Case Law[2023] ZAGPJHC 579South Africa
ADCORP Fulfilment Services (Pty) Ltd v Prodigy Human Capital Architects (Pty) Ltd (2018/17932) [2023] ZAGPJHC 579 (26 May 2023)
Judgment
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# South Africa: South Gauteng High Court, Johannesburg
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## ADCORP Fulfilment Services (Pty) Ltd v Prodigy Human Capital Architects (Pty) Ltd (2018/17932) [2023] ZAGPJHC 579 (26 May 2023)
ADCORP Fulfilment Services (Pty) Ltd v Prodigy Human Capital Architects (Pty) Ltd (2018/17932) [2023] ZAGPJHC 579 (26 May 2023)
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sino date 26 May 2023
IN THE HIGH COURT OF SOUTH AFRICA
GAUTENG LOCAL DIVISION,
JOHANNESBURG
CASE NO.: 2018/17932
NOT REPORTABLE
NOT OF INTEREST TO OTHER JUDGES
NOT REVISED
In the matter between:
ADCORP FULFILMENT SERVICES (PTY)
LTD
Applicant
And
PRODIGY HUMAN CAPITAL ARCHITECTS
(PTY) LTD
Respondent
In
re:
PRODIGY HUMAN CAPITAL ARCHITECTS
(PTY) LTD
Plaintiff
And
CCI SA (UMHLANGA) (PTY) LTD
First
Defendant
ADCORP FULFILMENT SERVICES (PTY)
LTD
Second
Defendant
WEBHELP SA OUTSOURCING (PTY) LTD
Third
Defendant
Neutral Citation: Prodigy human
capital Architects (pty) ltd vs CCI SA (Umhlanga) (pty), ADCORP
Fulfilment Services, Webhelp SA
Outsourcing (Case No: 2018/17932)
[2023] ZAGP JHC 579 (26 May 2023).
JUDGMENT
Q LEECH AJ
1.
The
applicant applies for condonation for the late filing of a notice of
objection to an amendment sought to be effected by the
respondent.
2.
The uniform rules
of court afforded the applicant ten (10) days in which to deliver the
notice of objection, calculated from the
date on which the notice of
intention to amend was delivered.
[1]
In order to deliver
the notices of intention to amend and objection, the parties were
required to serve copies on all the parties
and file the originals
with the registrar.
[2]
3.
The
notice of intention to amend is dated 8 September 2021 and was filed
on that date. However, the copy of the notice served on
the applicant
was incomplete as pages from one of the annexures were omitted and a
complete notice was served the following morning,
on 9 September
2021. The parties do not state in their affidavits whether
the
notice of intention to amend filed with the registrar was complete or
incomplete
.
4.
The date of filing
is nevertheless immaterial to the dispute
.
The
applicant was entitled to a copy of the notice of intention to amend.
The respondent appears to have accepted that the missing
pages were
material and accordingly that the incomplete document served on the
applicant was not a copy of the notice of intention
to amend.
[3]
The respondent did
not ask the applicant to incorporate the missing pages into the
incomplete copy and instead corrected the non-compliance
by serving a
complete copy. The delivery of the notice of intention to amend
accordingly occurred, at the earliest, on the date
on which the
complete copy was served, 9 September 2021, and for the purposes of
this application the ten day period in which to
file a notice of
objection can be calculated from that date. Counsel for the applicant
accepted during the hearing that the period
can be calculated from 9
September 2021, despite the uncertainty concerning the filing of the
complete notice of intention to amend
.
5.
In
the founding affidavit, the applicant describes the complete copy of
the notice of intention to amend as a “fresh notice
of
intention to amend”, defines that notice as “the Notice
to Amend” and calculates the period permitted for
the delivery
of an objection from
9 September 2021
. In
the answering affidavit, the respondent does not deny the facts set
out by the applicant or take issue with the description
and similarly
calculates the period from 9 September 2021. Although issue could be
taken with the applicant’s description,
there can be no
complaint about commencing the calculation on 9 September 2021.
6.
The ten day period
in which to deliver
the
notice of objection accordingly expired on 23 September 2021. The
period in which to deliver the notice of objection was confirmed
in
correspondence between the attorneys. On 22 September 2021, the
applicant wrote to the respondent to request an extension of
time.
The respondent refused the request on the morning of 23 September
2021, and required the applicant to, “file your client’s
notice
today
,
failing which we will serve our client’s amended particulars of
claim” (emphasis added). The parties were accordingly
in
agreement at that the time that the period expired on 23 September
2021. Although the joint practice note contains a suggestion
by the
respondent that the period expired on 22 September 2021,
[4]
and implicitly that
the period commenced on 8 September 2021, the contention is
unsustainable on the papers and was correctly abandoned
during the
hearing by counsel for the respondent.
7.
The
applicant proceeded to serve the notice of objection at 17:26 and
filed the notice at 17:27 on 23 September 2021. The applicant
served
the notice by electronic mail and filed the notice by uploading it to
the electronic file. The respondent does not dispute
that the
applicant was entitled to serve and file in this manner
.
The
applicant states in the founding affidavit that the notice of
objection was “served and filed on the day on which it fell
due”.
8.
However,
the respondent’s attorneys expressed the view in a telephone
call (recorded in correspondence from the applicant’s
attorneys, which is not in dispute) that the notice of objection was
served after business hours and therefore out of time. In
the
correspondence that followed the respondent stated that the applicant
“had been advised by the writer that should the
contemplated
notice not be served by the close of business on the due date, our
client would file its amended pages.” This
is not expressly
stated in the correspondence refusing the request for an extension of
time. The respondent thereafter adopted
the position that the notice
of objection was “due before the close of business on …
23 September 2021” and,
as the business day ended at 17:00, the
notice was late.
9.
The
applicant’s attorneys initially, tentatively responded that “we
do not necessarily agree with your view” and
subsequently
stated that the applicant would apply for condonation “insofar
as this may be necessary”. However, in
the founding affidavit
the applicant abandoned the possibility that the notice was not late
and stated
that “due to the fact that
the Notice of Objection was only served at 5:26 PM and filed on
CaseLines at 5:27 PM on the due
date, it was technically marginally
late”.
10.
The
attorneys did not motivate their views in the correspondence
mentioned above and the parties did not do so in their papers.
The
parties seemingly without appreciable consideration arrived at the
conclusion that 17:00 on the last day was the cutoff time
for
delivery of the notice of objection. The papers do not clearly
indicate whether service or filing or both is in dispute.
11.
Although
reference is made to both service and filing in the founding
affidavit, the notice of motion only sought condonation for
late
filing, and not for late service or delivery. The applicant’s
heads of argument, however, contain the following statement,
“[t]he
marginal lateness of the service of the Notice of Objection on the
day on which it fell due for service in terms of
the Rules of Court …
prompted the launching of the present application.” It is
unclear whether the applicant failed
to consistently distinguish
between the concepts of service, filing and delivery or intentionally
adopted the position in the notice
of motion that the notice was
served in time but filed late.
12.
The
answering affidavit addresses the relief sought by the applicant and
accordingly focuses only on the late filing of the notice
of
objection. The respondent repeatedly refers to the late filing of the
notice of objection. Despite the strident
contention
by the respondent’s attorneys in the
correspondence mentioned above that service was late, there is no
mention in the answering
affidavit or the respondent
’
s
heads of argument of the allegation that the notice of objection was
served late. It is not clear, however, whether the respondent
abandoned this contention.
13.
I
asked both counsel whether the notice of objection was delivered late
and, if so, whether service or filing or both were late.
Counsel for
the applicant accepted that the notice was served within the ten day
period afforded to the applicant and that the
matter concerned the
filling component of the requirement to deliver the notice. Counsel
appreciated that the notice may have been
filed within the stipulated
period for the reasons mentioned below. The application for
condonation was, according to counsel,
instituted from an abundance
of caution. Although this view is incongruous with the heads of
argument, in the joint practice note
counsel defined the first issue
requiring determination as “[w]hether or not the applicant has
satisfied the requirements
for an order condoning the late filing of
the Notice of Objection”.
[5]
14.
The respondent
persisted in the contention that the notice of objection was not
delivered within the ten day period afforded to
the applicant and
counsel for the respondent initially maintained that both service and
filing were late. The argument, however,
devolved into a submission
that the notice was filed late in terms of the directive that
introduced the CaseLines system in this
division and in effect at the
time.
[6]
Although I
understood counsel to concede during the course of argument that the
notice was served within the stipulated period,
in order to avoid
this dispute surviving in another form, I address the contention that
the notice had to be served before 17:00.
15.
In
argument, counsel for the respondent emphasised the word “today”
in the correspondence referred to above,[fn] and
submitted that meant
the notice of objection had to be delivered during the day, “not
this evening”, and the day ended
on the close of business. This
submission ignores the fact that the respondent was not entitled to
unilaterally abridge the period
afforded to the applicant by the
uniform rules of court and the issue is whether the period afforded
to the applicant by rule 28(2)
is restricted as alleged by the
respondent. If not, any unilateral attempt by the respondent’s
attorneys to do so is irrelevant.
I nevertheless address this
submission.
16.
The correspondence
must be interpreted in accordance with the well settled
principles.
[7]
“
[T]he
objective approach should ordinarily be adopted, ie the letters have
to be construed as documents in the ordinary way. It
is therefore
irrelevant what [the author] subjectively intended or meant in
writing … the true inquiry is how a reasonable
[person] in the
recipient's position would have read and understood them.”
[8]
17.
The dictionary
meaning of “today”, as used by the respondent in the
correspondence referred to above, is “[o]n
or in the course of
this present day”.
[9]
As a unit of time,
a “day” is “the period of twenty-four hours …,
esp. from midnight to midnight”.
[10]
The word day may
have other meanings, for example,
“
(The
time of) sunlight
”
or
“[t]he time which the sun is above the horizon; the interval of
light between two nights; the interval between the usual
times of
getting up in the morning and going to be at night” or “[t]he
period of time in each day … during which
work is customarily
done; a working-day.”
[11]
The
“
evening
”
is “[t]he
close of day;
esp.
the
time from about 6p.m. or sunset if earlier”.
[12]
None of the
meanings other than possibly the meaning of “working-day”
lead to the conclusion that the day ended at 17:00.
18.
Although the word,
“today”, is capable of diverse meanings and divorced from
context and purpose may be ambiguous,
[13]
objectively
considered
in
the context in which it appears and with regard to the purpose with
which it was written, the meaning is clear
.
In
the context of
correspondence between attorneys concerning an act to be performed in
terms of the uniform rules of court, and written
with the purpose of
refusing an extension of the period permitted for that act, the
ordinary meaning - the plain, natural and literal
interpretation
[14]
- is the period of
time contemplated in the rules. The hours of sunlight are not usually
relevant to attorneys and I would venture
to suggest that there is no
custom that governs their working hours. The performance of an act
outside of those hours is ordinarily
inconsequential and the
advantage to be gained or prejudiced negated or ameliorated by
insisting on performance within working
hours in any matter other
than the most urgent
is
insignificant
.
In my view, a reasonable person can expect an attorney who is writing
in this context and intends any period other than that provided
by
the rules to describe that period with appropriate language.
19.
The
correspondence
on which counsel relies was
preceded by a request for an extension of time that was introduced
with the words “[w]e refer
to your client’s notice of
intention to amend … As you are aware, tomorrow is our last
day
to
object … we would be most obliged if you would grant us an
extension … in which to do so” (emphasis added).
The
applicant’s attorneys were referring to the last day of the ten
day period afforded to the applicant by rule 28(2). The
respondent’s
attorneys replied the following morning. The purpose of the reply was
to inform the applicant that the respondent
was not prepared to grant
an extension of the period afforded to the applicant in terms of rule
28(2) and that the applicant should
comply with the rule. The
respondent was not granting the applicant an extension of time but
merely insisting on delivery of the
notice of objection on the last
permissible day in accordance with rule 28(2)
.
20.
As
stated above, the respondent was not entitled to unilaterally abridge
the period afforded to the applicant by the uniform rules
of court
and, in my view, did not purport to do so. The correspondence does
not contain any express indication that the respondent
intended to
restrict the day to the period prior to the close of business or
17:00, and t
he applicant
’
s
attorneys did not understand the correspondence to contain such a
restriction, as evidence by their conduct and their contemporaneous
response to the contention that the notice was late
.
Although
the respondent
’
s attorneys were under
the impression that the aforesaid period ended at 17:00 on the last
day, their correspondence did not communicate
that to the reasonable
recipient.
21.
In
my view, the respondent’s attorneys intended to permit the
applicant the whole of the period afforded by rule 28(2) and
the
issue to be determined is whether the period provided for the
delivery of a notice of objection is restricted as contended
by the
respondent
.
As stated above, t
h
is
is not a matter of interpretation of the correspondence and is a
matter of interpretation of the rule.
22.
The uniform rules
of court are subordinate legislation
[15]
and the well
settled principles of statutory interpretation must be applied to
determine the meaning.
[16]
23.
Although statutory
provisions which limit certain activities and particularly
inspections to business hours are common, I am unaware
and unable to
find any legislation which restricts a day to business hours and, if
such a definition exists, I expect it would
be the exception rather
than the rule. T
he
Criminal Procedure Act
distinguishes
between “day” and “night”.
[17]
A day is restricted
to
“
the
space of time between sunrise and sunset
”
,
and night is the converse. The times of sunrise and sunset are
determined by reference to tables prepared by official observatories
and approved by the Minister of Justice. In contrast there are
numerous definitions which define a day without restriction.
[18]
The definitions of
a court day, calendar day, clear day, business day and working day,
which I have been able to find, do not restrict
the hours of the day
to business hours,
[19]
and a day measured
in hours is not less than 24 hours.
[20]
Although none of
these statutory provisions are dealing with the same subject matter
or
in
pari materia,
[21]
it is significant
that the absence of any restriction is the norm rather than the
exception.
24.
The Interpretation
Act 33 of 1957 applies to the uniform rules of court.
[22]
The rules are made
in accordance with the Rules Board for Courts of Law Act 107 of
1985.
[23]
The Rules Board for
Courts of Law established pursuant thereto has the power to make,
amend or repeal the rules for
inter
alia
the
High Court of South Africa. Those rules are subject to the approval
of the Minister of Justice and required to be published
in the
Gazette.
[24]
The rules are
delegated legislation with statutory force
[25]
and, as stated
above, constitute subordinate legislation. The rules are part of our
procedural or adjectival law.
[26]
Section 1 of the
Interpretation Act provides that the act applies to the
interpretation of every law …” and, to the
extent that
there may be any doubt,
“
the
interpretation of all … rules … made under the
authority of any such law …
”
.
The Interpretation
Act provides for the computation of a period prescribed in number of
days,
[27]
which differs from
both the ordinary and extraordinary civil methods in that the first
day is excluded and the last day is included,
unless on a Sunday or
public holiday. However, the act does not provide a definition of
“day”.
25.
The
Constitutional Court
Rules
and
Uniform Rules of Curt provide a computation of any period expressed
in days which adjusts the method prescribed in the Interpretation
Act
to exclude all public holidays, Saturdays
and
Sundays, and provides a definition of “court day”. The
definition does not restrict the court day to any particular
hours.
The
Superior Courts Act 10 of 2013
defines
“
business
day
”
as a day that is not a public
holiday, Saturday or Sunday and the Supreme Court of Appeal Rules
utilise that definition as the meaning
of
“
court
day
”.
The business day is similarly
not restricted in those sources.
26.
As a general rule,
in the absence of any contrary indication, a period of time must be
computed according to the ordinary civil
method in terms of which
“fractions of a day are not admitted” and “no
account is taken of broken units”,
“a whole day [is] one
point of time
”
.
[28]
As pointed out by
Cloete J, as he then was, in the minority judgment in
Dormell
Properties 282 CC v Renasa Insurance Co Ltd and Others NNO,
[29]
the old authorities
generally permitted “the whole of the day” and the last
day of any stipulated period “must
have ended” before the
period expired. The day ended on the “close of the day”,
not on the close of business.
Our courts adopted
[30]
and continue to
apply
[31]
this aspect of the
civil method, and in the pursuit of certainty do not readily depart
from the civil method of computing time.
[32]
Accordingly, a day
ordinarily begins and ends in the immeasurable moment on either side
of midnight.
27.
This aspect of the
civil method of calculating time is applied to the periods stipulated
in
inter
alia
the
uniform rules of court
[33]
and in instances
where the whole of the day was not intended, the uniform rules of
court specified the fraction of the day which
did apply by
stipulating the time of day by or during which the contemplated
action must be performed. For example, rule 32 (prior
to amendment in
2019) required a defendant to file the affidavit opposing summary
judgment prior to noon on the court day preceding
the day on which
the application is to be heard; a similar requirement is found in
rule 6(4)(a); noon is also set as the cutoff
in rules 6(5)(c) and
8(4) and (5); and the inspection of documents provided for in rules
35(6) and 70(3B)(a)(i) may only take place
during business hours. The
uniform rules of court do not expressly do so in rule 28(2) and the
absence of any restriction in rule
28(2) is an indication that none
was intended.
28.
Accordingly, the ten (10) day period afforded to
the applicant by rule 28(2) in which to deliver the notice of
objection expired
at midnight on the last day, 23 September 2021, and
the applicant served and uploaded the notice within that period.
29.
In addition, I
cannot find any indication in the uniform rules that the cutoff for
service of a notice of objection in terms of
rule 28(2) is 17:00. The
rules governing service of all subsequent documents and notices (post
the summons and notice of intention
to defendant
)
indicate
the contrary. An
indication that ordinary business periods are not intended can be
found in rule 4 of the uniform rules of court.
In terms of rule
4(1)(c), service of
inter
alia
any
notice, proceeding or act required in any civil action - the latter
being any step taken in an action already commenced by the
issue of
summons
[34]
- may not take
place on a Sunday, unless otherwise directed by the court or a
judge.
[35]
In other words,
service may be effected on public holidays and Saturdays, which are
not typically considered to be business days
and accordingly outside
of business hours.
30.
The clearest
indication that the period for service does not terminate on the
close of business can be found in rule 4(1)(b) of
the uniform rules
of court which restricts service to,
“
as
near as possible between the hours of 7:00 and 19:00
”
.
If the service of documents to which the rule applies is permitted
during and in proximity to those times, the rules could not
have been
intended to restrict service of a notice of objection under
rule
28(2)
to
business hours or prior to 17:00
.
If service
of process and documents initiating application proceedings may be
effected as near as possible to 19:00 on a duly authorised
agent
under rule 4(1)(a)(vi)
or
the attorney
of record representing a person under rule 4(1)(aA), the rules could
not have been intended to require service of a
notice under rule
28(2) at an attorney’s physical address prior to 17:00. An
attorney’s physical address is an address
at which an attorney
is normally present and usually is the office of the instructing
attorney or their
correspondent
.
[36]
The application of
such a restriction, for example, to circumstances in which the
responsible attorney or staff is present and performing
or carrying
out the work of an attorney after 17:00, which is not unusual, would
not be sensible.
A
prohibition on service at a business address in circumstances when
the business did not close at 17:00 would similarly lack sense,
as
would an insistence on service at a residential address during
business hours. There is even less reason to require service
at a
postal address, facsimile address or electronic mail address prior to
17:00.
31.
The
address specified for service indirectly determines when the parties
will become involved in the service of subsequent documents
and
notices. The parties are free to select any address which is
convenient to them and accordingly where, and when they may be
disturbed by the service of documents and notices. Although there may
be reason to restrict service of subsequent documents and
notices at
a residential address to reasonable times, particularly where a party
has no other option, there is no reason why service
should be
strictly prior to 17:00. The service contemplated in rule 4(1)(a),
other than in a couple of instances, requires personal
service. If
personal service of process of court directed to the sheriff or
documents initiating application proceedings is permitted
at a
residential address as near as possible to 19:00, there can be no
reason to require service of subsequent documents and notices
at a
residential address prior to 17:00.
32.
In particular,
there is no reason to do so when the parties opt in to service by
registered post, facsimile and electronic mail
because in such
instances, the parties retrieve the documents and notices at their
convenience. The introduction of electronic
mail as a manner of
service,
[37]
provided a
convenient means to send and receive documents and notices. The
applicable rules
[38]
require the parties
to opt in to service by electronic mail and do so in the context of
the rules which inform them of the manner,
means and timing of such
service. The uniform rules of court effectively provide that service
by electronic mail will take effect
the moment the notice is sent
[39]
and received
[40]
at the specified
address.
[41]
The receipt of the
electronic mail is worth emphasising as that moment will be the
relevant time of service if the time when the
electronic mail is sent
is different to the time when it is received. The recipient does not
have to acknowledge receipt or read
the electronic mail. The
electronic mail is received the moment the data is capable of being
retrieved and processed by the addressee.
In that context, the rules
providing for service by electronic mail
[42]
do not apply the
restriction contended for by the respondent.
33.
Accordingly, the applicant did not contravene the
uniform rules of court by effecting service of the notice of
objection on the
respondent by electronic mail at 17:26.
34.
The directive that
introduced the CaseLines system did not alter this position and, to
the contrary, the directive in effect at
the time specifically
required practitioners to adhere to the rules relating to service of
notices.
[43]
The directive did,
however, impact on the filing of notices required to be delivered in
terms of the uniform rules of court. The
uniform rules of court
provide that the original of a notice of objection must be filed with
the registrar and such filing “shall
not be done by way of …
electronic mail.”
[44]
The office of the
registrar is open for that purpose from 9:00 to 13:00 and 14:00 to
15:00. The registrar may nevertheless “in
exceptional
circumstances … accept documents at any time, and shall do so
when directed by a judge.”
[45]
The directive
provided (with emphasis added) that,
34.1.
“…
all
pleadings and documents must be uploaded in all matters to the
CaseLines digital platform, save for Full Bench and Full Court
Appeals in which the electronic transcript or record is not
available.”
[46]
34.2.
“
[e[
lectronic
uploading
of properly served
pleadings/ notices/ legal process
shall
be regarded as compliant filing
as
contemplated in the Rules of Court. Such
filing
by uploading
of
served pleadings
/
documents
(sic)
/
process
must
strictly comply with the Rules of Court as to
time
limit and
time
of day
on
that Court day. NO filing of hardcopy pleadings and other documents
shall be allowed.”
[47]
34.3.
“
As regards
filing of notices or process, Uniform Rule 3 stipulates that filing
may take place between 09:00 to 13:00 and 14:00 to
15:00 on Court
days, apart from in exceptional circumstances or when so directed by
a Judge. Practitioners are therefore
required
to file notices
and
process by uploading to CaseLines
only
on court days and
only
between
the hours of 09:00 and 15:00
.”
[48]
34.4.
“
Thus,
the
uploading of notices
or
process to CaseLines
will
be regarded as compliant with the Rules of Court
as
the effective date of proper filing of the document, but not the
service of same.”
[49]
34.5.
“
Originals
of documents for filing shall be uploaded
to
the electronic case file on CaseLines
in
satisfaction of the provisions of Rule 4A(5)
.”
[50]
35.
The directive
further required the parties to invite the “the relevant
Registrar's Office profile” to the electronic
file and required
the registrars and r
egistrar
’
s
clerks to
diligently manage the files
.
In this
manner, the requirement to file the original
[51]
with the registrar
is satisfied and the prohibition against filing by electronic mail is
avoided.
[52]
36.
There are a number
of paragraphs that restrict the interaction between the parties and
the registrar to the hours during which the
offices of the registrar
are required to be open in terms of rule 3. And, in regard to the
invitations mentioned above, the directive
provides a consequence for
the contravention of the prescribed time. The registrar is directed
to remove the registrar’s
office profile from the electronic
file if the
invitations
are
done outside the prescribed hours in order to “enforce
compliance with Rule 3 of the Uniform Rules of Court.”
[53]
The directive did
not grant a licence to file documents at any time of day.
37.
The
Caselines system provided a means for Judge’s secretaries to
block access to specific files (“‘freeze’
the court
bundle”) in order to “prohibit the late filing of
pleadings, notices and any legal process”. The system
did not,
however, automatically bar access to the files other than during the
registrar’s office hours and, in the absence
of a “bundle
freeze”, parties were able to file documents outside of those
times and, as in this matter, did so.
38.
The filing of
documents outside the times stipulated in rule 3 is not a
novel
issue
.
A document
could be physically filed, before the directive came into effect,
prior to 15:00 but the office of the registrar remained
open until
16:00 and, as stated above, the registrar could in exceptional
circumstances accept documents at any time and was required
to do so
when directed by a judge. If the registrar exercised the discretion
to accept documents outside the stipulated times in
circumstances
considered to be exceptional, the filing was or would be treated as
valid, unless the decision of the registrar was
challenged.
[54]
39.
Although the
directive insisted on the uploading of documents during the hours
stipulated in rule 3, the directive did not expressly
indicate
whether the uploading of documents outside of the registrar’s
office hours would be regarded as compliant filing
and, if not, when
the uploaded document would be considered to be filed. The
circumstances that ushered in the directive were exceptional
and the
directive is a direction by a judge. The system seems to have
unintentionally opened the registrar’s office for the
filing of
documents with the registrar outside of the hours contemplated in
rule 3. The Office of the Judge President appears to
have accepted
that such was the unfortunate effect of the directive as the
subsequent directive
[55]
provided that
“[d]ocuments … filed outside of court hours are deemed
to have been filed on the following court day.”
The language
suggests that filing outside of the hours contemplated in rule 3 in
the absence of that deemed position was regarded
as compliant filing.
If such filing was not considered to be compliant, there would be no
need for the deeming provision. In other
words, although the uploaded
document was filed, it would be deemed not to be filed until the
following day.
40.
In the premises,
the notice of objection may not have been filed late. I am, however,
reluctant to make a finding on this issue
without properly prepared
argument. The correct interpretation of the directive is a legal
issue and, although both counsel addressed
the issue as best they
could in argument, I am not convinced that the parties will not be
prejudiced. The parties are free to identify
and define the dispute
for the court to determine,
[56]
and in this
instance agreed on the papers that the notice was filed late and
condonation is required. The parties may have good
reasons for having
done so. The real issue between the parties is whether the notice of
objection or amended pages should be allowed
to stand. An application
in terms of rule 27 provides a procedure to deal with both the notice
of objection and the amended pages.
Accordingly, I assume that the
filing was late and condonation was required.
Condonation
41.
The court may grant
condonation “upon application on notice and on good cause
shown”.
[57]
The applicant for
condonation seeks an indulgence and court has a discretion whether to
grant condonation.
[58]
The court will
grant condonation when it is in the interests of justice to do
so.
[59]
“
[T]he basic
principle is that the Court has a discretion, to be exercised
judicially upon a consideration of all the facts, and
in essence it
is a matter of fairness to both sides” and “[a]ny attempt
to formulate a rule of thumb would only serve
to harden the arteries
of what should be a flexible discretion. What is needed is an
objective conspectus of all the facts.”
[60]
In other words,
“[w]hether it is in the interests of justice to grant
condonation depends on the facts and circumstances of
each case.”
[61]
42.
However, the
factors which weigh with the Court have been consistently applied and
frequently restated.
[62]
I
n
Uitenhage
Transitional Local Council v South African Revenue Service
[63]
the Supreme Court
of Appeal held that,
“
[C]ondonation
is not to be had merely for the asking; a full, detailed and accurate
account of the causes of the delay and their
effects must be
furnished so as to enable the Court to understand clearly the reasons
and to assess the responsibility. It must
be obvious that if the
non-compliance is time-related then the date, duration and extent of
any obstacle on which reliance is placed
must be spelled out.”
43.
In
Grootboom
v National Prosecuting Authority,
[64]
the Constitutional
Court held, concisely, that “the explanation must be reasonable
enough to excuse the default.” In
Van
Wyk v Unitas Hospital and Another (Open Democratic Advice Centre as
Amicus Curiae),
[65]
the Constitutional
Court held
that
the explanation must be ”a full explanation for the delay”
and ”cover the entire period of delay. And, what
is more, the
explanation given must be reasonable.”
44.
In
Mulaudzi
v Old Mutual Life Assurance Co (South Africa) Ltd and Others,
[66]
the Supreme Court
of Appeal held that, “[w]hat calls for an explanation is not
only the delay in the timeous prosecution of
the appeal, but also the
delay in seeking condonation. An appellant should, whenever he
realises that he has not complied with
a rule of this court, apply
for condonation without delay.”
45.
In
Dengetenge
Holdings (Pty) Ltd v Southern Sphere Mining and Development Company
Limited and others
,
[67]
the Supreme Court
of Appeal held that,
“
Factors
which usually weigh with this Court in considering an application for
condonation include the degree of noncompliance,
the explanation
therefor, the importance of the case, a respondent's interest in the
finality of the judgment of the court below,
the convenience of this
Court and the avoidance of unnecessary delay in the administration of
justice”.
[68]
46.
In
Melane
v Santam Insurance Co Ltd,
[69]
the
Appellate
Division
included
the prospects of success. (See too
General
Accident Insurance Co South Africa Ltd v Zampelli
1988
(4) SA 407
(C)
,
411C-E;
Saloojee
supra,
141H;
and
Valor
IT v Premier, North West Province and Others
2021
(1) SA 42
(SCA)
,
para. 38).
47.
In
Du
Plooy v Anwes Motors (Edms) Bpk
,
[70]
the court added
that the graver the consequences which have already resulted from the
omission, the more difficult it will be to
obtain the indulgence.
And, “[t]he list is not exhaustive.”
[71]
48.
In
Grootboom
v National Prosecuting Authority and Another,
[72]
the Constitutional
Court stated the factors as,
“
[T]he nature
of the relief sought; the extent and cause of the delay; the effect
of the delay on the administration of justice and
other litigants;
the reasonableness of the explanation for the delay; the importance
of the issue to be raised in the intended
appeal; and the prospects
of success. It is crucial to reiterate that both
Brummer
and
Van
Wyk
emphasise
that the ultimate determination of what is in the interests of
justice must reflect due regard to all the relevant factors
but it is
not necessarily limited to those mentioned above.”
49.
In
United
Plant Hire (Pty) Ltd v Hills and Others,
[73]
the
Appellate
Division
held
that, “[t]hese factors … must be weighed one against the
other” and in
Gumede
v Road Accident Fund
[74]
the court explained
that, “the
one is weighted against the other so that the strength of one or more
may compensate for the weakness of one or
more of the others.”
In
Melane
v Santam Insurance Co Ltd,
[75]
the
Appellate
Division
explained
that,
“
Ordinarily
these facts are interrelated: they are not individually decisive, for
that would be a piecemeal approach incompatible
with a true
discretion, save of course that if there are no prospects of success
there would be no point in granting condonation.
… Thus a
slight delay and a good explanation may help to compensate for
prospects of success which are not strong. Or the
importance of the
issue and strong prospects of success may tend to compensate for a
long delay. And the respondent's interest
in finality must not be
overlooked.”
50.
And in
Valor
IT v Premier, North West Province and Others,
[76]
the Supreme Court
of Appeal held that,
“
[T]he grant
or refusal of condonation is not a mechanical process but one that
involves the balancing of often competing factors.
So, for instance,
very weak prospects of success may not offset a full, complete and
satisfactory explanation for a delay; while
strong prospects of
success may excuse an inadequate explanation for the delay (to a
point).”
51.
In
Grootboom
supra,
[77]
the Constitutional
Court held that,
“
[t]he
particular circumstances of each case will determine which of these
factors are relevant” and in
Federated
Employers Fire & General Insurance Co Ltd and Another v
McKenzie,
[78]
the
Appellate
Division
held
that, “[t]he cogency of any such factor will vary according to
the circumstances, including the particular Rule infringed.”
52.
A
useful summary is found i
n
S v Yusuf,
[79]
in which the court,
referring to the then Appellate Division Rule corresponding to Rule
27, held that,
“
[T]he Court
has a discretion, to be exercised judicially, on a consideration of
the facts of each case, and in essence it is a matter
of fairness to
both sides. It is unnecessary to define the basic principle further,
for that would tend towards a rule of thumb,
which would be the
negation of a flexible discretion. … The most that the Court
can do in this direction is to indicate
certain factors usually
relevant; but the weight to be given to any factor depends on the
particular circumstances of each case.
Thus the Court has had regard
to factors such as the efforts made towards compliance with the
Rules, the degree of non-compliance
(in this case the length of the
delay), the explanation therefor, the prospects of success, and the
importance of the case. Such
factors are not individually decisive,
but must be weighed one against another, for example a short delay
and good prospects of
success might compensate for a weak
explanation. In each case the question is whether sufficient cause
has been shown for the relief
sought.”
53.
The
non-compliance does not concern the period afforded to the applicant
by rule 28(2), the late service of the notice of objection
or the
de
facto
filing of the notice on the
electronic file. Although the received the notice and the notice was
placed on the electronic file within
the period provided for in rule
28(2), the respondent complains that the applicant filed the notice
after 17:00. The respondent
was under the impression that the notice
must be filed by that time. The degree of non-compliance measured
against that expectation
is approximately half an hour.
54.
The respondent did
not complain that the applicant had contravened the directive in
effect at the time.
[80]
Counsel for the
respondent resorted to the directive in order to substantiate the
contention that the notice was filed late. The
directive required the
notice to be filed by 15:00, not 17:00. The nature of the
non-compliance is a failure to comply with rule
3 as required by the
directive. The respondent does not and cannot complain that the
notice was not placed on the court file. The
respondent complains
only that the applicant placed the notice on the court file outside
of the hours specified for that purpose.
The degree of non-compliance
is nevertheless only approximately two and a half hours, and the
respondent was not concerned about
the first two hours. The nature
and degree of the non-compliance is slight by any measure and could
be described as, “quibbling
about trivial deviations”.
[81]
55.
The
explanation is set out in the founding affidavit. The applicant
explains that the attorneys responsible for the matter received
the
draft notice of objection from counsel at 15:05. The attorneys were
out of the office, as their work premises were being sanitised,
and
committed to a virtual meeting at that time. The meeting ended at
16:00 and the deponent to the founding affidavit proceeded
to
finalise the notice but was unable to connect to the office server
from outside the office. The deponent travelled home and
immediately
proceeded to finalise and deliver the notice. None of these facts are
disputed by the respondent.
56.
Counsel for the
respondent submits in the heads of argument that the court should not
be satisfied with the explanation because
the applicant’s
attorneys only briefed counsel on 22 September 2022 and, on the basis
of
Saloojee
and Another, NNO v Minister of Community Development,
[82]
the applicant
should not be permitted to escape this lack of diligence.
[83]
Counsel in effect
contends that the events on 23 September 2022 would not have caused
the delay if counsel was briefed earlier.
The difficulty with this
submission is that the fact on which counsel relies is not found in
the papers. In the founding affidavit,
the applicant states that
“[c]ounsel on brief in the main action was immediately briefed
to consider the Notice to Amend
and, in particular, to advise whether
he considered that an objection was warranted.” And, “counsel
had, in the period
9 September 2021 to 22 September 2021, reviewed
the papers filed in the main action, considered the Notice to Amend
in conjunction
with the unamended pleadings and formed the view that
the Notice to Amend was objectionable but had not, in light of
immense work
pressure in that period, found the time to draft a
notice of objection.” The respondent can be expected to have no
knowledge
of these facts and the denial in the answering affidavit is
bare. The submission by counsel for the respondent is wholly
unsubstantiated.
57.
The
submission also runs contrary to the contention in the answering
affidavit. In the answering affidavit the respondent takes
aim at
counsel and contends that,
“
[I]t is
inconceivable that counsel … was not able to draft a simple
notice of objection in the period allegedly afforded
to him. …
Had counsel’s work demands prevented him from carrying out his
instructions, alternative counsel should
have been briefed to do so.”
And,
“
the
non-availability of counsel … is not a basis for condonation
to be granted.”
58.
Although the
unavailability of counsel is not an excuse
[84]
and not ordinarily
a good reason for condonation,
[85]
in
Social
Justice Coalition and Others v Minister of Police and Others,
[86]
the minority
(Kollapen J) stated that,
“
It has been
pointed out by the state respondents that part of the delay was
occasioned by the unavailability of counsel as well
as the Judges who
made the merits order. While those are factors that would require
consideration, I am not satisfied that they
stand as justification
for the delay … The diary of counsel or the unavailability of
Judges (even for good reason) cannot
justify an inordinate delay, in
particular, where a matter requires a level of urgency to be brought
to it. Also, New Clicks CC
reminds us that the delay need not be
deliberate.”
59.
The majority did
not comment on condonation. However, In
Premier,
Limpopo Province v Speaker of the Limpopo Provincial Government and
Others,
[87]
condonation was
granted in circumstances where,
“
The
affidavit on behalf of the provincial legislature was late by some
six days. The explanation for the delay is the late briefing
of
counsel and the unavailability of counsel. The period of delay has
not been fully explained and the explanation that has been
tendered
is not entirely satisfactory. However, the period of delay is minimal
and the questions presented in these proceedings
are of considerable
importance to the provincial legislature.”
60.
The
reasons for granting condonation were,
“
The
affidavits filed on behalf of Parliament and the provincial
legislature were late. Condonation is sought in each case. We
consider
that it is in the interests of justice to grant condonation
in respect of each application. In reaching this conclusion we have
had regard to: the absence of prejudice to, and opposition by, other
parties; and the minimal period of delay involved in each
case, as
well as the explanations therefor. More importantly, the questions
presented in this case are of considerable importance
to Parliament
and the provincial legislature and it is undesirable to consider
these questions without their participation.”
61.
The
authorities mentioned above indicate that the availability of counsel
is a factor to be considered in exercising the discretion
to either
grant or refuse condonation. As stated above, the cogency of any
factor will vary according to the circumstances and
the grant or
refusal of condonation is not a mechanical process but one that
involves the balancing of competing factors.
62.
The
respondent’s contention ignores the facts already mentioned,
and that counsel informed the applicant’s attorneys
on 22
September 2021 that, “he might, in light of his continuing work
pressure, have some difficulty preparing the objection
timeously”.
Counsel advised that the attorneys should request a short extension.
The applicant’s attorneys did so but
the request was refused.
Counsel accordingly proceeded to prepare the notice of objection. The
draft notice was provided to the
applicant’s attorneys at
15:05, well before the time anticipated by the respondent’s
attorneys. The applicant’s
attorneys probably would have
successfully served and filed the notice before 17:00, if they had
not experienced the difficulties
mentioned above.
63.
In the course of
events set out by the applicant, the point at which the respondent
suggests that the applicant should have insisted
on other counsel
being brief is unclear. Counsel was working on the matter and due to
work pressure experienced difficulty in completing
the task in
sufficient time for the applicant’s attorneys to comply with
the time periods stipulated in rule 3. Other than
possibly arriving
at that realisation sooner, counsel cannot be criticised. The conduct
certainly does not reach the limits of
laxity and neglect mentioned
in
Saloojee
and Another, NNO v Minister of Community Development.
[88]
In the result, the
notice of objection was served and uploaded within the period
afforded by rule 28(2). The time periods stipulated
in rule 3 were
missed because counsel provided the draft notice marginally outside
the stipulated period for the filing of notices.
However, the degree
of non-compliance was slight and would have been less but for the
difficulties mentioned above.
64.
The
respondent does not complain about any delay in instituting the
application for condonation. The application was instituted
approximately three weeks after the notice of objection was uploaded
to the electronic file and during the first week of that period
the
parties exchanged correspondence in an attempt to avoid the
condonation application. In any event, the parties do not appear
to
be overly concerned about delays. I need only point to the fact that
this application was instituted in October 2021 and the
papers
finalised on November 2021 but only set down on January 2023.
65.
The
hours prescribed in rule 3 have as their purpose the proper
functioning of the registrar’s office which is part of the
system of administering justice. The respondent does not allege that
the uploading of the notice of objection to an electronic
file
outside of the hours prescribed in rule 3 impacted on the proper
functioning of the registrar’s office in a manner that
affects
the administration of justice, or inconvenienced the court.
66.
Although
the respondent alleges that it sustained prejudice, the respondent
fails to provide any particularity as to the nature
and extent of
that prejudice. The bald allegation that the prejudice sustained by
the respondent far exceeds that sustained by
the applicant is
repeated in the heads of argument. Counsel could not, however, point
to any prejudice on the papers or any possible
prejudice that could
be caused by the uploading of the notice of objection to the
electronic court outside of the hours prescribed
by rule 3. As stated
above, the respondent was under the impression that the notice must
be filed by 17:00 and that the applicant
had been informed of that
requirement. The respondent also waited until 17:05 before taking any
further action. The reasonable
inference is that the respondent would
have accepted the notice without complaint if the applicant had
served and filed the notice
by 17:00. I am unsurprised at the
inability of the respondent to indicate any prejudice that arose in
the twenty seven (27) minutes
between 17:00 and 17:27.
67.
The grounds on
which the applicant intends to object to the notice of amendment are
set out in the notice of objection. The first
of those grounds is
founded on the alleged delay in seeking the amendment. The action was
instituted in May 2018. The pleadings
in the action closed in March
2019. The notice of intention to amend was delivered on 9 September
2021. The respondent seeks to
amend the particulars of claim. The
amendment concerns both the cause of action and the quantum of the
claim, and is not merely
a quantification of the amount claimed as
alleged by the respondent. The action was preceded by an urgent
application in December
2015. The urgent application concerned the
same subject matter as the action. The applicant relied on the
assistance of a Mr Pienaar
in opposing the urgent application and
defending the action. Mr Pienaar has passed away and the applicant
contends that it will
be prejudiced by the amendment. The applicant
contends that the amendment seeks to “secure a tactical
advantage in the absence
of Mr Pienaar.”
[89]
Although the
respondent contends that the applicant has other witnesses, the
respondent does not dispute that Mr Pienaar was intimately
involved
in the subject matter of the dispute. In addition, the applicant
objects on the basis that the amendment is excipiable
- the second
and third grounds.
68.
Although amendments
are usually granted, unless the amendment will cause an injustice
that cannot be compensated by costs,
[90]
an unreasonable
delay in seeking the amendment may be a ground for refusal
[91]
and only in
exceptional circumstances will a party be able to introduce an
amendment which renders the pleading excipiable.
[92]
In my view, these
objections are arguable and have some prospect of success. The
refusal of condonation will deprive the applicant
of the right to
challenge the amendment on the first ground and not assist in
progressing the matter towards finality as, in that
event, the second
and third grounds will be raised in an exception. The granting of
condonation will allow the applicant to object
on all three grounds
and dispose of the exceptions.
[93]
The only material
difference is that the respondent will be required to explain the
delay and establish a triable issue. In the
context of the matter,
this seems fair.
69.
The
respondent claims a substantial amount from the applicant,
approximately R292 million, which the applicant contends will
severely
impact on the applicant and for that reason the matter is of
importance to the parties.
70.
In
my view, the factors mentioned above are overwhelmingly in favour of
the applicant and condonation for the late filing of the
notice of
objection should be granted.
71.
The applicant seeks
an order setting aside the amended pages.
[94]
The court did not
receive the benefit of any argument that either supported or
undermined the possibility of this relief being granted
in an
application for condonation. The respondent submits that the
amendment was “effected and perfected” prior to
the
notice of objection and accordingly “[a]ny condonation would
simply be superfluous” and “does not remedy
the fact that
the amendment stands.” The respondent contends in the heads of
argument that “[t]he opportunity for (sic)
to object cannot be
extended where the amendment has already been perfected.”
[95]
No authority is
cited, and no process of reasoning was presented, in support of these
submissions.
72.
As
stated above, the respondent adopted the position that the amendment
was effected either on 23 September 2021 or 27 September
2021. The
first of those dates is based on the fact that the amended pages were
served and uploaded on 23 September 2021. The difficulty
with that
contention is that period in which to deliver the notice of objection
had not expired when the amended pages were served
and uploaded. The
period expired at midnight on 23 September 2021.
73.
The consequences of
a failure to deliver a notice of objection are provided for in rule
28(5), “… every party who received
notice of the
proposed amendment shall be deemed to have consented to the amendment
and the party who gave notice of the proposed
amendment may, within
10 days of the expiration of the period mentioned in subrule (2),
effect the amendment as contemplated in
subrule (7).” Rule
28(7) provides that, “[u]nless the court otherwise directs, a
party who is entitled to amend shall
effect the amendment by
delivering each relevant page in its amended form.” The
respondent was entitled to effect the amendment
only if the applicant
failed to deliver a notice of objection in the period provided for
that purpose.
[96]
The respondent
served and uploaded the amended pages during the period afforded to
the applicant in which to deliver a notice of
objection and prior to
being entitled to amend. The respondent had not obtained the deemed
consent or the leave of the court to
effect the amendment. The
amended pages served and uploaded during the period afforded to the
applicant in which to object to the
notice of amendment did not
effect the amendment.
74.
The
second date, 27 September 2021, is founded on the contention that, in
the event of early service and filing, delivery is deemed
to take
effect on the first permissible court day. There is no authority for
this submission. In my view, the respondent was obliged
to abridge
the period afforded to the applicant by agreement or an order of
court. The respondent did not do so and the amendment
was not
effected.
75.
In any event, the
court has the power to set aside the amended pages. In terms of rule
27(1), “… the court may …
make an order extending
… any time prescribed by these rules … for doing any
act or taking any step in connection
with any proceedings of any
nature whatsoever upon such terms as to it seems meet.” And, in
terms of rule 27(2), "the
court ordering any such extension may
make such order as to it seems meet as to the recalling, varying or
cancelling of the results
of the expiry of any time so prescribed or
fixed, whether such results flow from the terms of any order or from
these rules.”
The language of these rules is exceptionally
wide, as indicated by the repetition of “any” - any time,
any act, any
step, any proceeding of any nature whatsoever
[97]
- and, “[s]ub-rule
(2) is couched in language which is no less wide.”
[98]
As stated in
FO
Kollberg (Pty) Ltd v Atkinson's Motors Ltd,
[99]
“
[n]o express
limitation is placed on the type of 'results of the expiry of any
time' which is covered by this sub-rule” and
as stated in the
headnote in
Kemp v
Booysen
,
[100]
the rule “does
not include the possibility of an exception.” The rules provide
the court “wide general powers”
[101]
and in
Chasen
v Ritter
,
[102]
the court held
that, “if condonation should be granted, the order must be
designed to eliminate any prejudice whereby a fair
trial is not
assured.”
76.
The expiry of the
period in which to deliver a notice of objection to a proposed
amendment results in a procedural right to effect
the amendment. The
amended pages are delivered in order to demonstrate the exercising of
that procedural right and to effect the
amendment in compliance with
the manner prescribed by the rules. The procedural right results from
the expiry of the period to
object and flows from the rules. In my
view, the court may cancel the procedural right and demonstrate that
it has done so and
that amendment has not been effected in compliance
with the manner prescribed by the rules by setting aside the amended
pages.
“What the Rules can do they can surely undo.”
[103]
Costs
Costs of opposition
77.
The general rule is
that the applicant for an indulgence pays the costs of the
application, including the costs “reasonably
incurred in
opposing the application”.
[104]
“
There is
ample authority for the proposition that where a party seeks an
indulgence from the Court [they] must bear the costs not
only of
[their] application, but any reasonable opposition thereto.”
[105]
78.
In
Standard
Bank v Estate Van Rhyn,
[106]
the
Appellate
Division
held
that,
“
It is true
that the appellants also asked the Court for an extension of time
within which to file the record, and that in the ordinary
course the
costs of such an application are paid by the party who is in default
and who petitions the Court for relief. If, however,
the respondent
had acceded to the appellant’s request to omit the documents in
question, as he should have done, there would
have been no necessity
to apply to the Court for an extension of time. In these
circumstances it is right that the costs of the
application should be
paid by the respondent.”
79.
The judgment does
not indicate the reasons why the respondent should have acceded to
the request to omit the documents. The statement
suggests that the
failure to do so was unreasonable and the unreasonable refusal
necessitated the application, and the trouble
and expense which that
entails. In that sense the refusal was potentially vexatious.
[107]
The intention to be
vexatious is not required,
[108]
a vexatious effect
is sufficient.
80.
The rational for
this general rule is found in
Myers
v Abramson,
[109]
where the court
explained that,
“
[I]t does
not appeal to me as being fair and reasonable that the opponent to
[an application] for an indulgence should be put in
a position that
he opposes the granting of the indulgence at his peril in the sense
that if the amendment is granted he cannot
recover his costs of
opposition or may even have to pay such costs as are occasioned by
his opposition. It seems to me that the
applicant for the indulgence
should pay all such costs as can reasonably be said to be wasted
because of the application, these
costs to include the costs of such
opposition as is in the circumstances reasonable, and not vexatious
or frivolous. This seems
to me to be the purport of such judgments as
Middeldorf
v Zipper, N.O.,
1947
(1) SA 545
(SR);
Frenkel,
Wise & Co., Ltd v Cuthbert,
1947
(4) SA 715
(C);
Greyling
v Nieuwoudt,
1951
(1) SA 88
(O).”
81.
In
MacDonald,
Forman & Co v Van Aswegen
,
[110]
the court agreed
with these remarks and was not prepared to find that the opposition
in that matter was unreasonable, frivolous
or vexatious.
82.
In
Dimension
Data Middle East and Africa (Pty) Limited and others v Ngcaba,
[111]
the court
substituted unreasonable with “unmeritorious”. The court
ordered the applicant to pay the costs, despite findings
to that
effect. The raising of objections that are unsuccessful or once
scrutinised found to be without merit does not necessarily
lead to
the conclusion that the opposition is unreasonable. The description
of the opposition as “unmeritorious” should
be understood
as wholly without merit, meritless, or to borrow the language of the
Constitutional Court in the context of leave
to appeal, “totally
unmeritorious".
[112]
The opposition is
reasonable if the grounds are arguable in the sense that there is
“substance in the argument advanced”,
“some degree
of merit in the argument” or the argument has “a measure
of plausibility.”
[113]
If not, the
opposition could be described as unreasonable, frivolous or
vexatious.
83.
This language is
found in
Myers
v Abramson,
[114]
in which the court
held that,
“
Plaintiff in
seeking to amend the declaration at this stage of the case is asking
for an indulgence from the Court and no good reason
has been advanced
to me why he should not pay the wasted costs occasioned by his
application. Mr. Gordon was perfectly entitled
to place the arguments
he did before the Court. These arguments, albeit they did not
prevail, were of some substance.”
84.
A
further illustration is found in
Meintjies
NO v Administrasieraad van Sentraal-Transvaa
l
,
[115]
in which the court
found that the opposition was justified, although unsuccessful, and
“
geensins
onredelik nie
”
.
The court specifically mentioned that the unsuccessful argument
contributed to the
decision
,
and ordered the applicant to pay the costs. And in
Sentrachem
Ltd v Terreblanche
,
[116]
the court held
that, “[a]lthough the applicant seeks an indulgence, the
respondent had no real grounds for objecting, and
accordingly he must
bear the costs of the application.”
85.
In my view, a
respondent is not imperilled by such a demand. The respondent is
merely required to make a qualitative assessment
of the possible
grounds of opposition, and abandon those that are not arguable. The
respondent is not precluded from raising unarguable
grounds but
cannot expect the applicant to pick up the tab for such opposition.
This is fundamentally a matter of fairness to both
sides. As the
Appellate
Division
held
in
Ward v
Sulzer
,
[117]
the awarding of
costs is,
in
essence
,
a matter of fairness to both sides. The requirement that respondents
consider the possible grounds of opposition and only raise
those that
are arguable further advances the administration of justice by
avoiding delays and costs, and the resources of the court
being
leached away to the hearing of opposed matters that should not be in
court at all or heard in the unopposed motion court.
86.
The
opposition in this matter was unreasonable to the point of being
frivolous and potentially vexatious. The respondent should
have
agreed to condone the alleged late delivery which would have rendered
the application unnecessary or not opposed the application.
87.
The
respondent undoubtedly put the applicant to additional trouble and
expense. The respondent invited the applicant to provide
the
explanation for the slight delay in writing, which the applicant did.
The explanation was satisfactory. The respondent nevertheless
refused
condonation. The applicant’s attorneys proposed in their
correspondence that the respondent should agree that the
applicant
“does not need to apply for condonation” and stated that,
“[w]e believe that our client’s proposal
is both sensible
and reasonable. We say so because the legal costs and the delay that
an application for condonation will cause
is clearly not in any of
the parties’ interests.” The applicant made a further
attempt to avoid the application for
condonation and amendment by
requesting the respondent to provide an explanation for the late
amendment which, if satisfactory,
would dispose of one of the grounds
of objection. The remaining objections could be raised in an
exception. The respondent failed
to respond. This correspondence was
preceded by a telephone call between the attorneys. The involvement
of the attorneys in this
communication increased the cost of the
proceedings and should have been avoided.
88.
In
the circumstances, the respondent should pay the costs occasioned to
both parties by the opposition.
Attorney and client costs
89.
The correspondence
warned the respondent that opposition would be met with a prayer for
punitive costs. The respondent was afforded
a further opportunity to
reconsider its opposition to the application and warned in notice of
motion that any opposition to the
application for condonation would
attract a request for an order that the respondent pay the costs of
the application on the scale
as between attorney and client.
[118]
The applicant
persisted in that request at the hearing and the issue is whether the
court should accede to that request.
90.
The court should
not readily grant punitive costs. In
Mallinson
v Tanner
,
[119]
the court held
that,
“
The
circumstances under which the Court will grant attorney and client
costs have been dealt with in a number of cases. The most
recent
decision is the case that has just been reported in the last volume
of the Transvaal Provincial Division, the case of
Ebrahim
v Excelsior Shopfitters & Furnishers (Pty.) Ltd.
(1946 TPD 226)
, and
there it is pointed out that the Court awards attorney and client
costs on rare occasions. This is one of the occasions when
I have no
hesitation in coming to the conclusion that the Court should grant
the respondent attorney and client costs.”
91.
The rationale for
this principle is that litigants should not be discouraged from
approaching court and exercising the right to
have their
dispute
decided
in a fair public hearing before a court. In
Moosa
v Lalloo and Another,
[120]
the court held
that,
“
As I
understand the matter, the Courts lean against awarding attorney and
client costs, and I do not think a litigant should be
discouraged
from exercising his right of resort to the Courts in order to present
his case, even though it may not appear at first
sight to be a strong
one.”
92.
The
awarding of party and party costs is usually considered to be
sufficient to discourage meritless cases and the raising of
unreasonable,
frivolous or vexatious opposition to a request for an
indulgence attracts such costs. The question is in what circumstances
should
the costs occasioned by such conduct be awarded on a punitive
scale.
93.
In
Jewish
Colonial Trust Ltd v Estate Nathan,
[121]
the
Appellate
Division
held
that the ground for an award of attorney and client costs “is
generally to mark the Court’s disapproval of the
unsuccessful
party’s conduct”. And, in
Koetsier
v SA Council of Town and Regional Planners,
[122]
the court held
that, “[a]wards of attorney and client costs are used by the
Court to mark its disapproval of some conduct
which should be frowned
upon.” There are authorities in which attorney and client costs
were ordered merely on the presence
of unreasonable, frivolous or
vexatious opposition.
[123]
However, the
awarding of costs against a respondent in an application for an
indulgence based on such conduct is already a mark
of disapproval and
the additional mark of ordering punitive costs against the respondent
is rarely applied. In my view, whether
or not unreasonable, frivolous
or vexatious opposition attracts punitive costs in such matters turns
on a matter of degree that
requires an independent, separate
enquiry.
[124]
94.
In
Ward
v Sulzer
,
[125]
the
Appellate
Division
held
that,
“
In awarding
costs the Court has a discretion, to be exercised judicially upon a
consideration of all the facts; and, as between
the parties, in
essence it is a matter of fairness to both sides.”
And,
“
The same
basic principles apply to costs on the attorney and client scale. For
example, vexatious, unscrupulous, dilatory or mendacious
conduct
(this list is not exhaustive) on the part of an unsuccessful litigant
may
render
it unfair for his harassed opponent to be out of pocket in the matter
of his own attorney and client costs” (emphasis
added).
95.
I
n
Nel v
Waterberg Landbouwers Ko-operatiewe Vereeniging
,
[126]
the
Appellate
Division
held
that,
“
The true
explanation of awards of attorney and client costs not expressly
authorised by statute seems to be that, by reason of
special
considerations
arising
either from the circumstances which give rise to the action or from
the conduct of the losing party, the court
in
a particular case
considers
it just, by means of such an order, to ensure more effectually than
it can do by means of a judgment for party and party
costs that the
successful party will not be out of pocket in respect of the expense
caused to him by the litigation” (emphasis
added).
96.
In the
United
Printing and Publishing Co. v John Haddon & Co. (Africa)
Ltd,
[127]
the court remarked
that,
“
The Trial
Court found that the defence set up was not a genuine one …
the Learned Judge did not mark his sense of the defendant’s
conduct by making any special order as to costs as between attorney
and client. We are now asked to make such an order with regard
to the
cots of this appeal. The question of when a litigant should be
penalised in that way is not an easy one to make a pronouncement
upon. I do not say that such an order should never be made in respect
of appeal proceedings. But
the
circumstances would have to be very special
.
I do not think such circumstances exist here. The appeal has been
prosecuted on points of law, which though they did not succeed,
were
not wholly without substance” (emphasis added).
97.
In
Van
Dyk v Conradie and Another,
[128]
the court held
that,
“
[i]t is
clear that normally the Court does not order a litigant to pay the
costs of another litigant on the basis of attorney and
client unless
some
special
grounds
are
present, such as those alluded to in the passage just quoted, viz.
that the party has been dishonest or fraudulent, or was actuated
by
malice or has been guilty of grave misconduct either in the
transaction under enquiry or in the conduct of the case”
(emphasis added).
98.
In
Plastic
Converters Association of South Africa (PCASA) Obo Members v National
Union of Metalworkers Union of South Africa and Others,
[129]
the Labour Appeal
Court held that,
“
[t]he scale
of attorney and client is an extra-ordinary one which should be
reserved for cases where it can be found that a litigant
conducted
itself in a
clear
and indubitably vexatious and reprehensible conduct
.
Such an award is exceptional and is intended to be very punitive and
indicative of extreme opprobrium” (emphasis added).
99.
In
Public
Protector v South African Reserve Bank,
[130]
the Constitutional
Court held that, “[t]he punitive costs mechanism exists to
counteract reprehensible behaviour
on
the part of a litigant.”
100.
The authorities
mentioned above indicate a requirement for special circumstances,
considerations or grounds, or a degree of unreasonable,
frivolous or
vexatious opposition that warrants punitive costs. However, in
Zuma
v Office of the Public Protector and Others,
[131]
the
Appellate
Division
held
that,
“
In
Johannesburg
City Council v Television & Electrical Distributors,
this Court endorsed
the extended meaning placed on the term
‘
vexatious
’
in the context of a
punitive costs award, namely that proceedings
may
[b
e
]
regarded as vexatious when a litigant puts the other side to
unnecessary trouble and expense which it ought not to bear”
(emphasis added).
101.
In the broadest of
sense of this extended meaning, “vexatious” would find
application in every matter but that would
entail ignoring the
limitations imposed by “unnecessary” and “ought not
to bear”. The court proceeded to
explain that,
[132]
“
The
Constitutional Court has affirmed this approach in
Public
Protector v SARB,
in
which it held that a punitive costs order is
appropriate
‘
in
circumstances where it would be unfair
to
expect a party to bear any of the costs occasioned by litigation
’”
(emphasis added).
“
Like any
other litigant, Mr Zuma was entitled to exercise his right of appeal
in relation to the costs order. But in doing so, he
put the
respondents to unnecessary trouble and expense, which
in
the particular circumstances of this case, they ought not to bear
.
A punitive costs order is appropriate to mark the court
’
s
displeasure at a litigant
’
s
conduct, which includes vexatious conduct and
‘
conduct
that amounts to an abuse of the process of court
’
.”
102.
In
Johannesburg
City Council v Television & Electrical Distributors (Pty) Ltd and
Another,
[133]
referred to above,
the
Appellate
Division
held
that,
It was not disputed
that
in appropriate circumstances the
conduct of a litigant may be adjudged 'vexatious'
within
the extended meaning that has been placed upon this term in a number
of decisions, that is, when such conduct has resulted
in 'unnecessary
trouble and expense which the other side ought not to bear’
.
…
Naturally one must guard against
censuring a party by way of a special costs order when with the
benefit of hindsight a course of
action taken by a litigant turns out
to have been a lost cause” (emphasis added).
103.
In the result,
[134]
“
An award of
punitive costs on an attorney and client scale may be warranted in
circumstances where it would be unfair to expect
a party to bear any
of the costs occasioned by litigation.
The question whether a party should
bear the full brunt of a costs order on an attorney and own client
scale must be answered with
reference to what would be just and
equitable in the circumstances of a particular case. A court is bound
to secure a just and
fair outcome.”
104.
In
my view, the opposition was unreasonable and the grounds and argument
were frivolous, and potentially vexatious. The respondent
appears to
have given no appreciable consideration to the basis for the
contention that the notice of objection was delivered late,
the
requirements for condonation and the prejudice that may have been
sustained. The respondent had no real grounds to oppose the
application for condonation. The grounds that were raised were
without substance, unarguable and meritless. The respondent further
appears to have attempted to steal a march on the applicant by
serving and uploading the amended pages early in order to block
recourse to condonation. The respondent thereafter refused all
reasonable proposals to avoid the necessity for the application
and
the warnings made by the applicant. The respondent did so, according
to counsel for the respondent, in order to avoid lodging
an
application for leave to amend. This course of conduct runs close to
an abuse of process.
105.
The respondent
undoubtedly has put the applicant to additional trouble and expense.
However, the applicant does not contend that
the conduct was
vexatious or rely on any circumstances or conduct beyond the
unreasonable opposition to justify the prayer for
punitive costs. The
applicant accepts that condonation is required and indicated in the
notice of motion that it was prepared to
pay its own costs if the
application was unopposed.
[135]
The applicant
accordingly accepts that certain costs were necessary and ought to
bear those costs. In my view, it would be fair
to expect the
applicant to bear some of the costs occasioned by the application
.
106.
In
Star
Marine Yacht Services v Nortier
,
[136]
the court seriously
considered but did not order attorney and client costs
where there was an
elementary disregard of the r
ules.
I find myself in
the same position. Although I take a disapproving view of the
conduct
of the respondent
,
parties
should be afforded a “wide latitude" in conducting their
cases and be able to “fight from every available
angle”.
[137]
The opposition in
this matter was impetuous but in the course of litigation that spans
a period of eight years, involving
inter
alia
multiple
parties, claims for substantial damages and numerous interlocutory
applications, parties are bound to make mistakes - opposing
parties
will at times act unreasonably and even frivolously, such is the risk
of litigation - and not all those mistakes should
attract punitive
costs. The unreasonable conduct already carries the costs of the
opposition and the usual costs order on a scale
as between party and
party is theoretically meant to ensure that the successful party is
not 'out of pocket' in respect of expenses.
In my view, in the
circumstances of this matter, punitive costs would not be just and
equitable.
Order
107.
In
the premises, I make the following order:
1.
The
late filing of the notice of objection is condoned.
2.
The
amended pages are set aside.
3.
The
applicant shall pay the costs of this application on an unopposed
scale.
4.
The
respondent shall pay the costs occasioned by its opposition.
QG LEECH
Acting Judge of High Court
Gauteng Local Division, Johannesburg
Heard on: 17 April 2023
Delivered on: 26 May 2023
This judgment was
handed down electronically by circulation to the parties
’
representatives by email, by being uploaded
to
Case Lines
and
by release to SAFLII. The date and time for hand-down is deemed
to be 26 May 2023.
[1]
Uniform
Rules of Court, Rule 28(2).
[2]
Rule
1,
“
deliver”.
[3]
Estate
Jacobs v Jacobs
1914
CPD 204
.
[4]
Joint
practice note, para. 3.
[5]
Joint
practice note, para. 9.
[6]
Revised
- 18 September 2020 Consolidated Directive, dated 11 June 2021,
para. 214.
[7]
Naidoo
v Marine & Trade Insurance Co Ltd
1978
(3) SA 666
(A)
,
p. 675B;
Auction
Alliance (Pty) Ltd v Wade Park (Pty) Ltd
2018 (4) SA 358
(SCA)
,
para. 17; and
Road
Traffic Management Corporation v Waymark Infotech (Pty) Ltd
2019
(5) SA 29
(CC)
,
para. 29.
[8]
Naidoo
v Marine & Trade Insurance Co Ltd
1978
(3) SA 666
(A)
,
p. 675B.
[9]
SOED,
5th ed.,
“
today”,
art. A, note 1.
[10]
SOED,
5th ed.,
“
day”,
art. II, note 6 and art. III, note 8.
[11]
SOED,
5th ed.,
“
day”,
art. 1, notes 1 and 3, and art. III, note 8(b).
[12]
SOED,
5th ed.,
“
evening”,
art. 1.
[13]
LAWSA,
2nd ed., vol. 27, para. 279.
[14]
Road
Traffic Management Corporation v Waymark Infotech (Pty) Ltd,
para.
33.
[15]
Computer
Brilliance CC v Swanepoel
2005
(4) SA 433
(T)
,
para. 36.
[16]
Road
Traffic Management Corporation v Waymark Infotech (Pty) Ltd,
para.
31 - 33;
Afriforum
and Another v University of The Free State
2018
(2) SA 185
(CC)
,
para
43
.
[17]
No.
51 of 1977, section 1.
[18]
Contingency
Fees Act, No. 66 of 1997
,
section 1
, Customs and Excise Act, No. 91
of 1964, section 77A,
State Liability Act, No. 20 of 1957
,
section
4A
, Money Bills and Related Matters Act, No. 9 of 2009, section 1
and
Mineral and Petroleum Resources Development Act, No. 28 of 2002
,
section 1.
[19]
Diamond
Export Levy (Administration) Act, No. 14 of 2007
,
section 4
,
Superior Courts Act, No. 10 of 2013
,
section 1
,
National Payment
System Act, No. 78 of 1998
,
section 11
,
Tax Administration Act, No.
28 of 2011
,
section 1
,
Magistrates
’
Courts
Act, No. 32 of 1944
,
section 1
,
Mine Health and Safety Act, No. 29
of 1996
, schedule 6,
section 24
, Customs Control Act, No. 31 of
2014, section 1 and Division of Revenue Act, No. 5 of 2022, section
1. Cf. Public Holidays Act,
No. 36 of 1994, section 3.
[20]
Basic
Conditions of Employment Act, No. 75 of 1997
,
section 8
and
International Health Regulations Act, No. 28 of 1974, schedule,
article 1.
[21]
Commander
v Collector of Customs
1920
AD 510
at 513;
Hoban
v Absa Bank Ltd t/a United Bank and Others
1999
(2) SA 1036 (SCA)
,
1044 I.
[22]
Section
1:
“
Application
of Act.—The provisions of this Act shall apply to the
interpretation of every law (as in this Act defined) in
force, at or
after the commencement of this Act, in the Republic or in any
portion thereof, and to the interpretation of all
bylaws,
rules, regulations or orders made under the authority of any such
law, unless there is something in the language
or context of the
law, bylaw, rule, regulation or order repugnant to such
provisions or unless the contrary intention appears
therein.”
Baron
& Jester v Eastern Metropolitan Local Council
2002 (2) SA 248
(W)
,
para. 15.
[23]
Superior
Courts Act, No. 10 of 2013
,
section 30.
[24]
Rules
Board for Courts of Law Act 107 of 1985, section 6(1) and (4).
[25]
Arendsnes
Sweefspoor CC v Botha
2013
(5) SA 399
(SCA)
,
at para. 19.
[26]
Fair
v SA Eagle Insurance Co Ltd
1995
(4) SA 96
(E)
,
at 99 A.
[27]
Section
4.
[28]
Joubert
v Enslin
1910
AD 6
, at p. 26 and 34;
Tiopaizi
Appellant v Bulawayo Municipality Respondent
1923
AD 317
,
p. 321 and 326; Kleynhans v Yorkshire Insurance Co Ltd
1957 (3) SA
544
(A), at 449 F; and
Dormell
Properties 282 CC v Renasa Insurance Co Ltd and Others NNO
2011
(1) SA 70
(SCA)
,
para. 27. (In
Coface
South Africa Insurance Co Ltd v East London Own Haven t/a Own Haven
Housing Association
2014
(2) SA 382
(SCA)
,
the SCA held that
Dormell
was
wrongly decided by the majority on a different issue.)
[29]
2011 (1) SA 70
(SCA)
,
para. 56 - 58.
[30]
Joubert
v Enslin supra
(fn.
Xxx).
[31]
Justice
Alliance of South Africa v President of the Republic of South Africa
and Others
2011
(5) SA 388
(CC)
,
para.6; and
Arendsnes
Sweefspoor CC v Botha
2013
(5) SA 399
(SCA)
,
at para. 1 and 20.
[32]
Kleynhans
v Yorkshire Insurance Co Ltd
1957
(3) SA 544
(A)
,
at 549 F and 550 G;
South
African Mutual Fire and General Insurance Co Ltd v Fouch
é
en
'n Ander; AA Mutual D Insurance Association Ltd v Tlabakoe
1970 (1) SA 302
(A) at
316B - C
;
and
Nedcor
Bank Ltd v the Master and Others
2002
(1) SA 390
(SCA)
,
para. 12.
[33]
Felix
and Another v Nortier NO and Others (2)
1994 (4) SA 502
(SE)
,
at 504G.
[34]
Minister
of Police v Johannes and Another
1982
(3) SA 846
(A)
,
p. 853H
.
[35]
Rule
4(1)(c).
[36]
Small
Business Development Corporation Ltd v Kubheka
1990 (2) SA 851
(T)
,
at 852 F.
[37]
Rules
17(3), 19(3) and 4A.
[38]
Rules
17(3) and 19(3).
[39]
“
enters
an information system designated or used for that purpose
“
(section
23(b), Chapter III, Part 2 of the Electronic Communications and
Transactions Act, 2002 (Act 25 of 2002).
[40]
“
capable
of being retrieved and processed by the addressee
”
(section
23(b), Chapter III, Part 2 of the Electronic Communications and
Transactions Act, 2002 (Act 25 of 2002).
[41]
Rule
4A(3), read with section 23(b), Chapter III, Part 2 of the
Electronic Communications and Transactions Act, 2002 (Act 25 of
2002).
[42]
Rules
17(3), 19(3) and 4A.
[43]
Revised
- 18 September 2020 Consolidated Directive, dated 11 June 2021,
para. 214.
[44]
Rule
1 and 4A(5).
[45]
Rule
3.
[46]
Para.
4.1.
[47]
Para.
12.
[48]
Para.
213.
[49]
Para.
214.
[50]
Para.
215.
[51]
Electronic
Communications and Transactions Act, No. 25 of 2002
,
section 14.
[52]
Rule
4A(5).
[53]
Para.
13.2.
[54]
Minister
of Police v Johannes and Another
,
1982
(3) SA 846
(A)
.
[55]
Directive
3 of 2022, 29 September 2022.
[56]
National
Commissioner of Police and Another v Gun Owners South Africa
2020 (6) SA 69
(SCA)
,
para. 25 - 26;
Fischer
and Another v Ramahlele and Others
2014
(4) SA 614
(SCA)
,
para. 13 - 15; xxx.
[57]
Rule
27(1).
[58]
Grootboom
v National Prosecuting Authority
2014
(2) SA 68
(CC)
,
para. 20.
[59]
Moluele
and Others v Deschatelets, NO
1950
(2) SA 670
(T)
,
675G;
Grootboom
v National Prosecuting Authority
2014 (2) SA 68
(CC),
para.
22;
Van Wyk v Unitas Hospital and Another (Open Democratic Advice Centre
as Amicus Curiae)
[2007] ZACC 24
;
2008
(2) SA 472
(CC)
,
para. 20.
[60]
Melane
v Santam Insurance Co Ltd
1962
(4) SA 531
(A)
,
532C-F; and
United
Plant Hire (Pty) Ltd v Hills and Others
1976 (1) SA 717
(A)
,
720E.
[61]
Van
Wyk v Unitas Hospital and Another (Open Democratic Advice Centre as
Amicus Curiae)
[2007] ZACC 24
;
2008
(2) SA 472
(CC)
,
para. 20.
[62]
Darries
v Sheriff, Magistrate's Court, Wynberg, and Another
1998
(3) SA 34
(SCA)
,
40H.
[63]
2004 (1) SA 292
(SCA)
,
para
.
6
.
[64]
2014 (2) SA 68
(CC)
,
para. 23.
[65]
[2007] ZACC 24
;
2008 (2) SA 472
(CC)
,
para. 22.
[66]
2017 (6) SA 90
(SCA)
,
para. 26.
[67]
[2013]
2 All SA 251
(SCA)
,
para. 11.
[68]
See
too
Saloojee
and Another, NNO v Minister of Community Development
1965
(2) SA 135
(A)
,
para. 10; and
Commissioner
for Inland Revenue v Burger
1956
(4) SA 446
(A) at 449G-H
.
[69]
Melane
v Santam Insurance Co Ltd
1962
(4) SA 531
(A), 532
C-D.
[70]
1983 (4) SA 212
(O)
,
217C.
[71]
United
Plant Hire (Pty) Ltd v Hills and Others
1976 (1) SA 717
(A)
,
720F;
Grootboom
v National Prosecuting Authority
2014
(2) SA 68
(CC)
,
para. 22.
[72]
2014 (2) SA 68
(CC)
,
para. 22.
[73]
1976 (1) SA 717
(A)
,
720G.
[74]
2007 (6) SA 304
(C)
,
para. 7.
[75]
Melane
v Santam Insurance Co Ltd
1962
(4) SA 531 (A), 532
D-F.
[76]
2021 (1) SA 42
(SCA)
,
para. 38.
[77]
2014 (2) SA 68
(CC)
,
para. 22.
[78]
1969 (3) SA 360
(A)
,
363H.
[79]
1968 (2) SA 52
(AD) at
pp. 53-4
.
[80]
Revised
- 18 September 2020 Consolidated Directive, dated 11 June 2021,
para. 214.
[81]
Louw
v Grobler & another
(3074/2016)
[2016] ZAFSHC 206
(15 December 2016) para 18.
[82]
1965 (2) SA 135 (A)
,
[83]
Respondent
’
s
heads of argument, p. 076-139, para. 18.
[84]
Imperial
Logistics Advance (Pty) Ltd
v
2022 JDR 3071 (SCA)
,
para. 10.
[85]
Hall
v The Head, Specialised Commercial Crimes Unit of The National
Prosecuting Authority
2010
JDR 0973 (GNP)
,
para. 19;
Afric
Oil (Pty) Ltd v Ramadaan Investments CC
2004 (1) SA 35
(N)
,
40E.
[86]
2022
JDR 2047 (CC)
,
para. 105.
[87]
2011 (6) SA 396 (CC)
[88]
1965 (2) SA 135
(A)
,
141A-H.
[89]
Applicant
’
s
heads of argument, p. 076-125, para. 47.
[90]
Affordable
Medicines Trust and others v Minister of Health and others
[2005] ZACC 3
;
2006 (3) SA 247
(CC);
2005 (6) BCLR 529
(CC), para 9.
[91]
Florence
Soap and Chemical Works (Pty) Ltd v Ozen Wholesalers (Pty) Ltd
1954 (3) SA 945 (T)
,
[92]
Trans-Drakensberg
Bank Ltd (Under Judicial Management) v Combined Engineering (Pty)
Ltd and another
1967
(3) SA 632
(D)
,
640H-641B
;
Du
Plessis and another v De Klerk and others
1995
(2) SA 40
(T), 43I-44A
.
[93]
Krischke
v Road Accident Fund
2004 (4) SA 358
(W)
,
363A-B;
Manyatshe
v South African Post Office Ltd
2008
JDR 0999 (T)
,
para. 2.
[94]
Notice
of motion, p. 076-6, prayer 2.
[95]
Respondents
’
heads
of argument, p. 076-140, para. 19.
[96]
Rule
28(5).
[97]
F
O Kollberg (Pty) Ltd v Atkinson's Motors Ltd
1970 (1) SA 660
(C)
,
661F;
Kemp
v Booysen
1979
(4) SA 34
(T)
,
38A.
[98]
F
O Kollberg (Pty) Ltd v Atkinson's Motors Ltd supra
661H.
[99]
supra.
[100]
1979 (4) SA 34
(T)
,
35. See too 38A
[101]
Himelsein
v Super Rich CC and Another
1998
(1) SA 929
(W)
,
933C.
[102]
1992 (4) SA 323
(SE)
,
329C.
[103]
Mahabro
Investments (Pty) Ltd v Kara
1980
(2) SA 772
(D)
,
775E-F.
[104]
Dobsa Services CC v
Dlamini Advisory Services (Pty) Ltd
2016
JDR 1786 (SCA)
,
para. 11;
Fourie
v Saayman
1950
(3) SA 724
(O)
,
725G-H;
Maloney's
Eye Properties Bk en 'n Ander v Bloemfontein Board Nominees Bpk
1995
(3) SA 249
(O)
,
257F-H; and more recently in
Ndlovu
v Member of the Executive Council for Police, Roads and Transport:
Free State Province
2020
JDR 0340 (FB)
,
para. 24;
Rand
Water Board v Rautenbach
2020
JDR 0658 (GP)
,
para. 37.
[105]
HDS
Construction (Pty) Ltd v Wait
1979
(2) SA 298
(E)
,
302B-C.
[106]
1925
AD 266, 281.
[107]
Law
of Costs,
Cilliers,
para.
4.13.
[108]
Simmons,
NO v Gilbert Hamer & Co Ltd
1962
(2) SA 487
(D)
,
497A;
Carmichael
Automotive (Pty) Limited v Gehlig
(13119/2019)
[2019] ZAWCHC 135
(16 October 2019), para. 29-30.
[109]
1951 (3) SA 438
(C)
,
455F-H.
[110]
1963 (2) SA 150 (O)
,
155.
[111]
2022
JDR 3826 (GJ)
,
para. 41.
[112]
Paulsen
and Another v Slip Knot Investments 777 (Pty) Ltd
2015 (3) SA 479
(CC)
,
para. 21-22.
[113]
supra.
[114]
1951 (3) SA 438 (C)
,
[115]
1980 (1) SA 283 (T)
,
295F
[116]
2015
JDR 0411 (GP)
,
para. 44.
[117]
1973 (3) SA 701
(A)
,
706G.
[118]
Notice
of motion, p. 076-6, prayer 3.
[119]
1947 (4) SA 681 (T)
,
686.
[120]
1957 (4) SA 207
(N)
,
225B.
[121]
1940
AD 163, 183-184.
[122]
1987 (4) SA 735
(W)
,
744J.
[123]
For
example,
Moshal
Gevisser (Trademarket) Ltd v Midlands Paraffin Co
1977
(1) SA 64
(N)
,
70F.
[124]
Cf.
Multi-Links
Telecommunications Ltd v Africa Prepaid Services Nigeria Ltd
2014 (3) SA 265
(GP)
,
290D-H.
[125]
1973 (3) SA 701
(A)
,
706G.
[126]
1946 AD 597
,
607
.
[127]
1916
AD 474
, 479.
[128]
1963 (2) SA 413 (C)
[129]
(JA112/14)
[2016] ZALAC 37
(6 July 2016), para. 46.
[130]
2019 (6) SA 253
(CC)
,
para. 221.
[131]
(1447/2018)
[2020] ZASCA 138
(30 October 2020), para. 38.
[132]
para.
38-39.
[133]
1997 (1) SA 157
(A)
,
177D-F.
[134]
Public
Protector v South African Reserve Bank
2019
(6) SA 253
(CC), para. 221
and
222.
[135]
The
applicant sought for no order as to costs, save in the event of
opposition.
[136]
1993 (1) SA 120
(SE)
,
121F.
[137]
Shatz Investments
(Pty) Ltd v Kalovyrnas
1976
(2) SA 545
(A)
,
560E-F.
sino noindex
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