Case Law[2023] ZAGPJHC 1474South Africa
Various parties obo minors v Anglo-American South Africa Limited and Others (2020/32777) [2023] ZAGPJHC 1474 (14 December 2023)
Headnotes
Summary: Practice — Class action — Certification— No prima facie case established on the facts — Certification denied — All other factors are secondary.
Judgment
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# South Africa: South Gauteng High Court, Johannesburg
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## Various parties obo minors v Anglo-American South Africa Limited and Others (2020/32777) [2023] ZAGPJHC 1474 (14 December 2023)
Various parties obo minors v Anglo-American South Africa Limited and Others (2020/32777) [2023] ZAGPJHC 1474 (14 December 2023)
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sino date 14 December 2023
REPUBLIC
OF SOUTH AFRICA
IN
THE HIGH COURT OF SOUTH AFRICA
GAUTENG
DIVISION, JOHANNESBURG
CASE NO: 2020/32777
(1)
REPORTABLE: YES/NO
(2)
OF INTEREST TO OTHER JUDGES: YES/NO
(3)
REVISED
SIGNATURE
DATE:14/11/2023
In
the matter between:
VARIOUS
PARTIES OBO MINORS
First to Twelfth Applicants
__________
Thirteenth
Applicant
and
ANGLO
AMERICAN SOUTH AFRICA LIMITED
Respondent
and
AMNESTY
INTERNATIONAL
First
amicus curiae
THE
SOUTH AFRICAN LITIGATION CENTRE
Second
amicus curiae
THE UNITED NATIONS
SPECIAL RAPPORTEUR
Third
amicus curiae
ON TOXICS AND HUMAN
RIGHTS
THE UNITED NATIONS
SPECIAL RAPPORTEUR
Fourth
amicus curiae
ON EXTREME POVERTY AND
HUMAN RIGHTS
THE UNITED NATIONS
SPECIAL RAPPORTEUR
Fifth
amicus curiae
ON THE RIGHTS OF
PERSONS WITH DISABILITIES
THE UNITED NATIONS
WORKING GROUP ON
Sixth
amicus curiae
BUSINESS AND HUMAN
RIGHTS
THE UNITED NATIONS
WORKING GROUP ON
Seventh
amicus curiae
DISCRIMINATION AGAINST
WOMEN AND GIRLS
Summary:
Practice
—
Class action
—
Certification—
No prima facie case established on the
facts
—
Certification denied — All other
factors are secondary.
Practice
— Class Action — Duty of court
to screen class
actions to ensure that it is in the interest of justice for them to
proceed.
Practice
— Class Action — Bifurcated procedure —Opt-in or
opt-out —
foreign peregrini
—
no expressed or implied submission to jurisdiction of this court —
Opt-out procedure not suitable.
Practice
—
Class Action — Prescription —
Zambian statute of
limitations applies
—
Majority of
the claims in the second proposed class time-barred.
Practice—Class
Action — Overbreadth of classes — Mismatch between the
class definition and triable issues.
ORDER
The application is
dismissed with costs, including the costs of three junior and three
senior counsel.
JUDGMENT
WINDELL,
J:
INTRODUCTION
[1]
This
is an application in which the applicants seek judicial permission to
issue a class action against the respondent, Anglo American
South
Africa Limited (Anglo).
[1]
The
proposed class action
seeks
monetary compensation
for
two classes from the Kabwe district in Zambia, who have been injured
by lead exposure: (a) children and (b) women of childbearing
age.
[2]
Lead
(chemical symbol Pb) has been mined and smelted by humans for eons.
It is found in varying concentrations throughout the earth's
crust,
most frequently in the lead ore galena, which consists of mineralized
lead sulphide (PbS) and other compounds. Due to its
relative
abundance, malleability, and durability, lead has been utilised for a
variety of purposes throughout human history, including
plumbing,
ammunition, paint, and, for a significant portion of the 20th
century, as a fuel additive. Lead, unlike many other metals
such as
iron and zinc, is extremely toxic to humans, and the associated risks
and symptoms are well documented.
[2]
There is a risk of permanent brain damage and even death
.
[3]
[3]
Lead
enters the body through ingestion and inhalation. After entering the
body, the substance may be absorbed into the blood and
subsequently
deposited in organs and bones. Over time, lead can accumulate in the
body in this manner. Young children, whose brains
and bodies are
still developing, are especially susceptible to lead poisoning due to
their hand-to-mouth and object-to-mouth contact,
their habit of
crawling and failure to wash their hands regularly. In children with
iron and/or calcium deficiency, a condition
prevalent in low-income
nations like Zambia, lead absorption can be even higher.
[4]
In fact, the incidence of lead poisoning in children under 3 years
old in Zambia’s mining town Kabwe (Kabwe), is among the
highest
in the world.
[5]
[4]
Women
of childbearing age are particularly predisposed to lead exposure
during pregnancy and are likely to pass it on to their unborn
children.
[6]
Elevated maternal
blood concentrations of lead are associated with gestational
hypertension, pre-eclampsia, and an increased risk
of miscarriage. A
link has also been established between prenatal lead exposure and
neurodevelopmental issues in children.
[5]
T
he
town
of Kabwe
is the capital of the Zambian Central Province and the
Kabwe
district
and is
home
to 225 000 people. The Kabwe district covers an area of almost 1
570 km², the size of the City of Johannesburg. Members
of the
proposed classes are estimated to make up approximately 140 000
members of this population.
[6]
Kabwe
is one of the most lead-polluted locations on the planet.
[7]
There is irrefutable evidence of massive lead contamination of the
soil and of astronomically high levels of lead in the blood
(BLLs) of
a significant portion of the local population.
The
unit of measurement for BLLs is micrograms per decilitre (
µg/dL)
and it can be measured through a simple blood test.
[7]
Supported
by scientific evidence, the applicants argue that no safe level of
lead in the blood exists.
[8]
The
National Institute of Communicable Diseases, which is the responsible
South African organ of state for monitoring communicable
diseases,
however, treats a BLL of 5 µg/dL as a confirmed case of lead
poisoning which must be notified to the Department
of Health within 7
days of diagnosis.
A
level of 45 µg/dL is the threshold at which chelation treatment
is required.
[9]
[8]
The thirteen applicants comprise of 11
children between the ages of 2 and 10, and two young women (aged 17
and 20) of childbearing
age, who have lived their entire lives in and
around Kabwe. The sixth applicant has since withdrawn. They have been
examined and
evaluated by two experts, Professors Dargan and Adnams,
and their expert affidavits and reports detail their observations and
conclusions.
The blood lead levels of the applicants were measured in
November 2019 and February 2020. Two of the applicants' BLLs exceeded
100 µg/dL, and all but four of the applicants' BLLs exceeded 50
µg/dL. They all present with recognised sequelae of
lead
exposure and lead poisoning.
[9]
Numerous
studies have been conducted in Kabwe. The studies confirm that the
primary source of lead pollution in Kabwe, is the Kabwe lead mine
(the Mine), which operated from 1906 until it closed in 1994.
[10]
Despite
the passage of time since the Mine's closure, it continues to leave
behind a toxic legacy. This is due to the fact that
lead is dense,
stable, and resistant to corrosion. After lead has been deposited in
the soil, it typically remains stationary and
does not undergo
degradation, thereby presenting a potentially centuries-long hazard.
Today it is universally accepted that, without
remediation, lead that
was deposited in the soil a century ago will persist in the present
day.
[10]
Wind is one of the most important factors
in lead's transport and deposition in the environment. In Kabwe, a
flat region with low-lying
hills, the wind flows unimpeded by
mountains, allowing contaminants from mining and smelting operations
to be carried directly
into neighbouring communities. Particles of
lead require a minimum wind speed in addition to other variables,
including particle
size, to become airborne. However, once airborne,
they are deposited in the environment by the prevailing winds. Lead
fumes that
escape during the smelting process is especially
susceptible to wind dispersion because it does not require a minimum
velocity
to become airborne.
[11]
The
applicants contend that notwithstanding the passage of nearly
twenty-five years since the smelters ceased operations in 1994,
BLLs
of the local inhabitants indicate that historical contaminants
continue to persist in the current soils and dust, resulting
in
ongoing lead exposure.
[11]
There are claims that the contamination of soil and dust in Kabwe was
predominantly caused by airborne emissions from the Mine,
with some
dispersion from waste dumps and the Kabwe canal contributing to a
lesser degree.
[12]
The
application is unique. The applicants, who are citizens of Zambia and
peregrini
of this
court (i.e, people neither domiciled nor resident in South Africa),
are seeking redress in a South African Court, for a
wrong committed
in Zambia. They seek to hold Anglo liable for lead pollution that
occurred during its involvement in the Mine from
1925 to 1974,
beginning and ending 97 and 47 years ago respectively (the relevant
period).
[12]
The applicants’
cause of action is based on the tort of negligence.
T
he
parties agree that Zambian law will govern the substantive issues
(the
lex
causae
)
and procedural matters will be governed by South African Law
— the
lex
fori
(the
domestic law of the country in which proceedings are instituted).
[13]
The
Zambian law mirrors the relevant English common law principles, which
is
part of Zambian law by virtue of section 2(a) of the English Law
(Extent of Application) (Amendment Act 2011, Chapter 11).
This
means that English common law principles form part of Zambian law and
are binding on Zambian courts, whereas the decisions
of English
courts are highly persuasive, even though not absolutely binding. Mr
Musa Mwenye SC, the former Attorney General of
Zambia, and
the
applicants' Zambian law expert,
opines
that in deserving cases, Zambian courts may depart from English
decisions if there are good and compelling reasons to do
so but will
not depart from established principles.
[13]
The elements of the tort of negligence are therefore
well-established. The Zambian Supreme Court
[14]
has held that it requires proof of a duty of care; a breach of that
duty through negligent conduct; actionable harm; a causal connection
between the negligent conduct and the harm, involving both factual
and legal causation; and damages.
[14]
In
Michael
Chilufya Sata MP v Zambia Bottlers Limited
,
[15]
the Zambian Supreme Court went a step further to clarify that in
order to establish the tort of negligence, the negligence of the
defendant must occasion actual damage to the claimant and that there
is no right of action for nominal damages.
[15]
In
determining whether a class action is the appropriate procedural
vehicle for the claims, the overarching requirement is the interest
of justice (See
Mukkadam
v Pioneer Foods (Pty) Ltd
[16]
)
.
In
Trustees
for the time being of Children's Resource Centre Trust and Others v
Pioneer Foods (Pty) Ltd and Others (CRC Trust)
[17]
the Supreme Court of Appeal (SCA) identified certain factors to be
considered. First, there is a class or classes which are identifiable
by objective criteria; Second, a cause of action raising a triable
issue; Third, the right to relief depends upon the determination
of
issues of fact, or law, or both, common to all members of the class;
Fourth, the relief sought, or damages claimed, must flow
from the
cause of action and be determinable and ascertainable; Fifth, if the
claim is for damages, there is a suitable procedure
for allocating
the damages to members of the class; Sixth, the proposed
representatives of the classes are suitable to be permitted
to
conduct the action and represent the class; Seventh, a class action
is the most appropriate means of determining the claims
of class
members, given the composition of the class and the nature of the
proposed action.
[16]
In
Mukkadam,
the
Constitutional Court held that the various factors in
CRC
Trust
were not jurisdictional facts but were merely considerations to be
considered in an application for certification and the absence
of one
or another requirement must not oblige a court to refuse
certification where the interest of justice demand otherwise.
[18]
[17]
The applicants propose that the class
action advances in two stages: In the first stage, questions of fact
and law that are common
to all class members will be determined. This
will not fully determine the merits of the class members' individual
claims, but
it will go a considerable way to resolving their claims.
In the second stage, class members will prove their individual
claims,
including proof of individual harm and quantum. The
applicants propose that the first stage be decided on an opt-out and
the second
stage on an opt-in basis.
[18]
This
proposed bifurcated procedure is in accordance with the class action
certified by this court in
Nkala
and
Others v Harmony Gold Mining Company Limited and Others
,
[19]
on behalf of mineworkers suffering from silicosis and related
injuries. The applicants contend that this approach is equally
appropriate
for a class action of this scale. Anglo disagrees. It
contends that if the application for certification is to be granted
at all,
it should be granted on re-drawn and tightly defined classes,
which must operate on an opt-in basis (Anglo’s alternative
case). I will return to this issue and Anglo’s alternative case
later in the judgment.
[19]
Anglo opposes the application on various grounds. Some of the grounds
are valid, while
others are not. Hence, I will commence with the
three issues that do not pose an insurmountable obstacle to the
certification of
the class action. They are: Suitability of the
class representatives; Commonality and the Funding Agreements.
Following that,
I will then determine whether there is a cause of
action raising a triable issue, which aspect, in my view, is fatal to
the application.
Finally, I shall discuss ‘Anglo’s
alternative case’ which includes the damages claims, the
suitability of an
opt-out procedure and the class definitions.
SUITABILITY OF THE
CLASS REPRESENTATIVES
[20]
The
twelve Applicants are the proposed class representatives. The sixth
applicant has withdrawn as a class representative but continues
to be
a member of the proposed class. Suitability of the class
representatives turns on two primary considerations: Whether
the
proposed class representatives have the capacity to conduct the
litigation on behalf of the class; and whether their interests
are in
conflict with those whom they wish to represent.
[20]
[21]
A
conflict of interest arises if the purpose of the litigation is to
enrich the representatives, or to serve interests other than
those of
the class. The second issue, namely, whether the representative has
the capacity to conduct the litigation properly on
behalf of the
class, is important because ‘unsuccessful litigation will have
the effect of destroying the claims’.
[21]
[22]
Ten of the twelve class representatives are
children, represented and assisted in these proceedings by a parent
or guardian. This
is no impediment to their suitability or capacity
to act as class representatives.
Section 14
of the
Children's Act 38
of 2005
, read with s 28(2) of the Constitution and applicable
international instruments, guarantees that ‘every child has the
right
to bring, and to be assisted in bringing, a matter to a court,
provided that matter falls within the jurisdiction of that court’.
Section 10
of the
Children's Act further
affords
the right to ‘every child that is of such an age, maturity and
stage of development ... to ... participate in an
appropriate way’.
It also adds that ‘views expressed by the child must be given
due consideration’.
[23]
The child's right to participate in
judicial proceedings can either occur through direct participation
‘or through a representative
or an appropriate body, in a
manner consistent with ... procedural rules’.
Section 14
thus
provides an opportunity to realise the right contained in
s 10
, as it
links a child's right to participation with his or her right of
access to a court. The
Children's Act
places
a corresponding duty on parents and guardians to represent children
and to assist them.
[24]
To achieve the objectives of
s 14
read with
ss 10
and
18
(3)(b), the applicants' attorney, Ms Mbuyisa,
confirms that the following measures have been put in place: First,
all of the class
representatives under the age of 18 are represented
or assisted in bringing these proceedings by a parent or guardian.
Their parents
and guardians have been advised on and accept their
special responsibilities to participate in these proceedings and to
give instructions
in the best interests of the class and in the best
interests of the children.
Second, where
the children are of such an age, maturity and stage of development as
to be able to participate and express their
views, they too have been
consulted and advised fully on the nature of these proceedings, their
rights, and their responsibilities.
Third, the proposed class
representatives, represented by their parents and guardians where
necessary, are all readily contactable
to obtain instructions and
give advice.
[25]
Anglo does not dispute that the class
representatives are committed to litigating this class action, nor
does it meaningfully dispute
that they have the time, inclination,
and means to act as representatives of the classes in these
proceedings. Instead, Anglo raises
objections relating to the
‘typicality’ of the class representatives and complains
of an alleged conflict of interest.
[26]
First, Anglo contends that the
applicants' BLLs ‘are not representative of the BLL
distribution in Kabwe district generally’.
Anglo claims that
while all of the applicants currently suffer from ‘maladies’
caused by lead, the proposed class would
include
individuals
who do not currently suffer from any lead-induced harm. Second, Anglo
alleges that the applicants are also atypical
of the classes, because
they all live in Kasanda, Makululu and Chowa (the KMC townships), and
do not include class members drawn
from the wider Kabwe district.
Third, Anglo alleges that there is a conflict of interest between
proposed class members because
some have suffered more serious and
urgent injuries than others.
[27]
Typicality is not a requirement for
certification under South African law.
In
CRC Trust
,
the SCA explained this point as follows, with reference to s 38(c) of
the Constitution:
‘
In
some jurisdictions, such as the United States, it is an express
requirement that the representative plaintiff has a claim that
is
typical of the claims of the class. In Canada and Australia, whilst
there is no express requirement of typicality, Professor
Mulheron
suggests that the jurisprudence of those countries, in regard to
commonality, makes that a requirement. That question
does not arise
in South Africa, because s 38(c) of the Constitution expressly
contemplates a class action being pursued by 'anyone
acting as a
member of, or in the interest of, a...class'. Accordingly, while the
appellants include individuals who may be typical
of the class they
are seeking to represent, the other appellants may permissibly act in
the interest of the class. There is no
reason to differentiate in
that regard between class actions based on infringement of rights
protected under the Bill of Rights
and other class actions.
[22]
[28]
This
court also applied this dictum in
Nkala
,
in rejecting the respondents' argument that the class representatives
were atypical, as they did not include workers from all
of the
respondents’ mines, who were exposed to different conditions.
Similarly, in
De
Bruyn v Steinhoff International Holdings N.V. and Others (De
Bruyn),
[23]
Unterhalter
J held that it was immaterial that the class representative was not a
member of one of the proposed classes as it suffices
‘that the
class representative can act in the interests of the class.’
[24]
[29]
To
the extent that any further evidence from individual residents of
Kabwe is required to resolve the issues raised by Anglo, that
can be
addressed by calling additional witnesses.
[25]
This reasoning applies with equal force to Anglo's complaint about
the lack of class representatives from other parts of the Kabwe
district.
[30]
Anglo suggests that there is an
intractable conflict between those class members who have existing
injuries and those who may develop
injuries in the future, because
the former will have an interest in directing 'limited resources'
towards immediate payments, whereas
the interests of the latter will
have an interest in contingent future payments.
[31]
There is no conflict over damages for
future injury. This is because all class members who succeed in
establishing actionable injury
will be required to claim damages for
all future risk of injuries now, due to the restrictions imposed by
the
once-and-for-all rule. Therefore, all
class members will have an active interest in obtaining damages for
future losses. The fact
that some class members may have more
pressing needs than others is hardly a conflict of interest that
would disqualify certification.
[32]
As
acknowledged in
Nkala
,
there will always be some tensions between the needs and interests of
class members, but ‘this is no bar to certification
of the
class action nor is it a bar to the appointment of the applicants who
bring the certification application as representatives
of the
class’. ‘Trade-offs are inevitable’ so long
as the ‘the benefits of increased access to justice
and
judicial economy outweigh the inevitable trade-offs involved in
aggregate litigation.’
[26]
Moreover, any damages award, settlement, or method of allocation of
damages would have to be approved by the trial court, which
would
ensure that no class members' interests are improperly overlooked or
excluded in the process.
[33]
The proposed class representatives satisfy
the criteria specified in the class definitions.
The
evidence of these class representatives, supplemented with further
evidence from other witnesses where necessary, would provide
a basis
for the trial court to resolve the common issues at the first stage.
COMMONALITY
[34]
Anglo does not seriously
deny that there are a variety of anticipated legal and factual issues
that are common to all members of
the class that can be appropriately
resolved in a class action.
[35]
These common issues include, the precise
role played by Anglo in relation to the Mine and its operations from
1925; The existence
of a duty of care owed by Anglo; What Anglo knew
and ought reasonably to have known of the harms of lead pollution;
What measures Anglo ought reasonably to have taken
to prevent lead poisoning of local residents; Whether Anglo was
negligent in
failing to take those measures, timeously or at all;
Issues of factual and legal causation, including: the correct test
for factual
causation (‘but for’ or ‘material
contribution’); the Mine's contribution to lead pollution in
the Kabwe
district, including during the different periods of it
operations; the link between lead pollution and elevated BLLs; the
link
between elevated BLLs and different categories of sequelae
injuries;
the causative role, if any, in
the extent of lead emissions when the Mine was operated by Zambia
Consolidated Copper Mines Limited
(ZCCM), of negligence on the part
of Anglo prior to 1974; whether ZCCM's conduct after 1974 broke the
chain of causation between
Anglo's negligence and resulting harm.
[36]
Scalia
J, addressing the issue of co
mmonality
in
Wal-Mart,
[27]
stated that
the claims:
‘…
must
depend upon a common contention …That common contention,
moreover, must be of such a nature that it must be capable
of
classwide resolution – which means that determination of its
truth or falsity will resolve an issue that is central to
the
validity of each one of the claims in one stroke.’
[37]
In
CRC Trust
Wallis J remarked that
Wal-Mart
‘
highlights’ the
point that the class action does not have to dispose of every aspect
of the claim in order to obtain certification.
He held as follows:
‘
It
might in an appropriate case be restricted to the primary issue of
liability, leaving quantum to be dealt with by individual
claimants.
Certain common issues could be certified for the entire class, and
other subsidiary issues certified in respect of defined
sub-classes.
But the question in respect of any class or sub-class is always
whether there are common issues that can be determined
that will
dispose of all or a significant part of the claims by the members of
the class or sub-class’.
[28]
[38]
This
does not require that the class members' causes of action be
identical.
In
Nkala
,
this court approved of the Canadian Supreme Court's approach to
commonality in
Vivendi
,
[29]
‘which is founded on flexibility and common sense’. Three
key insights emerge: First, commonality must be approached
purposively. The ‘underlying question’ is whether the
proposed class action will help to avoid the duplication of
fact-finding or legal analysis and a multiplicity of individual
actions. Second, common issues do not require identical answers.
In
Nkala
the court remarked that ‘(t]he commonality requirement does not
mean that an identical answer is necessary for all the members
of the
class, or even that the answer must benefit each of them to the same
extent.' Instead ‘the common question may require
nuanced and
varied answers based on the situations of individual members.’
[30]
Thus, commonality depends on the existence of common questions, not
common answers.
Third,
the common questions need not be determinative of the case, nor do
they need to predominate over the issues that cannot be
answered for
the
entire class. It is sufficient that determination of the common
issues ‘allows the claims to move forward without duplication
of the judicial analysis’. The court held that the flexible
approach in
Vivendi
accords with our class action jurisprudence, as ‘it ensures
that the interests of justice predominate’.
[31]
[39]
Anglo argues that the individual issues of
causation, harm and quantum that will need to be determined for each
class member or
sub-classes would far outweigh the common issues. A
similar argument was raised in
Nkala
that was rejected by the court. It held that ‘once it has been
established that there are sufficient common issues whose
determination would advance the cases of all individual
mineworkers, then there is no need for the court
to engage in the exercise of examining whether these common issues
outweigh the
non-common ones.’
[40]
In theory, the trial court could be
asked to adjudicate on the medical evaluation of each and every case,
but the reality is that
if the trial court rules in favour of the
class on common issues and (through the claims of the representative
plaintiffs) lays
down the principles for evaluation of liability and
quantum in individual cases, these principles will then be applied in
the assessment
of the individual class members’ claims, usually
via an agreed settlement scheme. To the extent that there remain
disputes
over individual or sub-classes' claims, this can be
addressed through the various mechanisms provided under the Uniform
Rules,
including rules 10(5), 33(4) and 37A, for the separation of
issues and the management of further hearings.
[41]
Each of the anticipated common issues
would arise again and again if the prospective class members were to
bring individual claims
against Anglo. Both parties have introduced
voluminous evidence on these issues, running to thousands of pages,
involving many
experts. No individual litigant in this matter could
be expected to match Anglo's resources in one-on-one litigation.
[42]
Furthermore, the prospect of
litigating and re-litigating these issues in each individual case
would not be proportionate or cost-effective
for the litigants or for
the court system. A class action would help to avoid the duplication
of judicial efforts to resolve these
issues. The resolution of any
and all of the common issues would also help the class members’
claims to move forward. It
would not be feasible for the applicants'
lawyers to obtain instructions and particularise and file claims on
behalf of all the
members of a class of this magnitude at this stage.
[43]
Anglo has not offered any practical
suitable alternative to a class action for receiving and adjudicating
the copious quantities
of common evidence that would arise in every
individual claim raise by residents of Kabwe.
The
advantage that a class action offers is that the courts would not
need to be further burdened by litigating repeatedly a series
of
other issues that are common to the class. This underlines why class
action proceedings of this nature are the only realistic
and
appropriate method of determining these disputes.
THE LAWYERS AND THE
FUNDING ARRANGEMENTS
[44]
The
applicants are represented by Mbuyisa Moleele (MM), with London law
firm Leigh Day (LD) acting as consultants, in addition to
a large
team of counsel. Ms Mbuyisa, the founding partner of MM and the
founder of the Haki Legal Clinic, has extensive experience
on large
group actions and class actions of this nature. She has worked
closely with LD for more than 20 years, first on the Cape
plc
litigation on behalf of 7,500 South African asbestos Miners
[32]
and then on the Chakalane/Qubeka silicosis litigation, on behalf of
former gold Miners who contracted silicosis.
[33]
[45]
Given the breadth and complexity of the
proposed class action litigation, the only effective way to prosecute
such litigation is
through a multi-jurisdictional team of legal
representatives with extensive experience in litigation on this
scale. Anglo's team
is similarly comprised, as it has retained the
London-based Freshfields Bruckhaus Deringer (Freshfields), in
addition to a large
team from Webber Wentzel.
[46]
The estimated costs to trial are
substantial, standing at approximately £4.76 million. These
costs could never be met by the
applicants and prospective class
members, the majority of whom are indigent. Nor would it be feasible
for these costs to be covered
by the legal team. This has required
third-party litigation funding and contingency fee arrangements to
make this litigation possible.
The applicants have made full and
detailed disclosure of the funding arrangements, which is among the
most extensive of any certification
application filed in South Africa
to date. These funding arrangements have three key parts.
[47]
First, the applicants' attorneys have
secured third-party funding for this litigation from Kabwe Finance
Limited (KFL), a member
of the Augusta Group, the UK's largest
litigation funder by number of cases funded.
The
terms of this funding are set out in the Claim Funding Agreement
concluded between MM, LD and KFL. KFL has committed to funding
a
portion of the costs, for a proposed return of 25% of any award or
settlement (funder's return) plus all budgeted costs recovered
from
Anglo.
The Litigation Funding Agreement
includes a clause that the funder will have no control over the
litigation.
KFL has further disclosed the
source of its funds, which are Luxembourg-based investment vehicles
managed on behalf of institutional
investors by Bybrook Capital LLP.
[48]
Mr Robert Hanna, managing director of
Augusta Ventures Limited (AVL) further confirms that KFL has
sufficient committed capital
to fund this
litigation.
He further emphasises that, in over 200 cases funded to date to which
it has committed over £266 million in capital,
no Augusta
company has ever failed to meet a contractual obligation to provide
funding. Mr Hanna further explains that AVL is a
member of the
Association of Litigation Funders (ALF), the independent body that
regulates litigation funders in England and Wales
and is bound by its
Code. In the Claim Funding Agreement, KFL has bound itself to comply
diligently with the Code.
[49]
Second, KFL has secured After-The-Event
(ATE) insurance coverage from an international insurer, IGI, with an
indemnity of £2
million. This insurance coverage will protect
the applicants and the class members in the event of an adverse costs
order. The
policy schedule has been specifically amended to reflect
that the class members (on behalf of the class) are the insured,
alongside
KFL.
[50]
Third,
the applicants have concluded contingency fee agreements with their
attorneys and counsel, reflected in the amended ‘Client
Funding
Agreements’. The lawyers will be paid 62% of their ordinary
fees and
disbursements
by the third-party funder, with the balance of 38% to be paid by the
third-party funder in the event of success. This
is not a true
‘success fee’, as contemplated in the
Contingency
Fees Act (CFA),
[34]
as
the lawyers are charging reduced rates. Instead, the 38% is merely a
deferred portion of the fees, contingent on success.
[51]
The applicants seek this court's approval
of these funding arrangements, subject to the trial court's ultimate
power to approve
and oversee any final settlement and/or award,
contingency fee payments, and the distribution of funds to the class
members and
the funder.
In their notice of
intention to amend, the applicants foreshadow the insertion in the
notice of motion of the following paragraph:
‘
3A
The proposed funding arrangements in the class action are approved,
subject to the following:
a.
any settlement agreement reached by the parties shall only be of
force and effect if approved by the trial court; and
b. the funder's return,
whether under a settlement or final award, will be subject to the
approval of the trial court.’
[52]
The various agreements have undergone amendments for
purposes of clarity and to address issues raised by Anglo in its
answering
papers. The applicants express their willingness to
negotiate further amendments to these arrangements if required by the
court.
[53]
The
applicants’ proposed funding model is a novelty in the South
African landscape.
[35]
It
combines the third-party funding model with a contingency fee
arrangement between the lawyers and the class representatives
(and
class members). The only example in which these features were
combined, is the Ontario Superior Court of Justice judgment
of
Houle
v St Jude Medical Inc
.
[36]
In
De
Bruyn,
the court derived a six-part test as to how courts should assess
funding arrangements from
Houle,
in
particular (a) Whether the arrangements are fair and reasonable
towards the class members and whether they potentially overcompensate
the funders; (b) Whether they are fair and reasonable to the
defendant in particular in relation to its interest in having adverse
costs orders honoured; and (c) Whether the funding arrangements
create the capacity for the funder to interfere with the duty of
the
class lawyers to act in the best interests of their clients or
whether they create mechanisms for the class representatives
to be
able to give instructions and exercise control over the litigation in
the best interests of class members.
[54]
Anglo raises three areas of concern: (a) The ‘Litigation
Management Covenants’ between the lawyers and the funder; (b)
The reasonableness of the funder’s return; and (c), the
After-the-Event insurance cover.
First
concern: the funders’ return
[55]
In exchange for the litigation funding, KFL has contracted
with the lawyers to take 25% of the applicants' total settlement or
award,
as well as 100% of the budgeted costs and disbursements that
may be recovered from Anglo on the classes’ behalf.
[56]
It is the duty of the certifying court to specify whether a
particular reward is (or is not),
ex ante
, a reasonable return
for the risk assumed by the funder. The parties are agreed that the
trial court or a settlement court ultimately
must approve the final
pay-out to the funder and may then re-evaluate the reasonableness of
the return on an
ex post facto
basis.
[57]
Anglo’s objection to the proposed funders’ return
is that the funding scheme proposes a potentially excessive return
to
the litigation funders, who stand to make many multiples on their
investment. The funder has contracted for itself the right
to take a
flat fee of 25% of the class members' ultimate award, in
circumstances where contingency fee arrangements generally in
South
Africa only permit the lesser of twice the investment made, or 25%.
[58]
Anglo submits that the excessiveness of the return is
demonstrated in the following example: If the class members receive a
modest
settlement or judgment of R21,000 each, the funders are likely
to receive more than R525 million as well as taxed costs. That is
more than a three-fold return on their investment, which is now
projected to be R158 million.
[59]
Firstly, the CFA does not apply to third-party litigation
funders. Nor is there any basis for Anglo’s contention
that
public policy requires the CFA caps to be applied to third-party
funders
as a binding rule
. The CFA is intended to address the
specific mischief that arises in contingency fee arrangements, namely
the conflict of interest
that may arise between lawyers’ duties
to their clients and their profit motive. Those concerns do not arise
in third-party
funding arrangements such as this, where the funders
have no say over the litigation and have no role in representing or
advising
the litigants. It is for this reason that the courts in the
United Kingdom (UK) have rejected using contingency fee legislation
as determinative of public policy governing third-party funding.
[60]
In
Akhmedova
v Akhmedova,
[37]
in addressing the argument that the statutory prohibition of
contingency fee arrangements in family court proceedings should
inform
a similar public policy ban on third-party funding, the Court
made the following observations:
‘
70.
It seems to me that I should be very cautious in accepting the
analogy that, because conditional fee agreements are prohibited
in
family proceedings, public policy prohibits third-party funding in
family proceedings. That analogy seems to me to be misplaced
because
the different treatment afforded by the courts to contracts with
lawyers is obvious. There is a clear concern about a person’s
lawyer having a financial interest in the outcome of proceedings
which might improperly influence both the advice and the
representation
given. Those concerns do not arise in third-party
funding arrangements where the lawyers conducting the proceedings
have no financial
interest in the outcome. In this context, I am also
mindful of the inappropriateness of extending the prohibition on
third party
litigation funding to family proceedings as if settlement
were any more difficult/desirable in those proceedings or because a
portion
of the monies at stake in the litigation were used to pay a
funder.’
[61]
I
agree with the applicants’ argument that an assessment of
ex
ante
reasonableness is not the place to draw the hard lines that Anglo
seeks to impose. In my view, it is also premature as the
trial
court (or a court confirming a settlement agreement) will be best
placed to determine whether the proposed funder’s
return is
indeed reasonable, once the outcome and quantum is known, the costs
have been incurred, and a damages award has been
determined.
[38]
To impose an arbitrary 200% cap and exclusion of costs, at this
interim stage, would be unreasonable.
[62]
Anglo’s example, namely that the funder stands to
gain a return of over 330% on deployed capital, completely ignores
the very real alternative: that the funder may receive a 0% return.
[63]
The
proposed return of recovered costs to the funder is also
ex
ante
reasonable.
It is the funder which will foot the legal bills throughout this
litigation, not the class representatives. These
are disbursements
that it has made throughout the litigation, leaving it out of pocket.
Lawyers acting on contingency are entitled
to recover disbursements
on top of a success fee, even though they are otherwise prohibited
from retaining a costs award over and
above their fees.
Recovery of out-of-pocket expenses is permitted under the CFA and
there is no reason, in law or policy,
to deprive the third-party
funder of a similar entitlement.
[39]
Second
concern: ATE insurance cover.
[64]
The applicants' funder has contracted with an insurance
company for a so- called ‘After-the-Event’ (ATE)
insurance policy.
In the founding affidavit, Ms Mbuyisa explained
that the purpose of the ATE Insurance is ‘to meet an adverse
costs order
in the event the litigation is unsuccessful and to ensure
the class members will not be required to make any payment in respect
of adverse costs’.
[65]
Anglo raises two criticisms against the ATE insurance policy:
First, its amount — an indemnity limit of £2 million —
is not sufficient to meet the potential adverse costs orders; and
Second, Anglo is not a beneficiary of the insurance policy, despite
recognition that its interests in the honouring of adverse costs
orders deserve consideration in the interests of justice calculus.
[66]
As confirmed in
De Bruyn,
it is not a requirement for
certification that the applicants should provide security for costs.
The defendant’s potential
to recuperate costs is merely a
consideration (and by no means a dominant consideration) and the
existence of any measures to satisfy
costs orders counts in favour of
certification.
[67]
Anglo does not provide an explanation for why costs totalling
£2 million (equivalent to more than R40 million) are inadequate
to offset an adverse costs award. It would be reasonable to
anticipate that in order to substantiate the complaint it is
advancing,
it would furnish comprehensive information regarding the
projected costs. As no evidence has been presented to support this
claim,
the complaint is without merit.
[68]
Anglo
advanced a new argument during the hearing that was not addressed in
its papers. It contends that there are ‘restrictions’
in
the ATE policy which, it alleges, means that a ‘favourable
costs award for Anglo is unlikely to be honoured’. In
advancing
this argument, Anglo relies on the Federal Court of Australia’s
judgment in
Petersen
Superannuation Fund (Pty) Ltd v Bank of Queensland Limited
,
[40]
a judgment dealing with security for costs, which concerned whether
an ATE insurance policy could be relied on by a litigant in
lieu of
making payment of security.
[69]
The judgment is irrelevant because this court is not hearing a
security for costs application. It is for the same reason that
Unterhalter
J, in
De Bruyn
, held that
Petersen
was of
little relevance in certification proceedings:
‘
109. Deloitte
placed some reliance upon the Petersen case, decided in the
Federal Court of Australia. There
the question was whether an
insurance policy provided sufficient security for the costs of
litigation funded by a third party funder.
Although the case is of
some interest in the scrutiny it gave to the policy of insurance,
class certification does not require
that security for costs be
provided by an applicant or those who fund her. Rather, the interests
of the defendants figure as one
set of interests among others that
warrant consideration when the funding arrangements are scrutinized.
To the extent that adverse
costs orders made in favour of the
defendants are likely to be honoured, this counts in favour of
certification. It is, with much
else, a factor to be weighed. Given
DRRT’s funding commitments, taken together with the insurance
cover secured by Therium,
defendants are not placed at significant
risk that adverse cost orders will not be paid, for so long as the
funders continue to
fund the litigation.’
[41]
[70]
Anglo has failed to provide a calculation of its estimated
costs or an explanation for how its estimated taxed legal costs could
exceed the R40 million indemnity cover. In any case, I agree with the
applicants that Anglo's taxed costs are likely to be significantly
lower than the applicants' because it bears none of the burdens
associated with bringing and managing a class action of this size.
Furthermore, Mr Hanna has stated that the ATE policy's limit of
indemnity is still being reviewed, and that additional insurance
coverage will be sought if reasonably necessary.
[71]
Anglo also claims that enforcing an adverse costs order
against the funder and insurer would be difficult. This complaint is
also
without merit. KFL took out an insurance policy to cover any
unexpected costs. It would not have done so if it intended to avoid
any costs order. Mr Hanna further emphasises that Augusta has never
defaulted on a court order in any jurisdiction or reneged on
any
undertaking that claimants will be protected from adverse costs. To
do so, he states, ‘would be highly damaging to Augusta's
reputation, and completely undermine our credibility before the
courts in similar situations in our future investments’.
Anglo
is thus in a much better position than if the applicants had been
litigating alone, without litigation funding. Augusta's
market
reputation and the ATE insurance policy provide additional guarantees
and safeguards.
[72]
As a result, Anglo's complaints about the ATE Policy's
"restrictions" are without merit. Anglo is not entitled to
cost
security. So, it cannot complain about the insurance policy's
limit, a fortiori in circumstances where it has not even taken this
court into its confidence by disclosing its anticipated litigation
budget and recoverable taxed costs.
Third
concern: the Litigation Management Covenants
[73]
Anglo complains that the funding agreements
afford the funder improper control over the envisaged class action.
In support of its
contention, it relies on
Houle
.
[74]
There
is a fundamental distinction between class action claimants in South
Africa and class action claimants in Ontario.
It
is not disputed that the applicants and class members in the present
matter require third-party funding arrangements to litigate
the class
action. Without third party funding they would have no other way to
pursue this class action. It is also not disputed
that the
various authorities relied on by the applicants, emphasises the value
of commercial third-party litigation funding in
advancing access to
justice.
[42]
[75]
This, however, does not apply to the class
members in
Houle
,
nor to any other class members in Ontario. According to
Houle
,
the Class Proceedings Fund in Ontario provides public funding for
class action disbursements (but not counsel's fees). In return
for
funding disbursements and indemnifying class action plaintiffs
against costs awards, the Fund takes a 10% levy on class damages
over
and above the recovery of the disbursements that it funds. The
provision for public funding of class action disbursements
and a
contingency fee regime for counsel’s fees is a funding
mechanism that ensures that most class action plaintiffs in
Ontario
do not need litigation funding to get access to court.
[76]
As a result, the
Houle
judgment emerges from a completely different social context and must
be considered as such.
[77]
The rest of the complaints directed against
certain clauses in the funding agreements are
made entirely on
the authority of the
Houle
judgment. On closer inspection,
however, it is entirely unsupported by
Houle
. The
clauses in
Houle
that are similar to the funding agreement
clauses to which Anglo takes greatest exception, are clauses that the
Court in
Houle
did not have any difficulties with. Clauses
4.1.9 and 4.2.1, for example, which require MM and LD to provide Case
Information to
the funder, sparked heated debate. These clauses were
said to be ‘even worse’ than clause 7.2.7 of the
Houle
agreement, which the Ontario Courts allegedly found to be offensive.
[78]
However, clause 7.2.7 of the
Houle
agreement was not found to
be offensive by the Ontario Courts. The ‘litigation management
covenant’ clauses in
Houle
that were found to be
offensive are listed in paragraph 93 of the judgment of the Court a
quo which is reproduced in paragraph 48
of the Appeal Court
judgment. Clause 7.2.7 is not one of these clauses.
[79]
In any case, there is a distinction between clauses in
Houle
that impose obligations on the clients themselves and clauses in the
current funding agreement that impose obligations on MM, but
subject
to their overriding obligation to act in the best interests of their
clients. There is a further difference between clauses
in
Houle
that place obligations on the attorneys of record in
Houle
and
clauses in the funding agreement that place obligations on LD, who
are consultants engaged by MM, who remain duty bound to act
in the
best interests of their clients.
[80]
If all of the
Houle
clauses on which Anglo relied incorrectly
are removed, nothing remains of its 'litigation management covenant'
complaint.
Conclusion
on funding agreement
[81]
As
remarked in the interlocutory application, this court, ‘as the
guardian of the child's best interests, has a heightened
duty to
scrutinise the funding arrangements. Because the purported claims of
thousands of Zambian children may be rendered
res
judicata
by an action in a foreign jurisdiction, it is the duty of the court
to ensure that these claims are adequately pursued by way of
funding
arrangements that are not only sufficient, but that do not deliver
extortionate profits for third party funders at the
cost of the
children and that insulates the classes and their lawyers from undue
influence from Kabwe Finance.’
[43]
[82]
Anglo's
concerns are without merit because the necessary safeguards developed
by our class action jurisprudence have been built
into the proposed
funding arrangements. First, the applicants have provided detailed
disclosure of the funding arrangements, which
is without a doubt
among the most detailed and transparent disclosures of any class
certification proceeding to date.
[44]
Second, the terms of the relevant funding agreements are explicit
that neither the funder nor LD will exercise control over
the case,
which is to be conducted by MM on the instructions of the class
representatives
.
Third,
the applicants are represented by experienced attorneys and
independent advocates who are bound by ethical rules to represent
the
interests of their clients.
[83]
Fourth, the funder is part of the Augusta Group, a
leading third-party litigation funder with a well-established track
record
and reputation. That reputation creates its own safeguard.
Abuses and underhanded dealings, of the kind that Anglo alleges,
would
be disastrous to its professional standing and credibility with
the courts. Fifth, the funder is bound by the Association of
Litigation
Funders’ Code (ALF), which explicitly prohibits
funder control of litigation and other abuses. AVL is a member of the
ALF
and the Code’s requirements have been explicitly
incorporated in the Claim Funding Agreement, thereby making them
contractually
binding on the funder.
[84]
Anglo's
attempt to characterise the Code as inadequate protection ignores the
history and significance of the Code, as well as the
weight it has
been given by courts in England and Wales. The significance of the
Code was recently explained in
Akhmedova:
[45]
‘
In
Chapter 11 of his Final Report from the Review of Civil Litigation
Costs (2009), Lord Justice Jackson concluded that "in
principle,
third party litigation Approved Judgment funding is beneficial and
should be supported" for five reasons, including
that it
promotes access to justice and, for some parties,
may
be the only means of funding litigation (para. 1.2). He also
recommended that a voluntary code be established (para. 2.12) and
that it be made clear that funding arrangements complying with such
regulation would not be overturned on grounds of maintenance
and
champerty (para. 5.3). The Civil Justice Council — an agency of
the Ministry of Justice — published its Code of
Conduct in 2011
which is administered on a self-regulatory basis by the ALF. In his
sixth lecture on the Civil Litigation Costs
Review Implementation
Programme, Lord Justice Jackson stated that the Code of Conduct was a
satisfactory implementation of his
recommendations.
42.
The Code of Conduct specifically governs the control which can be
exercised by a funder. For example, the Code forbids the funder
from
seeking to influence the client's solicitor or barrister to cede
control or conduct of the dispute to the funder (para. 9.3)
and it
also provides for an independent QC to resolve any dispute between a
funder and client
about settlement (para.
13.2).
43.
Following those developments, the judicial attitude to litigation
funding was summarised by the Court of Appeal in Excalibur
Ventures
LLC v Texas Keystone Inc
(2016) EWCA Civ 1144
as follows: "litigation
funding is an accepted and judicially sanctioned activity perceived
to be in the public interest"
(paragraph 31j. Mr Gourgey QC's
researches have revealed that no agreement with a
professional litigation funder has been found to be contra to public
policy during
the course of the last fifteen years.
…
..
45. It is thus difficult
to envisage how litigation funding conducted by a responsible funder
adhering to the Code of Conduct could
be construed to be illegal and
offensive champerty or might be held to corrupt justice.’
[85]
Sixth,
the applicants are protected by the provisions of the CFA,
particularly s 5 which gives them the right to seek
the
review of any terms of the contingency fee agreement and the fees.
Seventh, in response to Anglo's repeated claims that the
settlement
will be hijacked by funders and lawyers to the detriment of the
class, applicants and prospective class members are
afforded two
critical layers of protection: If the class representatives object to
any settlement proposal, they may refer a dispute
to an independent
senior counsel, in terms of the dispute resolution mechanisms in the
Claim Funding Agreement. And the applicants
and class members are
further protected by the court, as the parties would have to seek
judicial approval of any settlement, in
terms of the procedures
approved in the
Nkala
settlement
judgment.
[46]
A
CAUSE OF ACTION RAISING A TRIABLE ISSUE
The applicants’
case
[86]
The
applicants seek redress in a South African court on the basis that
Anglo
was
the parent company and head office of the Anglo group that oversaw,
managed and/or advised the Mine from its headquarters in
Johannesburg, within the jurisdiction of this court, during the
relevant period.
[47]
It is
asserted that Anglo
exercised
control over the Mine through an ever-changing set of subsidiaries,
and although its organisational structure is quite
complex, the
Mine
was firmly a part of Anglo's ‘group system’. Anglo's 1968
Annual Report described it in the following terms:
‘
The
term 'group' has a wider meaning in the South African mining industry
than its statutory definition of a parent company and
its
subsidiaries. The mining finance houses in South Africa have over a
long period developed what is called the 'group system',
by which the
parent house not only plays a role in management, but also provides a
complete range of administrative, technical
and other services to the
companies within the group. Thus the Anglo American Corporation Group
comprises a large number of companies
whose administration and
management are closely linked to the Corporation’.
[87]
More
than 66% of all lead produced in the Mine's lifetime was mined and
smelted during the relevant period, resulting in a broadly
commensurate level of lead pollution.
[48]
The period from 1974 to 1994 accounted for little over 22% of the
lead production and only around 12% was produced before 1925.
It is
alleged that as consulting engineer and manager of the Mine, Anglo
supervised the design and installation of the Mine’s
smelting
equipment and provided guidance and direction on mine safety and the
management of lead pollution.
[88]
The
applicants contend that the question of whether and when a
multinational parent company owes a duty of care in respect of the
actions of a foreign subsidiary is well-settled in English law, and
they are confident that there is sufficient evidence to prove
that
Anglo owed a duty of care to the members of the classes.
[49]
[89]
Foreign
law is a question of fact in this court. Anglo’s expert on
English law, Mr C.A.W Gibson QC, scrutinized the draft
particulars of
claim (POC) and the founding affidavit. He is of the opinion that ‘an
English court would likely determine
that
the
duty of care
alleged in the draft POC together with its supporting affidavit
raises a real issue to be tried’. He further stated that
‘[I]t
will be a question of fact and degree whether or not the evidence
adduced demonstrates a sufficient level of knowledge,
control,
supervision and intervention for the purposes of attaching legal
responsibility.’
[50]
[90]
The
applicants allege that Anglo is still liable for the ongoing harm
suffered by the residents because it
knew
of the toxic effects of lead on the human body from the very outset
of its involvement with the Mine. They aver that Anglo’s
own
internal reports and correspondence demonstrate that it knew or
reasonably ought to have known of the dangers of lead pollution,
the
threat to the Kabwe community, and what had to be done to address
this threat.
[51]
It is alleged
that despite several warnings and recommendations, Anglo and the
Mine’s owner at the time, RBHDC (
The
Rhodesian Broken Hill Development Corporation)
elected
not to incur the costs of implementing any significant preventative
measures to address the problem. It is alleged that
children were
already falling ill and dying of lead poisoning,
[52]
and a high percentage of them had massive BLLs, while Anglo
reportedly exercised control over the Mine.
[91]
It is the applicants’ case that over the course of
its almost 50-year involvement in the Mine’s affairs, Anglo
negligently breached its duty of care
by,
inter
alia
,
failing to conduct the necessary investigations on the impact of lead
pollution on the surrounding communities by taking common
sense
measures, such as long-term sampling of air, water, soil and
vegetation and monitoring the health impacts on the local communities
in Kabwe.
[92]
The applicants contend that
Anglo's
negligence therefore caused or materially contributed to the existing
levels of lead pollution in Kabwe and the resulting
actionable harm.
It is alleged that Anglo acted negligently in at least five material
respects: it failed to investigate; it failed
to protect; it failed
to cease and relocate; it failed to remediate; and it failed to warn.
It is alleged that a reasonable person
in Anglo's position must have
foreseen that the prodigious quantities of lead being emitted into
the surrounding area would pose
a long-term danger to children
growing up in this environment. The danger to historic and future
Kabwe residents were therefore
both foreseen and reasonably
foreseeable and Anglo failed to take reasonable steps to prevent this
harm.
[93]
The
applicants argue that foresight may be actual or constructive,
requiring that a reasonable person would have foreseen that ‘harm
of the relevant description might be suffered by the plaintiff or
members of a class including the plaintiff’.
[53]
As
Lord Hoffmann explained in
Jolley,
[54]
‘what must have been foreseen is not the precise injury which
occurred, but injury of a given description. The foreseeability
is
not as to the particulars but the genus’. This entails that the
general type of injury must be reasonably foreseeable,
not the
precise manner in which the injury has occurred or the extent or
degree of the injury. For example, in
Smith
v Leech Brain & Co Ltd and Another,
[55]
a worker suffered a burn from molten metal that resulted in cancer
and his death. Lord Parker CJ held that the test is not whether
these
defendants could reasonably have foreseen that a burn would cause
cancer and that (the plaintiff) would die.
[56]
Instead, ‘the question is whether these defendants would
reasonably foresee the type of injury suffered, namely, the burn’.
[94]
This
means that so long as the risk of injury from lead exposure was
foreseen or reasonably foreseeable, that is sufficient. It
is
contended that the particularities or degree of the injuries actually
suffered by the class members are therefore not relevant
to this
inquiry. Foreseeability further requires that the risk of harm must
be ‘real ‘in the sense that a reasonable
person ‘would
not brush [it] aside as far-fetched’.
[57]
The more severe the harm, the more likely a reasonable person would
pay heed, regardless of the risk of harm eventuating.
[95]
The
applicants claim that they will demonstrate that Anglo's negligent
conduct factually caused the actionable harms suffered by
the class
members. Their case is two-fold: Firstly, Anglo's negligence was the
‘but for’ cause of the present-day levels
of lead
pollution in Kabwe and the resulting harms.
[58]
If the trial court accepts that Anglo ought to have ensured (but
failed to ensure) that safe systems were imposed at the Mine prior
to
1974, Anglo would be liable for all exposure and resulting injuries
flowing from its negligence. If the court concludes that,
as a matter
of fact, this would have resulted in those safe practices continuing
even after 1974, Anglo would also be liable for
harm arising from
emissions occurring after 1974 (the duty to prevent).
I
f
the trial court accepts that Anglo had a duty to cease or relocate
mining operations, as emissions could not be safely controlled,
then
its negligence would also be the sole cause of the resulting harm
(the duty to cease or relocate and remediate). Secondly,
even if the
applicants fall short of proving the ‘but for’ causation
at trial, they need only prove, on a balance of
probabilities, that
Anglo's negligence materially contributed to the present-day levels
of lead contamination in the Kabwe environment
to establish
liability.
[59]
[96]
The
parties' respective English law experts are agreed that in such cases
of ‘cumulative causation’, it is not necessary
to prove a
defendant's breach of duty as the sole, or even the main cause,
provided that it made a 'material contribution' to the
damage.
[60]
Divisible injuries are a prominent example of cases in which
cumulative causation applies. Such injuries typically arise where
the
damage is caused and progressively worsened by an accumulation of
events, such as cumulative exposure to dust causing silicosis
or
long-term exposure to loud noise causing deafness. By contrast, an
indivisible injury typically arises from a single event,
such as
mesothelioma. In cases of indivisible injury, it is generally agreed
that the accumulation of exposure does not worsen
the severity of the
injury. Therefore, any contribution to injury which is not
de
minimis
— trivial or of no significance — is a material
contribution, that attracts liability.
[97]
Where
a material contribution to actionable harm is established, the extent
of Anglo's liability will ultimately be apportioned
according to its
relative contribution to the harm. This process of apportionment does
not require any precise scientific measurement
but is instead a
‘rough and ready’ exercise, shaped by considerations of
fairness and justice.
[61]
There is broad agreement that the injuries arising from exposure to
lead are, in general, best classified as divisible, dose-related
injuries.
[62]
Anglo’s case
[98]
Anglo categorically denies any
responsibility with respect to the ongoing environmental crisis. It
raises several valid arguments,
in which it presents a multitude of
issues. One contention posits that the applicants are targeting the
incorrect entity. ZCCM,
a Zambian state-owned entity, and its
predecessors in title, at all times from 1905 to 1994 owned and
operated the Mine. It is
currently listed on the Lusaka and London
Stock Exchanges and Euronext with a market capitalisation of almost
R5 billion.
[99]
Zambia gained independence in 1964,
and in August 1969 the Zambian government announced that it would
acquire control of the mining
industry through a process of
nationalisation. This resulted in a series of restructurings and
schemes of arrangement and gave
birth to the creation of the
state-controlled
Nchanga Consolidated Copper Mines Ltd (NCCM
),
with effect from January 1970.
[100]
It
is alleged that ZCCM is the ‘obvious culprit’ as it was
obliged, and remains obliged, both by assumption of liability
and by
statute, to remediate the Mine and the area surrounding it.
[63]
It
is alleged that ZCCM's failure to clean up the lead pollution after
the Mine closed in 1994 is to blame, and members of the proposed
classes would not have been exposed to the adverse effects of lead
pollution if not for ZCCM's reckless neglect, which continues
to this
day.
[101]
It is common cause that smelting activities in the period up
to 1925 was heavily pollutive, given that ZCCM employed no pollution
controls whatsoever. During
ZCCM’s control
of the Mine (1974-1994) there was no emission control for years
because the electrostatic precipitator, a crucial
piece of emission
control equipment, was broken and not repaired or replaced while
smelting continued.
All measures of lead
pollution in the surrounding communities sky-rocketed from the levels
recorded in 1974, being the end of the
relevant period. This worsened
in 1985, when (again in ZCCM's own words) the Imperial Smelting
Furnace’s (ISF) pollution
controls became non-operational. It
worsened further when, in 1989, the pollution controls collapsed and
were removed, without
being replaced. Thus, by the time the Mine was
shut down in 1994, ZCCM had operated its lead smelter without
adequate atmospheric
emission control for 12 years, and without any
such control for 5 years. This and other failures are detailed in
Anglo’s
papers.
[102]
In ZCCM's own words, the period
beginning in 1985 represents probably ‘the worst period of lead
pollution, in the history
of the Kabwe Mine’. In 1989, ZCCM
decided to settle out of court any legal cases filed against it,
because, in its own words,
it was ‘culpable from (an
operations) point of view’. ZCCM simultaneously documented its
awareness that the issue would
persist even if the plant was shut
down.
[103]
In 1995, ZCCM publicly accepted
responsibility for the ongoing crisis and vowed to implement a
promising remediation plan with substantial
assistance from outside
sources.
In August 1996, ZCCM wrote the following in a letter
to an engineering company, SRK Consultants in Johannesburg:
‘
Elevated
blood lead levels and thus lead poisoning will not decrease in number
naturally. If no rehabilitation or remediation exercise
is embarked
on, it can be guaranteed that the children from the mining townships
will continue to be born with elevated blood lead
levels and be
susceptible to further increases that are likely to lower their life
chances in terms of academic and hence economic
potential. The
welfare and well-being of entire communities shall continue to be
disrupted and in its worst case cut short. ZCCM
now has the knowledge
and the possible solutions that have the backing of those that are
world’s leading experts in the field
of lead poisoning and
contamination. It would be difficult if not impossible to hand down
the responsibility of remediation, rehabilitation
and more
importantly, liability to another generation. The repercussions and
consequences of not remediating can only grow with
time.’
[104]
The
remediation plan was not implemented by ZCCM. Instead, it disposed of
the Mine and surrounding land to private investors and
sold over
2,000 contaminated homes to the community. As a result, the community
still has unrestricted access to exposed mine dumps,
whose
contaminated dust settles daily on the surrounding homes. The
continuation of artisanal and small-scale mining by thousands
of
people and smelting by third parties continue unabated.
[64]
[105]
Anglo asserts that following the closure of
the Mine in 1994, and in accordance with Zambian legislation enacted
in 2000, ZCCM retained
all historical liabilities associated with the
Mine. It held the legal responsibility to address the environmental
and health impacts
on Kabwe residents and became responsible for the
remediation and rehabilitation of the Mine. In the 2000s, the World
Bank and
the Zambian government attempted on multiple occasions to
assist ZCCM in remediating the Mine's surroundings. These efforts are
ongoing, but they have been largely unsuccessful to date. The Kabwe
Canal continues to transport lead-polluted debris to the nearby
town
of Chowa, due to ZCCM’s disastrous decision to backfill a
sedimentation pond. Dump surfaces remain largely uncovered
and
artisanal and small-scale miners dig for lead on ‘Black
Mountain’, an old slag heap where children play directly
exposed to slag dust.
[106]
Anglo argues that ZCCM’s negligence and omissions is an
unforeseeable intervening event (
novus actus interveniens
),
that absolves Anglo of all liability. It is submitted that ZCCM's
actions and omissions are proximate in time to the proposed
classes’
injuries and took place against a crystal-clear backdrop of knowledge
of the harmful effects of its decisions. By
contrast, Anglo's
‘alleged and speculative omissions’ occurred in a
different era, between a century and 48 years ago,
when knowledge of
the harmful effects of lead pollution on smelter communities were
only starting to emerge in international publications.
For example,
it would be another twenty years (1990s to 2000s) before the use of
lead in petrol was considered harmful enough to
start phasing out.
Indeed, the contemporary documents bear out the proposition that the
Mine (and thus, much less Anglo) was not
aware until the late 1960s
of any adverse health effects on the surrounding community.
[107]
Anglo further argues that even if a causal link between any
conduct of Anglo during the relevant period
and any injuries
currently suffered could be shown (which it cannot), then Anglo would
only be held responsible for such contribution
if it could be shown
(which it cannot) that the contribution was made in a negligent
way—i.e. that Anglo's ‘guilty
lead’ emitted between
50 and 100 years ago contributes to current injury and that such
contribution was more than
de minimis
. It is reasoned that in
such case Anglo could only be held liable to the extent of the guilty
contribution and no more. But even
then, the causal link was broken
by the subsequent reckless conduct of ZCCM.
[108]
In this regard it is submitted that ZCCM's reckless emissions
between 1974 and 1994, as well as its
reckless conduct after that, in
failing to remediate, and in fact exacerbating lead pollution in
Kabwe, renders any potentially
negligent acts by Anglo entirely
remote from the damage — both because such conduct by ZCCM was
not foreseeable by Anglo,
was entirely unreasonable (and indeed
reckless), and because it constitutes a series of intervening acts
and omissions committed
with foresight of the danger and thus
breaking the causal chain.
[109]
Anglo argues further that the applicants'
experts acknowledge that, between 1946 to 1974, the Mine made
substantial and beneficial
modifications to its smelters and their
air pollution control devices.
Anglo has demonstrated that the
way the technology employed by the Mine evolved over the relevant
period, was consistent with then
international practice.
This
evidence is not disputed by the applicants. The applicants' experts
also do not specify what the prevailing standards were
at the time.
It is argued that in the
absence of articulating and
establishing what the prevailing standard was during the relevant
period, this court is invited to
embark upon ‘an impossible
enquiry’ into whether Anglo has breached such unknown standard.
Thus
, the applicants cannot argue that the new
technology over this period did not conform to prevailing standards.
[110]
It is further contended that the
applicants' case is devoid of any specifics regarding Anglo’s
alleged wrongdoing, as it is
not specified what the reasonable Mine
in Anglo's position would have done differently to prevent or reduce
lead emissions at the
time.
Anglo alleges that, with the
exception of a few isolated
operational events
that the applicants seek to elevate to systemic pollution control
problems, there is no evidence from the applicants
regarding the
deficiencies of the Mine's smelters during this time period, nor the
extent to which these smelters permitted the
emission of lead fumes
into the atmosphere. This is in stark contrast to the admittedly
serious systemic issues that ZCCM highlighted
in the years following
1974.
[111]
Anglo
concludes that the applicants’ case on the Mine's knowledge
(and thus, in their minds Anglo's knowledge), fatally suffers
from
hindsight bias and is simply based on conjecture derived from
contemporary knowledge of lead pollution in Kabwe, after the
pollution of the last 50 years under the stewardship of ZCCM. And
while the question of foreseeability may be fact-bound, the trial
court will not be furnished with any better facts than those already
produced through the historical documents that the applicants
have
relied upon. Relying on
inter
alia,
Roe v
Minister of Health,
[65]
and
Glasgow
Corp v Muir
,
[66]
it is contended that it is impermissible for a court to apply present
day spectacles to assessing what was known or ought to have
been
known at the time.
Discussion
[112]
The above summary of the parties' arguments indicates that the
application is fiercely contested. In and
of themselves, the
certification application documents are close to 15,000 pages. Anglo
and the applicant have each submitted a
plethora of reports and
expert affidavits that contain not only technical evidence, but also
explain the history and the development
of the Mine. There are 800
pages of heads of argument alone. This is to be anticipated, given
the substantial weight of inquiries
concerning foreseeability,
standard of care, causation, and knowledge of the harm.
[113]
I
am mindful of the fact that the
certification
of a class action is a procedural step and
is
not an invitation to weigh the probabilities.
[67]
For
purposes of certification, this court only needs to be convinced that
there is a cause of action raising a ‘triable issue’.
It
requires a two-part enquiry: first, whether there is a prima facie
case on the facts, and second, whether there is an arguable
case on
the law. A prima facie case is established when the
facts
alleged by the applicant, if accepted, will establish a cause of
action. As Wallis JA remarked i
n
CRC
Trust,
this
is
not a difficult hurdle to cross.
[68]
[114]
The test does not however preclude
the court from examining the evidence on behalf of Anglo. The
appropriate way to deal with that
kind of factual material is set out
in
CRC Trust
:
‘
The
test does not preclude the court from looking at the evidence on
behalf of the person resisting certification, where that evidence
is
undisputed or indisputable or where it demonstrates that the factual
allegations on behalf of the applicant are false or incapable
of
being established. That is not an invitation to weigh the
probabilities at the certification stage. It is merely a recognition
that the court should not shut its eyes to unchallenged evidence in
deciding the certification application’.
[69]
[115]
A class
action should however not be certified if the case is ‘hopeless’.
In
CRC
Trust
the SCA remarked that a case is
legally
hopeless if it could be the subject of a successful exception. The
test on exception is whether on all possible readings of the
facts no
cause of action is made out. In such instance, it is for the
defendant to satisfy the court that the conclusion of law
for which
the plaintiff contends cannot be supported upon every interpretation
that can be put upon the facts. It is
factually
hopeless if the evidence available and potentially available after
discovery and other steps directed at procuring evidence will
not
sustain the cause of action on which the claim is based.
[70]
[116]
The applicants’ case faces several difficulties. As will be
elaborated upon in the following sections,
I hold the view that the
applicants’ case is factually and legally flawed. Firstly, the
facts and documentary evidence the
applicants rely on in support of
their claim is insufficient to establish a prima facie case against
Anglo. Second, the applicants'
proposed legal conclusions are
untenable and not supported by the facts.
The
applicants’ case is factually hopeless
[117]
As a starting point it is necessary to provide a brief
analysis of the evidence that the applicants relied on to establish a
prima
facie case. The first document on which the applicants place
great reliance on, is the
1893 Broken Hill Report
(the Report). They argue that this Report constitutes
prima
facie proof of Anglo's knowledge of the harm of lead and more
specifically knowledge of harm to the historical Kabwe community.
As
a result, the
applicants consistently cite the
Report and the so-called ‘Broken Hill attitude' in support of
their argument against Anglo.
[118]
In the late 1880’s, after
children and adults fell ill with lead poisoning, the New South Wales
authorities appointed a commission
of inquiry to investigate the
problem of lead poisoning at Broken Hill in Australia.
The
commission had to investigate the problem of lead poisoning, ‘not
alone among the getters and smelters of silver-lead
ores’, but
also among the townspeople who live in houses clustered around the
mines and smelter nests, who were not themselves
engaged in mining.
The commission set to work sampling the air, water, and soil for
lead. They medically examined children at local
schools and held
interviews with townspeople. The Report purportedly presented
substantial evidence of lead poisoning in the neighbouring
communities of Broken Hill, Australia, attributed to the emission of
fumes from the lead smelters which were ‘injurious to
the
general population’. The commission noted that ‘the kind
of poisoning to be expected among both classes (workers
and
townspeople) is almost exclusively of the chronic sort'.
[119]
The applicants argue that
‘initial evidence’ suggests that the Mine had direct
contact with Broken Hill, Australia and
ought to have been aware of
the Report. According to them, further investigation into this will
be conducted via discovery and
subpoenaing of local archives. The
applicants further argue that,
in
any event, regardless
of whether Anglo had actual knowledge of its contents, the Report
amply demonstrates that the risks were already
well understood when
Anglo got involved in the Mine, the tools to investigate the impact
of lead pollution were widely available,
and the harms were
identifiable by applying a ‘modicum of common sense’. It
is submitted that this is prima facie evidence
of a ‘dirty
dysfunctional operation ... of long-standing disregard and neglect.’
[120]
However,
Anglo
was only established in 1917. T
here
is
not
any evidence that the Report came to the attention of Anglo at any
point (including between 1925 and 1974). The applicants do
not
explain how an entity, established 24 years after the Report was
published, located in a different country and on a different
continent, and in an age of basic forms of communication technology,
came to know of this Report. In these circumstances, it cannot
be
suggested that Anglo had knowledge of the harms set out in the
Report.
[121]
However,
notwithstanding whether Anglo (or the Mine) was made aware of the
Report, a cursory examination of the entire document
(not just the
excerpts cited by the applicants) indicates that the applicants have
exaggerated the significance of the report to
support their position.
The applicants' primary argument regarding the Report is that it
demonstrates knowledge that Anglo ought
to have had about the
‘general population’ in Kabwe, because the board
responsible for the Report pointed to the ‘general
population’
in Willyama as being injured by lead fumes from the smelters at
Broken Hill, Australia. However, their selective
quotation fails to
consider the complete contents of the board's conclusion and
recommendations: The report described the different
types of
emissions from the smelter stacks with which it was concerned: fumes
and flue-dust. There is a distinction between fumes
and flue-dust.
Fumes float away and the latter sinks to the ground close to the
smelter. The report concluded that:
‘
From
these data we conclude that the fumes are injurious to the general
population, and after considering all the circumstances,
it seems
probable that at this place the effectively poisonous part of the
matters which issue from the stacks is the heavier part,
or flue dust
— no direct evidence having appeared to show that the fume
which travels to very great distances actually exerts
poisonous
influence; and that the flue-dust affects man perhaps mainly through
drinking water. Hence, we are of the opinion —
not that the
lead-fume is innocuous, but that in the present case the task of
preventing the escape of particles of flue-dust should
be regarded as
imperative and urgently needing to be undertaken’.
[122]
The report then recommended that the flue-dust
which was settling within 600 yards of the Australian mine was
responsible for ‘exerting
poisonous influence’ and the
cause of harm which, in turn, required a recommendation to close the
drinking water reservoirs
in which the flue-dust was landing and
ensuring piped water supplies.
[123]
Therefore, the findings of the board are more nuanced than the
applicants care to explain. However, even
were it to be assumed that
the Mine (or, for that matter, Anglo) had seen the Report, the only
knowledge that could be gleaned
from it is that: (a) potential harm
to residents living close to a lead mine can be eliminated by
preventing flue-dust and closing
open drinking water reservoirs; (b)
there is no evidence that fumes which are dispersed through the
stacks cause harm to the general
population, and (c) the communities
surrounding the mine, beyond 600 yards (548 m) north, were not
considered to be at risk of
harm. Consequently, it cannot be argued
that knowledge of the Report equates to knowledge of the risk of harm
to the historical
Kabwe community.
[124]
The applicants further aver that ‘Anglo's knowledge of the
wider impacts of its activities’
are demonstrated by a ‘series
of documents’ that show water and soil contamination on the
Routledge Farm during 1966,
to the south east of the Mine site. The
‘series of documents’ referred to consist of a mere five
pages and the evidence
does not support the applicants' case that the
Mine (or, for that matter, Anglo) had knowledge of the harms of lead
exposure to
the historical community living in the Kabwe district.
[125]
On the applicants' own version, the evidence shows that two
tailings dam breaks in 1960 and 1965 caused
damage to Mr Routledge’s
fish, livestock and crops. This is far short of demonstrating that
the Mine or Anglo knew that emissions
from the smelters were reaching
the entire Kabwe district and causing the historical community harm.
These five pages make no mention
of lead pollution and are thus
irrelevant to the applicants' hypothesis about the origin of lead
pollution in Kabwe's historical
communities, which is that prevailing
winds dispersed airborne emissions from mine stacks.
[126]
The applicants place significant reliance on a
memorandum prepared by Dr. van Blommenstein. The objective of the
memorandum was
to determine the lead concentrations to which the
Mine’s employees were being subjected. In doing so, it provided
a number
of recommendations aimed at mitigating ‘worker
exposure to lead inhalation and ingestion’. The applicants fail
to mention
that the Mine subsequently established an experimental
vacuum system, a dust collection system, and a dust counting
laboratory
in response to Dr. van Blommenstein's recommendations. The
applicants argue that while Dr. van Blommenstein ‘only
expressed
concern for employees of the Mine, the risks to the wider
community must have been reasonably foreseeable’. But this
again
is mere assertion, without factual substantiation. Although the
applicants acknowledge the lack of evidence linking Dr. van
Blommenstein
to the historical Kabwe community's harms, they
improperly request that this court—sitting more than half a
century later—deduce
that the Mine or Anglo should have been
aware of harms to the historical Kabwe community due to the Mine's
knowledge of worker
harms.
[127]
Lastly, in
around 1970, Dr lan Lawrence was employed as a medical doctor at the
Mine. He tested approximately 500 blood samples
from children living
in the vicinity of the Mine and found high BLLs. Within a month, his
research led to the commissioning of
a report by the Mine from a
Professor Lane and a Mr King of Manchester University. It also
prompted extensive investigations into
children's blood lead levels
being carried out by NCCM, (a predecessor of ZCCM). The applicants
have not yet been able to locate
a copy of this report and Anglo
claims to have no knowledge of its whereabouts. However, it is clear
from contemporaneous memoranda
that the report of Professor Lane and
Dr King endorsed Dr Lawrence's findings and made recommendations for
reduction in environmental
lead contamination.
[128]
Therefore, before the early 1970s, there is no
evidence to imply that Anglo was specifically aware of the risks that
lead pollution
posed to the historical Kabwe community. The
detrimental consequences of lead pollution on children in Kasanda,
Makululu, and Chowa
were not made widely known until 1975, a year
after the relevant period, when Dr. Clark, a young doctor employed by
the Mine, published
his thesis on the
sources of lead
pollution and its effects on children living in the mining community
of Kabwe, Zambia
. Prior to 1975,
the Mine was concerned about the health of
adult
employees
who worked at the Mine and
were thus exposed to lead emissions. However, Anglo, has provided
evidence that the Mine has consistently
and conscientiously attempted
to mitigate this risk to their employees.
[129]
In their founding affidavit, the applicants'
only apparent theory of 'what went wrong' in Kabwe during the
relevant period was that
the stack heights of the smelter stacks were
too
short
,
resulting in a fumigating and looping plume from the smelter
delivering pollutants to the ground, where they looped downwards
and
enveloped nearby residences. When Anglo pointed out in the answering
affidavit that the stack heights were consistently increased
with
every technological upgrade during the relevant period, far beyond
what the applicants' experts stated was required in the
founding
papers, the applicants’ theory of breach changed. In the
replying affidavit, the applicants contend that
tall
smelter stacks were the cause for
contamination in Kabwe, not short ones. The ostensible reason given
in response was that fallout
from short stacks would not have reached
Kabwe's residential areas, whereas tall stacks allowed contamination
of the entire district.
[130]
Nevertheless, the applicants in argument
concede that they must establish that Anglo was aware, or should have
been aware, that
lead persisted in the environment for more than half
a century
and
that the continued presence of lead would be detrimental to the
present community. The applicants rely on the opinions of Professors
Betterton and Harrison to back up these claims.
[131]
Professor Betterton opines that ‘by 1914,
the dangers of lead poisoning were widely known across the lead
mining industry,
as was the need to mitigate exposure’. This is
a broad assertion. He fails to specify the kind of harm that was
recognized
during that period or the corrective actions that should
have been executed to avert those harms. In any case, this statement
does
not imply that Anglo knew that lead pollution would harm future
generations because it lingered in the environment for a period
of 50
to 100 years. The applicants have therefore not demonstrated through
Professor Betterton's evidence that the Mine or Anglo
were aware of
the long-term harm caused by lead in the environment.
[132]
In relation to Professor Harrison's opinion, it
is averred that ‘once the local environment becomes
contaminated with lead,
this will remain in the environment. Already
by the 1950s there was substantial scientific evidence of lead's
long-lasting effects’.
A section of Professor Harrison's report
is then quoted to back up this claim. However, the quote from
Professor Harrison's study
only shows that lead persists in the
environment; it makes no mention of the fact that by the 1950s, it
was recognised that lead
poses a threat to future generations when it
remains in the environment. It suffices to recall that clinical
investigators during
the 1950s and 1960s regarded BLLs between 50 and
60 µ/dL as typical. This finding is not unexpected, considering
that lead
was pervasive in several habitats during the 1950s,
including areas adjacent to lead mines and urban areas due to
gasoline emissions.
[133]
Therefore, the applicants have not succeeded in
establishing, through the testimony of Professor Harrison, that the
Mine (and Anglo,
consequently) were aware of the persistent dangers,
particularly those linked to lead in the environment, over the past
fifty to
one hundred years. Furthermore, in response to the inquiry
regarding whether Anglo or the Mine should have been aware of the
enduring
environmental damage caused by lead, Professor Harrison
provided the following statement:
‘
By
1974,
there were published studies showing contamination of sites
where lead had been used many years before (E10, E15, E20, E21).
While
the precise magnitude of the lifetime of lead in soil was not
known with the confidence level of the present time, there were at
least strong grounds to expect that the contamination would exist for
50 years and possibly longer (E17, E22)’ (Emphasis
added)
Will
the applicants’ case get better at trial?
[134]
As
the events at issue in this proposed
class action span more than a century, the applicants' case relies
almost solely on historical
documents written by deceased or
otherwise untraceable authors. The founding affidavit demonstrates
that in preparing their case,
the applicants' attorneys have visited
the ZCCM archive twice in 2018 and 2019 and have had a Zambian agent
access the ZCCM archive
once more in 2020. In addition to the
National Archives, Kew (UK), the British Library, London (UK), and
the Johannesburg Public
Library, the applicants have had access to
other archives and repositories around the globe. Anglo contends
that, as a result of
this exhaustive search and the significant
efforts made by the applicants' attorneys to prepare this application
over a 17-year
period, there is no chance that the evidence presented
to this court will change materially after certification, and that
evidence
available and potentially available after discovery and
other steps designed to procure evidence will not support the
underlying
cause of action.
It is therefore contended that the
case is ‘factually hopeless’ and that it is not in
interests of justice to allow
a class action to proceed if the
applicants have not demonstrated a cause of action raising a triable
issue.
[135]
The applicants disagree. They assert that
additional incriminating documents held in so-called ‘private
archives’ may
become available to them during pre-trial
discovery, and they will use the subpoena process to gain access to
these ‘private
archives’.
[136]
Firstly, the applicants have
evidently acknowledged that Anglo might not possess the required
documents. In their reply they note
a concern about the ‘apparent
lack of documents that Anglo has been able to locate in its own
archives in South Africa and
in private archives that hold records of
its directors and senior leadership’.
The applicants have
now indicated that they would like to access the aforementioned
‘private archives’ through the subpoena
procedure.
However, the applicants don't say which private archives they want to
access. To be fair to Anglo, the application for
certification has
been in the works for the past 17 years. The applicants were duty-
bound to specify where those archives might
be and why they believe
that those archives would contain documents they would need to prove
their case. Therefore, the notion
that any pertinent documents remain
in unidentified ‘private archives’ or that the evidence
presented in this court
will materially alter subsequent to
certification is purely speculative.
[137]
Secondly,
given that the applicants’ case is predicated upon historical
documents, the certification court is in as good a
position as a
trial court to read the historical documents; and to divine their
meaning. Expert testimony on the meaning of the
documents is not
admissible, and oral testimony during the trial will not help clarify
their meaning.
[71]
In addition, locating
relevant
witnesses at an appropriately senior level still alive and with
memories intact, when the shortest period in issue is 48
years ago,
and the longest stretches back almost 100 years, will be an
exceedingly difficult task.
[138]
Thirdly, a substantial portion of the material
facts presented by Anglo are either undisputed or are indisputable.
For example,
the facts pertaining to the Mine's operation from 1974
until its closure in 1994, as well as the failed remediation attempts
that
continue to this day, were not addressed by the applicants in
their founding affidavits. Anglo's factual material is also not
materially
contested by countervailing factual material put up by the
applicants in reply. Thus, the applicants have failed to effectively
refute the evidence of ZCCM's recent and reckless conduct spanning
decades, which is clearly evidenced by documents.
[139]
Following the nationalization of the mine,
Anglo held an indirect minority stake in ZCCM. The applicants cannot
meaningfully contest
Anglo's evidence that it had no say in the
Mine's operations after 1974. For this reason, Anglo's alleged acts
and omissions during
the period between 1926 and 1974 represents the
highwater mark for the applicants' case. Following that, ZCCM
admittedly ran down
the Mine by failing to invest in skills and
maintenance. From at least 1985 to 1994, it operated the smelter
plant with inadequate
(and, for the most part, no) emissions control.
During this period, all measures of lead pollution, including
community blood lead
levels, skyrocketed. After the Mine’s
closure, ZCCM neglected its remediation obligations, which is
typically an integral
component of a mine's life cycle.
[140]
The applicants have further failed to
advance any evidence of knowledge of harm to an unborn class living
in townships yet to be
formed to make up the Kabwe district. This
aspect was dealt with in great detail in Anglo’s papers. The
applicants’
expert, Professor Taylor conceded that he was
unable to conclude that the Mine was mindful of the impacts that the
smelter operations
might also have had on the community:
‘
It
does not necessarily follow that the company were mindful of the
impacts that the smelter operations might also have had on the
community. Nonetheless, it is without a doubt that the issue of lead
rich dust on workers and the need to supress it was widespread
in the
industry.’
[72]
[141]
Consequently,
how could the Mine then, at the relevant time, have been aware of a
future
generation community? According to the applicants' own expert, based
on available research, it was possible to expect only by 1974
(i.e.
the end of the relevant period) that lead contamination would remain
in the soil and be harmful to future generations ‘for
50 years
and possibly longer’. It is also agreed that it was only in the
mid-to late 1970s that the US Environmental Protection
Agency first
issued standards for ambient airborne lead.
[73]
Leaded petrol was only banned in the United States of America (USA)
from 1990 and in parts of Africa from 2005. In a similar vein,
it was
only shown by the late 1960s and early 1970s that studies in the
United Kingdom revealed extensive lead contamination around
lead-zinc
smelters. Dr Clark, writing in 1975, considered childhood BLLs of
between 12 and 22 μg/dL in the Municipality neighbourhood
to be
within ‘the normal range of blood lead levels to be expected in
a community unaffected by lead pollution’.
[142]
The applicants' case is further bereft of
any specification of what Anglo is said to have done wrong, because
they fail to say what
the reasonable miner in Anglo's shoes would
have done differently to prevent or minimise lead emissions at the
time. In contrast,
the applicants' witness Dr Lawrence confirmed
under oath that, in his view, ‘the Mine was run very
efficiently’ in
1969 and the early 1970s.
[143]
All of this is evidence is undisputed and
will not get better during the trial. Those issues, on
the other hand, that
can truly only be resolved at trial —
because they depend on facts or opinions that are vigorously disputed
or disputable
between the parties — do not change the essential
lack of merits of the applicants’ case.
[144]
Based on the aforementioned, it can be
concluded that Anglo is not prima facie liable, regardless of whether
this is due to a
novus actus
absolving Anglo of potential liability or foreseeability. Thus, in
the language of
CRC Trust
,
this is an example of a case that is ‘factually hopeless’
because: '...the evidence available and potentially available
after
discovery and other steps directed at procuring evidence will not
sustain the cause of action on which the claim is based.
In other
words, if there is no
prima facie
case
then it is factually hopeless.’
The
applicants’ legal arguments are untenable
[145]
The
applicants’ case fatally suffers from hindsight bias. In
Muir
,
[74]
the House of Lords
cautioned as follows:
‘
The
court must be careful to place itself in the position of the person
charged with the duty and to consider what he or she should
have
reasonably anticipated as a natural and probable consequence of
neglect, and not to give undue weight to the fact that a distressing
accident has happened, or that witnesses are prone to express regret,
ex post facto, that they did not take some step which it
is now
realised would definitely have accident.’
[146]
In
a similar vein, in
Roe,
[75]
which the Zambian Supreme Court endorsed, Lord Justice Denning warned
that ‘[we] must not look at the 1947 accident with
1954
spectacles’.
[76]
It is
apposite to briefly refer to the facts in
Roe
.
Disinfectant, in which ampoules of anaesthetic were stored, had
seeped into the ampoules through invisible cracks. The possibility
that this might occur was not generally known at the time of the
incident, which occurred in 1947. The claimants, who received
spinal
injections of the anaesthetic, became paralysed. The hospital
authorities were sued, but held not liable, because the risk
to the
claimants was not reasonably foreseeable at that date.
The
conduct of the doctors was consequently judged
according
to what reasonable doctors would have foreseen in 1947 — at the
time of the incident.
[77]
[147]
Similarly,
in
Thompson
v Smith Shiprepairers (North Shields) Ltd,
[78]
it was held that where there had long been a general practice of
inaction regarding the possibility of deafness through industrial
noise, the defendants were only liable for failure to take steps once
there was awareness of the danger and protective equipment
had become
available. For this purpose, 1963 was adopted as the operative date,
and the claimants were held not to be entitled
to damages for
impairment of hearing sustained before 1963.
[79]
[148]
To establish that Anglo owed
a duty of care 50 years and more ago to the proposed class members
currently living in the Kabwe district,
this court must be satisfied
that there is prima facie evidence to find that between almost 100
and nearly 50 years ago, Anglo
must have foreseen that the current
community, not the historical community, would suffer harm from lead
released into the environment
by the Mine during the relevant period.
[149]
This
is an important distinction with
Margereson
v JW Roberts,
[80]
and
CSR
v
Young,
[81]
relied on by the applicants. In those cases, the court found asbestos
mines liable for harm suffered by community members. Individuals
residing in close proximity to the pertinent mines during the
defendant's operation of said mines were involved in those cases.
They did not involve current, present-day residents around the
asbestos mines. In the present matter, however, the applicants seek
to establish a duty of care generations into the future; a feature of
their case for which they quote no precedent. The lack of
precedent
is indicative of the difficulties, for obvious reasons, of
establishing a duty of care to those whose very existence
is as yet
unknown.
[150]
The
factors mentioned above clearly differentiate this case from
Vedanta
[82]
or
Okpabi,
[83]
which are cited by the applicants to substantiate their assertion
that mining companies have a responsibility to exercise caution
towards the communities residing in the vicinity of their
subsidiaries' mines. The present matter is considerably more
comparable
to the case of
Cambridge
Water Co
,
[84]
in which the plaintiff sought to hold the defendant (
Eastern
Counties Leather or ECL
)
liable in negligence and nuisance for spillages of PCE solvent in
1976 which, in 1991 (only some 15 years later), caused damage
to an
aquafer. In that case the House of Lords (per Lord Goff) held:
‘
But
it by no means follows that the defendant should be held liable for
damage of a type which he could not reasonably foresee;
and the
development of the law of negligence in the past 60 years points
strongly
towards
a requirement that such foreseeability should be a prerequisite of
liability in damages for nuisance, as it is of liability
in
negligence.’
[151]
Lord Goff also indicated
that neither the common law nor statutory law would hold a ‘historic
polluter’ liable for damage
done before relevant legislation
controlling the pollutant came into force:
‘
I
wish to add that the present case may be regarded as one of what is
nowadays called historic pollution, in the sense that the
relevant
occurrence (the seepage of PCE through the floor of ECL's premises)
took place before the relevant legislation came into
force; and it
appears that, under the current philosophy, it is not envisaged that
statutory liability should be imposed for historic
pollution... If
so, it would be strange if liability for such pollution were to arise
under a principle of common law.’
[152]
Likewise,
in
Savage
v. Fairclough
,
[85]
liability in nuisance was
not established because the plaintiff's future water supply
contamination caused by the application of
pig manure-induced
nitrates in the ground could not have been predicted in 1991.
Conclusion
on triable issues
[153]
Certification
proceedings, force a plaintiff: ‘...to commence the action on
bended knee; before the case even begins, he or
she is put on the
defensive. No other type of plaintiff is required to go through this
kind of torture test to obtain a day in
court.’
[86]
[154]
This
court is however duty-bound to screen class actions to ensure that it
is in the interest of justice for them to proceed.
That is because
unlike ordinary actions, class actions have the potential to
overwhelm the administration of justice and to exhaust
the resources
of both plaintiffs and defendants. Because a class action permits the
aggregation of claims, even if a claimant has
a weak claim, the sheer
number of class members and the potential pay-out might force the
defendant to settle a meritless claim
to avoid an existential
threat.
[87]
For these reasons,
the Constitutional Court recognised in
Mukkadam
that ‘[p]ermitting a class action in some cases may ... be
oppressive and as a result inconsistent with the interests of
justice.’
[88]
[155]
A
court will not allow a class action, with its significant entailments
of cost to the parties and burdens upon the court to proceed,
under
the interests of justice standard,
in
circumstances where the certification court considered the cause of
action implausible but not unarguable. As remarked in
De
Bruyn:
[89]
‘
[C]lass
actions ‘often involve complex litigation, of importance to
many, with significant consequences of both expense and
expectation.
For this reason also, the interests of justice require that a
certification court should not permit a class action
to proceed on
the minimal premise that the cause of action is not hopeless. Too
many, risk too much to proceed on this basis’.
[156]
In
this regard, the attempts by the applicants to draw a distinction
between a case that is legally untenable and one that is factually
untenable is flawed. It was made expressly clear in
CRC
Trust
that
a class action could fail to present a triable cause of action either
because it was bad in law or because it was unsustainable
on the
evidence.
[90]
To permit either
sort of case to go ahead would be to ‘place a ghost in the
machinery of justice.’
[91]
[157]
This is, unfortunately, one of those cases.
Firstly, the applicants failed to make out a prima facie case on the
facts. Secondly,
they
failed to make out an arguable case on
the law. They
have not cited any precedent in
which an alleged historical polluter was held liable in tort for
negligence because it owed a duty
of care to those who had not yet
been born at the time it allegedly polluted. I agree with counsel for
Anglo that the limited legal
precedents available indicate that
establishing such an intergenerational duty of care is untenable, as
damage to subsequent generations
and decades into the future could
not have been foreseen.
Therefore, t
he harm
now contended for by the applicants was not foreseeable at the
relevant time, nor were the proposed classes, the majority
of whom
had not yet been born.
[158]
Thirdly,
in order to show that Anglo acted negligently during the relevant
period, the applicants needed to show (at least prima
facie) what the
prevailing standard of reasonableness was during the relevant period,
and then show that Anglo fell short of this
standard. They failed to
do so. Instead, the applicants subjected Anglo to modern standards
and modern knowledge. It is undisputed
that Anglo installed emissions
controls that were state-of-the-art for their time and which were,
according to the applicants’
expert, ‘highly efficient,
often approaching 99% even for the smallest particles’.
[92]
The applicants have failed to state how this was not reasonable
technology employed for its time.
[159]
Insufficient
factual evidence therefore exists to substantiate a cause of action
that presents a triable issue. This is intrinsically
fatal to the
application, because, as remarked in
De
Bruyn
,
‘
there
is nothing for the trial court to determine’, and there are no
other factors justifying certification of the class action.
[93]
[160]
In the result, the application for
certification of the class action must fail. In view of the
conclusion I have reached, it is
unnecessary to deal with the amici
arguments.
THE
ALTERNATIVE CASE
THE DETERMINATION AND
ALLOCATION OF DAMAGES
[161]
The
damages or relief sought must be derived from the cause of action and
be measurable and capable of being ascertained (determination).
In
addition, there must be an appropriate procedure for allocating the
damages to the members of the class (allocation).
[94]
These
requirements have no direct parallel in other common law countries'
class action jurisprudence. These two requirements reflect
the
particular concerns in
CRC
Trust
over quantifying miniscule claims by individual consumers who were
overcharged for bread and the proposed creation of a trust that
would
not distribute damages directly to the class members.
[162]
As
stated in
De
Bruyn
,
the role of the court considering certification, ‘is not to
determine damages but to gauge whether they are capable of
determination and allocation.’
[95]
It is merely a preliminary assessment, as part of the broader
interests of justice inquiry.
[163]
The various heads of damages are set out in
the draft particulars of claim. These include past and future
medical expenses;
loss of earnings; the costs of remediating victims'
homes and the local environment; and general damages for pain,
suffering and
loss of amenities of life, disablement and reduced life
expectancy.
[164]
In terms of the bifurcated, two-stage
procedure proposed by the applicants, damages will be determined at
the second stage of the
proceedings. The applicants contend that the
primary objective at the second stage would be to establish a range
of damages awards
that apply to different sub-classes, potentially
demarcated along the lines of varying BLLs, injuries and/or different
age brackets.
Should
a
settlement
eventuate, this would assist in determining the appropriate tariff
payable to individual cass members and the overall
value of the
settlement.
[165]
In
Flint
,
[96]
the court approved a settlement containing a detailed ‘compensation
grid’ that provided thirty categories of compensation,
based on
different ages, blood lead levels, and injuries, and the required
proof for each category.
The applicants propose that in
the
present matter, in the absence of settlement, the trial court would
have multiple tools available (both in terms of the Uniform
Rules and
its inherent jurisdiction) to ensure that the determination of
damages at the second-stage proceeds in a practical and
sensible
manner.
[166]
However,
as this will rely on the issues in dispute, the pleadings, and the
parties' intentions toward settlement, it is impossible
to predict
how this procedure will play out at this point. However, it may
involve the following options: A joint hearing
that lays down
the general principles for determining liability and quantum and a
range of damage awards for different sub-classes
(class-wide
hearing).
If
disputes remain, a separate hearing of any issues that are particular
to members of certain sub-classes, such as those suffering
from BLLs
within certain brackets or specific types of injuries (sub-class
hearings).
If
any further disputes remain over individual cases, individual
hearings of the issues peculiar to individual claimants' damages
claims (individual hearings).
[97]
[167]
The applicants seek the direct allocation
of any damages award to the class members. They suggested one type of
allocation mechanism
that could be employed, once all information has
been presented and disputes between the parties have been resolved
and subject
to agreement with Anglo and the sanction of the trial
court. It is proposed that following the determination of appropriate
brackets
or sub-classes of claimants in respect of the quantum of
damages to be paid, that a further public notice process be employed
to
enable class members to claim their damages. Those class members
would be entitled, upon satisfying the criteria of the class
definition,
within a reasonable period of approximately two years or
such other period as the trial court may determine, to claim their
damages
directly from a trust established to hold and disseminate
these funds.
[168]
This
trust would operate along the lines of the Q(h)ubeka Trust that was
established following the 2016 settlement in the Chakalane/Qubeka
silicosis litigation, undertaken by the applicants' attorneys.
[98]
That Trust assumed responsibility for arranging the medical
evaluation of claimants and approving payments based on
pre-determined
tariffs.
[169]
If the applicants' proposed
arrangement is not accepted by the trial court and no appropriate
alternative arrangements can be designed,
it will always be open to
that court to insist that individual members would have to prove
their individual damages as they would
have done in a separated
quantum hearing as individual litigants.
[170]
That being said, the applicants have not made out a case
for the remediation relief they propose. In any event, such relief
is
inappropriate and ineffective in the form advanced by the applicants,
because they have not demonstrated that this remedy is
legally
sustainable in Zambian law.
Remediation
relief
[171]
The draft POC attached to the founding affidavit allege
that: ‘The members of the class have suffered estimated damages
under the following heads as a result of the Defendant's conduct:
.... Remediation of the home environment; Remediation of the
community environment...’
[172]
According
to Mr Mwenye SC's affidavit, the applicants intend to bring their
claim under Zambian law's tort of negligence. He firstly
cites the
Zambian Supreme Court case of
Michael
Chilufya Sata MP v Zambia Bottlers Limited,
[99]
(referred to earlier), as authority for the proposition that there is
no right of action for nominal damages in negligence. Actual
damage
to the claimant must be proved. Secondly, he considers whether the
alleged physical harm to the proposed claimants' health
and wellbeing
is actionable. However, he does not address whether the alleged
damage to the ‘home environment’ and
‘community
environment’ is actionable as a negligence claim. Similarly, Mr
Hermer QC, the applicants' English law expert,
does not address this
issue.
[173]
The onus lies on the party who asserts that the law of a
foreign country applies where it differs from our own. Each aspect
of
foreign law is a factual question and any evidence on that aspect
must emanate from someone with the necessary expertise.
[174]
Absent any allegation by Mr Mwenye SC (or Mr
Hermer QC) that damages for remediation is actionable as a common law
negligence
claim, the applicants have failed to show that this claim
raises a triable cause of action. For this reason alone, the
application
to certify the class action including the remedial remedy
must be denied.
[175]
Regardless, there are valid reasons to be sceptical of such a
claim because the applicants have failed to provide any factual or
legal information about it. Is it a negligence claim for damage to
property? Is it a nuisance claim? Is it a form of special damages
arising from the characteristics of the alleged personal injuries?
Regarding each of these alternatives, Zambian precedent that
establishes the triability of the remediation relief has not been
presented. There is also some reason to doubt whether the English
law
recognises an actionable claim for remediation damages in the form
that it is claimed.
[176]
To begin with, should the claim be pursued in the form
of damages to the property of the class members, there is no evidence
that they possess any specific property rights or titles that would
qualify them to seek compensation for ‘the home environment’
and ‘community environment.’ In fact, these two
‘environments’ are left undefined.
[177]
The supporting affidavits, draft POC, and founding
affidavit do not specify the tenure or title of the properties to
which
the remediation claims pertain. The founding documents make no
allegation or provide any proof of ownership of the properties for
which remediation damages are sought. The founding papers are also
silent on the nature of the titles relating to the undefined
‘community environment’; presumably some of which would
be municipal or State-owned. What precisely constitutes the
‘community environment’ is also not addressed. It follows
that, on the facts before the court, there is no basis to
consider
that there could be any claim for negligence by Anglo resulting in
damage to any prospective class member's property,
even if the draft
POC were to be amended.
[178]
The applicants further request that the court disregard the
ongoing remediation initiatives conducted by ZCCM and the Government
of Zambia via the Zambia Mining and Environmental Remediation and
Improvement Project (ZMERIP). The plans for that remediation
project indicate complex interaction between the Zambian State, the
project's global funder (the World Bank), and the affected
communities. It demonstrates how further remediation would require
extensive consultation, not least because it risks displacement
of
affected communities and implicates rights attendant to the various
properties on which remediation will be performed.
[179]
Anglo explains in its answering affidavit that the
ZMERIP project components include rehabilitation of waste disposal
areas,
such as lining the Kabwe Canal and upgrading the solid and
hazardous waste disposal facility. Emergency interventions have been
undertaken, such as repairs to one of the tailings dams to reduce the
outflow of tailings and seepage. Remediation of contaminated
hotspots
includes remediating the Mine's Primary School and select households
in Kasanda and Makululu, as well as improving environmental
infrastructure. Efforts are also underway to strengthen environmental
governance and compliance and to undertake localised interventions
involving local and national State institutions.
[180]
The applicants make no mention of how damages for
Anglo's alleged liability for remediation would be determined in the
context
of these existing and ongoing efforts. In reply, the
applicants simply say that the ZMERIP remediation efforts do not
negate their
claim for remediation relief, that Anglo is
blame-shifting to ZCCM, and that any shared liability can simply be
apportioned at
trial. This, however, misses the point that the
remediation relief must be demonstrated to be ascertainable in a
certification
hearing in order to be properly amenable to
determination in a class action.
[181]
For the first time, the applicants now admit in their heads of
argument that ‘the effort to remediate the Kabwe environment
will undoubtedly require the combined action of the Zambian
government, ZCCM and civil society’ but they argue that the
complexity of the problem should not preclude the right to a remedy.
I agree with Anglo’s contention that this trivialisation
of
Anglo's concerns masks the depth of the problem in the applicants'
case: As remediation activities are ongoing in Kabwe, any
remediation
damages for which Anglo is allegedly liable is a shifting goalpost.
The history of ZCCM's efforts show that remediation
may in fact make
matters worse if not handled with great care. The applicants fail so
much as to make a basic proposal of how ZCCM's
and the Zambian
Government's ongoing responsibility and jurisdiction over remediation
efforts will be navigated concurrently to
determining the claim for
remediation damages against Anglo. In this, they have failed to make
out a prima facie case that the
remediation relief is ascertainable
or determinable.
[182]
In
Kirk v
Executive Flight Centre Fuel Services Ltd
,
[100]
the Court of Appeal for British Columbia considered the certification
of a class action in a case concerning the spill of helicopter
fuel
in certain water sources. The Court held that the plaintiff is not
required to show proof of harm on a balance of probabilities
at the
certification stage, but he must show that a methodology exists ‘that
is not purely theoretical but is capable of
proving and measuring
harm on a class-wide basis.’
[101]
The Court explained that: ‘A proposed methodology will not
satisfy the certification requirements if it shows only how a
loss
can be measured, rather than how such a loss can be established on a
class-wide basis’.
[183]
In
the present matter the applicants have not attempted to show either
how remediation damages can be measured nor how such a loss
could be
established on a class-wide basis.
[102]
The applicants have therefore failed to show that the proposed claims
for remediation relief have any basis in law.
Conclusion
on remediation relief
[184]
The applicants have not attempted to clarify or provide
context for the term ‘remedial’. They failed to adduce
any evidence
or to demonstrate that such remediation is feasible,
both in terms of the likelihood that any necessary steps would be
successful
and in terms of the class members' ability to carry out
such remediation both practically and legally.
[185]
In any case, the damages they claim for such remediation
relief have not been demonstrated to be determinable or allocable,
as
required by precedent. There is no evidence indicating what
remediation would entail or how it would be carried out. Worse,
how
could the hypothetical cost of remediating (say) school grounds be
allocated as damages to any specific class member? These
issues are
not addressed in the documents submitted by the applicants.
[186]
The claim for remediation relief is so vague as to be
indeterminable, especially when read in conjunction with the
extraordinarily
broad scope of the class sought to be certified, both
geographically and in terms of injury (issues addressed below).
Certifying
a class action that includes a claim for remediation
relief is not in the best interests of justice.
OPT-IN V OPT-OUT: A
wholly foreign opt-out class is impermissible.
[187]
As stated, the applicants propose a
bifurcated mechanism on the following basis: Stage one, in
which the common issues of
liability will be determined, will be
conducted on an opt-out basis. Stage two, dealing with individualised
matters and damages
will be conducted on an opt-in basis.
[188]
In order to
participate in a class action, individual class members are required
to take proactive measures under the opt-in class
action regime.
Simply put, class members are required to participate in and indicate
their intention to join the class action;
if they do not, they will
not be held liable for the outcome of the litigation or be entitled
to any benefits. The foundation of
support for the opt-in regime lies
in the notion that parties who are not informed about the litigation
should not be obligated
to abide by its results. Conversely, unless
individual class members opt out of the class action, the opt-out
class action regime
automatically binds class members to the class
action and the outcome of the litigation. ‘The opt-out regime
is primarily
supported on the grounds that the opt-in requirement
could compromise the facilitation of access to justice, which is one
of the
primary goals of class action litigation’.
[103]
[189]
Anglo contends that the opt-out mechanism
is inappropriate for class actions in which the class plaintiffs are
foreign
peregrini
as
this court lacks jurisdiction over foreign
peregrini
.
That is because there is no consent, express or implied, to
jurisdiction from that absent foreign plaintiff.
[190]
The
applicants contend that the opt-out mechanism in relation to
peregrini
is appropriate and consistent with South African law.
[104]
In
support of their argument
that this court can exercise jurisdiction over foreign
peregrini
class members on an opt-out basis, simply on the fiction that they
received notice and decided to take no action, the applicants
rely
mainly on two South African cases:
Ngxuza,
[105]
and
Nkala.
[106]
[191]
In
Ngxuza
,
the SCA held that a proper opt-out class action procedure would be
sufficient to found jurisdiction over local
peregrini
on the conventional jurisdictional
principles. It held as follows:
‘
[22]
First, this is no ordinary litigation. It is a class action. It is an
innovation expressly mandated by the Constitution. We
are enjoined by
the Constitution to interpret the Bill of Rights, including its
standing provisions, so as to 'promote the values
that underlie an
open and democratic society based on human dignity, equality and
freedom'. As pointed out earlier we are also
enjoined to develop the
common law which includes the common law of jurisdiction so as to
'promote the spirit, purport and objects
of the Bill of Rights'. This
Court has in the past not been averse to developing the doctrines and
principles of jurisdiction so
as to ensure rational and equitable
rules. In Roberts Construction Co Ltd v Willcox Bros (Pty) Ltd this
Court held, applying the
common law doctrine of cohesion of a cause
of action (continentia causae), that where one court has jurisdiction
over a part of
a cause, considerations of convenience, justice and
good sense justify its exercising jurisdiction over the whole cause.
The partial
location of the object of a contractual performance (a
bridge between two provinces) within the jurisdiction of one court
therefore
gave that court jurisdiction over the whole cause of
action. The Court expressly left open the further development and
application
of the doctrine of cohesion of causes. The present seems
to me a matter amply justifying its further
evolution.
The Eastern Cape Division has jurisdiction over the original
applicants and over members of the class entitled to payment
of their
pensions within its domain. That in my view is sufficient to give it
jurisdiction over the whole class who subject to
satisfactory 'opt
out' procedures will accordingly be bound by its judgment’.
[23] In any event, even
if a strict approach would weigh against permitting inclusion of
extra jurisdictional applicants in a plaintiff
class, it is plain
that the Constitution requires adjustment of the relevant rules along
sensible and practical lines to ensure
the efficacy of the class
action mechanism. As O’Regan pointed out in Ferreira v Levin
NO, the constitutional provisions
on standing are a recognition of
the particular responsibility the courts carry in a constitutional
democracy to ensure that constitutional
rights are honoured: 'This
role requires that access to the courts in constitutional matters
should not be precluded by rules of
standing developed in a different
constitutional environment in which a different model of adjudication
predominated. In particular,
it is important that it is not only
those with vested interests who should be afforded standing in
constitutional challenges, where
remedies may have a wide impact.'
[24] There can in my view
be no doubt that the Constitution requires that, once an applicant
has established a jurisdictional basis
for his or her own suit, the
fact that extra jurisdictional applicants are sought to be included
in the class cannot impede the
progress of the action.’
[192]
In
Nkala
,
this court certified an opt-out class action that included tens of
thousands of foreign plaintiffs, who were migrant mineworkers.
The
court nonetheless assumed jurisdiction over the foreign putative
plaintiffs and certified the opt-out class action,
inter
alia,
because those foreign plaintiffs
would have no access to justice absent certification of the class
action:
‘
It
is not disputed that the majority of the class members are
impoverished rural people, many of whom are in poor health, who are
spread across the subcontinent and who have very limited access to
the civil justice system. The portion of class members who were
migrant workers from Mozambique, Malawi, Lesotho and Swaziland,
probably have no access to the South African justice system at
all.
[...] It was not disputed that the majority of mineworkers have
little to no access to the South African justice system, as
they are
all impoverished or indigent and are living in the rural areas of
South Africa, Mozambique, Malawi, Lesotho and Swaziland,
and are in
poor health.’
[107]
[193]
The applicants contend that the approach in
Ngxuza
and
Nkala
is
binding and should be adopted in this case.
I disagree.
Neither
Ngxuza
nor
Nkala
disrupts the jurisdictional
position in our law and is not authority for the proposition that a
South African court can exercise
jurisdiction over an opt-out class
made up entirely of foreign
peregrini.
[194]
In
Ngxuza
all class members were
incolae
of
South Africa, but some were local
peregrini
in relation to the
Grahamstown High Court, where the matter was heard at first instance.
South African law treats local
peregrini
completely
differently to foreign
peregrini.
A division of the High Court
with subject matter jurisdiction (for example, if the cause of action
arose within the jurisdiction
of that division) does not need to
confirm its jurisdiction in relation to a local
peregrinus
defendant, but it does need to do so in relation to a foreign
peregrinus
defendant. The concept of local
peregrini
is
largely a historical anachronism and various statutes have done away
with almost all the differences between
incolae
of a Division
and local
peregrini.
Sections 166 and section 169 of the
Constitution make it clear that there is a single High Court, split
into different Divisions.
Foreign
peregrini,
however, are not
subject to the jurisdiction of this single High Court.
[195]
Moreover, Cameron JA held in
Ngxuza
that the
court’s personal jurisdiction over the
incolae
justified
the assumption of personal jurisdiction over the local
peregrini.
This case has no such anchor. The proposed classes are all foreign
peregrini
. In addition, all class members in
Ngxuza
had
a connection with the Eastern Cape, given that the class definition
was ‘all people in the Eastern Cape Province who
were in
receipt of disability grants and who had such grants cancelled or
suspended between the period 1 March 1996 and the date
of this
judgment’. None of the members of the proposed classes in this
case have a connection to South Africa. The class
members’ only
connection with South Africa is that Anglo is domiciled here.
[196]
Nkala
,
likewise, can be distinguished from the present matter. Firstly, the
jurisdictional point was not argued by the parties. Secondly,
the
court did not consider the issue. An issue that is not disputed by
the parties and which the court is not called upon to decide
does not
constitute a
ratio
decidendi
which can bind a court.
[108]
Thirdly,
the classes in that matter were only partially made up of foreigners
and they all had a strong connection to South Africa—
they had
all worked on mines in South Africa for several years, as a result of
which they contracted silicosis or tuberculosis.
The evidence in that
case was that they had kept these contacts throughout, for instance,
ex-miner associations or trade union
networks, through which notice
would reach them. Here, the applicants have classes made up
exclusively of foreign
peregrini
,
all of whom have no connection to South Africa.
[197]
The
applicants also rely on foreign jurisdictions to support their
argument that, despite the jurisdictional difficulties, an opt-out
procedure best serves the purpose of a class action in this case. It
is argued that Canada, the United States, and Australia have
all
recognized this by requiring class actions to be conducted on an
opt-out basis. It is contended that these jurisdictions are
in line
with the ‘conventional situation’ and approach adopted in
South Africa, namely that an opt-out procedure best
gives effect to
the constitutional right of access to courts.
[109]
[198]
The
applicants submit that similar considerations have been persuasive in
the United States and Canada, where courts have consistently
certified opt-out class actions in which some or even a majority of
class members are foreign
peregrini
.
They contend that in this regard, ‘it is significant that in
jurisdictions where class actions are more established, there
has
been general endorsement of an approach favouring certification of an
opt-out class action comprising foreign peregrini’.
For
example, in
Silver
v Imax Corp
,
[110]
and
Ramdath
v-George Brown College,
[111]
the
Ontario Superior Court, and in
Airia
Brands v Air Canada,
[112]
the
Ontario Court of Appeal certified class actions where the vast
majority of the class members were
peregrini.
[199]
In
Ramdath
,
the court certified an opt-out class action against a Canadian
university, to include 119 students, 65% of whom were foreign
peregrini. The court rejected the 'second bite' arguments and expert
legal evidence that the Ontario Court's judgment would not
be
recognised in India and China, where many peregrini were resident.
[200]
In
Airia
Brands Inc. v Air Canada,
[113]
the
Ontario Court of Appeal considered jurisdiction over absent foreign
claimants in an opt-out class action involving a claim for
conspiracy
to fix prices for air freight shipping services. The class included
many foreign plaintiffs who were known and unknown.
The respondent
resisted the certification of a class comprising absent foreign
plaintiffs, on the grounds that the court would
lack jurisdiction
absent their express consent. The Court below upheld that motion. In
reversing the decision, the Ontario Court
of Appeal rejected the
notion that jurisdiction over absent foreign plaintiffs could only be
established by their presence or consent
to that court's
jurisdiction.
[201]
The
applicants also refer to
Phillips
Petroleum Company v Shutts
,
[114]
in
which the US Supreme Court rejected the argument that an opt-in
mechanism was required to establish jurisdiction over foreign
absent
plaintiffs. The Court held that adequate notice and failure to
opt-out is sufficient to found jurisdiction over absent
peregrini
and disapproved of the opt-in procedure as a viable alternative. The
Court held that the key jurisdictional question is a due process
issue sufficiently addressed by proper notice and the opportunity to
opt-out. Justice Rehnquist, for the majority, wrote:
‘
In
this case we hold that a forum State may exercise jurisdiction over
the claim of an absent class-action plaintiff, even though
that
plaintiff may not possess the minimum contacts with the forum which
would support personal jurisdiction over a defendant.
If the forum
State wishes to bind an absent plaintiff concerning a claim for money
damages or similar relief at law, it must provide
minimal procedural
due process protection. The plaintiff must receive notice plus an
opportunity to be heard and participate in
the litigation, whether in
person or through counsel. The notice must be the best practicable,
"reasonably calculated, under
all the circumstances, to apprise
interested parties of the pendency of the action and afford them an
opportunity to present their
objections.’
[202]
The Court also described what it thought
appropriate notice would be on the facts of that case. It held that
the opt-in approach
undermines the purpose of a class action:
‘
Requiring
a plaintiff to affirmatively request inclusion would probably impede
the prosecution of those class actions involving
an aggregation of
small individual claims, where a large number of claims are required
to make it economical to bring suit. The
plaintiff's claim may be so
small, or the plaintiff so unfamiliar with the law, that he would not
file suit individually, nor would
he affirmatively request inclusion
in the class if such a request were required by the Constitution.’
[203]
The Court reasoned that foreign plaintiffs
wishing to litigate on their own, would likely have the resources and
information required
fully to appreciate their rights and the
consequences of opting out. It held that class actions confer
benefits to absent peregrine
plaintiffs, whose interests are
protected by the class representative and court oversight. In
contrast, foreign named defendants
are directed to appear in
unfamiliar jurisdictions and to incur costs to avoid the risk of
default judgments against them.
[204]
I acknowledge that to establish jurisdiction over foreign
class members, Canadian law does not require consent or presence. Of
course,
this court is not bound by Canadian law. It is also telling
that even under the approach in
Airia Brands
, where one of the
requirements for jurisdiction over absent foreign class members was
stated to be a 'real and substantial connection
between the subject
matter of the action' and the local jurisdiction, this court would
not have jurisdiction. There is no such
connection here.
[205]
I
am also not persuaded by the ruling in
Phillips
v Shutts
.
This court, once again, is not bound by US law. Second, Phillips did
not involve foreign peregrine plaintiffs, and third, even
under the
Phillips
approach, this court would be unable to exercise jurisdiction over
members of the proposed classes, because the US Supreme Court
in
Phillips held that a class may only include foreigners on an opt-out
basis if they receive ‘minimal procedural due process
protection.’ This means that each foreigner ‘must receive
notice plus an opportunity to be heard and participate in
the
litigation, whether in person or through counsel’. In addition,
each class member must personally receive a ‘fully
descriptive
notice’ over ‘first-class mail’.
[115]
[206]
In the current case, the notice procedure followed by
the applicants does not offer an equivalent level of robust due
process
protection. First-class mail will not be utilised to deliver
letters addressed to class members in Kabwe. In this instance, the
Phillips court would not have presumed jurisdiction.
Conclusion: Opt-out v
Opt-in
[207]
The opt-out classes the applicants seek to have
certified are enormous. On their estimate, between 131 000 and 142
000 of
the approximately 225 000 Kabwe district residents, including
between 89 000 and 99 000 children will form part of the class
action.
The proposed classes are made up entirely of foreign
peregrini
: people who are domiciled and resident in Zambia.
[208]
In
De Bruyn
, this court held that it is impermissible
to certify an opt-out class made up of foreign
peregrini.
There, Ms De Bruyn sought to certify a class
action on behalf of four classes who had suffered damages from
misrepresentations made
by Steinhoff, its directors, and its
auditors. Since Steinhoff shares were traded on the Frankfurt bourse,
one of the classes comprised
persons who purchased Steinhoff shares
on the Frankfurt Stock exchange. This class potentially included
foreign
peregrini
.
There (like here), the applicant had sought to have certified
an opt-outclass made up entirely of foreign
peregrini
(the
'Foreign Shareholders Class"). Unterhalter J held that this was
impermissible:
‘
32.
However, while certification binds incolae, it does not bind
peregrini who are not, absent submission, subject to the jurisdiction
of this court. This would permit peregrini who are members of the
classes in the South African litigation to pursue litigation
in
multiple jurisdictions. An adverse outcome before the courts in South
Africa would not be binding upon peregrini who would be
at liberty to
seek a different outcome in other jurisdictions. This is unfair,
wasteful and potentially oppressive of respondents
who would be
required to defend the same action in multiple jurisdictions’.
[209]
Ultimately, the applicant proposed fixing the problem by
converting the Foreign Shareholders Class to an opt-in class. The
court
accepted this solution:
‘
The
principle of our law is that a plaintiff always submits to the
jurisdiction in which she brings her action. It follows that
if
peregrini opt into the Foreign Shareholders Class, they intend to
bring the class action, submit to the jurisdiction of this
court and
will be bound by the outcome before this court. This cures the
jurisdictional complaint in respect of the Foreign Shareholders
Class’.
[210]
Unterhalter
J's holding in
De
Bruyn
is obiter. However, I find it persuasive for the following reasons:
Submission to jurisdiction can be either express or implied.
In
ordinary litigation (i.e.,- non-class-action litigation), a foreign
peregrine plaintiff expressly (or, if not expressly, by
a clear and
inescapable inference) submits to the court's jurisdiction by
bringing her action.
[116]
As
held in
Mediterranean
Shipping Co v Speedwell Shipping Co Ltd
:
[117]
‘[A] plaintiff always submits to the jurisdiction of the court
in which he brings his action and if he is unsuccessful in
an action
before a foreign court and costs are awarded against him an action
can be brought in that court to enforce the judgment
for costs’.
[211]
In the case of implied submission, it must be shown that the
party alleged to have submitted behaved in such a manner as to give
rise to a clear and inescapable inference that she submitted to the
jurisdiction of the relevant court. But one cannot apply this
approach to members of an opt-out class made up of foreign peregrini,
given that no member of an opt-out class submits to the court's
jurisdiction in the same way that an ordinary foreign peregrine
plaintiff does. A member of an opt-out class does not expressly
submit to the court’s jurisdiction, nor does she act in such a
manner as to give rise to a clear and irresistible inference
that she
submitted. She in fact, does nothing. It is her inactivity that puts
her in the class.
[212]
It follows, as correctly held in
De Bruyn
, that a South
African court cannot assert jurisdiction over a member of an opt-out
class that is a foreign
peregrini
, because such member has not
submitted to the court's jurisdiction, given that they take no action
to be a member of the class.
As a result, a South African court can
only certify a class comprised entirely of foreign
peregrini,
on an opt-in basis.
[213]
The applicants’ attempt to distinguish
De Bruyn
on several bases in their heads of argument. The applicants' primary
argument is that
De Bruyn
is distinguishable because the
foreign class members were wealthy investors who could look after
themselves. There is no support
for the proposition that all the
investors in that case were wealthy. In fact, the applicant in that
case was a retired pensioner
who bought R80,000 worth of shares. In
any event, a litigant's wealth is plainly irrelevant to whether a
court has jurisdiction
over that litigant.
[214]
The
applicants also claim that
De
Bruyn
is distinguishable because, there, a foreign class member ‘could
notionally have been bound by the outcome of litigation
in South
Africa without knowing’. But that is precisely the case here.
It is well-recognised in foreign jurisdictions that
opt-out notices
are inevitably complicated and unfamiliar. Requiring classes made up
of foreign
peregrini
to be opt-in prevents fictitious consent (and the need to prevent
this is acute in class actions involving foreign
peregrini
).
Professor Debra Basset succinctly summarises the unfairness to
foreign claimants as follows:
[118]
‘
It
is with respect to the failure to opt out as constituting consent
that an even greater danger lies for non-U.S. absent class
members.
Consent to personal jurisdiction is often a legal fiction under the
best of circumstances. The hapless defendant who answers
a complaint
without challenging personal jurisdiction has consented to such
jurisdiction without knowing he has done so —
a far cry from an
affirmative agreement. When consent is predicated upon a claimant's
failure to respond to a lengthy legal notice
generated by a far-away
foreign court in connection with a potentially unfamiliar type of
legal proceeding, the unfairness is apparent.’
……
.
In
reaching across national boundaries and attempting to bind foreign
claimants, U.S. courts potentially take away legal rights
from
foreign claimants. Under such circumstances — with claimants
from another country, who may speak another language, who
may be
unfamiliar with the U.S. legal system, and who, depending on the
country, may have had less formal schooling than most U.S.
citizens —
the notion of failing to respond to a lengthy legal notice as
constituting consent falls’.
[215]
In Professor Basset's view, the use of an opt-in procedure
avoids these problems:
‘
When
an opt-in procedure is provided, consent is no longer implied or
fictitious. In order to bind foreign claimants in a class
action,
those claimants must affirmatively elect to join the existing class
litigation, which eliminates the possibility of fictitious
consent.
This provides superior due-process protections, and avoids the loss
of individual rights under circumstances where neither
minimum
contacts nor genuine consent exist’.
[216]
Finally, the applicants argue that
De Bruyn
is
distinguishable because some foreign class members in that matter had
already sued the defendant in other jurisdictions. However,
while
this is significant as to whether the defendant may invoke the
res
judicata
or
lis pendens
defence, it is not relevant to
whether the court had jurisdiction.
[217]
Foreign jurisdictions also follow the approach in
De Bruyn
.
For example, under section 47B(11) of the United Kingdom's
Competition Act, 1998 (implemented in 2015), a class action may be
brought in respect of economic injury as a result of anti-competitive
conduct in the UK. The class may be opt-out for class members
domiciled in the UK, but the class must be opt-in for class members
not domiciled in the UK. Similarly, in the European Union,
the EU
directive on representative actions for the protection of the
collective interests of consumers, aimed at harmonising consumer
class actions among EU member states, precludes opt-out class actions
where some class members reside outside the member state
in which the
class action is brought. In other words, if one or more class members
live outside the member state in which the class
action is brought,
the class must be opt-in. The following was said:
‘
[l]n
order to ensure the sound administration of justice and to avoid
irreconcilable judgments, an opt-in mechanism should be required
regarding representative actions for redress measures where the
consumers affected by the infringement do not habitually reside
in
the Member State of the court of administrative authority before
which the representative action is brought. In such situations,
consumers should have to explicitly express their wish to be
represented in that representative action in order to be bound by
the
outcome of the representative action.’
[218]
In addition to following jurisdictional first principles, this
is good policy. Anglo, in my view, is correct when it asserts
that, in addition to avoiding fictitious consent, requiring a foreign
class to be opt-in prevents foreign class members from re-litigating
on similar facts in different jurisdictions (in other words, it
ensures that the class action has ‘preclusive effect’
internationally; put differently, it prevents jurisdictional
arbitrage). It is easy for foreign
peregrini
in an opt-out
class action to argue that the results of the class action do not
bind them because they did not submit to the foreign
court's
jurisdiction, and thus the matter is not
res judicata
for
them. It is much more difficult to do the same thing if the class
action is opt-in.
[219]
Finally, the applicants argue that an opt-in class would be
‘under- inclusive’ and would deny class members access to
justice because it would take ten years to take instructions from all
the class members. This does not follow. To begin with, in
these
circumstances, this court cannot exercise jurisdiction over an
opt-out class comprised entirely of foreign
peregrini
. It does
not even reach the question of under- or over-inclusiveness. Further,
if an opt-in class would be under-inclusive, it
means that the
applicants' notice procedure would be insufficient to draw people out
who fall within the classes. If this is the
case, an opt-out class
would effectively bind class members to the first stage without their
genuine consent.
[220]
Secondly, a person does not need to
instruct or consult with the applicants’ attorney to opt into
the class. She merely needs
to send a notice with her name, address
and telephone number to the relevant email address or postal address.
As this court held
in
Nkala
,
a class member’s ‘claim to membership is not
determinative of [her] actual membership’ and her ‘actual
membership would have to be proven’.
[221]
This is why the applicants’ repeated
claim that opt-out classes are necessary to ensure access to justice
is incorrect. If
the applicants can provide sufficient notice to
Kabwe residents to enable them meaningfully to opt-out, then it can
provide them
with sufficient notice to enable them to opt-in if they
wish.
[222]
If this court were to certify on an opt-out basis, it would
result in over a hundred thousand Zambian nationals being bound by
the
class action without their informed consent, including tens of
thousands of children.
[223]
Precluding the certification of opt-out class actions
made up of foreign
peregrini
furthers the interest of justice
in class actions: Firstly, requiring classes made up of foreign
peregrini
to be opt-in prevents fictitious consent. Secondly,
it ensures that any judgment has preclusive effect. This gives effect
to our
existing law on jurisdiction.
[224]
For these reasons it would not be appropriate to certify the
class action on an opt-out basis.
THE CLASSES
[225]
The applicants seek certification of a
class action, on behalf of two proposed classes: a) children and b)
women of child-bearing
age. The class of children consists of:
children under the age of 18 on the date that the certification
application was launched,
which was 20 October 2020; who reside in
the Kabwe district, Central Province, Zambia; in the case of children
over the age of
seven, have lived in the Kabwe district for at least
two years between the ages of zero and seven; and who have been
injured due
to lead exposure. The class of women of childbearing age
consists of women over the age of 18 and under the age of 50 on 20
October
2020; who reside in the Kabwe district; who have resided in
the Kabwe district for at least two years between the ages of zero
and seven; who have been pregnant or are capable of becoming
pregnant; and who have been injured by lead exposure.
[226]
The
general requirements for a valid class definition are
well-established: the class must be defined with sufficient precision
so that class membership can be objectively determined, and it must
not be overly inclusive. These requirements are not inflexible
rules.
They must be approached purposively because they are subordinate to
the interests of justice. The primary functions of a
class definition
are to facilitate the notification of prospective class members, to
determine who is bound by the outcome, and
to identify who is
entitled to relief.
[119]
As stated in
CRC
Trust
,
the essential question will always be whether the class is
sufficiently identified that it is possible to determine at all
stages
of the proceedings whether a particular person is a member of
the class.
[120]
[227]
As
stated, the classes in this case are likely to be large, with an
upper estimate of more than 140,000 children and women of
child-bearing
age. But the size alone of the potential classes does
not render the class definitions over-broad.
[121]
What would however make it overbroad is if there is a mismatch
between the class definition and the triable issues.
[228]
Anglo’s alternative case before this
court is that on the assumption that some class action should be
certified, it should
not be on the terms proposed by the applicants.
It is contended that the classes are too broad and cannot be
determined objectively.
It raises three objections to the classes:
First, the classes should be limited to the residents of Kasanda,
Makululu, and Chowa
(the ‘KMC’ townships) (the
geographical scope argument). Second, only KMC residents who have
blood lead levels of 80
µg/dL or more, combined with
encephalopathy or colic; or have blood lead levels of 45 µg/dL
or more, combined with
anaemia and peripheral neuropathy (the range
of injuries argument). Third, excluding any adult women whose claims
have prescribed
under Zambian Law (who suffered injuries prior to 20
October 2017) (the prescription argument).
[229]
The
applicants contend that narrowing the classes is unjustified and
inappropriate and would result in
the
arbitrary
exclusion of potentially thousands of individuals who share an
interest in the determination of the common issues and will result
in
irreparable injustice. It is contended that the applicants' proposed
class definitions are intentionally cast in inclusive and
encompassing terms. This is to ensure that those who have claims
against Anglo, and an interest in the determination of the common
issues, are not
irrationally
excluded. It is contended that Anglo's arguments in favour of these
narrower boundaries are, in truth, disguised arguments on the
merits
of the prospective class members' claims and is conflating the merits
of the prospective class members' claims, which will
be determined at
trial, with the question of an appropriate class definition. W
ith
reference to
CRC
Trust
,
[122]
it is asserted that the correct test for appropriate breadth ‘is
the existence of sufficient common issues of fact and law
that may be
resolved in the interests of all class members’.
[230]
The test for an appropriate class definition is the same as it
is for all aspects of certification: whether it is in the interest
of
justice to certify the specific classes proposed by the applicants.
In determining the interests of justice (including in respect
of
class definition) the factors in
CRC Trust
must be weighed
against each other,
including
whether a triable case has been
made out that justifies the class definition requested.
CRC Trust
is no authority for the proposition that sufficient common issues is
the sole determinant of an appropriate class definition. This
would
in any event be inconsistent with
Mukkadam
. The court merely
stated that an over-inclusive class can have the result that there is
insufficient commonality:
‘
An
over-inclusive class also raises the question whether there are
common issues of fact or law that can conveniently be resolved
in the
class action in the interests of all members of the class. The
broader the class the less likely it will be that there is
the
requisite commonality.’
[231]
As
the court recognised in
De
Bruyn,
[123]
‘the
membership of a class should have an identity of interest.
Furthermore, the heterogeneity of a class may impact upon
the common
issues capable of determination in a class action, the suitability of
a class representative and the complexity of the
proposed
litigation….. [A] class may be overextensive and lack
coherence which gives rise to other infirmities’.
[232]
The applicants’ attempt to separate the existence of
common issues from the existence of a triable issue therefore falls
to
be rejected: The two are inextricably linked. Class litigation may
be warranted due to sufficient common issues, as is the case
in the
present instance; however, that is only one of the considerations.
The enquiry does not end there. The applicant is required
to
establish a prima facie case demonstrating its ability to prove those
issues in its favour with regard to the entire class.
[233]
This
is illustrated by
Wal-Mart
,
[124]
where a class action was sought claiming damages and interdictory
relief for alleged systemic discrimination by Wal-Mart against
female
employees in all 50 states. The US Supreme Court refused to certify
inter
alia
on
the basis that the applicants had failed to provide sufficient
evidence making out discrimination in respect of broad swathes
of the
class. The following is a quote from the syllabus, which makes it
clear that one cannot make out common issues without making
out a
prima facie case in respect of those issue in relation to the class
generally:
‘
(a)
Rule 23(a)(2) requires a party seeking class certification to prove
that the class has common “questions of law or fact.”
Their claims must depend upon a common contention of such a nature
that it is capable of classwide resolution — which means
that
determination of its truth or falsity will resolve an issue that is
central to the validity of each one of the claims in one
stroke.
Here, proof of commonality necessarily overlaps with respondents’
merits contention that Wal-Mart engages in a pattern
or practice of
discrimination. The crux of a Title VII inquiry is “the reason
for a particular employment decision,”
and respondents wish to
sue for millions of employment decisions at once. Without some glue
holding together the alleged reasons
for those decisions, it will be
impossible to say that examination of all the class members’
claims will produce a common
answer to the crucial discrimination
question.
(b)
General Telephone Co. of Southwest v. Falcon
,
457 U. S. 147
,
describes the proper approach to commonality. On the facts of this
case, the conceptual gap between an individual’s discrimination
claim and “the existence of a class of persons who have
suffered the same injury,” …, must be bridged by
“[s]ignificant
proof that an employer operated under a general
policy of discrimination,” …. Such proof is absent here.
Wal-Mart’s
announced policy forbids sex discrimination, and the
company has penalties for denials of equal opportunity. Respondents’
only evidence of a general discrimination policy was a sociologist’s
analysis asserting that Wal-Mart’s corporate culture
made it
vulnerable to gender bias. But because he could not estimate what
percent of Wal-Mart employment decisions might be determined
by
stereotypical thinking, his testimony was worlds away from
“[s]ignificant proof” that Wal-Mart “operated under
a general policy of discrimination.”’……..
[234]
In the body of the majority’s opinion it was held:
‘
In
this case, proof of commonality necessarily overlaps with
respondents’ merits contention that Wal-Mart engages in a
pattern
or practice of discrimination. That is so because, in
resolving an individual’s Title VII claim, the crux of the
inquiry
is “the reason for a particular employment decision,”
Cooper v. Federal Reserve Bank of Richmond,
467 U. S. 867
, 876
(1984). Here respondents wish to sue about literally millions of
employment decisions at once. Without some glue holding the
alleged
reasons for all those decisions together, it will be impossible to
say that examination of all the class members’
claims for
relief will produce a common answer to the crucial question
why
was I disfavored
.’
[125]
[235]
The
majority held, that if the class wished to have certified a
nationwide class, evidence of nationwide discrimination was required,
and not merely evidence from a handful of states:
[126]
‘
Here,
by contrast, respondents filed some 120 affidavits reporting
experiences of discrimination — about 1 for every 12,500
class
members — relating to only some 235 out of Wal-Mart’s
3,400 stores. … More than half of these reports
are
concentrated in only 6 States (Alabama, California, Florida,
Missouri, Texas, and Wisconsin); half of all States have only
one or
two anecdotes; and 14 States have no anecdotes about Wal-Mart’s
operations at all. … Even if every single one
of these
accounts is true, that would not demonstrate that the entire company
“operate[s] under a general policy of discrimination,”
…
which is what respondents must show to certify a companywide class.’
[236]
Class
definition provides the foundation for a class action.
[127]
As a
result, it is critical that this court carefully examines any
proposed class definition and ensures that there is no mismatch
between the class definition and the triable cause of action. This is
critical because class definition has a direct impact on
the class
action's complexity and manageability. If classes are too broadly
defined, the classes become unnecessarily and unrealistically
large –
with an attendant increase in costs, issues, delays and so on. This
is not in anyone’s interests – not
the true class
members, not the defendant and not the courts.
[237]
As a result, saying that any excess class
members will be trimmed at trial is not an answer: Even removing
excess class members
during trial depletes judicial and party
resources. It is better for the court to exclude class members with
no claim at certification.
The practical reality, as demonstrated by
Nkala,
is
that class actions often settle after certification and before the
trial even begins. But this means that the class must be
properly
defined at certification stage – not later.
[238]
A failure to do so can imperil the truly
deserving members of the class. Settlement may be more difficult to
achieve if the class
is unrealistically broad. Moreover, even if
settlement is reached, if the class is overbroad, the members of the
class who have
no genuine claim will be taking away compensation that
ought rightly to go to the truly deserving members of the class. In
addition,
our courts have recognised that class actions must not be
used to bully respondents into settling what is ultimately an
unmeritorious
claim.
[239]
It is therefore not tenable to
suggest that it will do no harm to include additional people in the
class definition. On the contrary,
a precise class definition that
tracks the triable cause of action is critical. It is in the best
interests of the class members
who have legitimate claims, the
respondent, and the court.
GEOGRAPHICAL SCOPE
[240]
Each of Zambia's provinces are sub-divided
into administrative districts. The Kabwe district is one of nine
districts in the Central
Province, with its headquarters in the town
of Kabwe.
[241]
Various
academic
studies confirm that the town of Kabwe has remained highly polluted
to this date. B
y
all accounts, the area immediately surrounding the Mine –
including the KMC townships – is polluted by lead.
[128]
For
instance, a World Bank study in 2001/2002 compared findings of
various soil sampling programs and found that environmental lead
pollution was greatest in Kasanda and Chowa (a range of 25-36,000
ppm, compared with the WHO limit of 1,000 ppm).
[242]
The applicants contend that residence in
the Kabwe district was chosen as a pragmatic geographical limit to
the proposed classes
that will facilitate proper notification and
ensure adequate commonality. They say there are four advantages to
this geographic
restriction: (a) The Kabwe district has an official,
clearly demarcated boundary line; (b) It is well understood by
prospective
class members; (c) It allows for targeted class
notification; (d) and it encompasses all of the areas that Anglo
accepts are worst
affected by lead pollution.
[243]
The
applicants first contend that Anglo's proposal to confine the classes
to the KMC townships is likely to create significant uncertainty
for
both potential class members and the trial court.
[129]
This
is because, as the applicant’s attorney, Ms Mbuyisa explains,
‘Kasanda, Makululuu and Chowa townships are not officially
demarcated areas’. They are loose names used by residents to
describe ‘amorphous residential areas that bleed into
one
another’.
[244]
The applicants argue that residents will
have difficulty in determining whether they are members of a class,
and virtually impossible
for a court to make an
objective
determination, particularly as the proposal does not account for the
movement of residents within the Kabwe district.
Equally, a
definition based on a particular radius from the Mine would also
cause ‘incalculable confusion’ among prospective
class
members and would be unworkable.
[245]
This argument has no merit. In their founding papers, the
applicants had no trouble delineating the KMC townships. Only once
Anglo
proposed in answer to limit the planned classes geographically
did the applicants claim they did not know where the KMC townships
began or ended. There are numerous maps and diagrams in the papers
that show the boundaries of each township without qualification
or
reservation, and the body of the founding affidavit includes numerous
references to the KMC townships with no indication that
their borders
cannot be identified. In fact, the applicants' experts, as well as
the different studies on which they and the applicants
depend,
constantly refer to the KMC townships as identifiable entities.
[246]
The founding affidavit also clearly states where each
applicant resides. It is either in Kasanda, Makululu or Chowa (or, in
the case of the fifth applicant, in Makandanyama, which is part of
Kasanda). The applicants also know where each of the additional
1 058
people that Mbuyisa Moleele represents lives:
‘
In
addition to the thirteen class representatives, Mbuyisa Moleele
represents a further 1058 individuals in this action.... The
majority
of the individuals live in Makululu (479). 401 live in the community
of Kasanda (including the communities of Maganda
and Makandanyama)
and a further 178 live in Chowa.’
[247]
The applicants also briefed Professor Thompson to estimate how
many children with particular BLLs live in Kasanda, Chowa and
Makululu.
She had no difficulty doing so for each district, drawing
on the ‘Kabwe Lead Stats report’, which provides ‘2017
population sizes ... for [the] Chowa, Makululu and Kasanda
districts.’ Ms Mbuyisa, the applicants' attorney, belatedly
claims
in reply that the borders of the KMC townships cannot be
determined. But such claim is not supported by a confirmatory
affidavit
from an applicant, or any resident of Kabwe. Ms Mbuyisa
cannot explain how she may have intimate knowledge of what Zambians
know
or do not know about the KMC township limits.
[248]
As a result, the KMC townships are not an insufficiently specific
basis for defining the suggested classes.
In any event, people living
at the borders of the district would be subject to the same
uncertainty. It is no reason not to define
the classes appropriately
at the certification stage.
[249]
Second, the applicants assert that the
question of whether lead contamination from the Mine spread across
the Kabwe district, and
to what extent, is a key issue in dispute, as
it pertains to causation. They contend that Anglo is not permitted to
‘use
the class definition to deprive class members of
adjudication of this issue.’ The applicants, it is argued, have
presented
compelling prima facie evidence of widespread contamination
that is not limited to the KMC townships or a defined radius.
[250]
The
evidence suggests otherwise. The applicants’ case on causation
in their founding papers was that the Mine caused lead
pollution in
the area immediately surrounding the Mine, namely Kasanda (located
directly northwest of the Mine), Makululu (also
immediately northwest
of Kasanda), and Chowa (immediately southeast of the Mine). This is
most evident in the founding affidavit:
[130]
‘
[W]ind
patterns in Kabwe are dominated by winds from an eastern/south-
eastern direction which, as Prof Betterton points out, aligns
with
global scale trade wind patterns known since the eighteenth century.
Throughout the Mine's operations, these winds carried
lead fames and
dust from smelting and mining operations directly over Kasanda and
Makululu, with occasional shifts in wind direction,
particularly in
summer, also carrying emissions to nearby Chowa. Due to the proximity
of the townships of Kasanda, Makululu and
Chowa to the Mine site,
this airborne lead and windblown dust would have been deposited in
the local environment continuously’.
[251]
The research
pertaining to lead pollution that was referenced in the founding
affidavit also concentrated almost exclusively on
the KMC townships:
Firstly, the 1975 study by Dr A.R.L. Clark of the London School of
Hygiene and Tropical Medicine focused on
four townships within three
km of the Mine. His research was prompted by reports of eight Kabwe
children dying from suspected lead
poisoning. Between 1971 and 1974,
Dr Clark surveyed the BLLs of children in Kabwe and found these to be
up to 20 times the limits
set by the US Centre for Disease Control at
the time. The study identified atmospheric lead emissions as the
primary source of
lead pollution and soil samples taken from Kasanda,
Chowa, and Makululu showed elevated lead levels, which Dr Clark
attributed
directly to ‘fall out originating from the smelter
stack.’
[252]
Dr Clark's own findings noted that his investigations showed that,
‘of the four communities situated
within a radius of
approximately 3 000 metres of the Kabwe Mine smelter, only two,
namely Kasanda and Makululu were exposed to
a high atmospheric lead
environment.’ According to Dr Clark, Kasanda at the time
covered 650 000 square meters (or 0.65 km)
and the centre of Kasanda
was 2.2 km from the smelter stack. Makululu was an area west of
Kasanda and so it was also in the way
of the prevailing wind.
[253]
Secondly, the studies of Dr Lawrence and Ann and Connor Reilly.
Dr Lawrence arrived in Kabwe in 1969.
He became concerned about the
children of the workers who lived in the neighbouring township (this
is most likely Kasanda because
it was the main dwelling place for
mineworkers before they were evacuated to Chowa at the Mine's request
following Dr Lawrence's
inquiry). His research only concerned people
living in the immediate vicinity of the Mine. The research of the
Reillys likewise
centred on ‘the vicinity of the Broken Hill
Lead and Zinc Mine, Kabwe’ within a distance of approximately 1
km of the
Kabwe smelter.
[254]
Thirdly, the 2001/2002 study by the World Bank, the 2015
study by Dr John Yabe and the 2019 study by Bohdan Kiibek. The
first study found that environmental lead pollution was greatest in
Kasanda and Chowa. The second 2019 study produced contour maps
illustrating ‘a range or high topsoil concentrations ... across
areas covering Kasande Chowa and Makululu’. And according
to
the 2015 study led by Yabe, high BLLs were identified in 246 children
under the age of seven from Kasanda, Makululu, and Chowa.
Dr
Yabe's subsequent 2020 study found that ‘[a]reas where
residents were most affected were Kasanda, and Makululu, ... followed
by Chowa’.
[255]
Fourthly, all of the applicants' experts who examined the
geography of lead pollution concentrated on the KMC townships:
Professor
Betterton was briefed to ‘prepare a report dealing
with mining practices and lead emissions from the Kabwe Mine ...
during
the period 1925 —1964/1974’. His report focuses on
the KMC townships. He examined ‘[t]he key routes by which lead
from the Mine has been transferred to the Kabwe community, in
particular the villages of Kasanda, Makululu and Chowa’. He
also considered ‘whether the company should have foreseen the
risk of lead poisoning to members of the Kabwe community, in
particular residents of Kasanda, Makululu and Chowa’. He
concludes that 'it was not safe for the residents of Kasanda or
Makululu, which are ‘downwind’ of the smelter, or even
for the residents of Chowa, which ... is in such close proximity
to
the plant that it too was contaminated with lead fume and
lead-containing dust’ and that the ‘company must have
known that they were subjecting the townships to lead pollution’.
Finally, he deduces that lead discharged from the Mine
from 1925 to
1974 ‘is likely to be a significant component of the lead in
the environment to which residents of Kasanda,
Makululu and Chowa are
currently exposed’. Professor Taylor, similarly, was briefed to
focus on the KMC townships.
[256]
Fifthly, the applicants rely on a
‘heat map’ which was created by a team of Czech
researchers led by Bohdan Kiibek.
The map depicts information
regarding the concentration of lead in topsoil and reference
subsurface soil. As confirmed by Professor
Taylor, this map clearly
shows that the Mine, and not naturally occurring lead in the area, is
responsible for the contamination
of the surface soil.
The
darker areas represent the highest levels of lead contamination in
the Kasanda, Makululu and Chowa communities. The map also
depicts the
extent of the contamination. Professors Harrison and Betterton,
experts for the applicants, explain that during the
Mine's
operations, the prevailing winds carried lead fumes and dust over the
townships, where it settled, and they note that patterns
of lead in
soil are consistent with the prevailing wind directions and decrease
with distance.
[257]
In its answering affidavit, Anglo's experts affirmed
that the applicants’ emphasis on the KMC townships was
suitable.
Mr. Sharma (Anglo’s expert) stated as follows:
‘
Multiple
studies have demonstrated that potential mining and processing
impacts are present in a certain area near the Kabwe Plant
and that
these operations have had a limited impact, if any, in far field
areas within the Kabwe District, the Proposed Class Area.
Areas up to
20 km from the Kabwe Plant have been investigated, and potential
impacts (defined as areas with soil concentrations
greater than 400
mg/kg) have been identified in less than 2% of the Kabwe District.’
[258]
According to another expert, Dr. Beck, the median and mean
BLLs in the KMC townships are significantly higher than those in the
remainder of the Kabwe district. In the same vein, Professor Canning
asserts that distance from the mine and directionality are
the
critical factors in determining BLLs. Those who live closer to the
Mine have higher BLLs, specifically those positioned south-east
(the
direction of waterflow) and west-north-west (the prevailing wind
direction) of the Mine.
[259]
In reply, the applicants aver that w
hilst
the KMC townships are among the most affected by lead contamination,
it is not confined to these areas. They
responded by
submitting an additional expert report (referred to as ‘the
Betterton replying report’), authored by Professor
Betterton,
in an effort to establish causation for a district-wide class. This
report utilised the ‘AERMOD model’ to
demonstrate that
emissions from the Mine might have extended beyond the KMC townships
and into the entire Kabwe district.
[260]
The applicants contend that the Betterton
replying report is supported by further studies, which have shown
widespread contamination
and resulting lead poisoning across the
Kabwe district. For example: Yamada
et
al
(2020) plotted the simulated
geographic distribution of BLLs for children aged 16 months and
showed that BLLs exceeded 5 µg/dL
throughout most of the Kabwe
district.
Nakata
et
al
(2021), found elevated blood lead
levels in children under the age of 18 living in Kang'omba
(approximately 15km south of Kabwe
central) and in Hamududu
(approximately 30km south of Kabwe central).
Professor
Betterton concludes that this ‘constitutes direct,
observational evidence that populations far removed from the
mining
operations in Kabwe have been exposed to lead from the Mine’.
[261]
The rival modelling exercises conducted by
Anglo's experts and the applicants' experts have led to further
affidavits and expert
reports. Mr Sharma disputes the accuracy of the
modelling, with Professors Betterton and Harrison filing further
affidavits in
defence.
The applicants argue that s
uch
technical disputes between experts could hardly be resolved at the
certification stage and are again a matter for trial and
that the
existence of such disputes is sufficient demonstration of a
trial-worthy issue. It is contended that the process of trial
preparation will also afford the opportunity for further soil
sampling and modelling exercises, if necessary, which will provide
the trial court with the means to resolve these factual disputes.
[262]
It is not as straightforward as the applicants portray it. As
repeatedly emphasised in this judgment, the applicants still have a
duty to set out sufficient evidence that prima facie show a triable
issue in respect of a district wide class. Concerning causation
and
the founding papers, the conclusions of Drs. Clark and Lawrence or
the Reillys do not support the applicants' claim that the
mine
materially contaminated the Kabwe district, which covers 1,570 km².
It demonstrates, at best for the applicants, that
the soil in
Makululu and Kasanda was contaminated. In addition, the heat map also
does not support the applicant’s case.
The heat map depicts how
closely the contaminated areas correspond to the KMC townships. The
applicants cannot argue otherwise,
given that the heat map was
described in their founding affidavit as 'illustrating a range of
high topsoil concentrations (between
500 mg kg-1 and 20 000 mg kg-1)
throughout areas covering Kasanda Chowa and Makululu.'
[263]
The heat map further dispels any doubt that a
district-wide class is grossly overbroad. It shows that the
overwhelming majority
of the Kabwe district has soil lead
concentrations of less than 200 mg/kg, significantly less than the
‘soil hazard standard
for lead of 400 mg/kg in the US for bare
soil where children play, set by the US Environmental Protection
Agency (EPA)’ relied
on by the applicants in their founding
affidavit.
[264]
As a final effort to justify the certification of a
district-wide class, the applicants rely on the Betterton reply
report. The
goal seems to be to demonstrate, using AERMOD modelling,
that ‘wind-borne emissions from the Mine/smelter could
potentially
reach the entire district’. However, even this
evidence is insufficient to establish a triable issue of causation
for the
entire district. First, the issue is not whether
some
lead
could
have made it from the Mine to the ends of the district,
but whether sufficient wind-borne lead emissions from the Mine were
transported
throughout the district to contaminate the soil across
the entire district (requiring soil readings of no less than 400
mg/kg).
Second, Professor Betterton’s modelling is not based on
real data. He openly admits that the 'the concentrations reported
in
these figures are fictitious’. Sharma points out numerous other
deficiencies in Professor Betterton's AERMOD methodology,
including
that instead of using five years of representative meteorological
data, as recommended by the US EPA, he attempted to
simulate the air
transport of lead particles in four discrete, short-term assessments
of six hours each; and he did not account
for wind frequency or
intensity. As a result, his AERMOD modelling produces results differ
from other models and studies on the
issue. Professor Betterton
himself admits that his AERMOD modelling cannot itself be used to
come to any sort of firm conclusion
as to the extent to which the
Mine could have polluted the entire district.
[265]
Third, Professor Betterton admits that his AERMOD modelling
does not prove ‘whether residents in all areas of the Kabwe
district
were being exposed to lead pollution emanating from the
mine’: ‘[W]hile it is well-established that the area
immediately
surrounding the mining operations such as Kasanda,
Makululu and Chowa are contaminated with lead, there have been
relatively few
studies documenting more widespread contamination.’
[266]
Finally, the applicants claim that a
ccording
to studies, children throughout the Kabwe district have dangerously
high BLLs, and confining the class to the KMC townships
would exclude
children with high BLLs who do not live in the KMC townships, which
would be ‘plainly arbitrary.’
[267]
This is incorrect. It would not be arbitrary to exclude
those with high BLLs who live outside the KMC townships. They would
be excluded for a good reason, which is that they are differently
situated to those in the KMC townships. The applicants’
case
has never been that having an elevated BLL in and of itself
constitutes a tortious claim against Anglo. The applicants’
case is that the Mine contaminated the soil, and that class members
have elevated BLLs from inhaling or ingesting that soil.
[268]
As a result, the applicants must provide prima facie
evidence that the Mine poisoned the soil of the entire district
throughout
the relevant period (and hence produced increased BLLs
throughout the district) rather than only the KMC townships. They
have failed
to do so because there is no evidence of this from the
only source available for that period – Dr Clark.
Conclusion
on geographical scope
[269]
The applicants argue in their heads that an extremely broad
class would not prejudice Anglo, because even if the proposed classes
are mostly made up of those with no claim, then those class members
would ‘obtain no relief at trial and Anglo will suffer
no
material harm by their inclusion’.
[270]
This argument directly militates against the authority
of the SCA as enunciated in
CRC Trust
and undermines the
rationale of the class definition, which is to include only those
with a triable claim against the prospective
defendant. The rationale
behind certification is (to the extent relevant for class definition)
both to protect the interests of
those on whose behalf the applicants
litigate,
and
those of the defendant which is entitled to show
at an early stage why the action should not proceed.
[271]
In
Hollick
v Metropolitan Toronto (Municipality),
[131]
the court stated that:
‘
The
representative need not show that
everyone
in the
class shares the same interest in the resolution of the asserted
common issue. There must be some showing, however,
that the
class is not
unnecessarily
broad – that is,
that the class could not be defined more narrowly without arbitrarily
excluding some people who share
the same interest in the resolution
of the common issue. Where the class could be defined more
narrowly, the court should
either disallow certification or allow
certification on condition that the definition of the class be
amended’.
[272]
In addition to not establishing a triable issue, I am not persuaded
that the applicants have made out a
case in respect of the entirety
of the Kabwe district. The class definition is thus overbroad.
It
would not be in the interest of justice to certify such class.
THE
PRESCRIPTION ARGUMENT: ZAMBIAN LIMITATION LAW
[273]
A
tortious claim under Zambian law prescribes three years after the
relevant cause of action accrued, regardless of knowledge of
the
claim. Section 2(1) of the Zambian Limitation Act
[132]
provides as follows:
‘
The
following actions shall not be brought after the expiration of six
years from the date on which the cause of action accrued,
that is to
say: (a) actions founded on a simple contract or on tort.’
[274]
This provision was
later amended by the Law Reform (Limitation of Actions, etc) Act of
Zambia, which replaced the initial six-year
period in the Limitation
Act with a three-year period, but without changing the essential
character of the limitation.
Section
22 of the Limitation Act (as amended by the Law Reform Act) provides
that if a person is under a ‘disability’
at the time that
a cause of action accrues, then the claim prescribes three years
after the person ceases to be under the disability.
Section
31(2) provides that a person is under a disability if that person is
an 'infant’, meaning that she has not yet reached
the age of
majority. In Zambia, the age of majority is eighteen. Thus, if a
member of the second class suffered harm before she
was eighteen, her
claim would be time-barred three years after her eighteenth birthday.
[275]
On that basis, Anglo contends that
the second proposed class (the women class) is overbroad because it
would include those adult
women who suffered harm more than three
years before the institution of this application (in other words
before 20 October 2017)
whose claims have long ago become time
barred. Thus, they ought to be excluded from the proposed class.
[276]
The
applicants concede that if the
Zambian statute of limitations applies, the women class would include
many claims that have become
time barred. They however argue that
this is a complex, policy-laden matter, not
suitable for determination at the certification stage, let alone
through the fixing
of a class definition. It is argued that it is a
triable issue that must be properly ventilated and determined by the
trial court.
[277]
They
further contend that Zambian limitation law will not automatically
apply to any claims before this court since there are strong
considerations of policy and justice that would favour applying our
more permissive Prescription Act.
[133]
[278]
In
terms of section 12(3) of our Prescription Act, prescription only
begins to run when a person has actual or constructive knowledge
of
the wrongdoer's identity and the other minimum essential facts from
which their claim arises.
[134]
The applicants submit that Zambian limitation law would have the
unjust and unconstitutional effect of violating the fundamental
right
of access to a court in South Africa as t
housands
of w
omen
of child-bearing age, who may have suffered terrible injuries before
20 October 2017, would be entirely excluded from any claim.
This
limitation would apply regardless of whether these women knew of the
facts underpinning their cause of action or Anglo's identity.
The
limitation would apply even though many of these women are poor and
indigent, with no means to prosecute their claims in Zambia.
This
limitation would potentially apply even if the harm suffered by these
women is ongoing and would not have prescribed.
[279]
In
CRC
Trust
the SCA stated there are certain questions of law that can be
answered on the pleadings as they stand. Unterhalter J
elaborated
on this principle in
De
Bruyn
[135]
,
and made it clear that if there is a question of law that can be
decided, ‘the sooner it is decided the better’:
‘
When
a court is asked to consider whether there are triable issues in a
certification application and a novel question of law arises
the
court should decide the question of law if it can do so. A
determination by the certification court of the question of law
will
then inform its consideration of whether there are triable issues. If
the certification court cannot determine the question
of law because
it is best left to the trial court to do so, then that conclusion
will also inform the consideration as to whether
there are triable
issues. It is in this situation that it may be said that if the point
of law is arguable and is best determined
at trial with the benefit
of evidence heard by the trial court, then that will weigh in favour
of the conclusion that there are
triable issues for the purposes of
assessing certification.’
[280]
Determining the applicable limitation rules are not complex
and does not depend on facts not before this court. There is
sufficient
information before this court to decide the issue and
there is no reason to defer this issue to the trial court. As
remarked
in
De Bruyn
, ‘there is little to be gained by
triggering the procedural machinery of a class action, only to have a
trial court pronounce
on the matter and bring the process to a halt,
upon a successful exception being taken’.
[281]
Under
our private international law, the procedural laws of other countries
do not ordinarily apply to matters litigated in our
courts.
Procedural matters are
determined
by our law (as the
lex
fori
)
while substantive issues are determined by the foreign law applicable
to the cause of action (the
lex
causae
).
[136]
Our
courts recognise a distinction between two different types of time
bar provisions: purely procedural limitation laws and substantive
prescription provisions. In
Society
of Lloyd's v Price (Price)
,
[137]
the SCA explained the distinction in the following terms:
‘
A
distinction has traditionally been drawn, in both South African and
English law, between two kinds of prescription limitation
statutes:
those which extinguish a right, on the one hand, and those which
merely bar a remedy by imposing a procedural bar on
the institution
of an action to enforce the right or to take steps in execution
pursuant to a judgment, on the other. Statutes
of the former kind are
regarded as substantive in nature, while statutes of the latter kind
are regarded as procedural.
[138]
[282]
Thus,
a prescription statute which extinguishes a right is regarded as
substantive, but one which merely bars enforcement of the
right is
procedural. In South African law, prescription extinguishes a right.
Section 10(1) of our Prescription Act provides that:
'Subject to the
provision of this Chapter and of Chapter IV, a debt shall be
extinguished by prescription after the lapse of the
period which in
terms of the relevant law applies in respect of the prescription of
such debt.' This means that prescription in
South Africa is
characterised or classified as a matter of substantive law. This
position was confirmed by the SCA in
Price
and the Constitutional Court in
Food
and Allied Workers Union obo Gaoshulwe.
[139]
[283]
In
contrast, the Zambian Limitation Act, on its plain wording, is merely
a procedural bar to an action, which is not destructive
of the
underlying rights.
It is common cause that in this dispute, the
lex
fori
is
South African law, and the
lex
causae
is Zambian Law. This classification would exclude the application of
South African prescription law to the dispute and point to
the
application of Zambian rules. However, because the Zambian statute of
limitation is procedural this creates what is referred
to in
Price
as a ‘gap’ in the choice of law rules. The resolution of
the dilemma of the 'gap' involves making a choice between
two
competing legal systems.
[140]
In such a case, a South African court ‘must take into account
policy considerations in determining which legal system has
the
closest and the most real connection with the legal dispute before
it’.
[141]
The process
is aimed at serving individual justice, equity or convenience by
selecting the appropriate legal system to determine
issues with an
international character. As
Price
remarked, the selection of the appropriate legal system must, of
course, be sensitive to considerations of international harmony
or
uniformity of decisions, as well as the policies underlying the
relevant legal rule.
[142]
[284]
In
Price
,
the SCA concluded that policy, international harmony of decisions,
justice, and convenience demanded that the dilemma of the 'gap'
in
the particular circumstances of that case be resolved by dealing with
the issue of prescription in terms of the relevant limitation
provisions of the lex causae, English law, and that justice demanded
that English law be applied to keep the contractual claim
alive and
to give effect to the expectations of the parties.
[285]
The applicants argue that because ‘Anglo was at all
times in control of the Mine’s activities from its headquarters
in Johannesburg’, that it is South African law that has the
closest connection to the dispute.
[286]
I disagree. Even if this factual dispute were assumed in
the applicants’ favour, it is evident that Zambian law has the
closest connection to the dispute. Even if Anglo controlled the Mine
from Johannesburg, (which is denied) the Mine was still located
in
Zambia and the mining occurred in Zambia. The alleged pollution
occurred in Zambia. The alleged harm to members of the proposed
classes occurred in Zambia. Every member of the proposed classes
lives in Zambia. It follows that the Zambian statute of limitation
is
applicable. It bears emphasis that because Zambian limitation law
clearly applies and subjective knowledge on the part of the
claimant
is irrelevant, such knowledge does not need to be tested at trial (as
is often the case when South African prescription
law applies).
[287]
The
applicants contend that our courts have repeatedly held that they may
refuse to apply foreign laws where doing so would be contrary
to
public policy.
[143]
They
argue that the Zambian statute of limitation should not be applied
because it would non-suit some class members with otherwise
good
claims.
It
is argued that in this context the s 34
constitutional
right of access to court would be best advanced by allowing these
women’s claims to proceed.
[288]
The point of limitation rules is to non-suit those with
otherwise good claims because they took too long to bring them. This
is not ‘an objectionable infringement of the right of access to
justice’ or ‘contrary to public policy’.
This is
just what time-bar rules do. The applicants moreover ignore the
real-world negative consequences of certifying a class
composed
primarily of members whose claims have clearly prescribed: Court
resources would be consumed considering the claims of
class members
who plainly have no claim. Additionally, class members with
prescribed claims would believe they hold a claim with
some prospect
of success. They would probably plan around this belief, only to be
disappointed and inconvenienced years later.
[289]
A
similar argument was raised in
Jalla
v Shell International Trading and Shipping Company
.
[144]
In
Jalla
,
Shell was faced with a class action for an oil spill that had
occurred off the coast of Nigeria in 2011. Shell raised the defence
that the claim had become time-barred. Counsel for the claimants
argued that non-suiting class members through prescription was
unjust
and would result in the alleged polluter ‘getting off’.
The Court of Appeal rejected the argument:
‘
In
my view, these submissions were misplaced. This appeal is not a
question of anybody 'getting off; on the contrary, the judge
found an
arguable claim on the merits. It is instead a question of the
operation of the applicable limitation period. That might
be regarded
as an artificial cut-off, particularly by those who may have failed
to comply with the relevant statutory period, but
it remains the
law.’
[290]
In addition, the applicants disregard the objective of
limitation rules, which is to preserve the quality of adjudication
and bring
stability and certainty to social and legal affairs. In
Mohlomi v Minister of Defence
, the Constitutional Court upheld
the legitimacy of these objectives by stating the following:
‘
Rules
that limit the time during which litigation may be launched are
common in our legal system as well as many others. Inordinate
delays
in litigating damage the interests of justice. They protract the
disputes over the rights and obligations sought to be enforced,
prolonging the uncertainty of all concerned about their affairs. Nor
in the end is it always possible to adjudicate satisfactorily
on
cases that have gone stale. By then witnesses may no longer be
available to testify. The memories of ones whose testimony can
still
be obtained may have faded and become unreliable. Documentary
evidence may have disappeared. Such rules prevent procrastination
and
those harmful consequences of it. They thus serve a purpose to which
no exception in principle can cogently be taken.’
[145]
[291]
Lastly,
the fact that Zambian prescription law is somewhat more restrictive
than some areas of South African prescription law does
not make it
contrary to public policy. This is illustrated by the recent King’s
Bench judgment of
Bravo
v Amerisur Resources Ltd.
[146]
The court had before it a choice-of-law rule (article 26 of
Regulation (EC) No.864/2007 on the law applicable to non-contractual
obligations, or ‘Rome II’) that stated the following:
‘The application of a provision of the law of any country
specified by this Regulation maybe refused only if such application
is manifestly incompatible with the public policy (ordre public)
of
the forum.’ The court considered whether the application of
article 47 of Law 472 of Colombia – a two-year limitation
provision with no knowledge requirement or provision for condonation
– could be disapplied for being ‘manifestly incompatible’
with English public policy. It concluded as follows:
‘
I
agree with the defendant that the contention that applying the
two-year limitation period in article 47 of Law 472 would be
“manifestly
incompatible” is untenable. Article 26 of
Rome II has to be read alongside Recital 32. The threshold for
disapplication of
a foreign rule of limitation is very high: …
In
Vilca
Stuart-Smith observed at [98] in relation to a two year limitation
period:
“
I
must respect the balance struck by Peruvian law as its chosen
compromise between the legitimate interest that claims should be
fully explored and resolved and the separate legitimate interest in
the finality of litigation. There are, of course, other elements
of
Peruvian law which differ from English law and which form part of
that overall compromise. For example, the two-year limitation
period
under Peruvian law for non-contractual claims has no in-built
flexibility such as exists under English law under the Limitation
Act
1980, which allows the primary limitation period to be disapplied and
extended in certain circumstances. That is not to be
regarded by the
English Judge who grapples with Peruvian law as a deficiency: it is
simply a fact and is part of the balance that
Peruvian law has
decided to strike between the interests of Claimants and Defendants.”
Plainly, there can be no
objection in principle that a two-year limitation period is contrary
to public policy, still less manifestly
so. If I had found that
article 47 of Law 472 applied, that would have been because the
claimants had expressly chosen that type
of action or because the
nature of the action is such that, as a matter of Colombian law, the
court would determine that this action
is by its nature a Colombian
group action. It is impossible to see how an application of article
47 of Law 472 which reflected
the claimants' choice of action, or
which was made applying Colombian law, including the
pro homine
and reasonableness principles, could be said to be manifestly
incompatible with English public policy.’
[292]
Thus, the suggestion that the prescription
argument can be rejected on policy or constitutional grounds is
patently bad.
Conclusion
on prescription
[293]
The applicants have admitted that if the
Zambian statute of limitations applies, the second proposed class
consists primarily of
time-barred claims. The Zambian statute
obviously applies. As a result, the majority of the claims in the
second proposed class
are time-barred, making the class overbroad.
INJURIES AND BLOOD
LEAD LEVELS
[294]
Class
membership is not determined by subjective beliefs, but by objective
criteria. In
Nkala
,
the court certified a class action on an opt-out basis. It held that
the class definition must be ‘defined with sufficient
precision
as to allow for a particular individual's membership to be
objectively determined at some stage in the proceedings’.
[147]
In the present matter membership will have to be determined during
the first opt-in stage through medical examination.
[295]
Anglo's primary complaint is that the
requirement that class members must have ‘suffered injury as a
result of exposure to
lead’ is too subjective. The definition
does not explain what constitutes an injury resulting from exposure
to lead. The
applicants contend that the definition is indeed wide
and encompassing, but that is necessary to include the range of
illnesses
and harms that flow from lead exposure and to avoid
arbitrary exclusions.
[296]
They argue that the benefits of this
definition are two-fold: First, it acknowledges the medical consensus
that there is no safe
level of lead in the blood, and that harm may
occur from exceedingly low levels.
Second,
it is consistent with the medical evidence that there is a broad
spectrum of conditions and illnesses that flow from lead
exposure.
Any need for prospective class members to undergo a blood test,
potentially followed by medical examination, is therefore
no
impediment to the class definition. It is argued that given the
uncontested evidence of the barriers faced by the prospective
class
members in litigating individual claims, it is clear that this class
action represents the only meaningful opportunity for
class members
to have the common issues decided.
[297]
Anglo’s case on the papers is that
the classes should be confined to significantly elevated blood lead
levels (above 45 µg/dl
or 80 µg/dl) and just four
conditions. The applicants, on the other hand, do not limit the
class to a specific measurement
of lead in the blood. The applicants
contend that many members of the class will have suffered an injury
directly attributable
to lead exposure even at relatively low BLLs.
[298]
The applicants have pleaded three sets of
actionable injuries and harm: First, the class members have suffered
and are at risk of
developing a range of ‘sequelae’
injuries due to exposure to lead, including brain damage, organ
damage, neurodevelopmental
problems, gastrointestinal symptoms, among
a range of others. Second, the class members have suffered injuries
per se
where they have elevated BLLs requiring medical monitoring, including
venous blood lead monitoring and intervention. Third, the
sub-class
of girl children and the class of women of child-bearing age, who
have been pregnant or are capable of falling pregnant,
have suffered
further harms due to the risk of lead-related injuries in pregnancy.
[299]
However, before discussing the three
categories of actionable harm, it is necessary to examine the
striking out application, which
has ramifications for the ongoing
discourse regarding the definition of an actionable injury.
Strike
out application
[300]
Anglo asks the court to strike out the new evidence of
Professors Bellinger and Lanphear, introduced for the first time in
reply.
In essence, the evidence sought to be advanced by the
applicants in reply is that injury is not only suffered at a BLL of 5
µg/dL
and more, but also includes individuals with ‘elevated’
BLLs (in other words less than 5 µg/dL)
and
individuals
with a non-zero BLL.
[301]
In their founding papers, the applicants stated that there is
no safe level of lead in blood, and their POC reflected this. In
their
founding affidavit the applicants produced a table of harms
associated with different blood lead levels drawn from Professor
Dargan’s
affidavit. In the answering affidavits, Anglo’s
experts, Doctors Beck and Banner, disputed the contention that there
was
no safe blood lead level. The evidence of Professors Bellinger
and Lamphear was seemingly adduced to rebut these contentions.
[302]
The bulk of applicants’ case, and the evidence in
support thereof was, however, primarily focussed on the threshold of
BLL of 5µg/dL at which point medical monitoring and action is
required (thus the minimum BLL that constitutes harm).
Anglo’s
complaint is that it was therefore called upon to only meet a case
that those with a BLL over 5µg/dL may have
suffered an injury
for purposes of the class definition.
[303]
The first Bellinger affidavit contains the following evidence:
(a) A summary of literature that purportedly shows that low BLLs,
including BLLs of less than 5 µg/dL, are associated with
various adverse and irreversible effects in in children; (b) An
argument that these adverse effects are more pronounced in
disadvantaged children; (c) Evidence for what Professor
Bellinger
calls the ‘supra-linear dose- response relationship’
for lead, which is the proposition that a 1 µg/dL increase
in
BLL has a greater adverse effect at a lower BLL (i.e., a BLL of less
than 10 µg/dL) than a higher one; (d) That a person
who grew up
close to the Mine in Kabwe that currently has a relatively low BLL
likely had a ‘considerably higher blood lead
concentration in
early childhood’ and that any maladies the person now suffers
from, that could have been caused by lead,
likely were caused by lead
exposure in childhood.
[304]
Professor
Lanphear's evidence is to the same effect. In his first affidavit, he
summarises evidence that purportedly shows that
even BLLs below 5
µg/dL cause harm. He argues that this is supported by standards
and guidance of the WHO and the US CDC,
[148]
and claims that lead can be attributed as ‘a contributing risk
factor’ for maladies suffered by an individual child.
In
Professor Lanphear's second affidavit, he supplements Professor
Bellinger's evidence on the supra-linear response curve. And
supplements the applicants' case on the link between BLLs, even very
low ones, and harm.'
[305]
In
Bayat v
Hansa,
[149]
the following was held:
‘
[A]n
applicant for relief must (save in exceptional circumstances) make
his case and produce all the evidence he desires to use
in support of
it, in his affidavits filed with the notice of motion, whether he is
moving ex parte or on notice to the respondent,
and is not permitted
to supplement it in his replying affidavits (the purpose of which is
to reply to averments made by the respondent
in his answering
affidavits), still less make a new case in his affidavits’.
[306]
It
lies of course in the discretion of a court in each particular case
to decide whether the applicants’ founding affidavit
contains
sufficient allegations for the establishment of its case.
[150]
In court proceedings, especially in proceedings such as the present,
a court must approach alleged new evidence in reply with a
practical
common-sense approach, without the court being overly technical.
[151]
A party is entitled to introduce new corroborating evidence in
respect of an issue that was raised in the founding affidavits and
taken up in the answering affidavits.
[152]
And in certain circumstances, rebuttal of evidence and allegations
raised in an answering affidavit is permissible.
[153]
[307]
Upon reviewing all available evidence on
this topic, I am inclined to concur with the applicants' assertion
that the reply dealing
with elevated BLLs does not constitute ‘new’
information. It is a more (albeit much more) thorough discussion of a
topic brought up in the founding papers. In my discretion that
evidence should be allowed. Thus, the strikeout application for that
portion of the evidence should be dismissed.
[308]
The applicants' attempt to introduce a new
case for non-zero BLLs and regular blood testing (the impugned
evidence) is, however,
impermissible, and the portions of the
affidavits in reply referencing the impugned evidence should be
struck out. There was no
mention of such a case in the founding
papers, and no exceptional circumstances exist, nor were any reasons
provided by the applicants,
to justify a departure from the default
exclusionary rule.
[309]
Considering the facts, it would be just to
direct each party to pay its own costs in relation to the striking
out application.
Sequelae injuries
[310]
There can be no genuine dispute that
a person suffering from one or more of the sequelae injuries
associated with lead exposure
— ranging from encephalopathy to
neurodevelopmental disabilities — has suffered actionable harm.
The applicants' experts,
including Professor Dargan, Professor
Lanphear and Professor Bellinger, have addressed this issue in
detail. Their research on
the health effects of lead including at
very low levels has been highly influential in formulating the
internationally recognised
standards and guidelines published by the
WHO and USCDC. In their opinion, on balance, a child with a BLL as
low as 5µg/dL
will have suffered a cognitive impairment to
which lead has materially contributed.
[311]
On the other hand,
Anglo’s
expert, Dr Banner, a United States based paediatrician and
toxicologist in this regard, quibbles over whether specific
injuries
can be linked to lead exposure in individual cases. However, that is
a dispute over factual causation, not a dispute over
actionable
injury. The divergence between experts is self-evidently a matter for
trial.
[312]
The parties are further agreed that a mere
risk of developing an injury, without more, is not actionable.
However, where an actionable
injury has been sustained, then a
claimant is entitled to claim damages for injuries already sustained
and the risk of further
injuries arising in future. Anglo's English
law expert, Mr Gibson, explains the principle as follows:
‘
Where some actionable injury has been
caused, such that a cause of action has crystallised, the victim can
recover damages not only
for the injuries already accrued but also
for the risk of it worsening in the future or new injuries arising.’
[313]
In
our law, this would be described as a manifestation of the
‘once-and-for-all’ rule, originally derived from English
law, which requires that a plaintiff must claim in one action all
damages, including damages already sustained and all future losses,
flowing from one cause of action.
[154]
This entails that where class members have sustained an actionable
injury, they will be entitled to claim for all future
losses they are
likely to suffer. For example, where the evidence establishes that a
child has suffered developmental difficulties
from lead exposure —
which is unquestionably actionable — they would also be
entitled to seek damages for the risk
of future harms eventuating due
to lead poisoning.
Injuries in pregnancy
[314]
Children and young women who have been
exposed to lead are at risk of developing serious injuries in
pregnancy, including inter
alia, Hypertension and pre-eclampsia;
Pre-term delivery and reduced birth weight;
Spontaneous abortion and pregnancy loss; Increased risk of giving
birth to children
with congenital abnormalities and adversely
affected neurodevelopment; Remobilisation of lead stored in bone into
the bloodstream,
creating further risk of harm.
[315]
In his expert affidavits, Professor
Dargan has outlined the medical and environmental interventions that
are required before, during
and after a woman falls pregnant to
address these risks. Based on the WHO 2021 guideline for clinical
management of exposure to
lead, pregnant women and women of
child-bearing age should undergo regular venous blood lead monitoring
and other clinical monitoring
from a BLL of 5 µg/dL. Medical
monitoring and nutritional interventions are also recommended from a
BLL of 5 µg/dL.
Chelation therapy is
also recommended, before a woman falls pregnant, for those blood lead
levels of 45 µg/dL and over. Professor
Dargan also considers
that it would be appropriate to delay conception to give chelation
therapy to a women with such BLL, in addition
to taking steps to
decrease lead exposure and ensure appropriate nutritional
interventions, as chelation therapy has the
potential to cause birth defects if given during the first trimester
of pregnancy.
[316]
In the context of Kabwe, where recent
studies have found that a substantial proportion of adult women have
BLLs exceeding 5 µg/dL,
Professor Dargan recommends heightened
precautions. BLLs should be taken in all pregnant women so that
necessary lead-related interventions,
such as regular venous blood
lead monitoring or nutritional, can be instituted as early as
possible. He further recommends that
any woman of child-bearing age
who is thinking of conceiving should have their BLLs tested, if not
already known, to identify appropriate
interventions to address the
risks to them and their unborn children.'
[317]
Anglo argues that this class has suffered
no actionable harm, as they only face future harm or risk of harm and
that harm or risk
of harm, even if actionable, would only arise when
they fall pregnant. This argument is incorrect for three reasons.
[318]
First, the class definition encompasses
women who a) have been pregnant and b) those who will be pregnant in
future; and have suffered
injury as a result of
exposure
to lead. The class is therefore not confined to those who may fall
pregnant.
Second, as explained above, a
claimant is entitled to seek damages for future risk of injuries
which have not yet occurred where
they have already suffered some
actionable harm. Many of the affected class will previously have
suffered other actionable injuries
— such as elevated BLLs or
sequelae injuries— which would entitle them, as of right, to
claim for future injuries that
are likely to eventuate over their
lives.
[319]
Third, for women of child-bearing age, the
future risk of injury in pregnancy is a matter that ought to be
assessed now. The potential
for future pregnancies, and the risk of
resulting complications, is hardly a remote or speculative matter.
Using available demographic
data, Prof Thompson estimates that 97.7%
of girls and women in Kabwe will have at least one birth between the
ages of 15 and 49.
Women of child-bearing age are forced to make
consequential choices and changes to their lives now, before they
fall pregnant.
Professor Dargan opines that all women in Kabwe who
are thinking of conceiving should undergo blood lead testing before
falling
pregnant. He further recommends that any women with BLLs of
45 µg/dL should postpone falling pregnant until they have
undergone
chelation therapy to reduce the levels of lead in their
bodies.
[320]
As explained
above,
due to their nature and effects, undergoing chelation therapy entail
actionable harm.
A condition that leads a
woman to consider foregoing or delay pregnancy, a decision that has
profound significance for any life,
is actionable harm. In the
language of Dryden, this is a bodily change that requires a woman to
‘change their everyday lives’
to avoid exposure to
further harm.
[321]
Both sides' experts agree that the
actionability threshold is likely to be met where a woman is required
to take action before becoming
pregnant. Anglo's expert, Mr Gibson,
acknowledges that ‘if the Claimant has had to take steps in
order to reduce these clinical
risks (of lead in pregnancy), prior to
attempting to conceive, this is likely to be a relevant consideration
pointing towards actionability’.
Whether
the threshold is indeed met will, of course, depend on the facts and
evidence that emerge at trial.
Elevated BLLs
[322]
The applicants contend that an elevated
blood lead level, requiring medical intervention, blood lead
monitoring and changes to everyday
life, is an actionable injury
per
se
, independent of whether an
individual displays any further discernible symptoms or injuries from
lead exposure.
[323]
The parties’ experts hold opposing
views on the causal link between elevated blood lead levels and the
thresholds for actionable
injury arising from Anglo's negligence —
that is, harm that warrants an award of damages in tort. Professor
Dargan has summarised
the medical interventions and further actions
that are required based on different BLLs, drawing on his extensive
clinical experience
and the latest 2021 WHO guidelines. In summary:
Those with BLLs of less than 5 µg/dL require further blood lead
testing every
6 to 12 months, particularly where there is ‘continuing
concern of possible exposure to lead', a concern that would apply
to
any child living in Kabwe.
Those who suffer
from BLLs of 5 µg/dL and over require environmental
intervention and remediation, nutritional intervention
and regular
blood lead testing every 1 to 3 months. Those with BLLs in the range
of 20 µg/dL and above blood lead testing
every 1 to 2 months.
Those who register BLLs of 45 µg/dL and over require chelation
therapy and further medical monitoring,
including monthly blood
testing (for 45 µg/dL — 65 µg/dL) and fortnightly
testing (for 65 µg/dL and above).
[324]
Zambian
law, following English law, recognises that negligence alone does not
give a cause of action, damage alone does not give
a cause of action,
the two must co-exist.
[155]
There is no precise definition of actionable personal injury in
Zambian or English law.
[156]
It is a ‘question of fact in each case’ whether the
threshold of actionability has been reached and ‘in borderline
cases it is a question of degree’.
[325]
In
support of their argument that elevated BLLs in itself satisfies the
threshold of actionability, the applicants rely on
Dryden
v Johnson Matthey Plc
,
[157]
a case concerning claimants who suffered platinum salt sensitisation,
a condition caused by exposure to chlorinated platinum salts.
Due to
this exposure the claimants had developed certain antibodies, which
caused no immediate harm or discomfort, but left them
at risk of an
allergic reaction if exposed to platinum salts in future.
The
Supreme Court concluded that this was an actionable injury, as the
claimants suffered ‘a change in their physiological
make up
which means that further exposure now carries with it the risk of an
allergic reaction, and for that reason they must change
their
everyday lives to avoid that exposure’.
[158]
In
reaching this conclusion, the court held that the first, primary
question is whether there has been a bodily change that has
left a
person ‘worse off’ in respect of ‘health or
capability’.
[159]
Second, there is no bright line separating injuries that are
actionable from those that are not, but the injury must be more than
de
minimis
.
[160]
Third, actionable injuries can be asymptomatic, meaning that it is
‘hidden and currently symptomless’ and the individual
is
unaware that they suffer from it.
[161]
[326]
Lady
Black, writing for a unanimous court, distinguished the facts in
Dryden
from those in the House of Lord judgment
Rothwell
.
[162]
Rothwell
concerned
claimants who developed pleural plaques, caused by exposure to
asbestos. Such plaques are benign, cause no symptoms or
discomfort,
nor do they increase the susceptibility of developing other illnesses
or conditions. The presence of these plaques
plays a purely
evidential role, indicating that a person had been exposed to
asbestos. They were indicative of a risk of suffering
other injuries
from asbestos, but did not increase that risk, nor did they require
any medical intervention or
change
in behaviour. The existence of these plaques was thus held to be
insufficient to establish actionable injury.
[163]
By contrast, platinum salt sensitisation was not a benign change in
the body. Instead, it was a change that left individuals worse
off,
as they were required to alter their work and lives.
[164]
[327]
The applicants argue that an elevated BLL means that a class
member must change his or her behaviour in various ways to avoid lead
exposure (such as by not playing outside, moving to a
non-lead-contaminated area, etc.), and thus that an elevated BLL is a
bodily
change requiring behavioural change that leaves the class
member worse off, and therefore that an elevated BLL constitutes an
injury
per se
.
[328]
Although the existence of actionable
injuries remains a factual inquiry, to be decided in each case, Mr
Mwenye explains, that the
reasoning in
Dryden
would nevertheless be regarded as highly persuasive by the Zambian
courts, bound as they are by English common law principles.
[329]
First, chelation therapy (required for
people who register BLLs of 45 µg/dL and over) is clearly a
serious medical intervention.
Professor Dargan explains that for
severe cases, this requires in-patient care and the intravenous
injection of chelating agents.
In less severe cases, the chelating
agent may be taken orally, but it is also not without risks. Since
chelating agents only bind
to lead in the blood plasma in those who
have had chronic exposure to lead will require multiple courses of
treatment over an extended
period of time to address the build-up of
lead in the bones. After each chelation treatment, lead is
remobilised from the bones
into the blood, causing an initial
resurgence in BLL, which in cases of chronic exposure will need to be
addressed by a further
course of treatment. In addition, chelation
agents
also bind other metals, meaning that
essential elements are depleted, posing no small measure of risk to
the patient.
[330]
Second, Anglo contends that any harms arising from elevated
BLLs are ‘speculative’ until one of the four sequelae
injuries,
that Anglo accepts, arises, such as lead encephalopathy. It
is argued that an elevated level of lead in the blood alone could
therefore
not be an injury. Anglo further contends that levels
of lead in the blood are ‘transient’ and fluctuating, and
when exposure to lead in the environment is removed, BLLs drop over
time, resulting in no actionable injury.
[331]
Both arguments are in my view unsustainable. Firstly,
irrespective of whether a claimant with elevated BLLs has developed
acute clinical injuries, she
has suffered a clear
physiological change, leaving her worse off: a poison has entered her
bloodstream and is being
absorbed by her
organs and bone. This is no benign or
de
minimis
change in physiology. She
will
have suffered a degree of impairment, which constitutes actionable
harm. Anglo’s
English law expert rightly
accepted, that this issue ultimately ‘turns on questions of
fact and degree’. Such factual
inquiries can only be resolved
at trial.
[332]
Secondly, although it is common cause that
a person’s BLL can be transient, the ‘transient’
argument ignores the
clear evidence linking high BLLs to irreparable
cognitive impairment that will remain even
after
lead in the bloodstream is absorbed into the bones and the BLL drops.
In any event, the evidence produced by the applicants show
that the
extent of the Kabwe environmental disaster has resulted in a
situation where high lead levels in Kabwe are not ‘transient’.
Numerous studies have shown consistently high BLLs among all age
groups in Kabwe. This is not a passing phenomenon, as the source
of
lead exposure has remained constant for decades. Moreover, as
Professor Dargan observes, children who have suffered chronic
exposure to lead, over months or even years, will have developed
substantial deposits of lead in their bones. Their bones act as
a
‘reservoir’ of lead, continuing to release lead into
their bloodstreams over many years, if not decades. Their BLLs
will
therefore remain elevated, even with chelation treatment and if their
exposure to lead were to cease completely. Even Anglo's
expert Dr
Beck notes, the rate of decline of blood lead in those with prior
exposure is slower than in those who have only had
a brief exposure
to lead.
[333]
However, with regard to the classification
of blood testing as an actionable injury, I am of the view that
including such a 'injury'
would result in the class being overbroad
and vague. The applicants' argument in support of this proposition is
that persons with
elevated BLLs (and even with non-zero BLLs) require
regular medical monitoring through blood sampling, and that blood
sampling
itself causes harm. The applicants rely on Professor
Bergen's evidence to support their case. He explains that, using a
needle
to draw blood from the veins can be a distressing experience,
particularly for young children. The applicants contend that the pain
of the initial needle puncture, the discomfort as blood is pulled
into the syringe, and subsequent bruising are not
de
minimis
. They argue that if blood was
drawn from a child without consent, it would be a clear-cut case of
assault and child abuse and the
fact that many children in Kabwe
would need to undergo such blood testing on a regular basis, with the
disruption this may cause
to their lives, meets the standard for
actionable injury.
[334]
The
applicants' argument that the mere act of drawing blood constitutes
an injury is fallacious and is not supported by any authority;
it is
founded solely on the opinion of Professor Bergen. The applicants’
conception of ‘injury’ – by including
persons with
non-zero BLLs, and blood testing is thus overbroad. If the classes
are certified as proposed by the applicants, it
would include every
child and woman of childbearing age in the district of Kabwe. In
addition, the use of ‘injury’,
without further
qualification, means that the class definition is impermissibly
vague, in that the classes are not ‘defined
with sufficient
precision to ensure that membership of the class can be determined by
reference to objective criteria’.
[165]
CONCLUSION
[335]
In
Mukkadam
,
[166]
the Constitutional Court recognised that some class actions can set
back the interests of justice (including access to justice):
‘
Courts
must embrace class actions as one of the tools available to litigants
for placing disputes before them. However, it is appropriate
that the
courts should retain control over class actions. Permitting a class
action in some cases may, as the Supreme Court of
Appeal has observed
in this case, be oppressive and as a result inconsistent with the
interests of justice. It is therefore necessary
for courts to be able
to keep out of the justice system class actions which hinder, instead
of advancing, the interests of justice.
In this way prior
certification will serve as an instrument of justice rather than a
barrier t it.’
[336]
In addition to the absence of a prima facie case, which
disposes of the application, the trial would be unmanageable if the
class
definitions were certified on the broad basis sought by the
applicants. According to the applicants' version, the proposed
classes
would total between 131 000 and 142 000 people. Every one of
these people would have to prove, amongst other things, in the second
stage of the class action, that they suffer from a malady that can be
caused by lead exposure; that the malady has, as a matter
of fact,
been caused by lead exposure, rather than, for example, genetics or
malnutrition; and that their lead exposure is due
to soil
contamination by the Mine during the relevant period, rather than,
for example, artisanal mining.
[337]
An unmanageable class action is one that would take an
extremely long time to be completed, if it is completed at all. The
applicants
effectively concede unmanageability. The applicants claim
in argument that it would take ten years for their legal team merely
to take instructions from every member of the proposed classes. If
this is so, it would take much longer for a South African court
to
assess the claim of each class member in the second stage. It bears
emphasis that an unmanageable class action is not only adverse
to
Anglo’s interests: It undermines the applicants’ access
to justice.
[338]
In addition, the applicants seek to have certified classes that
are plainly (and grossly) overbroad
geographically; they do not
seriously dispute that the women class is mostly made up of
prescribed claims; they rely on a conception
of ‘injury’
that is legally incorrect and which renders the proposed classes
vague and misleading; and they impermissibly
ask this court to assert
jurisdiction over an entirely foreign class on an opt-out basis.
[339]
In this application the applicant seek permission to advance
an untenable claim that would set a grave precedent. The precedent is
that a business could be held liable half a century after its
activities have ceased, to generations not yet born, as a result
of
being tested against future knowledge and standards unknown at the
time.
[340]
Under the circumstances it is proper and
necessary to dismiss the certification application.
COSTS OF THE
CERTIFICATION HEARING
[341]
In
De
Bruyn,
Unterhalter J refused certification and awarded costs to the
respondents on two bases: Firstly, that the applicants had failed
to
make out a triable issue, and secondly, because the case was funded
by commercial litigation funders. Both reasons exist here.
[167]
[342]
The applicants argue that an adverse costs order would have a
chilling effect on class actions raising human rights. The argument
falls to be rejected. The prospect of an adverse costs order has had
no effect on the applicants' funders. They have procured insurance
to
pay for costs in the event of an adverse costs order and are
litigating with gusto. Neither the applicants, nor their attorneys,
nor their funders would pay an adverse costs order out of their own
pockets.
[343]
In the result the following order is made:
The
application is dismissed with costs including the costs of three
senior and three junior counsel.
L.
WINDELL
JUDGE
OF THE HIGH COURT
GAUTENG
LOCAL DIVISION, JOHANNESBURG
(
Electronically
submitted therefore unsigned)
# Delivered: This
judgment was prepared and authored by the Judge whose name is
reflected and is handed down electronically
by circulation to the
Parties/their legal representatives by email and by uploading it to
the electronic file of this matter on
CaseLines. The date for
hand-down is deemed to be 14 December 2023.
Delivered: This
judgment was prepared and authored by the Judge whose name is
reflected and is handed down electronically
by circulation to the
Parties/their legal representatives by email and by uploading it to
the electronic file of this matter on
CaseLines. The date for
hand-down is deemed to be 14 December 2023.
#
# APPEARANCES
APPEARANCES
# Attorney for the
applicants:
Attorney for the
applicants:
# Mbuyisa Moleele
Attorneys
Mbuyisa Moleele
Attorneys
# Counsel for the
applicants:
Counsel for the
applicants:
# Advocate G. Marcus SC
Advocate G. Marcus SC
# Advocate
M. Chaskalson SC
Advocate
M. Chaskalson SC
# Advocate
G. Goedhart SC
Advocate
G. Goedhart SC
# Advocate
M. Sibanda
Advocate
M. Sibanda
# Advocate
C. McConnachie
Advocate
C. McConnachie
# Advocate
T. Poe
Advocate
T. Poe
# Attorney for the
respondent:
Attorney for the
respondent:
# Webber Wentzel
Webber Wentzel
# Counsel for the
respondent:
Counsel for the
respondent:
# Advocate M. van der
Nest SC
Advocate M. van der
Nest SC
# Advocate
J. Babamia SC
Advocate
J. Babamia SC
# Advocate
S. Budlender SC
Advocate
S. Budlender SC
# Advocate
L. Sisalana
Advocate
L. Sisalana
# Advocate
D. Smit
Advocate
D. Smit
# Advocate
L. Zikalala
Advocate
L. Zikalala
# Advocate
P. Olivier
Advocate
P. Olivier
# Advocate
K. Williams
Advocate
K. Williams
# Advocate
A. Raw
Advocate
A. Raw
# Attorney
for the first and secondamicus
curiae:
Attorney
for the first and second
amicus
curiae:
# Centre
for Applied Legal Studies
Centre
for Applied Legal Studies
# Counsel
for the first and secondamicus
curiae:
Counsel
for the first and second
amicus
curiae
:
# Advocate
K. van Heerden
Advocate
K. van Heerden
# Attorney
for the third to seventhamicus
curiae:
Attorney
for the third to seventh
amicus
curiae
:
# Legal
Resources Centre
Legal
Resources Centre
# Counsel
for the third to seventhamicus
curiae:
Counsel
for the third to seventh
amicus
curiae
:
# Advocate
K. Hofmeyr SC
Advocate
K. Hofmeyr SC
# Advocate
M. Mbikiwa
Advocate
M. Mbikiwa
# Advocate
I. Cloete
Advocate
I. Cloete
# Date of hearing:
Date of hearing:
# 20 January 2023; 23
January 2023 – 27 January 2023; 30 January 2023 – 31
January 2023
20 January 2023; 23
January 2023 – 27 January 2023; 30 January 2023 – 31
January 2023
# Date of judgment:
Date of judgment:
# 14 December 2023
14 December 2023
#
#
[1]
Previously
known as the Anglo American Corporation of South Africa Ltd.
[2]
Dr A.R.L Clark “
The
sources of lead pollution and its effects on children living in the
Mining Community of Kabwe, Zambia”.
[3]
Affidavit and Expert reports of Professor P
Dargan,
Consultant Physician and Professor of Clinical Toxicology. See also
the 2010 World Health Organisation ("WHO")
report on
'Childhood Lead Poisoning'.
[4]
Professor
Dargan.
[5]
Křibek
et
al
"Kabwe Town and its surroundings (central Zambia) belong to the
most contaminated districts in Africa”); Yabe
et
al
2019 “Kabwe is known as one of the most significant cases of
environmental pollution in the world”.
[6]
Professor
Dargan.
[7]
Yabe
et
a
l/
Chemosphere 119 (2015) 940. “Lead poisoning in children from
townships in the vicinity of a lead-zinc mine in Kabwe,
Zambia”
.
[8]
Professor
Dargan
para 8.3.6.2.3.
[9]
Chelation
therapy is a medical treatment using various chemical agents to draw
heavy metals out of the body. The treatment regime
will depend on
the blood lead concentration, the patient's symptoms and the
environmental lead burden.
[10]
Dr
Clark's findings were validated by a 1972 study which described
Kabwe as a "highly contaminated area containing mining
residues" and noted that it "extended into a residential
area". The very high levels of lead in soil were described
as
"a well-known and unfortunate side effect of the mining
industry".
[11]
Affidavit and expert report of Professor Roy Harrison, Queen
Elizabeth II Birmingham Centenary Professor of Environmental Health
at the School of Geography, Earth and Environmental Sciences,
University of Birmingham.
[12]
Anglo
invested in the Mine in 1925 and held a minority interest of ±
10% through an intermediate entity.
[13]
Professor Muna Ndulo, Zambian Law expert.
[14]
Mwenye paras 6.19-6.22.
Attorney-General
v Mwanza
[2017] ZMSC 140
at 1368 -1369;
Mwansa
v Zambian Breweries
PLC
[2017] ZMSC 42
at 13;
Konkola
Copper Mines PLC v Nyasulu and Others
[2015] ZMSC 33
at 5 - 6, 9.
[15]
SCZ
Judgment No. 1 of 2003. Mwenye SC report para 6.20.
[16]
Mukkadam
v Pioneer Foods (Pty) Ltd and Others
2013
(5) SA 89 (CC).
[17]
Trustees
for the time being of Children's Resource Centre Trust and Others v
Pioneer Foods (Pty) Ltd and Others (CRC Trust)
2013
(2) SA 213 (SCA)
[18]
Mukkadam
(n 16)
para 35.
[19]
Nkala
and Others v Harmony Gold Mining Company Limited and Others
2016 (5) SA 240 (GJ).
[20]
CRC
Trust
(n
17) para 46 – 48.
[21]
Ibid
para 47.
[22]
CRC
Trust
(n 17) para 46.
[23]
De
Bruyn v Steinhoff International Holdings N.V. and Others
[2020]
ZAGPJHC 145 (26 June
2020); 2022 (1) SA 442
(GJ).
[24]
De
Bruyn
para 56.
[25]
Nkala
(n
19) para 135.
[26]
Ibid
para
141.
[27]
Wal-Mart
Stores, Inc, Petitioner v Betty Dukes
et al
564 U.S. 338
.
CRC
Trust
(n 17) para 44. See also
Mukkadam
(n 16) para 17.
[28]
CRC
Trust
(n 17) para 45.
[29]
Vivendi
Canada inc v Michell Dell'niello
[2014]
SCR 1.
[30]
Nkala
(n 19)
para 94.
[31]
Ibid
para 97. See also
Stellenbosch
University Law Clinic end Others v Lifestyle Direct Group
International (Pty) Ltd and Others
[2021]
ZAWCHC 133
;
[2021] 4 All SA 219
(WCC) at paras 61 – 63
.
[32]
Lubbe v
Cape Pic
[2000] 1 WLR 1545 (HL).
[33]
Blom &
Others v Anglo American
and
Others
(unreported judgment of WLD, case number 18267/2004 delivered on 24
June 2005);
Qubeka
& Others v
AngloGold
Ashanti Limited
[2014] ZAGPJHC 70.
[34]
Contingency Fee Act 66 of 1997.
[35]
Anglo
American South Africa Limited v Kabwe
2022 JDR 2294 (GJ) para 2.
[36]
Houle v
St Jude Medical Inc.
2018 ONSC 6352
para 5.
[37]
Akhmedova
v Akhmedova
[2020] EWHC 1526
(Fam) paras 41- 45.
[38]
De
Bruyn
(n
23) para 89.
[39]
Mofokeng
v Road Accident Fund, Makhuvele v Road Accident Fund, Mokatse v Road
Accident Fund, Komme v Road Accident Fund
[2012] ZAGPJHC 150 para 49 to 50.
[40]
Petersen
Superannuation Fund Pty Ltd v Bank of Queensland Limited
[2017] FCA 699.
[41]
At para 109.
[42]
Price
Waterhouse Coopers Inc and Others v National Potato Co-Operative Ltd
2004 (6) SA 66
(SCA) para 46 (PWC).
Gold
Fields Limited and Others v Motley Rice LLC
,
In re:
Nkala v
Harmony Gold Mining Company Limited and Others
2015 (4) SA 299 (GJ).
[43]
Anglo
American South Africa Limited v Kabwe
2022 JDR 2294 (GJ) para 19.
[44]
Mr Hanna’s first affidavit; Mr Hanna’s second affidavit;
Mr Hanna’s third affidavit.
[45]
Akhmedova
v
Akhmedova
[2020]
EWHC 1526
(Fam) paras 41-45.
[46]
Ex
Parte Nkala and Others
[2019] ZAGPJHC 260 (26 July 2019) para 19.
[47]
Our
legal system does not recognise the doctrine of
forum
non conveniens
and may not decline to hear cases that are within their
jurisdiction, merely because another court may have jurisdiction.
The only exception is in admiralty cases. See S
tandard
Bank of South Africa Ltd and Others v Mpongo and Others
[2021] ZASCA 92
;
2021 (6) SA 403
(SCA) para 31, citing
Agri
Wire (Pty) Ltd and Another v Commissioner, Competition Commission
and Others
[2012] ZASCA 134
;
2013 (5) SA 484
(SCA) para 19.
TMT
Services & Supplies (Pty) Ltd t/a Tragic Management Technologies
v MEC: Department of Transport, Province of KwaZulu-Natal
and Others
[2022] ZASCA 27
(15 March 2022) t para 34.
[48]
Professor
Betterton; Professor Harrison.
[49]
See
Mr Hermer QC and Mr Musa Mwenye SC. See also
Ved
anta
Resources PLC and another v Lungowe
[2019] UKSC 20
and
Okpabi
v Royal Dutch Shell PLC
[2021] UKSC 3.
[50]
Gibson
QC para 136.
[51]
The
1893 Broken Hill Report; Letter from the RBHDC to the Mine's General
Superintendent and consulting engineer, dated 30 August
1907; The
Broken Hill Council report of 1924; The South Australian Royal
Commission Report on Plumbism 1925; RBHDC monthly reports;
Correspondence in the late 1940’s and early 1950’s
between Anglo's Chief Medical Officer, Dr van Blommestein, and
Mine
officials.
In
vestigation
by the Anglo Research Department dated 1957; June 1960 report
entitled "Lead Losses from Newnam Hearth Doyle
lmpingers".
[52]
Dr
Lawrence (1969/1970) and Dr Clark (1971 to 1974).
[53]
Attorney
General of the British Virgin Islands v Hartwell
[2004] 1 WLR 1273
paras 21, 25.
[54]
Jolley
v Sutton
LBC
[2000] 1 WLR 1082
to 1091D.
[55]
Smith
v Leech Brain & Co Ltd and Another
[1961] 3 ALL ER 1159.
[56]
At 1162.
[57]
Lord
Reid in Overseas Tankship (UK) Ltd v Miller Steamship Co Pty (The
Wagon Mound (No2))
[1966] UKPC 1
;
[1966] 2 All ER 709
at 719.
[58]
Sienkiewicz
v Grief
[2011]2 AC 229 paras 16 -17.
[59]
English
law has long recognised an important exception to the standard "but
for" test in cases of "cumulative causation".
Such
cases involve more than one act or actor which cumulatively brought
about an injury, where it cannot be determined on a
balance of
probabilities that any one was the "but for" cause.
Hermer 2020 paras 29 —31; Gibson at para 42.
[60]
As
to what is required to establish a "material contribution",
see
Bonnington
Castings Ltd v Wardlaw
[1956] UKHL 1
;
1956 AC 613
and
Sienkiewich
v Grief
[2011] 2 AC 229.
[61]
See
Holtby
v Brigham Covvan (Hull) Ltd
[2000] EWCA Civ 111
;
[2000] ICR 1086
;
[2000] 3 All ER 421
;
Thompsons
v Smiths Shiprepairs (North Shields) Ltd
[1984] QB 405.
[62]
The
approach to cumulative causation involving divisible, dose-related
injuries of this nature was explained by Lord Philips in
Sienkiewicz
v Grief
[2011] 2 AC 229
drawing on the 1956 House of Lords judgment in
Bonnington
Castings Ltd v Wardlaw
1956
AC 613.
[63]
See section 9A of the Zambian Mines and Minerals Act 1995.
[64]
On
the eve of the hearing Anglo filed a further supplementary affidavit
deposed to by Mr Schottler, the Head of Legal-Global Disputes’
for the Anglo Group of Companies. The affidavit comprised of two
pages and 70 photographs and some videos. The purported purpose
of
the affidavit was to provide an ‘updated view as to what is
happening currently at Kabwe’ and includes a short
description
of the photographs. The applicants objected to the admissibility of
the affidavit. The affidavit in my view does
not take the matter any
further. Mr Schottler does not have any relevant technical expertise
and is thus unable to give context
to any of the photographs in an
admissible manner. There is therefore no basis to admit the
affidavit into evidence.
[65]
Roe v
Minister of Health
[1954] 2 Q.B. 66.
[66]
Glasgow
Corp v Muir
[1943] A.C. 448.
[67]
CRC
Trust
(n 17) para 41.
[68]
Ibid
para
40.
[69]
Ibid
para
41.
[70]
Ibid
para 35.
[71]
KPMG
Chartered Accountants (SA) v Securefin Ltd and Another
2009 (4) SA 399
(SCA) para 40.
[72]
Taylor first report.
[73]
Betterton second report para 12.60.
[74]
Glasgow
Corp v Muir
[1943] UKHL 2
;
[1943] A.C. 448
at 454.
[75]
Roe v
Minister of Health
[1954] 2 Q.B. 66.
[76]
Ibid
at 84.
[77]
Clerk & Lindsell on Torts (23
rd
Ed) at 7 – 174.
[78]
Thompson
v Smith Shiprepairers (North Shields) Ltd
[1984] Q.B. 405.
[79]
Clerk & Lindsell on Torts (23
rd
Ed) at 7 – 194.
[80]
Margereson
v JW Roberts
[1996]
Env LR 304
at 310.
[81]
CSR
v
Young
1998 16 NSWCCR 56
2260.
[82]
Vedanta
Resources PLC and another v Lungowe and others
[2019] UKSC 20.
[83]
Okpabi
v Royal Dutch Shell PLC
[2021] UKSC 3.
[84]
[1994] 2 A.C. 264.
[85]
Savage
v. Fairclough
[2000] Env L.R. 183.
[86]
Mulheron, p25, fn 12, quoting from AJ Roman, "Class Actions in
Canada: The Path to Reform?" (1987) Advocates' Society
J28, 31
[87]
CRC
Trust
(n
17) para 24.
Milton Handler
25
Years of Antitrust
864
– 5 (1973) wrote: 'Any device which is workable only because
it utilises the threat of unmanageable and expensive
litigation to
compel settlement is not a rule of procedure — it is a form of
legalised blackmail.'
[88]
Mukkadam
(n 16) para 38.
[89]
De
Bruyn
(n 23) para 297.
[90]
CRC
Trust
para 35.
[91]
De
Bruyn
para 300.
[92]
Prof Betterton.
[93]
De
Bruyn
para
24. See also
Bartosch
v Standard Bank of South Africa Limited
2014
JDR 1687 (ECP).
[94]
CRC
Trust
para
26.
[95]
De
Bruyn
para 285.
[96]
In Re
Flint Water Cases
5:16-cv-10444-JEL-EAS (E.D. Mich. Nov. 10, 2021).
[97]
Nkala
(n 19) paras 85 - 88 ("the common issues in the class action
may not finally determine each mineworker's case")
and paras
116 -125 (The bifurcated process")
[98]
Blom
(n
33).
[99]
Michael
Chilufya Sata MP v Zambia Bottlers Limited
(2003) ZR 1.
[100]
Kirk v
Executive Flight Centre Fuel Services Ltd
2019 BCCA 2019
BCCA 111.
[101]
Ibid
para
103.
[102]
See
also
Pro-Sys
Consultants Ltd v Microsoft Corporation
[2013] 3 SCR 477
, in which the Supreme Court of Canada considered an
application to certify a class action by ‘indirect purchasers’
of Microsoft products. The Court held: ‘The requirement at the
certification stage is not that the methodology quantify
the damages
in question; rather, the critical element that the methodology must
establish is the ability to prove 'common impact'....
It is not
necessary at the certification stage that the methodology establish
the actual loss to the class, as long as the plaintiff
has
demonstrated that there is a methodology capable of doing so.
[103]
Professor Theo Broodryk. The South African Class Action Mechanism:
Comparing the Opt-In Regime to the Opt-Out Regime (Vol 22)
[2019]
PER 5.
[104]
Zambia only expressly permits an opt-in mechanism. The opt-out
mechanism is not available in Zambia, except for instances
concerning
deceased estates, trust property, or the construction of
statutes.
[105]
Permanent
Secretary, Department of Welfare, Eastern Cape and Another v Ngxuza
& Others
2001 (4) SA 1184 (SCA).
[106]
Nkala
(n
19).
[107]
Nkala
paras 100; 103.
[108]
Shenker
v Levy
1997
(4) SA 260
(W) at 264 to 265.
[109]
CRC
Trust
para
29.
[110]
Silver
v Imax Corp
(2009) 86 C.P.C 6
th
273 (Can.Ont.Ct.J) (Certification Decision).
[111]
Ramdath
v George Brown College
2010 ONSC 2019
;
See
also
Airia
Brands Inc. v Air Canada
2017 ONCA 792.
[112]
Airia
Brands Inc. v Air Canada
2017
ONCA 792
at para 85
.
[113]
Airia
Brands Inc. v Air Canada
2017 ONCA 792.
[114]
Phillips
Petroleum Company v Shutts
472 USA 797 (1985).
[115]
Phillips
(n 114) page
472 U. S. 812
[116]
Du
Preez v Philip-King
1963 (1) SA 801
(W) at 802H to 804G.
[117]
Mediterranean
Shipping Co v Speedwell Shipping Co Ltd
1986 (4) SA 329
(D) at 333G to H.
[118]
Debra Lyn Bassett, U.S. Class Actions Go Global: Transnational Class
Actions and Personal Jurisdiction, 72 Fordham L. Rev. 41
(2003) pp
74 to 75. See also Diane P. Wood, Adjudicatory Jurisdiction and
Class Actions, 62 Ind. L.J. 597, 600-01 (1987) at 609-610:
"An
inference of consent to be sued from a failure to return an opt-out
form is so far from the knowing, voluntary type
of consent that the
Court usually requires to support adjudicatory jurisdiction, and so
contrary to normal assumptions about
human nature in lawsuits, that
an argument to the contrary is close to absurd."
[119]
Stellenbosch
University Law Clinic and Others v Lifestyle Direct Group
International (Pty) Ltd and
Others
[2021] ZAWCHC 133
;
[2021] 4 All SA 219
(WCC) paras 61 — 63;
CRC
Trust
para 29.
[120]
CRC
Trust
para
34
[121]
Nkala
(n
19) endorsing the views of the Federal Court of Australia in
Johnson
Tiles Pty Ltd v Esso Australia
[1999] FCA 636
para 16.
[122]
CRC
Trust
(n 17) para 31.
[123]
De Bruyn (n 23) para 27.
[124]
Wal-Mart
Stores v Dukes
564 U.S. 338
(p 008 4070), referred to with approval in
CRC
Trust
para 31.
[125]
Wal-Mart
Stores a
t
352.
[126]
Ibid
at
358.
[127]
De
Bruyn
para
27.
[128]
Yabe
et
al
2015 Annexure ZMX 18.
[129]
See Thompson
2020; Thompson 2022
paras 23- 39.
[130]
At paragraph 76.
[131]
Hollick
v Metropolitan Toronto (Municipality)
2001 SCC 68
para 21.
[132]
The
Zambian limitation law is a direct import of the English limitation
law. Section 2 of the British Acts Extension Act makes
the English
Limitation Act, 1939 (since repealed in England) applicable to
Zambian law, subject to amendment.
[133]
Act 68 of 1969.
[134]
Section 12(3) provides that a debt is only deemed to be due, and the
prescription period only begins to run, when "the creditor
has
knowledge of the identity of the debtor and of the facts from which
the debt arises: Provided that a creditor shall be deemed
to have
such knowledge if he could have acquired it by exercising reasonable
care." See further
Johannes
G Coetzee 8 Seun and Another v Le Roux and Another
[2022]
ZASCA 47
(8 April 2022) paras 11-12;
Truter
and Another v Deysel
[2006] ZASCA 16
;
2006 (4) SA 168
(SCA) paras 16, 18, 19 and 22;
Minister
of Finance and Others v Gore NO
2007 (1) SA 111
(SCA) para 17;
Mtokonya
v Minister of Police
2017 (11) BCLR 1443
(CC);
2018 (5) SA 22
(CC) para 48.
[135]
De
Bruyn
(n 23) para 21.
[136]
See
Society
of Lloyd's v Price; Society of Lloyd's v Lee
2006 (5) SA 393
(SCA) para 10.
[137]
Society
of Lloyd's v Price; Society of Lloyd's v Lee
2006 (5) SA 393 (SCA).
[138]
Cited with approval in
FAWU
obo Gaoshubelwe v Pieman's Pantry (Pty) Ltd
2018 (5) BCLR 527
(CC) at para 184;
Competition
Commission of South Africa v Pickfords Removals SA (Pty) Ltd
2021
(3) SA 1
(CC) at para 33.
[139]
Food
and Allied Workers Union obo Gaoshulwe v Pieman’s Pantry Ltd
[2018] ZACC 7
;
2018 (5) BCLR 527
(CC) para 184.
[140]
Price
(n
137) para 26.
[141]
Ibid
para 26.
[142]
Ibid
para
27.
[143]
Sperling
v Sperling
1975
(3) SA 707
(A): See further
Weatherley
v Weatherley
1879 Kotze 66
at 83 - 85;
Seedat's
Executors v The Master
1917
AD 302
at 307- 308;
Burchell
v Anglin
2010 (3) SA 48
(ECG) para 127. See further Forsyth Private
International Law (4ed) 109-115.
[144]
Jalla v
Shell International Trading and Shipping Company
[2021] EWCA Civ 63
para 47.
[145]
See also
Road
Accident Fund v Mdeyide
2011 (2) SA 26
(CC) para 8.
[146]
Bravo v
Amerisur Resources Ltd
[2023] EWHC 122 (KB).
[147]
Nkala
(n 19)
para 44.
[148]
Centers
for Disease Control and Prevention.
[149]
Bayat v
Hansa
1955
(3) SA 547
(N) at page 533 C-D.
[150]
Titty's
Bar and Bottle Store (Pty) Ltd v ABC Garage (Pty) Ltd
1974 (4) SA 362
(T) at 369A —B.
[151]
Lagoon
Beach Hotel (Pty) Ltd v Lehane NO and others
2016 (30 SA 143
(SCA) para 16.
[152]
eBotswana
(Pty) Ltd v Sentech (Pty) Ltd and others
2013
(6) SA 327
(GSJ) para 28.
[153]
Juta
and Co v De Koker
1994 (3) SA 499
(T) at 510;
Hidro-Tech
Systems (Pty) Ltd v City of Cape Town and others
2010
(1) SA 483
(C) para 81.
[154]
See
Evins
v Shield insurance Co Ltd
1980 (2) SA 814
(A) at 835C-D.
[155]
Michael
Chiluya Seta v Zambian Bottlers
(2003) ZR 1
, citing Lord Reading CJ in
Suffolk
Rivers Catchment Board v Kent
1941
AC 74.
[156]
Dryden
v Johnson Matthey Plc
[2018] UKSC 18
para 12; Hermer 2020 paras 34 -38; Mwenye para 6.29.
[157]
Dryden
v Johnson Matthey Plc
[2018] UKSC 18
[158]
Ibid
para
47
[159]
I
bid
paras 24 and 27, citing
Fair
v London 8 North-Western Railway Co
(1869) 21 LT 326
, 327; Cartledge at 778.
[160]
Ibid
paras
15 and 25.
[161]
Ibid
para
27.
[162]
Rothwell
v Chemical and Insulating Co Ltd
[2008]
AC 281.
[163]
Ibid
paras 10-11.
[164]
Dryden
para
47.
[165]
De
Bruyn
(n 23) para 27.
[166]
Mukkadam
(n 160 para 38.
[167]
De
Bruyn
para
302.
sino noindex
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