Case Law[2023] ZAGPJHC 739South Africa
Member of The Executive Council for Health Gauteng Province v Solomons (2022/A5070) [2023] ZAGPJHC 739; 2023 (6) SA 601 (GJ) (27 June 2023)
High Court of South Africa (Gauteng Division, Johannesburg)
27 June 2023
Headnotes
Summary
Judgment
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# South Africa: South Gauteng High Court, Johannesburg
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## Member of The Executive Council for Health Gauteng Province v Solomons (2022/A5070) [2023] ZAGPJHC 739; 2023 (6) SA 601 (GJ) (27 June 2023)
Member of The Executive Council for Health Gauteng Province v Solomons (2022/A5070) [2023] ZAGPJHC 739; 2023 (6) SA 601 (GJ) (27 June 2023)
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sino date 27 June 2023
SAFLII Note:
Certain
personal/private details of parties or witnesses have been
redacted from this document in compliance with the law
and
SAFLII
Policy
FLYNOTES:
CIVIL
PROCEDURE – Subpoena duces tecum – Patient medical
information – Right to privacy – Uniform
Rule 38 –
Inappropriate process used against medical professional to produce
private medical information – Process
envisaged in section
14(2)(b) of the NHA provides for a court to authorise disclosure
when a factual foundation is laid to
enable the court to conduct
the necessary enquiries –
National Health Act 61 of 2003
,
s
14(2)(b).
IN
THE HIGH COURT OF SOUTH AFRICA
GAUTENG
LOCAL DIVISION, JOHANNESBURG
###
CASE
NO:
2022/A5070
REPORTABLE
OF
INTEREST TO OTHER JUDGES
REVISED
27.06.23
In
the matter between:
MEMBER
OF THE EXECUTIVE COUNCIL
FOR
HEALTH GAUTENG PROVINCE
Appellant
and
DR.
REGAN SOLOMONS
Respondent
In
re:
L
U V
obo
M V
Plaintiff
and
MEMBER
OF THE EXECUTIVE COUNCIL
FOR
HEALTH GAUTENG PROVINCE
Defendant
Summary
Application for
enforcement of subpoena
duces
tecum
so as to compel disclosure by a medical practitioner of private and
confidential medical information of patients –It
remains
open
to litigants to employ the procedure provided for in
Rule 38
, being a
process that does not require a court order or judicial oversight, in
the appropriate circumstances – Use of process
that directs
medical professional to produce private and confidential medical
information (i) in the absence of patient consent;
and (ii) absent
proper inquiry by a court, including a proper weighing of the need
for disclosure against the privacy interests
of the patient; and
(iii) in circumstances where the medical professional is statutorily
and ethically duty bound to resist compliance,
inappropriate -
judicial oversight required when disclosure of private and
confidential medical information absent patient consent
is sought -
an application to court as envisaged in
section 14(2)(b)
of the
National Health Act appropriate
in such circumstances – guiding
principles for purposes of determining whether or not to authorise
the disclosure discussed
- factual foundation required to be laid to
enable court to conduct the necessary enquiries.
Divine Inspiration
Trading 205 (Pty) Ltd v Gordon and Others
2021
(4) SA 206
(WCC) not endorsed and not followed
in
so far as that court sanctioned an approach whereby an administrative
process in issuing a subpoena could override a patient’s
constitutional right to privacy
.
JUDGMENT
MAIER-FRAWLEY
J (Wepener J and Malungana AJ concurring):
Introductory
background
1.
This
appeal lies with leave of the Supreme Court of Appeal against the
whole of the judgment and order granted on 1 September 2021
by
Dippenaar J in the court below.
2.
The
appellant (the MEC for Health Gauteng) is the defendant in an action
for damages instituted against her by the plaintiff (L
U V) on behalf
of her minor child. The plaintiff’s claim is
based
on the alleged negligence of the medical staff at a clinic in failing
to monitor the plaintiffs labour in accordance with
the required
medical standards, which had the result that probable foetal distress
(decelerating heartrate) went undetected, ending
in her baby being
born with hypoxic ischemic brain injury, conventionally referred to
as ‘acute profound’ hypoxic ischemic
injury. The trial is
currently partly-heard in the court below since the plaintiff was
granted leave to re-open her case prior to judgment being delivered.
3.
The
respondent (Dr Regan Solomons) is not a party to the action nor is he
a prospective witness for either party at trial. He is
one of eight
co-authors
[1]
of a research
paper titled ‘
Intrapartum
Basal-Ganglia-Thalamic Pattern Injury and Radiological Termed
“Acute-Profound Hypoxic-Ischemic Brain Injury”
are not
Synonymous’
(the
‘article’) which was published in the December 2020
American Journal of Perinatology.
The
respondent was identified therein as the person to whom
correspondence may be addressed.
4.
The
principal author of the article is Professor Smith, a proposed
witness for the plaintiff at the resumption of the trial. Prof
Smith
will seemingly testify in support of the conclusions arrived at by
the authors in the article. In the article, the authors
challenge
the
conventional view that basal ganglia-thalamic brain injury in the
term or near-term infant is the result of an ’acute
profound’
ischemic event.
Under
the rubric of ‘Study Design’ on p1 of the article, the
authors record that the article presents a
retrospective
analysis of 10 medicolegal cases of neonatal encephalopathy-cerebral
palsy survivors who sustained Intrapartum Hl
basal ganglia-thalamic
(BGT) pattern Injury in the absence of an obstetric sentinel event.
Page
1 of the article also records the précised conclusion of the
authors, namely, that: ‘
The
study
shows that if a non-reassuring fetal status develops during labour
and is prolonged, a BGT pattern Hl injury may result, in
the absence
of a perinatal sentinel event. Intrapartum BGT pattern injury and
radiologically termed acute profound Hl brain injury
are not
necessarily synonymous. A visualized magnetic resonance imaging (MRI)
pattern should preferably solely reflect the pattern’s
description and severity, rather than a causative mechanism of
injury
.’
5.
The
appellant caused a subpoena
duces
tecum
(‘the subpoena’) to be issued and served on the
respondent during May 2021. In terms of the subpoena, the respondent
was required, in the absence of asserting privilege in respect of a
document or thing, to hand over to or inform the Registrar
of this
Court of the whereabouts of the following documents:
(i)
documents
setting out the names of the parties, the division of the High Court
that heard the matter, the case numbers and the judgments
in each of
the 195 medicolegal actions that are referred to on page 2 of the
article;
[2]
and
(ii)
all
supporting documentation including but not limited to, raw data,
expert reports, medical records and MRI scans relating to the
63
cases referred to on page 3 of the article.
[3]
6.
In
a letter dated 4 June 2021, addressed by
the
Legal Advisor: Legal Services of the Division of the Registrar of
Stellenbosch University to the appellant’s attorneys,
compliance with the subpoena was resisted on the basis that
the
information requested was privileged because of the confidentiality
of patient information and a legal and ethical obligation
of
researchers and research institutions to protect the identities of
research participants.
7.
The
appellant thereupon launched an application to compel compliance with
the subpoena. The following relief was sought in the Notice
of
Motion:
“
1.
It is declared that the Respondent (Dr Regan Solomons) has no lawful
basis to claim privilege in respect
of the documentation or tape
recordings identified in the annexed subpoena
duces
tecum
,
which was served on him on 25 May 2021.
2.
Directing Respondent to forthwith hand over to the Registrar of this
Honourable Court the
documentation or tape recordings.
3.
Granting Applicant further and/or
alternative relief.
4.
Directing that Respondent pays the
costs of this application.”
8.
The
case made out in the founding affidavit was that the respondent was
not entitled to resist compliance with the subpoena on the
basis of
privilege or confidentiality of patient information or the obligation
of researchers to protect personal information of
research
participants, firstly, because the documents identified in the
subpoena did not relate to communications between a client
and his or
her legal practitioner; and secondly, because the said documents
related to or formed part of documents that were used
in medico-legal
actions that had been or may still be before the courts, as such,
they were public documents, which are not subject
to a claim of
privilege or confidentiality by
anyone
.
9.
In
his answering affidavit, the respondent conceded that the only
legally recognized privilege is that of attorney and client
privilege.
He pointed out that his contribution to the article was
only in relation to
de-identified
data, which data he had in his possession. Albeit that
de-identified
data was not required in terms of the subpoena, he tendered to
produce same. He opposed the application on,
inter
alia,
the following grounds: (i) that he did not have the documentation
sought in terms of the subpoena in his possession; (ii) that
even if
he were to have had the documents sought in his possession, in terms
of the relevant legislative framework,
[4]
which regulates the disclosure of confidential medical information of
a patient (patient information) in the absence of the patient’s
consent, he was not allowed to disclose patient information unless so
ordered by a court; and (iii) that the applicant had failed
to make
out a proper case for the disclosure of patient information, firstly,
because the documents identified in the subpoena
were described in
vague and general terms, making it impossible in all instances to
establish what was being sought from the respondent;
secondly,
because the appellant had failed to make out a case in her founding
affidavit as to why the documentation sought was
relevant to the
disputes in the main action; and thirdly, because the appellant had
failed to tender safeguards to protect the
privacy of the relevant
patients.
10.
In
the replying affidavit, the appellant reiterated that the
respondent’s claim of confidentiality was without foundation,
as the documents sought were ‘public documents from cases
selected by the authors to be used for the purposes of compiling
the
article,’
and
therefore no longer confidential and subject to disclosure.
Alternatively, the appellant alleged that ‘to the extent that
confidentially may apply’, any such confidentiality was waived
when the documents were used in court and made part of the
court
record in each of the 195 cases.
As
regards the issue of the relevancy of the documents sought, the
appellant adopted the stance that ‘
Whether
or not the documents are relevant is with respect a matter for this
Court to determine’
and
‘insofar as it is suggested that the relevance of the documents
may be in issue, I refer to the reports that have now
been filed of
Applicant's
[appellant’s]
experts.’
11.
The
appellant ostensibly accepted that the respondent was not in
possession of the documents sought in the subpoena, when regard
is
had to the contents of paragraphs 43 to 45 of the replying affidavit,
where the following was said:
“
I
submit that the Applicant has made out a case to be granted the order
set out in the Notice of Motion, with one amendment.
That
amendment is this: Paragraph 2 of the Notice of Motion, as it
presently reads, falls to be replaced with a new paragraph 2
that
reads as follows: "Directing Respondent to inform the Registrar
[and this Court] of the whereabouts of the documents
identified in
the subpoena."
A
formal application for that amendment will be made at the hearing of
this application
.”
(emphasis added)
12.
The
appeal record reflects that no formal application for the proposed
amendment was made, nor that such amendment was informally
requested
from the bar at the hearing of the matter in the court below. Nor is
it apparent from the judgment of the court below
that any such
amendment was formally granted. This created somewhat of a conundrum
at the hearing of the appeal. After hearing
submissions from counsel
for the parties, and given that the proposed amendment was mentioned
in paragraph 26 of the judgment of
the court below, we will assume in
favour of the appellant, without finding, that the proposed amendment
was impliedly granted
by the court below.
13.
Since
the respondent was not in possession of the documents sought, the
relief sought in paragraph 2 of the notice of motion (i.e.,
directing
production of the documents) was, for all intents and purposes,
rendered moot. The respondent’s opposition to the
application
compelling the production of documents, was impelled and pursued in
the court below for purposes of vindicating his
entitlement to costs,
the respondent’s contention being that the appellant ‘
would
be well aware of the legislative framework given its office and
should not have served the subpoena and launched the current
application being fully aware that I am prohibited from freely
disclosing patient Information (had I been in possession thereof)
’.
14.
The
court below ultimately dismissed the application to enforce the
subpoena inter alia on the basis that the ambit of ‘
just
excuse’
envisaged
in section 36(1)(c) of the Superior Courts Act, No. 10 of 2013 (‘the
Act’) was wide enough to cover the confidentiality
obligations
imposed upon the respondent in terms of the relevant legislative
framework, and, that it could therefore not be concluded
that the
respondent was in wilful disobeyance of the subpoena or that the
appellant was without more entitled to the documentation
sought.
Moreover, the court below upheld the respondent’s contention
that the appellant had utilised the wrong procedure
by simply issuing
a subpoena and seeking to enforce compliance therewith, as opposed to
launching an application under section
14(2)(b) of National Health
Act, 61 of 2003 (‘the NHA’) for a court order directing
disclosure of the documents sought.
Grounds
of appeal
15.
The
grounds of appeal are set out in the notice of appeal filed of
record. Only those germane to a determination of the central
issues
in the appeal need mentioning. These include the following:
“
(i)
Given
that the documents sought are public documents (as they had been
disclosed in previous legal proceedings) the court below
erred in
holding that the alleged confidentiality obligations continued after
such disclosure and could be a "just excuse"
for the
respondent not to produce them;
(ii)
The
court below erred in finding that the description of the documents in
the subpoena were in general and broad terms and had not
been
sufficiently specified as envisaged by Rule 38, or that the documents
sought in par 2 of the subpoena had not been sufficiently
described
or had necessarily been discovered in the legal proceedings [to which
the article referred];
(iii)
The
court below erred in holding that in respect of subpoenas there is a
distinction between "the right to obtain" documentation
and
"the obligation to produce" documentation and accordingly
further erred in holding that the appellant had failed
to draw that
distinction;
(iv)
The
court below misdirected itself in upholding the respondent’s
contention that the appellant ought to have used other mechanisms
to
obtain the documents and that the service of the subpoena and the
institution of the application were ‘misconceived’;
(v)
The
learned Judge ought to have: issued the declaratory order sought in
paragraph 1 of the Notice of Motion; directed the respondent
to
inform the Registrar of the whereabouts of the documents; and ordered
the respondent and the Plaintiff to pay the costs of the
application.”
Central
issues in the appeal
16.
The
central issues arising for determination in the appeal which became
crystallized during the hearing of the matter, are the following:
(i)
Does
a patient’s right to privacy in respect of confidential medical
information override the right of a party to obtain access
to such
information by means of a subpoena?
(ii)
Whether
the patient’s right to privacy (and a medical practitioner’s
confidentiality obligations in relation to private
patient
information) is subservient to a litigant’s public fair trial
rights to obtain disclosure.
[5]
Relevant
legislative framework concerning patient information
17.
Section
14(1) of the NHA renders all of a patient’s information
relating to his or her health status, treatment or stay in
a health
establishment confidential. Section 14(2) of the NHA creates a
statutory prohibition against the disclosure of information
relating
to a patient’s health status, treatment or stay in a health
establishment, save in three instances only, namely,
(a) if the
patient consents to the disclosure; (b) if the court orders
disclosure or any law requires the disclosure; or (c) if
the
disclosure is in the interests of public health.
[6]
The instances mentioned in (a) and (c) above do not find application
in
casu
.
This matter involves an application for a court order compelling
disclosure, albeit by dint of an application to enforce compliance
with a subpoena
duces
tecum
as
opposed to an application as envisaged in (b) above.
18.
The
limited instances in which disclosure of medical records can be
compelled accords with the ethos of the medical profession whereby
‘
Health
care practitioners should ...respect the privacy, confidentiality and
dignity of patients.’
[7]
19.
Booklet
5 of the HPCSA’s Guidelines for Good Practice in the Health
Care Professions contains ethical guidelines to direct
the practice
of health care professionals which form an integral part of the
standards of professional conduct against which complaints
of
professional misconduct will be evaluated. The preamble thereof calls
attention to the duty of a health care professional to
meet the
standards of conduct, care and competence set by the HPCSA in
relation to patient information, which is acknowledged to
be private,
confidential and sensitive. Paragraph 3 thereof confirms a patient’s
right to confidentiality and a health practitioner’s
duty in
relation thereto in reference to section 14(2) of the NHA and Rule 13
of the Ethical Rules of Conduct for health professionals
registered
under the Health Professions Act, 1974, same being consistent with a
patient’s right to privacy in terms of the
Constitution of the
Republic of South Africa, 1996.
[8]
20.
Paragraph
8 of booklet 5 deals with the disclosure of patient information other
than for the treatment of individual patients, (which
includes
‘
research’
).
[9]
Paragraph 8.2.3 distinguishes between ‘
identifiable
patient data’
- which can only be disclosed with the informed consent of the
patient - and ‘
de-identified
information’
.
In terms of paragraphs 8.2.3.4 and 9.1.3, patient data should be
anonymised if it is not practical to contact the patient to seek
consent for the use of identifiable data or samples.
[10]
21.
Paragraph
10 of booklet 5 deals with disclosure of patient information in
connection with judicial or other statutory proceedings.
It provides,
in relevant part, as follows:
“
10.1
Health care practitioners may be required to disclose information to
satisfy a specific statutory requirement, such as notification
of a
notifiable disease or suspected child or elder abuse.
10.2
Health care practitioners must also disclose information if ordered
to do so by a judge or presiding officer of a court...
10.3
Health
care practitioners should not disclose personal information to a
third party such as a lawyer
,
police officer
or
officer of a court without the patient's express consent
,
except
in the circumstances described in paras 9.3, 9.4.2 and 9.5.2.”
(emphasis
added)
(It
should be noted that none of the exceptions provided for in paras
9.3, 9.4.2 and 9.5.2 of booklet 5 find application
in
casu
)
Discussion
Declaratory
relief
22.
The
appellant complained in her replying affidavit and heads of argument
filed in the appeal that the respondent’s assertion
(in
correspondence preceding the litigation) that the information sought
in the subpoena was ‘privileged,’ is what
prompted her to
seek a declarator and enforcement of the subpoena by way of
application to court. The appellant’s argument
in the appeal
was, in effect, that the court below had no legitimate reason to
refuse to grant the declaratory relief in view of
the respondent’s
concession in the answering affidavit to the effect that no legal
professional privilege attached to the
documents sought. The argument
is in my view contrived.
23.
In
the correspondence addressed on the respondent’s behalf after
service of the subpoena and prior to the launch of the application,
the reference to ‘privilege’ was limited to
‘confidentiality’, as is plainly evident from the
assertion
in the letter that the information was privileged ‘
because
of
the
confidentiality of patient information and a legal and ethical
obligation of researchers and research institutions to protect
the
identities of research participants
.’
24.
In
a further letter addressed by the respondent’s attorneys of
record to the state attorney (representing the appellant) in
response
to the application but before delivery of the answering affidavit,
the respondent asserted the confidentiality of patient
information
and his legal, statutory and ethical obligations in relation thereto
as the basis for his inability to comply with
the subpoena, that is,
had the documentation been in his possession, which it was not.
25.
The
respondent’s counsel submitted in these proceedings that
nothing turns on the unfortunate use of the word ‘privilege’
in the earlier correspondence, as the respondent resisted compliance
with the subpoena on the basis of patient confidentiality
(not
privilege) from the moment his attorneys came on record. The
application was also argued on this basis in the court below.
Therefore, for purposes of determining whether the court below was
correct in declining to issue the declarator sought in paragraph
1 of
the notice of motion, the word ‘privilege’ must be taken
to mean ‘confidentiality’. At the hearing
of the appeal,
I did not understand the appellant’s counsel to disagree with
the respondent’s submissions, nor did
the appellant proffer any
argument in opposition thereto.
26.
That
the court below was considering whether the respondent’s
opposition - based on confidentiality obligations imposed upon
him in
terms of the legislative framework (outlined above) - to the
declaratory relief in para 1 of the notice of motion, is evident
from
paragraph 34 of the judgment, where the following was recorded:
The
declaratory relief sought in the application, although ostensibly
limited to Professor Solomon’s claim to confidentiality
may
have much wider import on other cases. There is merit in his
contention that there is confidentiality in the documentation
ex lege
and that the declaratory order is unnecessary.’
27.
The
correctness of the finding that ‘there is confidentiality in
the documentation
ex
lege’
was not challenged on appeal. What was challenged is the correctness
of the decision to take into account the ‘wide import’
of
the declaratory order sought in refusing to grant such relief.
[11]
This complaint is, however, not understood. The judgment of the
court below records that the appellant had contended that
it was in
the interest of justice to determine the appellant’s
entitlement to the documents sought in the subpoena and the
respondent’s claim for confidentiality therein.
[12]
Both the appellant and the plaintiff had moreover argued that the
issues raised may affect many litigants in other cases.
[13]
28.
It
is trite that the grant of declaratory relief is discretionary.
[14]
Since there was no controversy between the parties about the clear
provisions of the NHA, regulation 13 of the Ethical Rules of
Conduct
of Practitioners registered under the Health Professions Act or the
Ethical Guidelines for good practice of the HPCSA relating
to patient
confidentiality, the finding by the court below, namely, that there
was confidentiality in the documentation
ex
lege
and that a declaratory order was unnecessary, cannot be faulted.
[15]
If granted, the declaratory relief would only have served to confirm
what all the parties are aware of and in agreement with, in
so far as
the legislative framework pertaining to patient confidentiality is
concerned.
29.
In
Association
for Voluntary Sterilization of South Africa v Standard Trust Limited
and Others
(325/2022)
[2023] ZASCA 87
(7 June 2023), the Supreme Court of Appeal affirmed
the test for interference by a court of appeal with a lower court’s
exercise
of a discretion. It held as follows:
“
The
test for interference by this Court, as an appellate court, is set
out in
Reinecke v Incorporated General
Insurance Ltd
. At 99B-E Wessels JA
said:
“
It
follows, in my opinion, that counsel’s contention that the
Court
a
quo
lacked jurisdiction to make a declaratory order cannot be upheld. In
conclusion, there remains for consideration Mr Wulfsohn’s
alternative argument relating to the exercise of its discretionary
power by the Court
a
quo
,
which proceeded from the assumption that the learned Judge had
misdirected himself in the respect to which I have already referred
to earlier in this judgment. It was submitted on respondent’s
behalf that, even if it appeared that the learned Judge had
misdirected himself in the exercise of his discretion, this Court
would not allow the appeal if the order appealed from is,
notwithstanding
the misdirection, clearly consistent with the proper
exercise of a judicial discretion. This approach necessarily requires
this
Court to bring a judicial discretion to bear upon the question
whether or not the case is a proper one for the granting of a
declaratory
order.
In
the absence of misdirection or irregularity, this Court would
ordinarily not be entitled to substitute its discretion for that
of
the Court a quo
.’
(Own emphasis)
”
[16]
(footnotes
excluded)
30.
No
misdirection or irregularity has been relied upon in this case. Thus,
we are not simply at large to interfere with the discretion
exercised
by the court below.
Suffice
it to say that the appellant proffered no good reason for this court
to interfere with the discretion exercised by the court
below in
declining to grant the declaratory relief.
31.
In
any event, the court below found that the appellant had failed to lay
a proper factual foundation for the grant of declaratory
relief.
[17]
Its finding in this regard is unassailable. It is trite that the
existence of a dispute is not a prerequisite for the exercise
of a
power conferred upon the High Court by the
s21(1)(c)
of the
Superior
Courts Act. What
is required, however, is that ‘there must be
interested parties on whom the declaratory order would be binding.
[18]
An
applicant for such relief must satisfy the court that he/she is a
person
interested
in an ‘existing, future or contingent right or obligation’,
and if the court is satisfied that the existence
of such conditions
has been proved, it has to exercise the discretion by deciding either
to refuse or grant the order sought. This
does not, however, mean
that the court is bound to grant a declarator but that it must
consider and decide whether it should refuse
or grant the order,
following an examination of all relevant factors.
[19]
32.
It
follows that the appeal against the decision not to grant declaratory
relief cannot succeed.
Amended
relief for disclosure of whereabouts of documents
33.
This
relief presupposes that the respondent was obliged to produce the
documentation in the first place. If not, then it follows
that he
would likewise not be obligated to disclose their whereabouts.
[20]
Obligation to produce
/ ’Just excuse’
34.
In
considering the issue of the respondent’s obligation to produce
the documents within the context of his confidentiality
obligations
under the relevant legislative framework, the court below accepted
that there is a difference between a party’s
right to obtain
documentation and an obligation on the recipient of a subpoena to
produce same.
[21]
The
appellant complains that the court below erred in so holding. The
complaint lacks merit.
35.
Section
35
of the
Superior Courts Act provides
for a party’s right to
obtain documentation.
[22]
Rule 38 of the Uniform Rules of court provides for the manner in
which a party may procure production of documents, i.e., by the
issuing of a subpoena
duces
tecum.
Whilst a party is of right entitled to issue a subpoena under the
rule, in terms of
section 36(1)(c)
of the
Superior Courts Act, a
recipient of a subpoena may refuse to produce the documentation
sought (i.e., resist compliance with the subpoena) provided he/she
has a ‘just excuse’ for such refusal.
[23]
In such event, the recipient would be justified in not complying with
the subpoena and
a
fortiori,
would
not be obliged to produce the documentation sought.
36.
The
court below recognised that a litigant is not always entitled to
production of documents, based on the trite principle enunciated
in
Beinash
v Wixley,
[24]
namely, that ‘
Ordinarily
a litigant is of course entitled to obtain production of any document
relevant to his or her case in the pursuit of truth,
unless the
disclosure of the document is protected by law.’
For purposes of establishing whether the production is ‘
protected
by law’,
account
would have to be taken of the relevant legislative framework outlined
above.
37.
The
court below held that the ambit of a ‘just excuse’ is
wide enough to cover the confidentiality obligations imposed
upon the
respondent by virtue of the relevant legislative framework and that
it could therefore not be concluded that the appellant
was without
more entitled to the documentation sought or that the respondent was
in wilful disobeyance of the subpoena.
[25]
As demonstrated below, this conclusion was indubitably correct. The
appellant’s complaint in this regard is that ‘
Given
that the documents sought are public documents (as they had been
disclosed in previous legal proceedings) the court below
erred in
holding that the alleged confidentiality obligations continued after
such disclosure and could be a "just excuse"
for the
respondent not to produce them.’
38.
The
appellant’s argument on appeal remained largely as that which
was encapsulated by the court below in paragraph 22 of the
judgment.
[26]
In effect, the
argument is that the appellant was entitled as of right to issue a
subpoena
duces
tecum,
[27]
which
the respondent could either comply with or apply to court to set it
aside. He did neither. The appellant argues that the respondent
failed to set out a proper basis for his refusal to comply with the
subpoena in that the documents sought comprised public documents
which were in the result not subject to a claim of privilege or
confidentiality by anyone. This argument appears to me to be premised
on the notion that the appellant has a unassailable right of access
to documents containing otherwise confidential patient information
once such documents are disclosed in (unrelated) court proceedings
(medico-legal actions) and thus comprise public records.
[28]
Such a proposition is not, however, supported by the authorities.
39.
In
Sanral
,
[29]
the court recognised that:
‘
As
a general rule litigants are prejudiced when their proceedings are
not held in public. That is not to say that litigants may
not
sometimes wish to keep their litigation private or that there may not
be situations where a court may justifiably depart from
the default
rule that court proceedings are public... It needs be emphasised that
courts are open in order to protect those who
use the institution and
to secure the legitimacy of the judiciary, not to satisfy the
prurient interests of those who wish to examine
the private details
of others... Moseneke DCJ accepted in Independent Newspapers (para
43) that ‘the default position is
one of openness’.
Accordingly,
court proceedings should be open unless a court orders otherwise. The
logical corollary must therefore be that departures
should be
permissible when the dangers of openness outweigh the benefits.
’
(emphasis
added)
40.
In
Tshabalala
,
[30]
the court explained why the right to privacy in respect of medical
records is of paramount importance:
“
The
reason for treating the information concerning a user, including
information relating to his/her health status, treatment or
stay in a
health establishment as confidential is not difficult to understand.
The
confidential medical information invariably contains sensitive and
personal information about the user. This personal and intimate
information concerning the individual’s health, reflects
sensitive decisions and the choices that relate to issues pertaining
to bodily and psychological integrity as well as personal autonomy.
Section
14(1)
of the
National Health Act imposes
a duty of confidence in
respect of information that is contained in a user’s health
record. This is simply because the information
contained in the
health records is information that is private
.
“
Individuals
value the privacy of confidential medical information because of the
vast number of people who could have access to
the information and
the potential harmful effects that may result from disclosure. The
lack of respect for private medical information
and its subsequent
disclosure may result in fear of jeopardising an individual’s
right to make certain fundamental choices
that he/she has a right to
make. There is therefore strong privacy interest in maintaining
confidentiality.”
[31]
Section
14(1)
of the
National Health Act deems
it imperative and mandatory to
afford the information recorded on the health records protection
against unauthorised disclosure.
Here, the right to the user
’
s
privacy
is paramount.
The
unlawful disclosure of the information contained in the health record
will cause extreme trauma as well as pain to the user.
This
information is confidential because it is the user who has control
over the information about himself or herself. It is also
the user
who can decide to keep it confidential from others. In the
National
Health Act, the
legislature considered the confidentiality of the
information important enough to impose certain criminal sanctions in
the event
of the breach of the confidentiality.
In
terms of the Constitution, as well as the
National Health Act, the
private information contained in the health records of a user
relating to the health status, treatment or stay in a health
establishment
of that user is worth protecting as an aspect of human
autonomy and dignity
.
This
in turn includes the right to control the dissemination of
information relating to one
’
s
private
medical health records that will definitely impact on an individual
private
life as well as the right to the esteem and respect of other people
.”
(emphasis
added)
41.
In
NM
and others,
[32]
the Constitutional court had earlier determined that the disclosure
of medical records is not just a question of privacy but also
one of
dignity. The court explained as follows:
“
Private
and confidential medical information contains highly sensitive and
personal information about individuals.
The
personal and intimate nature of an individual’s health
information, unlike other forms of documentation, reflects delicate
decisions and choices relating to issues pertaining to bodily and
psychological integrity and personal autonomy
.
Individuals
value the privacy of confidential medical information because of the
vast number of people who could have access to
the information and
the potential harmful effects that may result from disclosure. The
lack of respect for private medical information
and its subsequent
disclosure may result in fear jeopardising an individual’s
right to make certain fundamental choices that
he/she has a right to
make.
There is therefore a strong privacy interest in maintaining
confidentiality.
...
As
a result, it is imperative and necessary that all private and
confidential medical information should receive protection against
unauthorised disclosure
.
The
involved parties should weigh the need for access against the privacy
interest in every instance
and not only when there is an implication of another fundamental
right, in this case the right to freedom of expression.”
(emphasis
added)
The
court went on to emphasize the right to dignity as follows:
[33]
“
...
While
it is not suggested that there is a hierarchy of rights it cannot be
gainsaid that dignity occupies a central position
...
If
human dignity
is regarded as foundational in our Constitution,
a corollary thereto must be that it
must be jealously guarded and
protected
. As this Court held in
Dawood and Another v Minister
of Home Affairs and Others, Shalabi and Another v Minister of Home
Affairs and Others, Thomas and
Another v Minister of Home Affairs and
Others
:
“
The
value of dignity in our Constitutional framework cannot therefore be
doubted.
The
Constitution asserts dignity to contradict our past in which human
dignity for black South Africans was routinely and cruelly
denied
.
It asserts it too to inform the future, to invest in our democracy
respect for the intrinsic worth of all human beings. Human
dignity
therefore informs constitutional adjudication and interpretation at a
range of levels.
It
is a value that informs the interpretation of many, possibly all,
other rights. This Court has already acknowledged the importance
of
the constitutional value of dignity in interpreting rights such as
the right to equality, the right not to be punished in a
cruel,
inhuman or degrading way, and the right to life.
Human
dignity is also a constitutional value that is of central
significance in the limitations analysis. Section 10, however, makes
it plain that dignity is not only a
value
fundamental
to our Constitution, it is a justiciable
.””
(footnotes
omitted) (emphasis added)
42.
The
guiding principles to be extracted from the aforegoing authorities
concerning the disclosure of private and confidential medical
records, may be summarized as follows:
42.1.
Medical
records inherently affect the rights to dignity and privacy of
individuals. Those rights must, by default, be respected
and
protected;
42.2.
There
is a strong privacy interest in maintaining confidentiality over
medical records;
42.3.
The
need for access to medical records must be weighed against the
patient’s privacy interest in every instance; and
42.4.
A
court must therefore carefully consider whether there is a genuine
need for access to medical records sought. This would per force
entail a consideration of the relevance of the documentation sought
in each case,
the
potential harmful effects that may result from disclosure, and
whether the benefits of the principle of openness outweighs the
dangers inherent in the disclosure of private information, amongst
others, the conceivable violation of
the
dignity and psychological integrity of the patient/s. If the records
are not genuinely necessary, then, by default, the court
ought to
protect the individual’s rights to dignity and privacy.
43.
It
stands to reason that a factual basis for a finding that access to
medical records is warranted in a particular case has to be
laid by
an applicant for purposes of enabling a court to conduct the relevant
enquiries.
44.
The
relevant facts required for a court to undertake the necessary
enquiries,
inter
alia,
for purposes of weighing the need for access against the patients’
privacy interests, were not provided in the appellant’s
papers.
It therefore comes as no surprise that the court below found that the
appellant had ‘
manifestly
failed to make out a case in her founding papers for the production
of the documentation sought in the subpoena...On
this basis, her
application is doomed to failure
.’
The finding was undoubtedly justified, as the following example
illustrates: if only 10 cases were ultimately analysed
and relied on
for purposes of supporting the authors’ conclusion in the
article, then one wonders why documentation pertaining
to 165
medico-legal actions or 63 cases would be necessary or relevant for a
determination of the issues in the pending trial?
45.
The
finding by the court below, namely, that the subpoena was cast in
very broad and general terms so that it could not be determined
exactly what information was in issue without resorting to
speculation, was likewise warranted. To illustrate, does the
reference
to ‘raw data’ in the subpoena pertain to data
collected from 195 or 63 or 10 sources? Does it exclude data that had
been collected but not processed? It is impossible to tell. Is the
reference to expert reports only those compiled by the authors
in
question or does it include reports filed by all experts in the
actions, even those that did not inform the analysis performed
for
purposes of the research paper? It is impossible to tell. What does
‘
all
supporting documentation’
refer
to, given that same is not limited to ‘raw data, expert
reports, medical records and MRI scans’ that relate to
63
cases? The same anomaly befalls the reference to ‘medical
records’ and ‘MRI scans’.
Which
medical records? And
which
MRI scans?
Wrong procedure
employed by appellant in the court below
46.
Section
14(1) of the NHA deems it imperative and mandatory to afford the
information recorded on a patient’s health records
protection
against unauthorised disclosure
.
[34]
47.
Section
14(2)(b) of the NHA empowers a court (as opposed to the Registrar) to
authorise the disclosure of private and confidential
medical
information in the absence of patient consent to the disclosure.
Since it is a court that needs to consider the question
of whether
patient information is to be disclosed after inter alia weighing the
need for access against the patient’s privacy
interests, and
not the Registrar, it is axiomatic that judicial oversight is
required when disclosure of private and confidential
medical
information absent patient consent is sought.
[35]
This is in line with the legislative framework outlined above, more
specifically, paragraphs 10.2. and 10.3 of booklet 5. Paragraph
10.3
of booklet 5 lists an ‘officer of court’ (such as the
Registrar) as one of the persons to whom patient information
should
not
be disclosed absent a patient’s consent. It is also in line
with the authorities referred to above, from which important
guiding
principles in relation to the disclosure of medical records have been
extracted, which authorities largely echo what has
been stipulated in
the Ethical Rules and Ethical Gudelines, more specifically, booklet 5
thereof.
48.
It
stands to reason therefore that when it comes to the disclosure of
private and confidential patient information absent patient
consent,
an order as envisaged in section 14(2)(b) of the NHA ought to be
sought from the court. It is the court that will make
the ultimate
decision as to whether or not to authorise the disclosure thereof,
having regard to all the relevant factors indicated
in the guiding
principles summarized above.
49.
Instead
of bringing an application in terms of section 14(2)(b) of the NHA,
the appellant chose to enforce compliance with the subpoena
(authorised by the Registrar) in terms of which the respondent was
directed to disclose private and confidential patient information
to
the Registrar, thereby opting for a process that essentially served
to circumvent the judicial oversight required.
50.
It
is of course open to litigants to employ the procedure provided for
in Rule 38 in the appropriate circumstances. Ultimately,
the
appellant’s choice to issue a subpoena against a medical
professional to produce private medical information (i) in the
absence of patient consent; and (ii) absent proper inquiry, including
a proper weighing of the need for disclosure against the
privacy
interests of the patient; and (iii) in circumstances where the
medical professional is statutorily and ethically duty bound
to
resist compliance, more particularly, under threat of a costs order,
was inappropriate.
51.
Had
an application as envisaged in s14(2)(b) of the NHA been brought, a
different test would have been applicable, which if satisfied,
may
well have resulted in a different outcome in the matter. Stated
differently, the process envisaged in s 14(2)(b) of the NHA
provides
for a court to authorise disclosure providing a factual foundation is
laid to enable the court to conduct the necessary
enquiries, as
opposed to a process that directs the medical professional to
disclose private and confidential patient information
without the
need for a court order.
52.
The
appellant relies on the case of
Divine
Inspiration
[36]
to
justify the process she chose to employ in
casu.
There,
Hockey AJ held that:
“
Section
14(2)(b) of the NHA, like section 7 of PAIA, demonstrates a clear
show of deference to the rules, and health practitioners,
whose
patients refused to consent for (sic) the disclosure of their medical
records, cannot therefore rely on section 14, without
more, when they
are served with a subpoena duces tecum under rule 38. It goes without
saying that ethical rules are subject to
these principles.”
53.
Suffice
it to say that
Divine
Inspiration
is distinguishable on its facts and as such, we are not bound to
follow it. Firstly, it did not concern an application to enforce
compliance with a subpoena
duces
tecum
,
rather it involved an application in terms of s14(2)(b) of the NHA,
where the relevancy of the documents sought, coupled with
appropriate
safeguards offered to protect the privacy of patients, ultimately
informed the decision to order disclosure. Secondly,
the medical
information of the first respondent (who was a party in that case)
was sought, as opposed to the present case where
someone else’s
private information is sought. The 195 cases referred to in the
article that was co-authored by the respondent
do not involve a party
in this case to which the information pertains. Thirdly, in so far as
that court was considering an application
in terms of s14(2)(b) of
the NHA, its finding that rule 38 of the Uniform Rules of court
constitutes a ‘law requiring disclosure’
of private and
confidential patient information, was merely
obiter
.
54.
Notwithstanding
these distinguishing features, in so far as the court in
Divine
Inspiration
endorsed an approach whereby an administrative process in issuing a
subpoena could override a patient’s constitutional right
to
privacy, we do not endorse it. If the particular finding in
Divine
Inspiration
is to be accepted and followed, it would render the requirement of a
court order in s 14(2)(b) of the NHA nugatory. If parties
were
entitled to obtain patient information by way of a subpoena, thereby
by-passing judicial oversight, the Legislature would
not have made
provision for a court order or the relevant patient’s consent
to be obtained.
55.
Although
the respondent submitted that the reference to ‘
...
or any law requires that disclosure ‘
in
s14(2)(b) of the NHA can only be a reference to where the law
requires of a medical practitioner to breach patient confidentiality,
for example, in scenarios involving the reporting of gunshot wounds;
child or other abuse; communicable diseases; where the patient
is
incompetent or incapacitated; and/or where the aim is to protect
third parties,
[37]
it is
neither necessary nor appropriate to make a final determination in
regard thereto. Having regard to the provisions of par
10.1 of
booklet 5 of the HPSCA’s Ethical Guidelines, the submission may
well carry weight. But that is a debate for another
day.
56.
It
was not the appellant’s case that patient consent to the
disclosure of the documents sought was obtained. The appellant
sought
an order compelling disclosure of patient information solely on the
basis that the information sought was not confidential
because it
formed part of court records which comprise public documents,
alternatively, if the information was confidential, then
confidentiality was waived by the patients by virtue of the fact that
the relevant medical information was contained in court files
which
remain open to public scrutiny.
57.
This
brings to the fore the question whether confidentiality is lost in
respect of patient information once it is contained in public
records? Fortunately, the Constitutional Court has already provided
the answer.
58.
NM
and Others
[38]
concerned
the publication of Ms Patricia de Lille’s biography titled
‘
Patricia
de Lille’
in
which the names of three women who were HIV positive were disclosed.
They alleged that their names had been published without
their prior
consent having been obtained. They brought an action for damages in
the High court against Ms de Lille and the author
of her biography,
Ms Smith, claiming that their rights to privacy, dignity and
psychological integrity had been violated. The High
Court dismissed
the action with costs. In denying liability, the defendants had
raised a not dissimilar argument to the one advanced
by the appellant
in
casu,
namely,
that the publication of their HIV status was already in the public
domain when the book was published and was therefore
not a private
fact, given that the plaintiffs had appeared before various
commissions of inquiry, including the Strauss inquiry,
and had
brought an application in their own names in the High court for an
order interdicting the inclusion of their names in a
book.
59.
In
respect of these contentions, the Constitutional Court in
Nm
and Others
[39]
held as follows:
“
In
my view,
when they
made their application for the interdict in their names, they
were
not thereby saying their names should be published in a book having a
wide circulation throughout South Afric
a,
which would be the position since the second applicant is a national
figure.
Similarly
by attending the various inquiries they were not giving blanket
consent to the publication of their status
.
...
The
assumption that others are allowed access to private medical
information once it has left the hands of authorised physicians
and
other personnel involved in the facilitation of medical care, is
fundamentally flawed
.
It fails to take into account an individual’s desire to control
information about him or herself and to keep it confidential
from
others.
It
does not follow that an individual automatically consents to or
expects the release of information to others outside the
administration
of health care. As appears from what has gone on
before there is nothing on the record to suggest that the applicants’
HIV
status had become a matter of public knowledge
.
This
protection of privacy in my view raises in every individual an
expectation that he or she will not be interfered with.
Indeed
there must be a pressing social need for that expectation to be
violated and the person’s rights to privacy interfered
with.
There was no such compelling public interest in this case.
The
High Court held that the first and second respondent were not liable
for any damage suffered at the time of publication of the
book. I
disagree with this finding of the High Court. The
first respondent
did not sufficiently pursue her efforts to establish if the necessary
consents had been obtained, despite having
ample time to do so. More
importantly she could have used pseudonyms instead of the real names
of the applicants
. The use of pseudonyms would not have rendered
the book less authentic. The same position applies to the second
respondent.
I
am, therefore, persuaded that the publication by the respondents of
the HIV status of the applicants’ constituted a wrongful
publication of a private fact and so the applicants’ right to
privacy was breached by the respondents.
The
need for access to medical information must also serve a compelling
public interest.
”
(emphasis
added)
60.
Applied
to the facts in
casu
,
the fact that a patient’s private and confidential medical
information is disclosed in a court file for purposes of that
specific litigation (in which the patient is involved as a party)
does not mean that the patient has provided blanket consent to
the
publication of their health information in any future unrelated
litigation instituted between third parties going forward.
Simply
stated, it does not mean that medical evidence employed in their
specific cases may now be utilized and thereby publicized
in any or
all other cases. The appellant’s submission that
confidentiality was waived by the patients simply because their
medical information was disclosed in their own cases, is therefore,
as the Constitutional Court put it, ‘fundamentally flawed’.
61.
In
all the circumstances, the conclusion reached by the court below,
namely, that the appellant had utilised the wrong procedure
[40]
is unassailable.
62.
This
leaves the final submission of the appellant that the court below
erred in granting a costs order against it in the application.
This
was not pressed before us in argument. It is clear that, in doing so,
the high court exercised a discretion. The reasons for
doing so were
clearly set out by Dippenaar J and do not afford a basis on which to
interfere on appeal. On the contrary, it is
my view that the costs
order was warranted.
63.
In
the result, the following order is to be granted:
63.1.
The
appeal is dismissed with costs.
AVRILLE MAIER-FRAWLEY
JUDGE OF THE HIGH
COURT,
GAUTENG LOCAL
DIVISION, JOHANNESBURG
I
agree and it is so ordered:
LÖTTER WEPENER
JUDGE OF THE HIGH
COURT,
GAUTENG LOCAL
DIVISION, JOHANNESBURG
I
agree
PATRICK MALUNGANA
ACTING JUDGE OF THE
HIGH COURT,
GAUTENG LOCAL
DIVISION, JOHANNESBURG
Date of hearing:
5 May 2023
Judgment delivered 27
June 2023
This judgment was handed down
electronically by circulation to the parties’ legal
representatives by email, publication on
Caselines and release to
SAFLII. The date and time for hand-down is deemed to be have been at
10h00 on 27 June 2023
APPEARANCES:
Counsel
for Appellant:
Adv
V. Soni SC
Instructed
by:
State
Attorney, Johannesburg
Counsel
for Respondent
Adv
R. J. Stey
Instructed
by:
Cluver
Markotter Inc c/o MVMT Attorneys
[1]
The
co-authors are medical experts from South Africa in the fields of
obstetrics, paediatric neuroradiology, paediatric neurology
and
neonatology.
[2]
U
nder
the rubric of “Materials and Methods” on p2 of the
article, it is recorded that “
The
authors reviewed 195 medicolegal actions arising from the
development of neonatal encephalopathy-cerebral palsy in term
gestations. The cases were identified by the authors based on their
involvement as expert witnesses in the cases, either as part
of the
plaintiff or defendants' legal teams. Detailed medico- legal reports
submitted by neonatologists, obstetricians, paediatric
neurologists,
and clinical genetic experts (both defendant and plaintiff) were
considered
.”
[3]
After
listing various categories of exclusions from their case analysis,
the authors record, on p3 of the article that “
Sixty-three
(33.5%) cases with BGT pattern HII remained. However, in only 21
cases were there limited electronic reviews by cardiotocography
(CTG) during labour. The image findings of delayed MRI scans in
these cases were subsequently reviewed in a blinded and separate
assessment by two experienced neuroradiologists...This revealed that
only 15 of 21 cases could strictly be categorized with BGT
pattern
injury (in isolation).
Ten
of these term gestation neonatal encephalopathy-cerebral palsy
survivors with a radiologically reported “acute profound"
HII pattern on MRI had clearly documented evidence of an assessment
of the fetal admission status and intermittent electronic
fetal
monitoring during the labour.
These
cases were then retrospectively analyzed
.
Of the 10 cases, in 6 of the matters, liability was established in a
court of law; two are waiting determination
on
trial and in two matters liability was conceded prior to trial
.”
(emphasis added)
[4]
Being
duties or obligations imposed on medical practitioners under
relevant provisions of the
National Health Act 61 of 20
03, the
Ethical Rules of Conduct pertaining to medical practitioners
registered under the Health Professions Act 36 of 1974 and
the
ethical guidelines, specifically, booklet 5 thereof.
The
relevant legislative framework is more fully discussed later in the
judgment.
[5]
That
is, where the disclosure of confidential medical information of
patients (none of whom are parties to the action pending
in the
court below) is sought.
[6]
Section 14 provides as follows:
“
14.
Confidentiality
(1)
All information concerning a user, including information relating to
his or her health status, treatment or stay in a health
establishment, is confidential.
(2)
Subject to section 15, no person may disclose any information
contemplated in subsection (1) unless—
(a)
the user consents to that disclosure in writing;
(b)
a court order or any law requires that disclosure; or
(c)
non-disclosure of the information represents a serious threat to
public health.
In
terms of s 1 of the NHI,
“
user”
means the person
receiving treatment in a health establishment, including receiving
blood or blood products, or using a health
service, and if the
person receiving treatment or using a health service is—
(a)
below the age contemplated in section 39(4) of the Child Care Act,
1983 (Act 74 of 1983), “user” includes the
person’s
parent or guardian or another person authorised by law to act on the
first mentioned person’s behalf; or
(b)
incapable of taking decisions, “user” includes the
person’s spouse or partner or, in the absence of such
spouse
or partner, the person’s parent, grandparent, adult child or
brother or sister, or another person authorised by
law to act on the
first mentioned person’s behalf;
[7]
The Health professions Council of South Africa (‘HPCSA’),
Booklet 1, ‘
Guidelines
for Good Practice in the Health Care Professions’
(September
2016) at par 5.2.1.
[8]
Paragraph 3 of booklet 5 provides as follows:
“
3.
Patients’ Right to Confidentiality
3.1
The
National Health Act (Act
No. 61 of 2003) states that all
patients have a right to confidentiality and this is consistent with
the right to privacy in
the South African Constitution (Act No. 108
of 1996).
3.2
Rule 13 of the Ethical Rules of the HPCSA states that a practitioner
may divulge information regarding a patient only if this
is done:
3.2.1
In terms of a Statutory provision,
3.2.2
At the instruction of a court,
3.2.3
In the public interest,
3.2.4
With the express consent of the patient,
3.2.5
With the written consent of a parent or guardian of a minor under
the age of 12 years,
3.2.6
In the case of a deceased patient with the written consent of the
next of kin or the executor of the deceased's
estate.”
[9]
Par 8.1.1 thereof.
[10]
Para 8.2.3.4 provides as follows:
“
Where
health care practitioners have control of personal information about
patients, they must not allow anyone access to that
information for
study, research or medical audit unless the person obtaining access
has been properly trained and authorised
by a health establishment,
a health care provider or comparable body and is subject to a duty
of confidentiality in their employment
or because of their
registration with a statutory regulatory body.”
Para
9.1.3 determines that:
“
Where
research projects depend upon using identifiable information or
samples, and it is
not
practicable to contact patients to seek their consent
,
the
data should be anonymised
and this should be drawn to the attention of a research ethics
committee.”
(emphasis
added)
[11]
The appellant’s complaint in this regard is recorded as
follows in the Notice of appeal:
“
The
learned Judge erred in holding that the declaratory order sought had
‘wide import’ and in taking that into account
in
refusing to grant the declaratory order that was sought against Prof
Solomons, regard being had to the stated basis of his
objection to
production of the documents, namely privilege or confidentiality
.”
[12]
Par 17 of the judgment. Moreover, i
n
p
ar
26 of the judgment, the court below recorded that the defendant
(appellant) had argued that the declaratory relief should be
determined because of the unserved subpoena on Professor Smith and
the plaintiff’s reluctance to comply with defendant’s
reasonable request to inform Professor Smith that he would have to
produce the documents.
[13]
Par 19 of the judgment of the court below. Dealing with the
contention that the issues arising in the application against the
respondent may affect many litigants in other cases, including the
evidence to be tendered by Prof Smith at the trial, the learned
judge held that ’
As
such it would be inappropriate to attempt to determine issues of
broad impact absent a proper application which expressly raises
and
canvasses such issues.”
[14]
Section 21(1)(c)
of the
Superior Courts Act, which
provides:
“
Persons
over whom and matters in relation to which Divisions have
jurisdiction
21
(1)
A
Division has
jurisdiction over all
persons residing in or being in, and in relation to all causes
arising and all offences triable within,
its area of jurisdiction
and all other matters of which it may according to law take
cognizance, and has
the power –
(c)
in its discretion,
and
at the instances of any interested person, to enquire into and
determine any existing, future, or contingent right or obligation,
notwithstanding that such person cannot claim any relief
consequential upon the determination.” (Emphasis added)”
As pointed out by the
Constitutional court in
JT Publishing (Pty) Ltd & Another v
Minister of Safety & Security:
[14]
“
I
interpose that enquiry because a declaratory order is a
discretionary remedy, in the sense that the claim lodged by an
interested
party for such an order does not in itself oblige the
Court handling the matter to respond to the question which it poses,
even
when that looks like being capable of a ready answer. A
corollary is the judicial policy governing the discretion thus
vested in the Courts, a well-established and uniformly observed
policy which directs them not to exercise it in favour of deciding
points that are merely abstract, academic or hypothetical ones. I
see no reason why this new Court of ours should not adhere
in turn
to a rule that sounds so sensible. Its provenance lies in the
intrinsic character and object of the remedy, after
all, rather than
some jurisdictional concept peculiar to the work of the Supreme
Court or otherwise foreign to that performed
here
.”
[15]
The
question of whether the documents sought were indeed confidential
was not finally determined by the court below, given its
findings
that the documents were not sufficiently described in the subpoena
and that ‘
From
the founding papers it cannot be ascertained which of these
document[s] would in fact constitute matters of public record.’
Relevant
information, amongst others, about whether or not the documents
identified in the subpoena had in fact been ‘discovered’
in the 195 medico-legal actions referred to in the article had not
been disclosed in the appellant’s founding affidavit.
A
reference to the word ‘discovered’ was clearly a
reference to whether the documents in question formed part of
the
court records and evidence in each of the actions. In this regard,
the appellant’s generalised statement that they
did, being
unsupported by primary facts in the founding affidavit, could not
ground a conclusion that the documents in fact constituted
matters
of public record.
[16]
See too:
Trencon
Construction (Pty) Ltd v Industrial Development Corporation of South
Africa
2015
(5) SA 245
(CC); (
Trencon
)
at par 88, the following was said:
“
When
a lower court exercises a discretion in the true sense, it would
ordinarily be inappropriate for an appellate court to interfere
unless it is satisfied that this discretion was not exercised—
‘
judicially,
or that it had been influenced by wrong principles or a misdirection
on the facts, or that it had reached a decision
which in the result
could not reasonably have been made by a court properly directing
itself to all the relevant facts and principles’.”
[17]
See
p
ar
34 of the judgment, where the court below went on to say that ‘
The
defendant
[appellant]
in my
view manifestly failed to make out a case in her founding papers for
the production of the documentation sought in the subpoena
or for
the granting of the declaratory relief sought as she was obliged to
do.’
[18]
Ex
parte Nell
1963 (1) SA 754
(A);
Cordiant
Trading CC v Daimler Chrysler Financial Services (Pty) Ltd
2005
(6) SA 205
(SCA) para 16.
[19]
Id, par 17.
[20]
It should be remembered, however, that the application sought to
compel production of documents and
not
disclosure
of their whereabouts. The respondent’s opposition was
therefore directed against the production of documents
and not the
disclosure of their whereabouts. Put simply, the respondent dealt
only with what he was required to do, based on
the terms of the
notice of motion.
[21]
See paras 26 and 27 of the judgment. In par 23 of the judgment, the
court below recognized that a party is of right entitled
to issue a
subpoena under
rule 38.
[22]
Sec 35
provides, in relevant part, as follows:
“
35(1)
A party to proceedings before any Superior Court in which…the
production of any document…is required, may
procure …the
production of any document …in the manner provided for in the
rules of that court.”
[23]
Legal professional privilege is recognized as a ‘just excuse’
for purposes of resisting compliance with a subpoena.
[24]
Beinash
v Wixley
1997
(3) SA 721 (SCA).
[25]
The respondent’s case was essentially that, had he been in
possession of the documentation (which he was not), he would
have
been statutorily obliged to resist compliance with the subpoena.
[26]
There, the following was recorded:
“
...the
defendant's argument that no privilege or confidentiality vested in
the documents sought in paragraph 1 of the subpoena,
was based on
the trite principle that they were matters of public record and the
default position is one of openness, unless
a court otherwise
orders. The right to open justice must include the right to have
access to papers and written arguments which
are an integral part of
court proceedings.
In short, the open
court principle in practice entails that court proceedings including
the evidence and documents disclosed in
proceedings should be open
to public scrutiny
and that judges
should give their decisions in public . S34 of the Constitution
affords litigants the right to a public hearing.
Reliance was placed
on
City of Cape Town v South African
National Roads Authority Limited Others
where the relevant principle is stated thus:
'The
animating principle therefore has to be that all court records are,
by default, public documents that are open to public
scrutiny at all
times. While there may be situations justifying a departure from
that default position-the interests of children,
State security or
even commercial confidentiality-any departure is an exception and
must be justified’ ” (emphasis
added)
[27]
In terms of rule 38(1)(a)(i) & (iii) read with 38(1)(b).
[28]
Cape
Town City v South African National Roads Authority
2015
(3) SA 386
(‘Sanral), par 16, where it was said that the
principle of open courtrooms requires that evidence and documents
disclosed
in court proceedings should be open to public scrutiny and
that the
principle
of open courtrooms is constitutionally entrenched by virtue of s34
of the Constitution
.
The court acknowledged in par 14 of the judgment that ‘even
though it has often been urged that “privacy”
of
litigants requires that the public be excluded from court
proceedings…covertness is the exception and openness the
rule.’
.
[29]
Id,
par
18
.
[30]
Tshabalala-Msimang
and another v Makhanya and others
2007
(5) SA 8
(6) SA 102 (W) at par 27.
[31]
NM
and others v Charlene Smith and others
2007 (5) SA 250 (CC).
[32]
Id, at paras 40-43.
[33]
Id, at paras 49-50
[34]
See
Tshabalala,
quoted
in par 40 above.
[35]
It is noteworthy that the section makes no provision for oversight
by the Registrar of a court.
[36]
Divine
Inspiration Trading 205 (Pty) Ltd v Gordon and Others
2021 (4) SA 206
(WCC), par 29.
[37]
Kling, S “
Confidentiality
in Medicine”
published in “
Current
Allergy & Clinical Immunology”
November
2010 Vol 23, No. 4.
[38]
Cited in fn 31 above.
[39]
At paras 39 & 44 - 47.
[40]
Paras 27 & 34 of the judgment.
sino noindex
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