Case Law[2024] ZAGPJHC 51South Africa
S.R obo Z.R v Member of the Executive Council for Health, Gauteng (41584/18) [2024] ZAGPJHC 51 (26 January 2024)
High Court of South Africa (Gauteng Division, Johannesburg)
26 January 2024
Judgment
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## S.R obo Z.R v Member of the Executive Council for Health, Gauteng (41584/18) [2024] ZAGPJHC 51 (26 January 2024)
S.R obo Z.R v Member of the Executive Council for Health, Gauteng (41584/18) [2024] ZAGPJHC 51 (26 January 2024)
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sino date 26 January 2024
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REPUBLIC
OF SOUTH AFRICA
IN
THE HIGH COURT OF SOUTH AFRICA
GAUTENG
DIVISION, JOHANNESBURG
CASE NO: 41584/18
1.
Reportable: No
2.
Of interest to other judges: No
3.
Revised: No
26
January 2024
In
the matter between:
S
[M…] [R…] obo
S
[Z…] [R…]
Plaintiff
and
MEMBER
OF THE EXECUTIVE COUNCIL
FOR
HEALTH, GAUTENG
Defendant
This
judgment is handed down electronically by circulation to the
plaintiff and the defendant’ Legal Representatives by e-mail,
publication on Case Lines and release to SAFLII. The date of the
handing down is deemed to be 26th of January 2024.
JUDGMENT
BOTSI-THULARE AJ:
Introduction
[1]
The plaintiff is suing in her personal and representative
capacity,
as the mother and natural guardian of her minor child, Z[...] (the
child), who was born on 15 September 2012 at the Natalspruit.
Therefore, the matter comes before this court in relation to the
determination of the defendant’s liability in so far as
it
relates to the damages suffered by the plaintiff in her personal
capacity as well as in her representative capacity on behalf
of her
child.
[2]
The plaintiff in her personal capacity as
well as the mother and natural guardian of her minor daughter, who is
presently 11 years
old, instituted these proceedings against the
defendant. The Natalspruit Hospital falls under the auspices of the
defendant, who
in law is responsible for any injury caused by the
negligence of the staff. The plaintiff alleges the staff had been
negligent
during the birth of her child and that this negligence
caused the hypoxic ischemic injury (‘HIE’) and its
sequelae.
She
alleges that her child suffered a hypoxic
ischaemic injury due to perinatal asphyxia or hypoxia, resulting in
her child being born
with severe brain damage CP1 caused during the
labour and birthing process due to the treatment and management
administered by
the medical professionals at the Natalspruit hospital
on 15 September 2012.
As a result, she claims
damages on her own behalf and on behalf of her daughter.
[3]
The plaintiff claims on behalf of herself
for past medical and hospital expenses in the amount of R5 000.00,
and on behalf
of the minor child the following —
(1) future hospital,
medical and related expenses (R18 770 000.00);
(2)
future loss of earnings/loss of earning capacity (R3 000.00.00);
(3) general damages for
pain and suffering/loss of amenities of life, disability and
disfigurement (R3 512 375.00); and
(4) costs of a trustee
(R1 896 553.13).
Factual background
[4]
On 1 September 2012, the plaintiff
presented herself at the Khumalo Clinic complaining of lower
abdominal pain. Her CTG was reactive.
She was then admitted for
review. The following day, she was re-assessed by the nursing staff
and her BP was noted as 106/64; P72
FHR 132B/PM; CTG reactive; cervix
not dilating. She was then discharged.
[5]
On 03 September 2012, the plaintiff
presented herself at the Ramokonopi Clinic complaining of abdominal
pain and vaginal bleeding
and was transferred to the hospital. On 15
September she was examined by a doctor at the hospital who observed
that she was passing
blood clots vaginally and her cervix was 8 cm
dilated and fully effaced, with strong contractions. Five units of
oxytocin were
administered, and the plaintiff delivered an alive
female infant with respiratory distress. The child was admitted into
the neonatal
ICU with birth asphyxia and respiratory distress
syndrome.
[6]
The plaintiff alleges that the nursing and
medical staff at the hospital were negligent in that they failed to
attend to the vaginal
bleeding during labour for approximately 9
hours. Further, they failed to timeously diagnose the abruptio
placentae; they had the
plaintiff in prolonged active labour;
administered oxytocin to the plaintiff despite having good and strong
contractions; and failed
to perform a caesarean section. This
resulted, so the plaintiff contends, in the foetus suffering from a
HIE incident causing her
to sustain severe brain damage and as a
result, suffers from cerebral palsy and epilepsy.
Issues for
determination
[7]
There are two issues for determination before this
court. They are
—
a.
first, whether there was negligence on the
part of the defendant’s
employees. In other words
—
i.
whether
the injury suffered by the plaintiff’s child was
directly or causally linked to the failure by the defendant’s
employees
at the hospital to timeously identify that the plaintiff’s
labour was not progressing normally resulting in their failure
to
timeously take appropriate action to prevent and ensure that the
plaintiff’s child does not suffer a hypoxic ischemic
injury.
ii.Secondly,
whether
the defendant’s employees at
the hospital failed to appreciate the urgency of the need to
correctly diagnose the vaginal bleeding,
to exclude an Abruptio
Placenta, which as a confirmed sentinel event which causes hypoxic
ischemic encephalopathy of the kind which
the child suffered.
b.
Whether the plaintiff’s claim in her
personal capacity has
prescribed.
Law
applicable to the facts
a.
Negligence
[8]
In essence,
for the plaintiff to succeed and hold the defendant liable for
damages, she must prove on a balance of probabilities,
causal
connection between the defendant’s negligent acts or omission
relied upon and the harm suffered. In
Minister
of Safety and Security v Van Duivenboden
[1]
Nugent
JA remarked
—
“
Negligence,
as it is understood in our law, is not inherently unlawful - it is
unlawful, and thus actionable, only if it occurs
in circumstances
that the law recognises as making it unlawful. Where the negligence
manifests itself in a positive act that causes
physical harm it is
presumed to be unlawful, but that is not so in the case of a
negligent omission. A negligent omission is unlawful
only if it
occurs in circumstances that the law regards as sufficient to give
rise to a legal duty to avoid negligently causing
harm. It is
important to keep that concept quite separate from the concept of
fault. Where the law recognises the existence of
a legal duty it does
not follow that an omission will necessarily attract liability - it
will attract liability only if the omission
was also culpable as
determined by the application of the separate test that has
consistently been applied by this court in Kruger
v Coetzee, namely
whether a reasonable person in the position of the defendant would
not only have foreseen the harm but would
also have acted to avert
it. While the enquiry as to the existence or otherwise of a legal
duty might be conceptually anterior
to the question of fault (for the
very enquiry is whether fault is capable of being legally
recognised), nevertheless, in order
to avoid conflating these two
separate elements of liability, it might often be helpful to assume
that the omission was negligent
when asking whether, as a matter of
legal policy, the omission ought to be actionable.”
[9]
In
E.P.N
NO obo E.L v Member of the Executive Council for Health
[2]
of
the Gauteng Province it was held with reference to the unreported
case of the Gauteng Local Division
Vallaro
obo Barnard v MEC
and
McIntosh
v MEC, Kwazulu-Natal and Another
that
—
“
The
second inquiry is whether there was fault, in this case negligence.
As is apparent from the much-quoted dictum of Holmes JA
in Kruger v
Coetzee
1966 (2) SA 428
(A) at 430E-F, the issue of negligence itself
involves a twofold inquiry. The first is: was
the harm reasonably foreseeable? The
second is: would the diligens paterfamilias take reasonable steps to
guard against such occurrence
and did the defendant fail to take
those steps? The answer to the second inquiry is freque
ntly
expressed in terms of a duty. The foreseeability requirement is more
often than not assumed, and the inquiry is said to be
simply whether
the defendant had a duty to take one or other step, such as drive in
a particular way or perform some or other positive
act, and, if so,
whether the failure on the part of the defendant to do so amounted to
a breach of that duty. But the word “duty”,
and sometimes
even the expression “legal duty”, in this context, must
not be confused with the concept of “legal
duty” in the
context of wrongfulness which, as has been indicated, is distinct
from the issue of negligence.
The
crucial question, therefore, is the reasonableness or otherwise of
the respondents’ conduct. This is the second leg of
the
negligence inquiry. Generally speaking, the answer to the inquiry
depends on a consideration of all the relevant circumstances
and
involves a value judgment which is to be made by balancing various
competing considerations including such factors as the degree
or
extent of the risk created by the actor’s conduct, the gravity
of the possible consequences and the burden of eliminating
the risk
of harm. ...”
[3]
b.
Causal connection
[10]
In determining the causal connection, this
court is required to ask this: but for the wrongful conduct of
the hospital staff,
would the plaintiff’s loss have ensued or
not? It was submitted on behalf of the plaintiff that if the wrongful
negligent
conduct of the hospital staff was eliminated - and on the
assumption that all precautionary measures were satisfied and carried
out –the foetus would not be suffering from a HIE incident,
cerebral palsy and epilepsy.
[11]
Our
Courts have indicated that a plaintiff is not required to establish
the causal link with certainty, but only to establish that
the
wrongful conduct was probably a cause of the loss. In
Minister
of Safety and Security v Van Duivenboden,
[4]
the SCA held —
“
A
plaintiff is not required to establish the causal link with certainty
but only to establish that the wrongful conduct was probably
a cause
of the loss, which calls for a sensible retrospective analysis of
what would probably have occurred, based
upon
the evidence and what can be expected to occur in the ordinary course
of human affairs rather than an exercise in metaphysics.”
[5]
[12]
Furthermore,
in
Minister
of Finance and Others v
Gore
NO,
[6]
the SCA observed —
“
Application
of the “but for” test is not based on mathematics, pure
science or philosophy. It is a matter of common
sense, based on the
practical way in which the ordinary person’s mind works against
the background of everyday life experiences.”
[7]
[13]
Also
important is the oft-quoted caution by the English court in
Ratcliffe
v Plymouth and Torbay Health Authority
[8]
to not speculate too much. Lord Justice Brooke made the point that
—
“
...
surrounding a procedure which led to an unexpected outcome for a
patient. If such a case should arise, the judge should not
be
diverted away from the inference of negligence dictated by the
plaintiff's evidence by mere theoretical possibilities of how
that
outcome might have occurred without negligence: the defendants'
hypothesis must have the ring of plausibility about it. It
is likely
to be a very rare medical negligence case in which the defendants
take the risk of calling no factual evidence, when
such evidence is
available to them, of the circumstances.”
[9]
[14]
This negligence constitutes, as the
plaintiff contends, a breach of the legal duty that rested on the
defendant, his employees and/or
his authorised representatives.
As
a result of the breach of legal duty, the child suffers from brain
damage and resultant cerebral palsy, is epileptic and developmentally
delayed and has a marked speech delay and speech deficits. The
plaintiff argues that the injury suffered by the child was directly
or causally linked to the failure by the defendant’s employees
to timeously identify that her labour was not progressing
normally.
[15]
The facts are extracted from the evidence of the plaintiff herself.
She was
the only factual witness. With regards to expert witnesses,
the following expert witnesses gave evidence in support of the
plaintiff's
case: Dr Henning (Radiologist); Dr.Lefakane
(Paediatrician); Dr.Mbokota (Obstetrician Gynaecologist); Prof Nolte
(Midwife expert).
[16]
The following experts gave evidence for the defendant: Dr Kamolane
(Radiologist);
Dr Dibote (Paediatrician); Dr Mtsi (Obstetrician
Gynaecologist); Dr Ramodike-Chikota (attendant doctor).
[17]
In determining whether there was negligence it is important to
record the areas of agreement between the experts as well as the
aspects which the experts conceded by the defendant’s
witnesses.
The defendant initially denied
liability that the medical and nursing staff of the hospital did not
act negligently. However, during
trial, the defendant’s experts
(Dr Mtsi, the obstetrician and gynaecologist and Dr Ramodike-Chikota,
(the attendant doctor
on 15 September 2012) conceded and agreed with
the plaintiff’s experts that the care received from the
hospital during the
birth of child was substandard. Plaintiff’s
evidence and expert witnesses’ testimony is largely
uncontested, with the
defendant’s witnesses capitulating and
conceding the evidence. By agreement, the joint minutes by the
Radiologists and Paediatricians
were also admitted by the court as
evidence.
[18]
It is true, of course, that the determination of negligence
ultimately rests
with the court and not with expert witnesses. Yet,
that determination is informed by the opinions of experts in the
field. Although
the plaintiff’s
evidence and
expert witnesses’ testimony is largely uncontested, with the
defendant’s witnesses capitulating and conceding
the evidence,
this court is still expected to enquire whether the plaintiff has
proved
on a balance of probabilities, causal connection
between the defendant’s negligent acts or omission relied upon
and the harm
suffered.
Application to the
facts
[19]
Applying these principles to the present
matter, the conclusion seems undeniable that the negligent conduct on
the part of the hospital
in the form of the substandard care received
by the plaintiff of its staff, caused the HIE and led to the cerebral
palsy. That
is a common-sense logical conclusion to be drawn from the
facts in the matter. The defendant’s employees failed to
properly
monitor the plaintiff’s labour; to detect foetal
distress; to intervene timeously and to assist appropriately with the
delivery
of the child.
[20]
The facts of this matter indicate that the plaintiff experienced an
uneventful
pregnancy carrying to full term without any illnesses,
infections or complications save for her positive HIV status. She was
attended
to at the Ramokonopi Clinic on 14 September 2012 when she
experienced labour pains.
[21]
On examination she was found to be bleeding vaginally and was then
referred
to Natalspruit Hospital by the midwives at the clinic. At
the Natalspruit Hospital, she was examined by a doctor who made notes
in the clinical records that she was referred and examined for lower
abdominal pain. There is no indication in the clinical records
that
she was examined or assessed for the vaginal bleeding until 05h30
when vaginal bleeding was noted again by Dr Ramodike. Dr
Ramodike
ordered that a sonar be performed on the Plaintiff to exclude
Placentae Previa and Abruptio Placenta which are both sentinel
events
which can cause hypoxic ischemic injury or encephalopathy.
[22]
At 06h00 on 15 September 2012 it appears
from the clinical notes that the exclusionary sonar was not performed
as ordered and/or
probably not done. It further appeared from the
clinical notes that the monitoring of the foetus and the plaintiff
was not done
as prescribed by the Maternity Care Guidelines in that
the maternal monitoring was not done hourly as prescribed.
[23]
The foetus was not monitored continuously
on CTG as prescribed. The vaginal bleeding was not assessed and
Abruption Placenta as
the most common differential diagnosis was not
excluded. At 07h15, the plaintiff had strong frequent uterine
contractions. The
plaintiff was 9cm dilated and was still passing
blood clots. Dr Ramodike instructed that
Syntocinon
be administered.
[24]
There
was no continuous foetal monitoring
on CTG.
The labour was allowed to
proceed as if normal until delivery. The baby was born depressed and
compromised. The baby was immediately
admitted to the neonatal
intensive care. The baby immediately showed signs of a hypoxic
ischemic injury.
[25]
The parties agreed that the joint minutes of the expert witnesses
(Radiologists – Dr
Henning and Dr Kamolane) would be
accepted as evidence without the respective witnesses being called to
give evidence. The joint
minutes recorded that the dominant injury
seen on the MRI is hypoxic ischemic injury. That the findings of the
MRI study suggest
that genetic disorders as a cause of the child’s
brain damage is unlikely. Further, t
hat the MRI
findings suggest that inflammatory or infective causes are unlikely
as causes of the child’s brain damage. Lastly,
that the
predominate pattern of injury is an acute profound hypoxic ischemic
injury in a mature brain.
[26]
The Paediatricians (Dr Lefakane and Dr Dibote)
recorded that the antenatal course of Plaintiff’s pregnancy was
normal with
no recognized complications or conditions which could
have affected the outcome. Moderately severe neonatal encephalopathy
(NE)
Grade 2 with seizures was present after birth.
[27]
From the above facts, it is clear that if
the birth was properly managed, the stressful situation facing the
foetus could and should
have been recognised and reacted upon. This
is much the experts are agreed and has been conceded. Negligence has
therefore been
proved.
[28]
Moreover, a direct causal link between the
negligence of the defendant and the adverse outcome has been
established. If there was
proper monitoring and assistance, foetal
distress would have been detected and appropriate assistance would
have been given with
the delivery by a timeous caesarean section to
prevent the HIE insult, which resulted in the cerebral palsy.
c.
Has plaintiff’s claim in her
personal capacity prescribed?
[29]
Based on the above, the only defence the
defendant relies on is prescription. The defendant argues that the
plaintiff’s claim
in her personal capacity has prescribed. The
alleged breach of legal duty occurred on 15 September 2012. The
argument goes that
the plaintiff was already aware of the possibility
of a claim since she signed a special power of attorney dated 27 May
2013 instructing
her attorneys of record to investigate the
circumstances relating to the medical negligence incident. She
further signed a consent
form on 27 May 2013 authorising her
attorneys of record to inspect all medical records relating to the
medical incident in which
the injuries were sustained. The summons
instituting this claim was issued on 08 November 2018, well after the
prescription period
of 3 years as provided for in the Prescription
Act 68 of 1969 (the
Prescription Act).
[30]
Prescription is a legal concept that refers
to a situation where the law provides that due to the passage of
time, a debtor is no
longer legally obliged to pay off an old debt.
Prescription laws in South Africa play a crucial role in determining
the time limits
for pursuing legal claims. These laws outline the
maximum period within which a person can bring a claim against
another party.
If this period is exceeded, the claim will become
time-barred, and the person will no longer be able to pursue it.
[31]
In South Africa, prescription laws are governed by
the
Prescription Act and
accordingly, the time limit for pursuing a
legal claim depends on the type of claim and the circumstances
surrounding it. The
Prescription Act sets
out different time limits
for different types of legal claims.
Claims for damages arising from personal injury prescribes
after three years from the date that the injury occurred or the date
on which the claimant became aware of the injury.
[32]
In other words, the three-year period does
not only run from the date of the incident. The
Prescription
Act further
requires a creditor to have knowledge of the identity of
the debtor and of the facts from which the debt arises. What are the
‘facts’
that the creditor must know before the debt can
be said to be due, and before prescription can start running? This
calls for interpretation
of
section 12(3)
of the
Prescription Act.
[33
]
In
Macleod
v Kweyiya
[10]
the
court observed
—
“
In
order to successfully invoke
s 12(3)
of the
Prescription Act, either
actual or constructive knowledge must be proved. Actual knowledge is
established if it can be shown that the creditor actually
knew the
facts and the identity of the debtor.
…
.
Constructive
knowledge is established if the creditor could reasonably have
acquired knowledge of the identity of the debtor and
the facts on
which the debt arises by exercising reasonable care. The test is what
a reasonable person in his position would have
done, meaning that
there is an expectation to act reasonably and with the diligence of a
reasonable person. A creditor cannot simply
sit back and “by
supine inaction arbitrarily and at will postpone the commencement of
prescription”. What is required
is merely the knowledge of the
minimum facts that are necessary to institute action and not all the
evidence that would ensure
the ability of the creditor to prove its
case comfortably.”
[11]
[34]
The defendant pointed this court to a series of
events which the defendant alleges that they demonstrate that the
plaintiff had
constructive knowledge of the facts more than three
years before issuing of a summons. In summary, the defendant argues
that the
plaintiff became aware of the possibility of a claim against
the defendant when she signed a special power of attorney on 27 May
2013 instructing her current attorneys of record to investigate the
circumstances relating to the medical negligent incident where
the
alleged injuries occurred. However,
the summons instituting
this claim was issued in this Court on 8 November 2018 well after the
prescription period of three years
as provided for in the
Prescription Act.
[35
]
In
Mtokonya
v Minister of Police
[12]
the
Supreme Court of Appeal stated:
“
Furthermore,
to say that the meaning of the phrase “the knowledge of . the
facts from which the debt arises” includes
knowledge that the
conduct of the debtor giving rise to the debt is wrongful and
actionable in law would render our law of prescription
so ineffective
that it may as well be abolished. I say this because prescription
would, for all intents and purposes, not run against
people who have
no legal training at all. That includes not only people who are not
formally educated but also those who are professionals
in non-legal
professions. However, it would also not run against trained lawyers
if the field concerned happens to be a branch
of law with which they
are not familiar. The percentage of people in the South African
population against whom prescription would
not run when they have
claims to pursue in the courts would be unacceptably high. In this
regard, it needs to be emphasised that
the meaning that we are urged
to say is included in
section 12(3)
is not that a creditor must have
a suspicion (even a reasonable suspicion at that) that the conduct of
the debtor giving rise to
the debt is wrongful and actionable but we
are urged to say that a creditor must have knowledge that such
conduct is
wrongful
and actionable in law. If we were asked to say a creditor needs to
have a reasonable suspicion that the conduct is or may
be wrongful
and actionable in law, that would have required something less than
knowledge that it is so and would not exclude too
significant a
percentage of society.”
[13]
[36]
The
Constitutional Court in
Links
v Department of Health, Northern [Cape] Province
[14]
stated
—
“…
It
seems to me that it would be unrealistic for the law to expect a
litigant who has no knowledge of medicine to have knowledge
of what
caused his condition without having first had an opportunity of
consulting a relevant medical professional or specialist
for advice.
That in turn requires that the litigant is in possession of
sufficient facts to cause a reasonable person to suspect
that
something has gone wrong and to seek advice.”
[15]
[37]
The plaintiff in 2013 obtained the hospital records after her
attorneys of record indicated that they need those records to assess
whether she had a case to litigate. She then handed the medical file
to her attorneys of record. The defendant argues that it is
at this
time that the plaintiff
became aware of the
possibility of a claim against the defendant. I unfortunately
disagree with this line of argument. This line
of argument is
inconsistent with the reasoning of the Constitutional Court in
Link
above.
Reasons for decision
[38]
The implications of the
Link
judgment are not that the operation of
section 12(3)
will now be
dependent on a creditor’s subjective evaluation of the presence
or absence of knowledge or minimum facts sufficient
for institution
of a claim. In other words, it is still the position that a creditor
cannot by his or her supine inaction postpone
the commencement of
prescription.
[39]
However,
the running of prescription in certain medical negligence cases may
now involve obtaining medical advice from an expert
on the ‘facts’
from which a claim arises insofar as a plaintiff may not have direct
or constructive knowledge from
other sources.
[16]
.
[40]
It would therefore be unrealistic to expect
the plaintiff, who has no knowledge of medicine, to have knowledge of
what caused his
condition without having first had an opportunity of
consulting a relevant medical professional or specialist for advice.
In other
words, after obtaining the relevant clinical records from
the hospital, it cannot be correct to assume that she was already at
that time in possession of sufficient and material facts he needed to
have before he could institute legal proceedings. Prescription
could,
therefore, not have begun running on 27 May 2013 as suggested by the
defendant.
[41]
It is trite that in certain cases involving
medical negligence matters, a claimant is entitled to first obtain
independent medical
advice in order for prescription to commence
running in circumstances where the claimant is found not to have
acquired knowledge
of the ‘facts’. In the absence of such
independent medical advice, a claimant cannot be deemed to have had
knowledge
of the facts from which a debt arises.
[42]
Against this background and on evaluation
of the above evidence, I conclude that the defendant has failed to
show that the applicant
had knowledge of all the material facts on or
before 27 May 2013. Accordingly, the plaintiff’s claim against
the defendant
did not prescribe, therefore the defendants’ plea
of prescription is dismissed.
[43]
As regards to costs, the general rule is
that the successful party should be given his costs, and this rule
should not be departed
from except where there are good grounds for
doing so, such as misconduct on the part of the successful party or
other exceptional
circumstances. I have no reason why I should
deviate from the general rule and costs should therefore be awarded
against defendant
in favour of the plaintiff.
Order
[44]
Accordingly, I make the following order:
a.
The defendant is liable to compensate the
plaintiff in her personal and representative capacity for 100% of the
plaintiff’s
agreed or proven damages arising from the brain
injury suffered by
S [Z…] [R…]
(the
Minor) at Natalspruit Hospital on 5 September 2012.
b.
The defendant shall pay the plaintiff’s
taxed or agreed party and party costs of suit on the High court scale
in respect of
the determination of the issue relating to liability.
MD BOTSI-THULARE AJ
ACTING JUDGE OF THE
HIGH COURT JOHANNESBURG
APPEARANCES
For the Plaintiff:
Adv D Brown
Instructed by
Jerry Nkeli & Associates Inc.
For the Defendant:
Adv S J Coetzee SC
and Adv T A Mokadikoa
Instructed by
State Attorney
Date of Hearing:
16 October 2023 to 26 October
2023
Date of Judgment:
26 January
2024
[1]
2002 (6) SA 431
(SCA) para 12.
[2]
[2023]
ZAGPJHC 15.
[3]
Id
para 48.
[4]
2002
(6) SA 431 (SCA).
[5]
Id
at para 25.
[6]
2007
(1) SA 111 (SCA), [2006] ZASCA 98.
[7]
Id
at para 98.
[8]
[1998]
EWCA Civ 2000.
[9]
Id
at para 48.
[10]
[2013] ZASCA 28
..
[11]
Id
at para 9.
[12]
[2017]
ZACC 33
.
[13]
Id
at para 63.
[14]
2016
(4) SA 414 (CC).
[15]
Id
at para 47.
[16]
Loni v
Member of the Executive Council, Department of Health, Eastern Cape
Bhisho
2018 (3) SA 335
(CC) para 23.
sino noindex
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