Case Law[2023] ZAGPJHC 1302South Africa
Ward and Others v Key Lettings (Pty) Ltd (2022/3751) [2023] ZAGPJHC 1302 (14 November 2023)
High Court of South Africa (Gauteng Division, Johannesburg)
15 February 2023
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# South Africa: South Gauteng High Court, Johannesburg
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## Ward and Others v Key Lettings (Pty) Ltd (2022/3751) [2023] ZAGPJHC 1302 (14 November 2023)
Ward and Others v Key Lettings (Pty) Ltd (2022/3751) [2023] ZAGPJHC 1302 (14 November 2023)
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REPUBLIC OF SOUTH
AFRICA
IN THE HIGH COURT OF
SOUTH AFRICA
GAUTENG DIVISION,
JOHANNESBURG
CASE NUMBER:
2022/3751
NOT REPORTABLE
NOT OF INTEREST TO
OTHER JUDGES
REVISED
In
the matter between:
WALTER
FREDERICK WARD
First
Applicant
COLEI
VAN DYK
Second
Applicant
EDWARD
MARDWANGWA
Third
Applicant
and
KEY
LETTINGS (PTY) LTD
Respondent
In
re:
KEY
LETTINGS (PTY) LTD
Applicant
And
WALTER
FREDERICK WARD
First
Respondent
COLEI
VAN DYK
Second
Respondent
J.M
VAN DYK
Third
Respondent
MRS
VAN DYK
Fourth
Respondent
EDWARD
MARDWANGWA
Fifth
Respondent
ALL
OTHER UNLAWFUL OCCUPIERS OF
ERF
[...] PORTION 0, BRYANSTON,
JOHANNESBURG
Sixth
Respondent
THE
CITY OF JOHANNESBURG
METROPOLITAN
MUNICIPALITY
Seventh
Respondent
JUDGMENT
(LEAVE TO APPEAL)
HOPKINS AJ
[1]
This is an application for leave to appeal
against the order that I handed down on 15 February 2023. That order
reads as follows:
After having read the
documents filed of record, having heard the submissions made by
counsel for the respective parties and having
considered the matter,
the following order is made:
1.
The counter application of the first,
second and fifth respondents is dismissed with costs.
2. That the first,
second, third, fourth, fifth and sixth respondents and all persons
holding under them, be evicted from the property
known as Erf [...],
Bryanston, Registration Division IR, Gauteng.
3. That the first,
second, third, fourth, fifth and sixth respondents vacate the
property within 30 days from the date of this order,
failing which
the Sheriff for the area within which the property is situated is
authorised to evict the first, second, third, fourth,
fifth and sixth
respondents and all persons holding under them.
4. That the first,
second, fifth respondents, jointly and severally the one paying the
other to be absolved, pay the costs of this
application.
[2]
Before I deal with this application for
leave to appeal, it is perhaps helpful to recap the proceedings of 12
February 2023 which
culminated in the order. First, there was the
main application, instituted by the applicant (“Key Lettings”),
which
sought to evict the first to sixth respondents (“the
occupiers”). Mr Jooste represented the applicants and Dr Botha
represented the occupiers. There was also a counter application,
instituted by three of the respondents, namely the first (“Dr
Ward”), the second (“Ms Van Dyk”) and the third
(“Mr Mardwangwa”). The precise relief sought in the
counter application was a moving target. It underwent various
iterations, but without ever seemingly complying with the provisions
of rule 28. I will say more about the counter application a little
further along. For now, I begin with the eviction application
brought
by Key Lettings.
[3]
Key Lettings is the registered owner of Erf
[...] Bryanston. However, prior to it acquiring ownership, the
property was owned by
a company known as Port Ferry Properties 53
(Pty) Ltd (“Port Ferry”). However, during 2014, Port
Ferry was placed under
business rescue. Dr Ward was a director of
Port Ferry, but he resigned his directorship on 16 August 2016. The
business rescue
proceedings were subsequently terminated and Port
Ferry was placed in final liquidation on 31 March 2017. The
liquidators sold
the property by way of a public auction on 8
November 2017 for R3,3 million to Mr Nathan Len on behalf of a
company to be formed.
Mr Len subsequently nominated Key Lettings as
the purchaser and communicated this to the liquidators who accepted
it.
[4]
Dr Ward and Ms Van Dyk, who is described in
the papers as Dr Ward’s fiancé, brought an application
to stop the liquidation
and keep Port Ferry under business rescue.
That application was unsuccessful. It was dismissed on 11 September
2018. Subsequently,
a further application was brought by an entity
which appears to be related to Dr Ward known as Orange Financial
Holdings Ltd, also
to terminate the liquidation and place Port Ferry
back under business rescue. That application, too, was unsuccessful
and it was
dismissed on 5 February 2019. Also on 5 February 2019, the
court ordered that the transfer of Erf [...] Bryanston to Key
Lettings
must proceed. This happened and the property was registered
to Key Lettings on 25 November 2021. This is how Key Lettings became
the owner of Erf [...] Bryanston.
[5]
In the eviction application, Key Lettings
sought to evict Dr Ward, Ms Van Dyk, and the other occupiers who are
cited as the third,
fourth, fifth and sixth respondents. The eviction
application was brought in terms of section 4 of the Prevention of
Illegal Eviction
from and Unlawful Occupation of Land Act No. 19 of
1998 (“the PIE”). It is, of course, trite that an
eviction application
under the PIE must be instituted by “an
owner or person in charge of the land” and that the proceedings
must be for
the eviction of “an unlawful occupier”.
Moreover, an eviction order can only permissibly be granted by the
court where
it is “just and equitable” to do so.
Applicants seeking to evict unlawful occupiers must comply with the
procedural
requirements, specifically those in section 4(2) of the
PIE. It is only if the court is satisfied that all of the
requirements
have been complied with, and that no valid defence has
been raised by the occupiers, that an eviction order may be granted.
[6]
At the hearing on 12 February 2023, during
argument, Mr Jooste referred me to
City
of Johannesburg vs. Changing Tides 74 (Pty) Ltd
[2013] 1 All SA 8
(SCA) where, at para 25, the Supreme Court of
Appeal held that:
A court hearing an
application for eviction at the instance of a private person or body,
owing no obligations to provide housing
or achieve the gradual
realisation of the right of access to housing in terms of section
26(1) of the Constitution, is faced with
two separate inquiries.
First, it must decide whether it is just and equitable to grant an
eviction order having regard to all
relevant factors. Under section
4(7) those factors include the availability of alternative land or
accommodation. The weight to
be attached to that factor must be
assessed in light of the property owner’s protected rights
under section 25 of the Constitution,
and on the footing that a
limitation of those rights in favour of the occupiers will ordinarily
be limited in duration. Once the
court decides that there is no
defence to the claim for eviction and that it would be just and
equitable to grant an eviction order,
it is obliged to grant that
order. Before doing so, however, it must consider what justice and
equity demands in relation to the
date of implementation of that
order and it must consider what conditions must be attached to that
order. In that second inquiry,
it must consider the impact of an
eviction order on the occupiers and whether they may be rendered
homeless thereby or need emergency
assistance to relocate elsewhere.
The order that it grants as a result of these two discreet inquiries
is a single order. Accordingly,
it cannot be granted until both
inquiries have been undertaken and the conclusion reached that the
grant of an eviction order,
effective from a specified date, is just
and equitable. Nor can the inquiry be concluded until the court is
satisfied that it is
in possession of all the information necessary
to make both findings based on justice and equity.
[7]
In arriving at my decision, which
culminated in the order of 15 February 2023, I accepted as a fact
that Key Lettings is the owner
of Erf [...] Bryanston because the
property is registered in its name. I also accepted, as a fact, that
Key Lettings did not consent
to the occupiers occupying the property.
As to whether or not the eviction of the occupiers is just and
equitable, I had regard
to the arguments advanced to me by Mr Jooste
on behalf of Key Lettings. I was mindful of the fact that Key
Lettings has paid the
full purchase price but derived no benefit at
all from the property because the occupiers have remained in
occupation of it throughout.
Moreover, Key Lettings is liable to pay
all municipal accounts in respect of the property whilst Dr Ward, Ms
Van Dyk, Mr Mardwangwa
and the other occupiers remain on the
property. The occupiers, for their part, placed very few facts before
the court as to why
it would be unjust or inequitable to evict them.
Dr Botha, who acted for the occupiers, was unable to persuade me that
it would
be unjust and inequitable for the occupiers to be evicted.
[8]
The counter application, as stated above,
was instituted by Dr Ward, Ms Van Dyk and the fifth respondent who I
understand is a gardener
on the property (“Mr Mardwangwa”).
They instituted it on 14 March 2022. The primary relief was a request
for a stay
of the application for eviction for a period of two months
to enable them to bring a substantive application to set aside Dr
Ward’s
sequestration and the liquidation of several companies
linked to him, including Port Ferry. That counter application, as I
stated
above, underwent various iterations. In March 2022, a notice
in terms of rule 28(1) was delivered and it indicated that, instead
of seeking the order as initially formulated, a new order will be
sought declaring the sale and transfer of Erf [...] Bryanston
null
and void. The proposed amendment was, however, never perfected. An
amended counter application was then served during April
2022, but
without complying with the provisions of rule 28. In this
non-compliant proposed amendment, the respondents were seeking
a stay
of the application for eviction pending an application which they
intended to bring to set aside Dr Ward’s sequestration
and the
liquidation of Port Ferry which application they were going to bring
within six months. The order sought in that particular
version of the
counter application underwent a further purported amendment in May
2022, again without following the process prescribed
by rule 28. This
time the order being sought was one to declare the sale and transfer
of Erf [...] void alternatively to stay the
eviction application
pending an application to be instituted within six months requesting
the court’s consent to conduct
the proceedings as required in
terms of the 16 April 2019 order. And then, finally, shortly before I
heard argument on 12 February
2023, a supplementary affidavit was
delivered in which it was stated that Dr Ward, Ms Van Dyk and Mr
Mardwangwa will seek an order
cancelling the sale and transfer of Erf
[...] to Key Lettings. This is not how relief should be formulated
and it is not how counter
applications, once formulated, should be
amended. The haphazard way that Dr Ward, Ms Van Dyk and Mr Mardwangwa
have gone about
formulating the relief that they seek in the counter
application has created some confusion and left the true relief that
they
seek unclear and uncertain. It is precisely to avoid this type
of situation that the court has rules. Those rules must be complied
with litigants. Whilst I accept that non-compliance may occur, it is
proper that when it does, the non-compliant party should bring
an
application for condonation. That did not happen in this case
either.
[9]
At the hearing on 12 February 2023, it
emerged that the occupiers’ main defence to the eviction was
that Key Lettings is not
the lawful owner of Erf [...] Bryanston
because the transaction from which it acquired ownership from Port
Ferry was allegedly
tainted by fraud. This line of argument formed
the backbone of the counter application, ie. the reason that an order
was sought
cancelling the sale and transfer of the property and/or
declaring the transfer null and void. However, I found there to be
four
impediments that precluded me from granting this relief to Dr
Ward et al.
First
,
I found that they lacked
locus standi.
Dr Ward was the only one who had a connection to Port Ferry. He used
to be a director of it, but he resigned his directorship on
16 August
2016 which is before Port Ferry was placed in final liquidation on 31
March 2017. It was never contended by Dr Botha,
on behalf of the
occupiers, that anybody other than Dr Ward may have had the requisite
standing to bring the counter application.
Moreover, it is common
cause that Dr Ward is an unrehabilitated insolvent. He therefore has
diminished legal capacity. His ability
to litigate is limited
primarily to matters relating to his own status as an insolvent. In
other matters, such as the one that
forms the subject matter of his
counter application, he needs the consent of the trustees of his
personal estate. Fatally, in my
view, he did not obtain their
consent, nor were the trustees joined to the litigation.
Secondly
,
to the extent that Dr Ward et al sought to impugn the legality of the
transaction that underpinned the transfer of ownership in
Erf [...]
Bryanston from Port Ferry to Key Lettings, a number of necessary
parties had not been joined. The liquidators of Port
Ferry had not
been joined despite the fact that they sold Erf [...] Bryanston to
Key Lettings. The initial purchaser who bought
the property from Port
Ferry on behalf of Key Lettings, Mr Nathan Len, was also not joined
despite the fact that he, according
to Dr Ward et al, was the main
culprit in the alleged fraud. I was being asked to red card players
that were not even on the field.
Thirdly
,
an interdict had been granted against Dr Ward on 16 April 2019
effectively prohibiting him from instigating or launching proceedings
on behalf of or in respect of an entity in which he had an interest
prior to his sequestration. The interdict, by design, included
Port
Ferry. The interdict also prohibited Dr Ward from making any further
allegations that the order sequestrating him was fraudulently
obtained and that ABSA Bank via its representatives fraudulently
facilitated the transfer of Erf [...] Bryanston from Port Ferry
to Mr
Nathan Len and/or Key Lettings. The counter application, which sought
to impugn the legality of that transaction, was based
on documents
that contained numerous statements which fall foul of the interdict.
Fourth
and
finally, notwithstanding the other three impediments, the motion
court is not an appropriate choice of forum for challenging
matters
that implicate fraud in these types of circumstances because they are
typically animated by disputes of fact.
[10]
On 15 February 2023, for the reasons given
above, I granted the eviction with costs and dismissed the counter
application with costs.
[11]
Now we get to the current application, Dr
Ward, Ms Van Dyk and Mr Mardwangwa’s application for leave to
appeal which was argued
before me on 31 October 2023. Mr Jooste,
again, represented Key Lettings (who is now the respondent). However,
on this occasion
Dr Ward represented himself and Ms Van Dyk and Mr
Mardwangwa (who are now the applicants for leave to appeal). In terms
of section
17(1)(
a
)(i)
of the
Superior Courts Act No. 10 of 2013
, leave to appeal may only
be given where the judge concerned is of the opinion that the appeal
would have reasonable prospects
of success. In other words, Dr Ward
had the job of persuading me that I may have erred to the extent that
there are reasonable
prospects that another court, tasked with an
appeal against my order of 15 February 2023, would (not may) find
differently.
[12]
At the hearing, Dr Ward focussed on the
alleged illegality of the transaction in terms of which Erf [...]
Bryanston was transferred
from Port Ferry to Key Lettings. His
argument, as I understood it, was that the transfer of the property
is tainted by no less
than 32 instances of illegality or fraud. He
submitted, on the authority of
Nedbank
Ltd vs. Mendelow N.O. and Another
2013
(6) SA 130
(SCA), that the court has no discretion but to set aside
the transfer of the property if there is fraud. Dr Ward relied
specifically
on para 12 of
Mendelow
which reads as follows:
It is trite that where
registration of a transfer of immovable property is effected pursuant
to irregular or a forged document ownership
of the property does not
pass to the person in whose name the property is registered after the
purported transfer. Our system of
deeds registration is negative: it
does not guarantee the title that appears in the deeds register.
Registration is intended to
protect the real rights of those persons
in whose names such rights are registered in the deeds office…
registration does
not guarantee title, and if it is effected as a
result of a forged power of attorney or of an irregular document,
then the right
apparently created is no right at all.
[13]
I understood Dr Ward’s submission to
be that the presence of fraud vitiated the transfer from the seller
who, in this instance,
was Port Ferry. The result of this, he said,
is that Key Lettings is not the owner of Erf [...] Bryanston and
therefore does not
have the right to evict the occupiers from the
property. I reminded Dr Ward of the difficulties that I had when the
matter was
argued before me on 12 February 2023. Specifically, I
reminded him that there are a number of extant court orders that
stand in
the way, or seem to me to stand in the way, of engaging his
allegations of illegality and fraud. For example, there was the
application
brought to interdict the sale of Erf [...] Bryanston
which was struck from the roll on 8 November 2017. Then there was the
application
to terminate the liquidation and place Port Ferry back
under business rescue which was dismissed on 11 September 2018. After
that
there was the further application to terminate the liquidation
and place Port Ferry under business rescue which was also dismissed
on 5 February 2019 coupled with the order that directed that Erf
[...] Bryanston to be transferred to Key Lettings. Last but not
least
there is the 16 April 2019 interdict which prohibits Dr Ward from
instigating or launching proceedings on behalf of Port
Ferry, or in
respect of it. These orders have not been appealed. I asked Dr Ward
on what basis another court could find differently
given that these
unchallenged orders remain unchallenged and are extant. His answer
was that
Mendelow
is
authority that these other court orders do not stand in the way of
another court declaring the transfer null and void because
that is
the automatic consequence of fraud. Even if Dr Ward is correct, a
fraud still needs to be established.
[14]
On 12 February 2023, I found that Dr Ward
did not have
locus standi
to institute the counter application. For a person to have
locus
standi
, he or she must have a
“sufficient interest” in respect of the subject matter of
the proceedings, which is constituted
by having an adequate interest
and not merely a technical one. The interest that the applicant has
must be actual and not merely
abstract or academic. The interest must
be current and not merely hypothetical. The requirement of a
“sufficient interest”
acts as an important safeguard to
prevent busy bodies from instituting litigation with sometimes
misguided or trivial complaints.
If the requirement of having a
“sufficient interest” did not exist, our courts would be
flooded by people instituting
litigation in respect of which they
have no adequate interest. It seems to me, therefore, that in order
for an applicant to have
standing, that person must have been
aggrieved by some act or omission. To be aggrieved, a person must
have a substantial, immediate
and direct interest in the subject
matter and outcome of the proceedings. Not only must the person who
is applicant in the litigation
have a direct interest in the issue
being litigated, but his or her interest must be immediate and not
merely a remote consequence
of the judgment. The interest must also
be substantial. An interest is substantial when it surpasses the
common interest that other
ordinary citizens may have in procuring
obedience to the law. For an interest to be direct, there must be a
causal connection between
the conduct complained of and the harm that
has been alleged. Finally, an interest can be said to be immediate
where the causal
connection is sufficiently proximate so as not to be
remote or speculative.
[15]
At the hearing of the application for leave
to appeal, I asked Dr Ward why he believed that he had a sufficient
interest such as
to confer upon him
locus
standi
to institute the counter
application. Relying on
Mendelow
,
he submitted that if a fraud is established in the transfer, the
transfer is automatically null and void. He submitted that anybody
can point out a fraud to the court and when they do, questions of
locus standi
do not enter the equation.
[16]
It is useful to consider the facts of
Mendelow
a
bit more closely. Mrs Emily Valente owned immovable property in
Gauteng. In her will, which she signed in 1994, she left her
estate
in equal shares to her two sons, Evan and Ricardo. In 2001, the
property was sold to a company, U Valente Africa (Pty) Ltd.
A week
later Mrs Valente died. As it turned out, Ricardo had forged his
mother’s signature on the deed of sale. Evan picked
this up and
pointed it out to Mr Mendelow and Mr Ledwaba N.N.O. who were the
joint executors of the deceased estate. They instituted
an
application alleging that the sale and transfer of the property from
Mrs Valente to U Valente Africa (Pty) Ltd was vitiated
by fraud and
should therefore be set aside. The High Court agreed and ordered that
the property must be returned to the deceased
estate. The matter went
on appeal to the Appellate Division. In the appeal it was argued that
the executors, Messrs Mendelow and
Ledwaba N.N.O did not have
locus
standi
and that the application was a
sham because the executors were nothing more than the alter ego of
Evan, meaning that Evan should
have instituted the action to set
aside the impugned transaction and not the executors. In paragraphs
12 and 13 of the judgment
it was held that where the registration of
a transfer of immovable property is effected pursuant to a fraud or a
forged document,
ownership of the property does not pass to the
person in whose name the property is subsequently registered. Fraud
vitiates consent.
In para 21 of the judgment, the court held that it
could not condone the fraud because that would give life to an
illegal and fraudulently
obtained right. Dr Ward submitted that
Mendelow
is authority for the proposition that as an applicant seeking to set
aside a fraudulent transfer of property he need not demonstrate
that
he has
locus standi
,
all that he need do is demonstrate the fraud in which case the
impugned transaction is automatically null and void. I disagree.
[17]
In my view, Dr Ward has conflated two
concepts: an applicant’s right to institute legal proceedings
and the consequences that
flow from the legal proceedings that have
been instituted if a fraud is established. I accept that if a fraud
is established, the
transfer must be set aside. The question,
however, is who is entitled to approach the court for the purposes of
establishing the
fraud. In our law, it is trite that the plaintiff in
a trial, and the applicant in an application, must allege and prove
locus standi
,
see
Mars Incorporated vs. Candy World
(Pty) Ltd
[1990] ZASCA 149
;
1991 (1) SA 567
(AD) at 575H.
I know of no authority which suggests that a plaintiff in a trial, or
an applicant in an application, need not establish
locus
standi
. Even in public law, where the
rules that confer standing are considerably more liberal, plaintiffs
and applicants must still prove
that they have
locus
standi
. I do not think that
Mendelow
is authority for the proposition that
“anybody” can institute litigation to set aside a
transfer tainted by fraud. In
Mendelow
,
although it was argued that Evan Valente should have brought the
application and not the executors, the mere fact that the court
held
that the executors could bring it does not mean that “anybody”
can do so. Executors, by virtue of the office that
they hold, clearly
have the capacity to apply to court to set aside fraudulent
transactions. They get that power after being issued
with letters of
executorship by the Master of the High Court. It is not correct, as
Dr Ward suggests, that
locus standi
is irrelevant when there is a fraud. If that were the case, our law
would have to entertain litigation brought by busy bodies (by
this I
mean that a “busy body” is someone who cannot establish
an interest in the relief that he or she seeks nor can
he or she
establish a right to seek that relief).
[18]
As I have stated above, for a person to
have
locus standi
,
he or she must have a “sufficient interest” in respect of
the subject matter of the proceedings. Although Dr Ward
was not a
director of Port Ferry at the time that he alleges a fraud to have
occurred, he was a shareholder. In fact, he was Port
Ferry’s
sole shareholder. A question that I raised
mero
motu
is whether Dr Ward’s
shareholding in Port Ferry gave him a “sufficient interest”
to institute a counter application
based on Port Ferry being
defrauded. I gave both Dr Ward and Mr Jooste an opportunity to
consider this question and to submit to
me, if they so wished,
additional written heads of argument on this point only. I am
indebted to both Dr Ward and Mr Jooste for
the trouble that they took
in doing so.
[19]
Having considered the issue, both
independently and in light of the additional heads of argument that I
received, I remain of the
view that Dr Ward, as the shareholder of
Port Ferry, lacked the requisite
locus
standi
to institute a counter
application in which the cause of action is essentially premised on a
fraud perpetrated on Port Ferry. He
does not, in my estimate, have a
“sufficient interest”. To appreciate this, we must start
at the beginning. Port Ferry
is a company and Dr Ward its
shareholder. We know from basic company law that a company is a
separate legal person in the eyes
of the law, distinct from its
shareholders, a la
Saloman vs. Saloman &
Co. Ltd
[1897] AC 22
(HL) which has
been routinely followed in South African law, see
Letseng
Diamonds Ltd vs. JCI Ltd; Trinity Asset Management (Pty) Ltd vs.
Investec Bank Ltd
2007 (5) SA 564
(W)
at 573-574,
De Bruyn vs. Steinhoff
International Holdings NV
2022 (1) SA
442
(GJ) at para 137, and
Naidoo and
Another vs. Dube Tradeport Corporation
2022 (3) SA 390
(SCA) at para 11. Under the common law, if a wrong is
done to the company then only the company may institute proceedings
against
the wrongdoers. This is known as the “proper plaintiff
rule”. If the wrongdoers are the people in control of the
company
and are therefore able to prevent the company from
instituting the necessary proceedings, then a shareholder can
institute a so-called
“derivative action” in his or her
own name against the wrongdoers for relief to be granted to the
company. A shareholder
may not sue to recover a loss that he or she
has suffered if that loss is reflected in the loss suffered by the
company. This is
known as “the rule against reflective loss”.
Thus, if a wrong is done to a company and the company has a claim
against
the wrongdoer, a shareholder of the company will have no
action in his or her own right against the wrongdoer because the
shareholder
has not been independently wronged. When a person
acquires a share in a company, he or she accepts the fact that the
value of his
or her investment follows the fortunes of the company.
These common law rules found expression in one form or another in
company
legislation, via the Companies Act of 1973 and more recently
the
Companies Act No. 71 of 2008
.
[20]
Erf [...] Bryanston was owned, prior to the
transfer, by Port Ferry. If the sale from Port Ferry to Key Lettings
was tainted by
fraud then Port Ferry, as the legal person divested of
its property, would unquestionably have a “sufficient interest”
to challenge the legality of the transfer. It could do that under the
proper plaintiff rule. The legal challenge would ordinarily
be
instituted by the directors of the company on behalf of the company.
Ordinarily, a shareholder will not have a sufficient interest
to do
so for reasons that flow from the consequences of the rule in
Saloman
vs. Saloman & Co
. (supra). There
may well be scope for exceptions, but they will be fact-dependant. Dr
Ward has not relied on any exceptional facts.
In fact, Dr Ward relied
on very few facts to support any contention that he has
locus
standi
given his primary submission
that
locus standi
is irrelevant if fraud is implicated in the transfer.
[21]
I remain of the view that my order of 15
February 2023 granting the eviction and dismissing the counter
application was the correct
one.
[22]
As stated above, in terms of
section
17(1)(
a
)(i)
of the
Superior Courts Act No. 10 of 2013
, leave to appeal may only
be given where the judge concerned is of the opinion that the appeal
would have reasonable prospects
of success. For reasons that I have
advanced, I do not believe that an appeal would have reasonable
prospects of success. I do
not think that an appeal against the
eviction order that I granted would succeed nor do I think that an
appeal against the order
that I made dismissing the counter
application would have any reasonable prospect of success.
[23]
In the circumstances, I make the following
order:
1.
The application for leave to appeal is
dismissed with costs.
K. HOPKINS
Acting Judge of the High
Court
Gauteng Local Division,
Johannesburg
Heard
:
31 October 2023
Judgment:
14 November 2023
APPEARANCES
For
Applicant
:
Dr.
Ward (personally)
For
Respondent
:
Adv.
JH Jooste
Instructed
by
:
Van
Dyk Oosthuizen Attorneys Inc.
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