACC 13
;
2016 (4) SA 121
(CC);
2016 (6) BCLR 709
(CC) para 87.
[18]
Section 25(1) reads: ‘No one may be deprived of property
except in terms of law of general application, and no law may
permit
arbitrary deprivation of property’.
[19]
See
First
National Bank of SA Ltd t/a Wesbank v Commissioner, South African
Revenue Service and another; First National Bank of SA
Ltd t/a
Wesbank v Minister of Finance
[2002] ZACC 5
;
2002
(4) SA 768
(CC);
2002 (7) BCLR 702
(CC) para 57 where the
Constitutional Court held that deprivation would encompass all
species of where right or title to property
would be affected.
[20]
Gross
and others v Pentz
[1996] ZASCA 78
;
1996
(4) SA 617
(A) at 625B where Corbett CJ re-affirmed that executors
act in legal proceedings on behalf of a deceased estate.
[21]
AmaBhungane
Centre for Investigative Journalism NPC v President of the Republic
of South Africa
[2022]
ZACC
31;
2023 (2) SA 1
(CC);
2023 (5) BCLR 499
(CC).
[22]
Ibid
para
36. Also see
Minister
of Police and others v Fidelity Security Services (Pty) Ltd and
others
[2022]
ZACC 16
;
2022 (2) SACR 519
(CC);
2023 (3) BCLR 270
(CC) para 34.
[23]
Capitec
Bank Holdings Ltd and another v Coral Lagoon Investments 194 (Pty)
Ltd and others
[2021]
ZASCA 99
;
2022 (1) SA 100
(SCA);
[2021] 3 All SA 647
(SCA).
[24]
Ibid para 50.
[25]
The authors of
Lawsa
3 ed
Prescription para 231 also contend that this reasoning ‘is in
line with the well-established Roman-Dutch maxim
contra
non valentem agere nulla currit praescriptio’.
Loosely
translated as prescription does not run against a person unable to
protect his or her rights.
[26]
Gqamane
v The Multilateral Motor Vehicle Accidents Fund
[1999]
3 All SA 671 (SE).
[27]
Ibid at 686G - J.
[28]
In
MV
Snow Crystal Transnet Ltd t/a National Ports Authority v Owner of MV
Snow Crystal
[2008]
ZASCA 27
;
2008 (4) SA 111
(SCA) para 28, Scott JA said the following
about the defence of impossibility, albeit in reference to vis
major:
‘
.
. . As a general rule impossibility of performance brought about
by
vis
major
or
casus
fortuitus
will
excuse performance of a contract. But it will not always do so. In
each case it is necessary to “look to the nature
of the
contract, the relation of the parties, the circumstances of the
case, and the
nature
of the impossibility invoked
by the defendant, to see whether the general rule ought, in the
particular circumstances of the case, to be applied.’
(Emphasis added.)
[29]
Under French law,
force
majeure
is
an event that is unforeseeable, unavoidable and external that makes
execution impossible. The term has it origin in the Code
of Napoleon
of France.
https://www.lexisnexis.co.uk/legal/glossary/force-majeure
,
accessed on 23 June 2025.
[30]
Standard
Bank of South Africa Limited v July and others
[2018] ZASCA 85.
[31]
Ibid
para 2.
sino noindex
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