Case Law[2022] ZASCA 154South Africa
Samancor Chrome Limited v Bila Civil Contractors (Pty) Ltd and Others (159/2021) [2022] ZASCA 154 (7 November 2022)
Supreme Court of Appeal of South Africa
7 November 2022
Headnotes
Summary: Contempt of court order – joinder of directors and contempt relief sought in the same application – directors aware of the relief sought against them – contempt of court established beyond a reasonable doubt.
Judgment
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## Samancor Chrome Limited v Bila Civil Contractors (Pty) Ltd and Others (159/2021) [2022] ZASCA 154 (7 November 2022)
Samancor Chrome Limited v Bila Civil Contractors (Pty) Ltd and Others (159/2021) [2022] ZASCA 154 (7 November 2022)
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sino date 7 November 2022
THE SUPREME COURT OF
APPEAL OF SOUTH AFRICA
### JUDGMENT
JUDGMENT
Not Reportable
Case no: 159/21
In the matter between:
SAMANCOR CHROME
LIMITED
APPELLANT
and
BILA CIVIL CONTRACTORS
(PTY) LTD
FIRST RESPONDENT
RICHARD FANI
BILA
SECOND RESPONDENT
THOMAS TIME
BILA
THIRD RESPONDENT
PHINDILE PRECIOUS
KHUMALO
FOURTH RESPONDENT
ELISAMINA
SIBIYA
FIFTH RESPONDENT
Neutral
citation:
Samancor
Chrome Limited v Bila Civil Contractors (Pty) Ltd and Others
(Case
no 159/2021)
[2022] ZASCA 154
(7 November 2022)
Coram:
PETSE DP and ZONDI, HUGHES and
MABINDLA-BOQWANA JJA and
DAFFUE AJA
Heard:
29 August 2022
Delivered:
7 November 2022
Summary:
Contempt of court order – joinder
of directors and contempt relief sought in the same application –
directors aware
of the relief sought against them – contempt of
court established beyond a reasonable doubt.
### ORDER
ORDER
On
appeal from:
Gauteng Division of the
High Court, Pretoria (Van der Westhuizen J, sitting as court of
first instance):
1
The appeal succeeds with costs.
2
Paragraph (b) of the high court order is set aside and replaced with
the
following:
‘
(b)
It is declared that the respondents are in contempt of the order
granted by Neukircher J on 1 July 2019.
(i) The first respondent
is to pay a fine of R100 000, while the second to fifth respondents
are to pay a fine of R50 000 each,
to the Registrar of this Court,
within 30 days of this order.
(ii) The respondents
shall notify the applicant in writing of their compliance with the
order in subparagraph (i) above within 5
days of the payment of the
amounts referred to in subparagraph (i) hereof after they have done
so.
(iii) The respondents are
to pay the costs in respect of the declaratory order in paragraph (b)
above jointly and severally, the
one paying the other to be absolved,
such costs to include the costs occasioned by the employment of two
counsel where applicable.’
###
### JUDGMENT
JUDGMENT
Mabindla-Boqwana
JA (Petse DP and Zondi and Hughes JJA and Daffue AJA concurring)
Introduction
[1]
The appellant, Samancor Chrome Limited
(Samancor), is the co-owner of the Remaining Extent of Portion 2 of
the farm Elandskraal
469 JQ (RE Portion 2) and the owner of Portion
154 of the farm Elandskraal 469 JQ (Portion 154) (the properties) in
the North West
Province.
[2]
It
has the sole and exclusive right to mine
[1]
and recover chrome ore in the properties in terms of converted mining
rights. In terms of these rights, it is obliged to take all
such
necessary steps to adequately safeguard and protect the environment
and the mining area from any possible damage. It also
has to
safeguard any persons using or entitled to use the surface mining
area, from injury associated with any activities on the
mining area.
Furthermore, it bears certain safety obligations imposed on it by the
Mine Health and Safety Act 29 of 1996 (the MHSA).
[3]
The
first respondent, Bila Civil Contractors (Pty) Ltd (Bila), holds a
prospecting
[2]
right over RE
Portion 2. The prospecting right entitles Bila to remove and dispose
of chrome ore and other minerals found during
the prospecting
operations in terms of s 20 of the Mineral and Petroleum Resources
Development Act 28 of 2002 (the MPRDA).
Section
20 stipulates:
‘
(1)
Subject to subsection (2), the holder of a prospecting right may only
remove and dispose for his or her own account any mineral
found by
such holder in the course of prospecting operations conducted
pursuant to such prospecting right in such quantities as
may be
required to conduct tests on it or to identify or analyse it.
(2) The holder of a
prospecting right must obtain the Minister’s written permission
to remove and dispose for such holder’s
own account of diamonds
and bulk samples of any minerals found by such holder in the course
of prospecting operations.’
[4]
The planned prospecting activities
required, in terms of s 20 of the MPRDA, consisted of three phases.
Phase 1 would last for a
period of six months from June 2018 to
December 2018. It entailed activities that did not disturb the land
such as collation of
data and aeromagnetic surveys. Phase 2 would
take place over 12 months from January 2019 to December 2019. It
involved some sampling,
trenching and limited drilling. In terms of
this phase, Bila could drill up to six holes, which would be
approximately 30 metres
deep. It was obligatory that the pits be
closed before the excavator moved to the next one.
[5]
Phase 3 would be from January 2020 to 29
May 2023. This phase allowed for excavation, drilling, blasting and
bulk sampling. It was
anticipated that 50 000 m³ (100 000 ton)
would be tested by making trenches at different locations over the
whole prospecting
area, where the possibility of ore was identified
with test pits. The amount required to finance the three phases was
said to be
R1 248 122.
[6]
On 12 June 2019, Samancor lodged an urgent
application before the Gauteng Division of the High Court, Pretoria
(high court), seeking
an order interdicting Bila, its employees and
contractors, from conducting unlawful mining operations on RE Portion
2 and Portion
154. Samancor alleged that in May 2019, its mineral
resources manager, Mr Kabelo Dube, had observed extensive open cast
mining
operations, substantial blasting and other activities
conducted by Bila, which were an indication that mining operations
were taking
place. Bila denied that it was mining, emphasising that
although it had invested heavily in its operations, these were only
for
prospecting purposes. To this end, it alleged that it had
employed 85 people and had invested in excess of R100 million in such
prospecting activities.
[7]
The application served before Neukircher J
who on 1 July 2019, having found in Samancor’s favour, granted
the following order:
‘
1.
In respect of the remaining extent of Portion 2 of the farm
Elandskraal 469 JQ North West Province:
1.1
[Bila], its employees and contractors
are interdicted and restrained from conducting, facilitating or being
involved in any manner
whatsoever in mining operations on this
property;
1.2
[Bila], its employees and contractors are
interdicted and restrained from the removal of any material
containing chrome or chrome
ore or other minerals from this property
outside of that allowed by its prospecting right.
2. In respect of Portion
154 of the Farm Elandskraal 469 JQ North West Province:
2.1
[Bila], its employees and contractors are
interdicted and restrained from conducting, facilitating or being
involved in any manner
whatsoever in mining operations, including
blasting activities, or the removal of any material containing chrome
or chrom[e] ore
or other minerals from [Samancor’s] mining area
on this property;
2.2
[Bila] is ordered to vacate this property
together with its employees, contractors, equipment and machinery
within 5 days of the
date on which this order is served [o]n it;
2.3
[Bila] is interdicted and restrained from
entering onto this property;
2.4
[Bila] is directed to return to [Samancor],
within 10 days of service of this order on it, any mineral and/or
material containing
chrome or chrome ore which it has removed from
this property;
2.5
the second respondent [the Sheriff] is
authorised and directed to give effect to the order set out in
paragraph 2 by:
i
removing [Bila], its employees and contractors and any trucks,
vehicles,
mining equipment or any other equipment reasonably
suspected of being used or intended to be used for conducting,
facilitating
or being involved in any man[n]er whatsoever in mining
or blasting activities or the unlawful removal of any chrome or
chrom[e]
ore on this property;
ii
preventing all trucks and other vehicles reasonably suspected of
being
used or intended to be used for conducting, facilitating or
being involved in any manner whatsoever in the unlawful removal of
any chrome or chrome ore from this property, from entering this
property;
iii
preventing [Bila] from conducting any mining operations including
blasting activities
on, or the removal of any material containing
chrome or chrome ore or any other minerals from [Samancor’s]
mining areas situated
on this property;
iv
preventing [Bila] from entering this property.
3. [Bila] is ordered to
pay the costs of this application.’
[8]
Subsequent to this order, on
8
September 2019, Samancor launched an urgent application before the
high court against Bila and its directors, ie the second to
fifth
respondents, who were not parties before Neukircher J. It sought an
order: (a) joining the second to fifth respondents as
parties in the
application; (b) declaring that the respondents were in contempt of
the judgment and order granted by Neukircher
J on 1 July 2019; (c)
directing that each of the respondents pay a fine of R100 000,
alternatively such other sum as the court
considered appropriate and;
(d) that in the event that any of the respondents failed to comply
with the order sought or continued
to act in breach of the order,
that such respondent be committed to prison for a period of 90 days,
alternatively such other period
as the court deemed appropriate.
[9]
A further order, which is not relevant to
this appeal was also sought in terms of s 18(1) of the Superior
Courts Act 10 of 2013
(Superior Courts Act), for the immediate
enforcement and operation of the relevant parts of Neukircher J’s
order.
[10]
In response to this application, a
counter-application was filed together with an answering affidavit
for an order interdicting
Samancor from conducting any mining
operations on RE Portion 2 pending the outcome of an appeal process
that Samancor had lodged
with the Department of Mineral Resources
(the DMR) regarding its decision to grant a prospecting right to
Bila.
[11]
Both applications were argued before Van
der Westhuizen J, who, on 30 September 2019, granted an order joining
the second to fifth
respondents as parties to the application but
dismissed, with costs, the application for contempt. He further
struck the counter-application
from the roll for want of urgency.
[12]
In
dismissing the contempt application, Van der Westhuizen J relied on
the decision of
R
v Keyser
[3]
endorsed in
Matjhabeng
Local Municipality v Eskom Holdings Limited and Others;
Mkhonto
and Others v Compensation Solutions (Pty) Ltd.
[4]
He
held that the principles propounded in those judgments were not
followed by Samancor and reasoned as follows:
‘
The
applicant seeks that the contempt order be granted immediately
following on the order for joinder:
Non
constat
that such consent to be joined
and such joinder being granted, implies that a contempt order can be
summarily granted against them.
Such approach by the applicant
ignores the basic right that a party has, namely that it is entitled
to be heard before an order
is granted against him or her or it. In
my view it constitutes a summarily find[ing] of contempt without the
respondents having
the opportunity of being heard. The issue of
urgency impacts upon the unfairness of the procedure followed. . . .’
[13]
The passage in
Keyser
upon which Van der Westhuizen J relied, states as follows:
‘
But
counsel for the Crown fairly and properly admitted that in every case
of contempt
ex
facie curiae
dealt
with by our courts without a criminal trial, the proceedings were
commenced by an order, served upon the offender, containing
particulars of the conduct alleged to constitute the contempt of
court complained of, and calling upon the offender to appear before
the court and show cause why he should not be punished summarily for
the alleged contempt of court.’
[5]
The issues
[14]
The appeal by Samancor is against those
portions of Van der Westhuizen J’s order dismissing the
contempt application and it
is with the leave of this Court.
[15]
The first issue is whether the high court
was correct in holding that the contempt order could not be granted
simultaneously with
the joinder of the directors. If it was correct,
that is the end of the matter. If not, the second question is whether
this Court
should determine the merits of the contempt application or
send the matter back to the high court as submitted by counsel
appearing
for Bila. If this Court adopts the former, then it will
determine whether Samancor is entitled to the contempt relief it
sought
before Van der Westhuizen J.
Joinder and summary
process
[16]
Keyser
and
Matjhabeng
are in my view both distinguishable from the facts of this case. In
Keyser
the appellant was admonished and sentenced to a fine without knowing
that he was an accused. As a result, he had no knowledge of
the exact
charges against him. He was not given an opportunity to consult
counsel, prepare his defence nor was he advised of his
right not to
make a statement at all.
[6]
[17]
Similarly,
in
Matjhabeng,
a
rule
nisi
was granted
ex
parte
calling upon the municipal manager to appear before court. He had
neither been cited nor joined in his personal capacity as a party
to
the proceedings. He was cross- examined by the judge and Eskom’s
counsel with no evidence being led and was not given
an opportunity
to comment on the allegations before being cross-examined. He was not
legally represented or forewarned that committal
to prison could be
imposed. Had he known all of this, he might have asked for a
postponement in order to consult with counsel and
consider his
position.
[7]
[18]
In the present matter, the directors were
cited as respondents in the joinder and contempt application. They
received the notice
of motion, which clearly set out the relief
sought against them. They had time to seek legal counsel, to consider
the application
and their position in regard thereto. They clearly
knew what the case was against them. Specifically, they were aware
that not
only was joinder sought, but equally aware that the court
was also asked to find them in contempt of court and impose a
penalty,
should it find them guilty of contempt. There was no
suggestion either in the papers or in argument that the directors
were not
aware of the allegations against them and that they needed
time to consult with counsel and prepare their case.
[19]
The resolution authorising the second
respondent to depose to an affidavit was signed by each of the
directors, which is a clear
indication that they knew about the
application. They also each filed confirmatory affidavits to the
answering affidavit deposed
to by one of them.
[20]
Furthermore, in the answering affidavit it
was expressly stated:
‘
7.
While I dispute the liability of [Bila’s] directors for
contempt of court, for the reasons dealt with in the rest of this
affidavit, I am advised that the joinder of the directors as
respondents will not be opposed.’
[21]
Indeed, none of the respondents opposed the
joinder. To the extent that it is suggested that the answering
affidavit did not represent
an answer for all the directors, then
they would have elected not to oppose the application seeking their
joinder and to hold them
in contempt of which they were aware.
[22]
Counsel for the respondents argued that a
contempt order could not be summarily granted after the joinder
because the directors
could not provide answers to the founding
affidavit as they were not yet parties to the application and
therefore were not obliged
to file a response. He submitted that the
answering affidavit was only filed on behalf of Bila and deposed to
by the second respondent
as indicated in the answering affidavit.
[23]
The answering affidavit, which is
attributed solely to Bila, did not raise any issue with the contempt
order being sought simultaneously
with the joinder of the directors.
It went ahead to address the merits of the contempt case. In several
paragraphs of the answering
affidavit, allegations, which referred to
the respondents in plural, are made. The answering affidavit also
ventured allegations
and responses on behalf of all the respondents.
In this regard, reasons were offered as to why the respondents could
not be found
guilty of contempt. The respondents did not distance
themselves from these allegations. And no purpose would have been
served in
bringing a separate contempt application from the joinder
in these circumstances.
[24]
In challenging the question of urgency, it
was alleged in the answering affidavit that the matter should have
been brought by way
of a
rule nisi
.
Apart from stating that an order should have been sought on terms
akin to
rule nisi
proceedings, it is not clear how that is related to the directors’
joinder and summary contempt process. The summary process
defence, as
already stated, was not pertinently raised as an issue in the papers.
Van der Westhuizen J erred in dismissing the
contempt of court
application on this basis. He should instead have proceeded to
consider the merits in this matter.
Further conduct of the
matter
[25]
Counsel for the respondents submitted that,
should this Court find that the high court erred in dismissing the
contempt relief,
then it should remit the matter to the high court
for the determination of the merits.
[26]
The difficulty is that while Van der
Westhuizen J did not delve into the merits of the contempt matter, he
nevertheless expressed
himself thus:
‘
In
my view, the applicant [Samancor] has further shown that:
(a)
the first respondent’s conduct
complained of constitutes mining operations, despite the first
respondent’s protestations
in that regard;
(b)
the first respondent holds the information
to gainsay any allegation by the applicant in that regard, but has
decidedly chosen not
to inform the court in that instance;
(c)
accordingly, the only inference to be drawn
in that respect is that the first respondent is in fact conducting
mining operations
over the said property as shown by the applicant’s
uncontroverted evidence;
(d)
the evidence placed before the court by the
applicant at least
prima facie
shows
the first respondent’s conduct complained of requires an answer
that is not met by the first respondent, its protestations
to the
contrary nevertheless. The respondents hold the required information
as demonstrated by the applicant;
(e)
the applicant would suffer irreparable harm
should the order of Neukircher J, not be made operational and
enforceable pending any
possible application for leave to appeal and
any appeal following thereon.’
[27]
Van der Westhuizen J went on to state that
Bila was less than candid with the court by choosing to raise a
technical point and deliberately
deciding ‘to ignore the
pertinent facts raised in the founding affidavit, where it [was] in a
position to gainsay such allegations,
[whilst in possession of] all
the relevant detail of its conduct complained of.’
[28]
Although these findings were made in the
context of the determination of the application in terms of
s 18(1)
of the
Superior Courts Act, which
formed part of the relief sought,
the facts relied upon by Samancor in respect of that relief were the
same as those for the contempt
application. It seems to me the horse
has left the barn and the high court appears to be
functus
insofar as at least one aspect of the contempt enquiry is concerned.
Accordingly, it is proper for this Court to decide whether
the
requirements to hold the respondents in contempt have been met.
Contempt application
[29]
The
requisites to be fulfilled to hold a party in contempt of a court
order are: (a) the existence of the order; (b) service or
notice of
that order to the respondent; (c) non-compliance with the order by
the respondent; and (d) wilfulness and
mala
fides.
The
onus is on the applicant to prove all these requirements beyond a
reasonable doubt. However, once the applicant has established
the
existence of the order, service or notice and non-compliance, the
respondent bears the evidential burden in relation to wilfulness
and
mala
fides
.
If the respondent fails to provide evidence that will establish
reasonable doubt as to whether non-compliance was wilful and mala
fide, contempt of the court order will have been established beyond a
reasonable doubt.
[8]
Existence of the order
and service or notice
[30]
In the answering affidavit it is conceded
that Neukircher J’s order ‘exists and it was served upon
the respondents subsequent
to its issue on 23 August 2019 and hence
the respondents are aware of the order. The first two legal
requirements have accordingly
been met’. The next step of the
enquiry is whether the respondents breached that order.
Non–compliance
with Neukircher J’s order
[31]
The facts relied upon by Samancor are as
follows. On 2 July 2019, Bila applied for leave to appeal Neukircher
J’s order. That
application was dismissed on 12 August 2019.
This meant that the order was no longer suspended and had to be
obeyed. On 19 August
2019, Bila’s attorneys informed Samancor’s
attorneys that they had been instructed to petition this Court for
leave
to appeal.
[32]
On 23 August 2019, Samancor’s
attorneys served a copy of the order by Neukircher J dismissing the
application for leave to
appeal, on Bila’s attorneys, even
though Bila would have been aware of that order by then, since they
were represented in
court when it was issued. It is common cause that
at the time of the hearing of the application, which is the subject
of this appeal,
this Court was yet to be petitioned. Accordingly,
from 12 August 2019 Neukircher J’s order remained operational
and unsuspended.
[33]
As to allegations of contempt, Samancor
alleges that on 19 August 2019, an employee of its security company,
Mr Dolf Labuschagne,
observed continued mining operations taking
place on RE Portion 2. He took aerial photographs of the pit being
mined by Bila. A
mine wall as depicted in the photographs was an
indication that substantial blasting had taken place. There were,
among others,
vehicles loaded with material mined from Bila’s
mining area, large crushing plants, numerous loading trucks and
material,
which had been crushed and stockpiled on Bila’s
mining site.
[34]
Mr Dube, who is a qualified mine surveyor,
studied the photographs and confirmed that they indicated full-scale
mining operations
being conducted by Bila as opposed to prospecting
operations. Samancor’s survey specialist, Mr Vusumzi Vilakazi,
and Mr Dube
conducted an analysis of the pit where unlawful mining
activities were allegedly being conducted, using the
industry-standard digital
terrain modelling and surveying software
known as ‘model-maker’.
[35]
They calculated that by 22 August 2019,
Bila had mined and removed an estimated 174 382.23 tons of chrome ore
from MG4 reef and
75 441.37 tons from the MG4A reef from the pit on
RE Portion 2. They also measured the dimensions of the pits that had
been excavated
and found them to be larger than what was anticipated
by Bila in the prospecting work programme (PWP). Bila had also not
closed
or rehabilitated any of the mine excavations conducted in an
old pit on RE Portion 2.
[36]
Bila was only permitted to remove 80 000
tons of ore over a period of 42 months for purposes of conducting
tests and analysis in
terms of the prospecting right and PWP. It had
as at 21 August 2019 removed a total amount of 642 607.04 tons of
chrome ore from
the MG4 reef and 278 005.09 tons of chrome ore from
the MG4A reef on RE Portion 2 and Portion 154.
[37]
On 4 September 2019, Mr Labuschagne
observed that Bila was continuing its mining operations on RE Portion
2 and it had escalated
its operations since he had last observed on
19 August 2019. He took video footage of these activities. Mr Dube
reviewed the video
and confirmed that full-scale mining operations
were taking place. Also, on 4 September 2019, Samancor’s
safety, health,
environment and quality specialist for explosives, Mr
Tshepo Mogoai received a telephone call from one Mr Kenny Whal from
Bila,
who informed him that Bila would be conducting blasting on 4
and 5 September 2019 consisting of 110 (explosive filled) holes –
a ‘big blast’.
[38]
Prior
to the hearing of the matter before Neukircher J, Bila had been
issued with a notice in terms of
s 54
of the MHSA
(s 54
notice)
[9]
by the DMR highlighting safety transgressions that had been found,
including Bila ‘blasting at a place that is above another
underground mine without any risk assessment and exemption in place’.
In terms of this notice, Bila was, among others, required
to provide
a risk assessment prepared jointly with Samancor. The notice was,
however, uplifted notwithstanding the safety concerns
still
outstanding. The mine surveyors of the two parties, nevertheless met
and Bila’s mine surveyor agreed with Samancor’s
mine
surveyor, Mr Johnny Maleka, that the parties were mining in the same
area.
[39]
In that meeting, Samancor advised Bila of
the mine health and safety concerns, which included loss of
ventilation in Samancor’s
shafts, possible influx of material
flooding and blasting that would affect the integrity of Samancor’s
underground workings
and causing the surface of the land to cave and
the pillars underground to collapse. The joint risk assessment was
completed. However,
Bila did not take steps to mitigate the risks
identified in this assessment.
[40]
Continued mining operations by Bila in RE
Portion 2 would sterilise the MG2 reef, which would shorten the life
of the mine causing
financial harm to Samancor. It was also causing
an unacceptable degradation to the environment, which exposed
Samancor to liability
in terms of the
National Environmental
Management Act 107 of 1998
. In addition, removal of tons of chrome,
which was done between the period of 24 May 2019 and 22 August 2019,
would result in the
depletion of chrome resources. In that period,
Bila had removed 249 823.60 tons of chrome from RE Portion 2. If it
continued that
would mean approximately 83 274.53 tons of chrome
resource will be removed per month.
[41]
Bila denied that it was conducting mining
operations. It claimed that it was merely conducting prospecting
operations in terms of
its prospecting licence, the purpose of which
was to establish whether there were sufficient viable minerals over
RE Portion 2
for Bila to undertake a full-scale mining operation. It
did not dispute that there could be sterilisation of MG2 reef.
[42]
Bila, however, did not deal with the
evidence of Mr Dube and Mr Vilakazi, which indicated that Bila’s
operations were at the
scale beyond what was allowed by the
prospecting right and as indicated in its PWP. While it denied the
calculations made by the
former, dismissing them as being
guesstimates, it did not disclose the actual quantities that it
removed during the period in issue.
[43]
It may be so that the physical operation
equipment required for prospecting and mining is identical, the
volumes of chrome ore allowed
by the prospecting right and the mining
right are not the same. Mr Dube’s and Mr Vilakazi’s
analysis brought this evidence
into focus but Bila did not directly
engage with it.
[44]
Bila simply noted allegations regarding a
call from its Mr Whal, who had advised Mr Mogoai that Bila would be
conducting a ‘big
blast’ on 4 and 5 September 2019. It
denied that its mine surveyor had admitted that the parties were
mining in the same
area but attached no confirmatory affidavit to
that effect. According to Bila, the uplifting of the
s 54
notice was
an indication that it had remedied the issues identified by the DMR
in the
s 54
notice.
[45]
The uncontroverted evidence brought by
Samancor showed that full scale blasting took place at the level
beyond that which was allowed
for phase 2. Bila did not suggest that
it only drilled six holes as permitted in phase 2. It seemed to
suggest that the level of
operation it undertook (which it did not
reveal) was necessary to fulfil its prospecting objectives. The
allegation made by Samancor
as to the scale at which the operation
was conducted did not seem to be challenged by Bila but somewhat was
justified.
[46]
Bila, did not produce evidence to challenge
allegations regarding,
inter alia,
the size of the pits, how much blasting it had done, the calculations
regarding the amount of chrome ore that was removed and where
the
material was taken and stockpiled. This information was necessary to
bring the level of operations within the ambit of the
prospecting
licence. Importantly, there was no evidence as to how Bila had
changed its operations after Neukircher J’s
order in order
to counter the allegations that nothing had changed; instead, mining
operations allegedly escalated.
[47]
The submission that Bila could not produce
the necessary evidence because of the urgency of the matter, does not
come to its assistance.
It could have produced information that it
was expected to readily have in its possession in terms of its
prospecting right. It
could also have gathered and brought evidence
from those who were involved in these operations. No attempt was
made, at the very
least, to present any information that it had or
could be obtained within the limited time available before delivering
its answering
affidavit. The second respondent ventured into giving
opinions on matters he had no expertise on, such as deducing why the
expansive
operation was observed by the Samancor personnel, without
any substantiation.
[48]
In
addition, clause 13.1 of its prospecting right obliged Bila to
maintain all such books, plans and reports regarding prospecting
operations in terms of clause 13.2. It was further obliged to furnish
the Regional Manager
[10]
with
progress reports. Furthermore, in terms of clause 13.3, it was
required to inform the Regional Manager of any new developments
and
of any future prospecting activities, and was required to keep
records of prospecting operations, results, and expenditure
connected
therewith.
[49]
Bila
did not seriously and explicitly engage with the extensive facts and
evidence presented by Samancor in its founding affidavit.
Information
as to what it was allowed to do in terms of the prospecting right and
what it did, was within its knowledge and ought
to have been
presented.
[11]
As Wallis JA
noted in
Strydom
v Engen Petroleum Ltd:
‘
Where
matters are within the exclusive knowledge of one party less evidence
is required to be adduced by the other party to discharge
the onus of
proof on a point. And sometimes the silence of the witness on a vital
point within that person’s knowledge is
as telling as anything
that may be said from the other side.’
[12]
[50]
From these facts, Samancor, in my view, has
established non-compliance with Neukircher J’s order. As a
result, Bila bears
the evidential burden of rebuttal to produce
evidence that gives rise to a reasonable doubt that such
non-compliance was wilful
and
mala fide
.
Wilfulness and
mala
fides
[51]
The defence given by the respondents for
non-compliance with the order (in the event that disobedience was
proven) is that the order
was not even capable of being breached
since it was automatically suspended, according to the legal advice
which the second respondent
received and the correctness of which he
had no reason to doubt.
[52]
Further, that the respondents, relying on
the legal advice they had obtained from their attorneys, which was
confirmed by the current
senior and junior counsel, acted
bona
fide
. It was further alleged in the
answering affidavit that the advice was obtained verbally but that it
could ‘be gleaned from
the version of the respondents, which
ha[d] been consistently articulated in writing in all the papers
pertaining to this matter.
If necessary, it will be re-articulated by
counsel during the hearing.’
[53]
The respondents were obliged to state the
full details of the alleged advice, because they had raised it as a
defence. In the ordinary
course, the facts to be detailed would
include the nature of the advice, when and by whom it was given. In
S
v Abrahams,
this Court said:
‘
[I]f
an accused wished the Court to have regard to this advice as a
mitigating factor, then it could be expected of him to produce
the
advice if it was in writing. In addition the Court would require to
be satisfied that the advice was given on a full and true
statement
of the facts. In the absence of such safeguards the fact of the
advice having been given was held to be of no avail as
a mitigating
factor. These remarks are pertinent to the present enquiry, more
particularly as the attorney on whose advice the
appellant claimed to
have relied was not called to testify in regard to all the
circumstances relevant to the giving of such advice.’
[13]
[54]
I am willing to assume in the respondents’
favour that the advice they allegedly received was given by its
current attorneys
of record and counsel who had represented Bila in
the urgent application before Neukircher J and who remained on record
in the
subsequent proceedings relating to this matter, even though no
confirmatory affidavits have been filed. There is, however, lack
of
detail, even at the bare minimum, of the alleged advice so as to
assess whether it was given on full and true statement of facts
as
postulated in
Abrahams
.
Moreover, Samancor was entitled to know what the defence proffered as
a rebuttal for non-compliance was, so as to properly deal
with it in
reply.
[55]
The respondents submitted that the advice
should be gleaned from the correspondence substantiating their
version, and yet they did
not point to a particular document where
the alleged advice was contained in their answering affidavit.
[56]
We were referred by counsel for the
respondents to the paragraphs of the answering affidavit, which deal
with the point
in limine
of prematurity, in which the following is stated:
‘
16.
. . . It is either the applicant’s case that:
. . .
16.2 the notification of
the
respondents’ intention
to institute
section 17(2)(b)
proceedings for an application for leave to appeal to the Supreme
Court of Appeal (by way of a so-called petition) is sufficient
to
overcome the jurisdictional challenge,
and the first respondent
must be deemed to have initiated leave to appeal proceedings
, in
which case the contempt of court proceedings must fail, because the
order is thereby automatically suspended until otherwise
determined
by the court upon the granting of the relief sought in prayer 6 of
the present application.
17. I am advised that it
will be argued that the better view is the one articulated in
paragraph 16.2 above.’ (My emphasis.)
[57]
Counsel further directed us to a letter
dated 11 September 2019, sent by Bila’s attorneys of record to
Samancor’s attorneys.
This letter records that Samancor’s
application for contempt of court was premature because the deadline
to petition this
Court for leave to appeal was 29 September 2019.
This, the respondents asserted, was further exacerbated by Samancor’s
failure
to obtain an order in terms of
s 18(1)
of the
Superior Courts
Act.
[58
]
The intimation in the letter is that
Neukircher J’s order was suspended until 29 September 2019,
which was the final date
of the period within which an application
for leave to appeal to this Court could still be made. However, this
letter is not by
any stretch of the imagination legal advice to the
respondents as it was addressed to Samancor’s attorneys.
[59]
Even if I were to assume on behalf of the
respondents (and not be seen to be pedantically putting form over
substance) that the
content of the letter amounts to legal advice,
the nature of it does not assist the respondents.
Section 18(5)
of
the Superior Courts Act is clear and categorical that:
‘
[f]or
the purposes of subsections (1) and (2), a decision becomes the
subject of an application for leave to appeal or of an appeal,
as
soon as an application for leave to appeal or notice of appeal
is
lodged
with the registrar in terms of
the rules’. (My emphasis.)
It is not clear whether
the advice was based on the full statement of facts as suggested in
Abrahams
as the answering affidavit is bereft of details.
[60]
Be that as it may, for the respondents to
labour under the impression that only the intention of a party, which
is effectively the
mental state of a party, without any action, could
automatically suspend an order is not only untenable but is
far-fetched. Taken
to its logical conclusion, it is no different to a
contention that an intention to institute summons without actually
doing so
interrupts prescription.
[61]
This statement, must be viewed against the
backdrop that the respondents deliberately and intentionally caused
Bila to continue
acting against Neukircher J’s order, whilst
contending that it was not mining but prospecting. In addition, the
respondents’
failure to disclose what the true nature and scale
of the operations undertaken were, impels me to find that the defence
of legal
advice is contrived and therefore does not give rise to a
reasonable doubt so as to rebut the inference of wilfulness and
mala
fides
.
[62]
As regards removal of material at Portion
154, the defence advanced by the respondents, is that it was
impossible to comply with
this part of the order because Bila ‘did
not remove any materials from Portion 154 immediately prior to or
subsequent to
the granting of the court order. Such materials as have
been previously removed have long been sold’. In the same
breath,
the second respondent denies, in the answering affidavit,
that Bila removed any minerals and/or chrome materials. The question
then is: what material was long sold?
[63]
Details once again are not provided as to
when and why Bila sold any minerals from Portion 154, when it was not
permitted to do
so. It is not stated whether the material was sold
under the mistaken belief that Bila was entitled to sell it or not.
The timeline
should have been provided. It is not sufficient to state
the impossibility to comply with the order owing to the sale of the
material
without providing information including documentation in
that regard.
[64]
In the context of the facts of this case,
it is improbable that Neukircher J would make such an order with
the knowledge that
the material removed by Bila could not be returned
because it had long been sold. In my view, the respondents have not
advanced
credible evidence in rebuttal to give rise to a reasonable
doubt in this regard too. Therefore, non-compliance on this aspect
must
also be found to have been wilful and
mala
fide
.
[65]
The second respondent submitted that the
contempt order sought against all the directors is an intimidation
tactic. He alleged that
he was the responsible director who had been
given authority to make decisions. He therefore did not consult other
directors on
every single operational matter, and it therefore could
not be said that the other directors had also caused Bila to be in
contempt
of Neurkicher J’s order.
[66]
This claim cannot shield the third to fifth
respondents from responsibility. Even if they had given the second
respondent powers
to make decisions in operational matters, a court
order is a serious matter requiring the board’s attention. The
third to
fifth respondents had a duty to ensure that once they
received the court order stating that Bila had acted unlawfully, that
court
order was obeyed. They could not simply wash their hands and
walk away from accountability. Moreover, they have not explained what
steps they had taken to ensure that the court order was complied
with. Consequently, all the directors must be held responsible
jointly with Bila.
[67]
In these circumstances, Samancor has, in my
view, established that the respondents were in contempt of Neukircher
J’s order
beyond a reasonable doubt. It is accordingly entitled
to the relief it sought before Van der Westhuizen J.
[68]
The next issue to determine is the penalty
to be imposed against the respondents. Samancor sought an order
directing each of the
respondents to pay a fine of R100 000 or any
other sum the Court would deem appropriate. Further, counsel for
Samancor submitted
that, in the event that any of the respondents
failed to pay the fine or continued to breach Neukircher J’s
order, they be
committed to imprisonment.
[69]
However, when pressed, counsel conceded
that an order for committal would be inappropriate at this stage. The
imposition of a fine
in respect of each of the respondents is, thus,
the most appropriate penalty in the circumstances. I am further of
the view that
the directors should be ordered to each pay half of the
fine that would be paid by Bila. Costs should follow the result.
[70]
In the circumstances, the following order
is made:
1
The appeal succeeds with costs.
2
Paragraph (b) of the high court order is set aside and replaced with
the
following:
‘
(b)
It is declared that the respondents are in contempt of the order
granted by Neukircher J on 1 July 2019.
(i) The first respondent
is to pay a fine of R100 000, while the second to fifth respondents
are to pay a fine of R50 000 each,
to the Registrar of this Court,
within 30 days of this order.
(ii) The respondents
shall notify the applicant in writing of their compliance with the
order in subparagraph (i) above within 5
days of the payment of the
amounts referred to in subparagraph (i) hereof after they have done
so.
(iii) The respondents are
to pay the costs in respect of the declaratory order in paragraph (b)
above jointly and severally, the
one paying the other to be absolved,
such costs to include the costs occasioned by the employment of two
counsel where applicable.’
N
P MABINDLA-BOQWANA
JUDGE
OF APPEAL
Appearances
For
appellant:
G D Wickins SC
Instructed
by:
Malan Scholes Inc, Johannesburg
Claude Reid Attorneys,
Bloemfontein.
For
respondents: D C Mpofu SC (with T
Modise)
Instructed
by:
Mabuza Attorneys, Johannesburg
Matsepes Inc,
Bloemfontein.
[1]
‘
m
ine’
when used as a verb is defined in the Mineral and Petroleum
Resources Development Act 28 of 2002 (the MPRDA) as ‘any
operation or activity incidental thereto, in, on or under the
relevant mining area.’
[2]
‘
prospecting’
– ‘means intentionally searching for any mineral by
means of any method –
(a)
which disturbs the surface or
subsurface of the earth, including any portion of the earth that is
under the sea or under other
water; or
(b)
in or on any residue stockpile or
residue deposit, in order to establish the existence of any mineral
and to determine the extent
and economic value thereof; or
(c)
in the sea or other water on land.’
[3]
R
v Keyser
1951
(1) SA 512
(A) at 518E-F (
Keyser
).
[4]
Matjhabeng
Municipality v Eskom Holdings Limited and Others;
Mkhonto
and Others v Compensation Solutions (Pty) Ltd
[2017]
ZACC 35
;
2017 (11) BCLR 1408
(CC);
2018 (1) SA 1
(CC) para 79
(
Matjhabeng
)
.
[5]
Keyser
fn 3
above at 518E-G.
[6]
Keyser
fn
3 above at 518B-D.
[7]
Matjhabeng
fn
4 above para 80.
[8]
Fakie
N O v CCII Systems (Pty) Ltd
[2006] ZASCA 52
;
2006
(4) SA 326
(SCA) para 42.
[9]
Section
54(1)
of the
Mine Health and Safety Act provides
as follows:
‘
54. Inspector’s
power to deal with dangerous conditions.
— (1) If an
inspector
has reason to believe that any occurrence, practice
or condition at a
mine
endangers or may endanger the
health
or
safety
of any person at the
mine
, the
inspector
may give any instruction necessary to protect the
health
or
safety
of persons at the
mine
, including but not
limited to an instruction that—
(
a
)
operations at the
mine
or a part of the
mine
be
halted;
(
b
)
the performance of any act or practice at the
mine
or
a part of the
mine
be suspended or halted, and may
place conditions on the performance of that act or practice;
(
c
)
the
employer
must take the steps set out in the
instruction, within the specified period, to rectify the occurrence,
practice or condition;
or
(
d
)
all affected persons, other than those who are required to assist in
taking steps referred to in
paragraph
(
c
)
,
be moved to
safety.
’
[10]
Section
1
of the MPRDA defines ‘Regional Manager’ as ‘the
officer designated by the Director-General in terms of
section 8
as
regional manager for a specific region.’
[11]
Wightman
t/a JW Construction v Headfour (Pty) Ltd and Another
[2008]
ZASCA 6
;
[2008] 2 All SA 512
(SCA);
2008 (3) SA 371
(SCA) para 13.
[12]
Strydom
v Engen Petroleum Ltd
[2012] ZASCA 187
;
2013 (2) SA 187
(SCA);
[2013] 1 All SA 563
(SCA)
para 19.
[13]
S
v Abrahams
1983 (1) SA 137
(A) 146F-H.
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