Case Law[2022] ZAGPJHC 450South Africa
Sivuka & 328 Others v Ramaphosa and Others (36879/2015) [2022] ZAGPJHC 450 (30 June 2022)
High Court of South Africa (Gauteng Division, Johannesburg)
30 June 2022
Headnotes
– Exception relating to causation fails.
Judgment
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## Sivuka & 328 Others v Ramaphosa and Others (36879/2015) [2022] ZAGPJHC 450 (30 June 2022)
Sivuka & 328 Others v Ramaphosa and Others (36879/2015) [2022] ZAGPJHC 450 (30 June 2022)
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FLYNOTES:
MARIKANA
MASSACRE AND EXCEPTIONS
Exception –
Claim against Mr Ramaphosa, Sibanye and the government –
Marikana massacre – Alleged collusion
– Alleged
interventions and pressure exerted on ministers and police –
Several grounds of exception upheld –
Exception relating to
causation fails.
REPUBLIC
OF SOUTH AFRICA
IN
THE HIGH COURT OF SOUTH AFRICA
(GAUTENG
LOCAL DIVISION, JOHANNESBURG)
CASE
NO: 36879/2015
REPORTABLE:
NO
OF
INTEREST TO OTHER JUDGES: YES
REVISED
30
JUNE 2022
In
the matter between
VAYEKE
SIVUKA & 328 OTHERS
PLAINTIFFS
and
CYRIL
RAMAPHOSA
FIRST DEFENDANT
SIBANYE
STILLWATER LTD
SECOND DEFENDANT
GOVERNMENT
OF THE REPUBLIC OF
SOUTH
AFRICA
THIRD
DEFENDANT
J
U D G M E N T
VAN
OOSTEN J:
Introduction
[1]
On 16 August 2012 a tactical response unit of the South African
Police Service shot and killed 34 striking workers and seriously
wounded and arrested many others, who were part of a peaceful
gathering on public land near the town of Marikana in North West
Province. The massacre received global attention and outrage. Counsel
for the plaintiffs informed the court that the Government
of the
Republic of South Africa has admitted liability for the calamities
which constitute the element of harm, both in public
and in the
courts.
[2]
The plaintiffs are 329 mineworkers who were, during the incident,
injured and arrested by the police. On 20 October 2015, the
plaintiffs instituted action against Mr Cyril Ramaphosa, as the first
defendant, Sibanye Stillwater Ltd (formerly Lonmin plc),
as the
second defendant, and the Government of the Republic of South Africa,
as the third defendant. In the action they seek payment
of the amount
of R977 319 735.00 from the first and second defendants
jointly and severally, in respect of ‘patrimonial
and
compensable loss’ suffered as a result of the ‘faulty
conduct of the first, second and/or third defendants, alternatively,
any combination of two or all of the defendants, acting collusively’,
and/or payment of the amount of R164 500 000.00,
from the
first second and third defendants, jointly and severally, in respect
of ‘constitutional /exemplary/punitive damages’,
together
with interest thereon and costs. In addition, the plaintiffs claim as
against the first, second and or third defendants,
jointly and
severally, ‘non-patrimonial and non-compensable relief’
in the form of a declarator and a number of restitutional
orders.
[3]
The first and second defendants, in a notice of exception, duly
afforded the plaintiffs 15 days to remove the cause of complaint
in
regard to the vague and embarrassing allegations, and set forth the
grounds of exception in regard to the particulars of claim
lacking
averments to sustain a cause of action. The first defendant relies on
8 separate grounds of exception and the second defendant
on 10
grounds.
The
legal principles
[4]
In the recent judgment of the Supreme Court of Appeal in
Luke
M Tembani and Others v President of the Republic of South Africa and
Another
(Case
no 167/2021)
[2022]
ZASCA 70
(20
May 2022), the general principles relating to and the approach to be
adopted in regard to adjudicating exceptions were
summarised as
follows (para14):
‘
Whilst
exceptions provide a useful mechanism ‘to weed out cases
without legal merit’, it is nonetheless necessary that
they be
dealt with sensibly (
Telematrix
(Pty) Ltd v Advertising Standards Authority SA
[2005]
ZASCA 73
;
2006
(1) SA 461
(SCA)
para 3). It is where pleadings are so vague that it is impossible to
determine the nature of the claim, or where pleadings
are bad in law
in that their contents do not support a discernible and legally
recognised cause of action, that an exception is
competent
(Cilliers
et
al
Herbstein
& Van Winsen The Practice of the High Courts of South Africa
5ed
Vol 1 at 631;
Jowell
v Bramwell-Jones and Others
1998
(1) SA 836
(W)
at 899E-F). The burden rests on an excipient, who must establish that
on every interpretation that can reasonably be attached
to it, the
pleading is excipiable (
Ocean
Echo Properties 327 CC and Another v Old Mutual Life Insurance
Company (South Africa) Ltd
[2018]
ZASCA 9
;
2018
(3) SA 405
(SCA)
para 9). The test is whether on all possible readings of the facts no
cause of action may be made out; it being for
the excipient to
satisfy the court that the conclusion of law for which the plaintiff
contends cannot be supported on every interpretation
that can be put
upon the facts (
Trustees
for the Time Being of the Children’s Resource Centre Trust and
Others v Pioneer Food (Pty) Ltd and Others
[2012]
ZASCA 182
;
2013
(2) SA 213
(SCA);
2013
(3) BCLR 279
(SCA);
[2013]
1 All SA 648
(SCA)
para 36
(Children’s
Resource Centre Trust)
).’
[5]
In adjudicating this exception, the court is enjoined to accept the
facts pleaded by the plaintiffs as true and not to have
regard to any
other extraneous facts or documents (
Pretorius
and Another v Transport Pension Fund and Another
2019
(2) SA 37
(CC)
para 15). Only primary factual allegations that are necessary for the
plaintiff to prove (
facta
probanda
)
in order to support his right to judgment of the court, must be
pleaded and a plaintiff is not required to plead secondary
allegations
(
facta
pobantia
)
upon which the plaintiff will rely in support of the primary factual
allegations (
Trope
v South African Reserve Bank and Another and Two Other Cases
1992
(3) SA 208
(T)
210G-H, quoted with approval in
Jowell
).
But, as Vally J pointed out in
Drummond
Cable Concepts v Advancenet (Pty) Ltd
(08179/14)
[2018] ZAGPJHC 636;
2020
(1) SA 546
(GJ)
(para 7):
‘
The
question that arises from this legal requirement is, what facts are
necessary to ensure that the cause of action has been disclosed?
The
answer depends on the nature of the claim - a claim arising from a
breach of contract requires different facts from a claim
based in
delict.’
[6]
An exception to a pleading that is vague and embarrassing involves a
two-fold consideration. The first is whether the pleading
lacks
particularity to the extent that it is vague In
Trope
(210G-H),
the particularity required in pleading was explained as follows:
‘
It
is, of course, a basic of principle that the particulars of claim
should be so phrased that a defendant may reasonably and fairly
be
required to plead thereto. This must be seen against the background
of the further requirement that the object of pleadings
is to enable
each side to come to trial prepared to meet the case of the other and
not be taken by surprise. Pleadings must therefore
be lucid and
logical and in an intelligible form; the cause of action or defence
must appear clearly from the factual allegations
made…’
[7]
Vagueness arises from statements which are meaningless (
Venter
and others NNO v Barritt Venter and Others NNO v Wolfsberg Arch
Investments 2 (Pty) Ltd
2008
(4) SA 639
(C)
para 11), or are capable of more than one meaning, or fail to provide
the degree of detail necessary to properly inform
the other party of
the case being advanced (
Win
Twice Properties (Pty) Ltd v Capitulo Entertainment (Pty) Ltd t/a
Galaxy World and Others
(33426/2017)
[2018] ZAGPJHC 519 (7 September 2018) para 3). The second
consideration is whether the vagueness causes embarrassment
of such a
nature that the excipient is prejudiced (
Barloworld
Logistics Africa (Pty) Ltd v Ford
2019
(5) SA 133
(GJ)
141F-H), which is a factual enquiry and a question of degree,
influenced by the nature of the allegations, their contents,
the
nature of the claim and the relationship between the parties (
Win
Twice Properties
,
para 4).
The
plaintiffs’ cause of action
As
against the first defendant (Section B, paras 8 to 16)
[8]
The plaintiffs’ cause of action is founded in delict. The
elements of a delict are an act or omission, wrongfulness, fault,
causation and harm. The plaintiffs are required to plead and thus
identify the conduct on the part of the defendant, that is wrongful,
the harm suffered by them, how the defendant’s conduct caused
that harm, and if the delict involves fault, whether the conduct
of
the defendant was negligent or intentional.
[9]
The plaintiffs allege that ‘the three defendants were acting in
concert among each other and as principal players in the
collusion
between the state and capital which resulted in the massacre which is
at the centre of this action’. The first
defendant is sued in
both his personal capacity and/or as a director of the second
defendant and in pursuit of his personal interests
and those of the
second defendant. The second defendant, it is alleged, was acting
‘via the agency of its employees, its
directors and its
business associates’.
[10]
The ‘liability, culpability and/or responsibility’ of the
first defendant is premised on the content of email communication
exchanged between the first defendant and his colleagues at the then
Lonmin, one Roger Phillimore and Albert Jamieson, the chief
commercial officer of the second defendant, on 15 August 2012 (the
email communication). I will revert to a full discussion hereof
in
dealing with the first defendant’s first exception later in the
judgment.
[11]
In the alternative the plaintiffs allege that the first defendant
acted negligently, more particularly in that in his capacities
as ‘a
director of Lonmin/BEE investor/shareholder, chairperson of the
transformation committee, former trade union leader
and political
leader’ he owed certain duties to the plaintiffs, which are
listed in seven sub-paragraphs. It is further pleaded
that ‘in
violation of the various duties owed to the plaintiffs’, he
unlawfully conducted himself in the manner enumerated
in seven
sub-paragraphs. The first defendant’s ‘direct
interventions’ caused the ‘pressure exerted by him'
to be
‘transmitted by the Minister of Police to the top police
management generals through the medium of the National Commissioner
of Police and/or the Provincial Commissioner of Police and the
National Management Forum, after which it was further and foreseeably
transmitted to the police forces on the ground at Marikana’. It
is further alleged that the first defendant made several
telephonic
calls to several ministers of state, including the Secretary-General
of the ANC, the Minister of Police directly, the
Minister of Minerals
and Energy directly and the President and other cabinet ministers
indirectly at a cabinet meeting held on
15 August 2012, and via the
medium of the Minister of Minerals and Energy, in order to exert
pressure on them to take violent action
with speed.
[12]
The plaintiffs further seek to hold the first defendant ‘in
collusion with the third defendant’ responsible for
the conduct
of senior police management, which is described in more detail in 10
sub-paragraphs, which it is alleged is further
supported by first, a
transcript of a conversation between the then Provincial Police
Commissioner in the North West, the second
defendant’s Vice
President: Human Capital and others (the conversation transcript),
second, relevant portions of the transcript
of the proceedings of the
Marikana Commission of Enquiry, third, the minutes of a National
Management Forum meeting and four, minutes
of the final meeting of
the Joint Operations Committee, copies of which are likewise annexed.
Copies of the first, second and fourth
mentioned documents are
attached to the particulars of claim, while a copy of the second
mentioned has not been attached due to
it being too voluminous.
[13]
The ‘calamities’ suffered by the plaintiffs resulting
from the pleaded conduct of the first respondent, include,
that they
were shot at with live ammunition, assaulted and arrested by members
of the SAPS, maliciously prosecuted by the National
Director of
Public Prosecutions, humiliated in the eyes of the public and the
international community, incorrectly labelled as
criminals and
murderers, stripped of their human dignity and deprived of their
privacy, right to equal protection before the law
and/or their
constitutional right to ‘bodily psychological integrity’.
As
against the second defendant (Section C, paras 17 and 18)
[14]
The liability, accountability and/or responsibility of the second
respondent is premised on the legal duties it owed to the
plaintiffs
as their employer, which are enumerated in 6 sub-paragraphs, and
include
inter alia
, the duty to protect its employees
from physical injury and death, the duty to engage with or negotiate
working conditions, including
wages, certain fiduciary duties arising
from its lawful incorporation in terms of the company laws of the
Republic of South African
and a variety of constitutional duties.
[15]
The plaintiffs allege that the second defendant breached the duties
aforesaid,
inter alia
, through its employees and/or
directors participating in the email communication with the first
defendant and in the conversation,
which I have already referred to,
unlawfully colluded with the SAPS with the ultimate aim to ending the
strike by any means, including
fatal violence, failed to take the
requisite steps which would have resulted in the avoidance of violent
conflict, death, injury
and unlawful arrest, was a party to, approved
and instigated the actions of the first defendant as pleaded,
extensively contributed
human, material, physical, and financial
resources to the police and/or army, without which the massacre would
not have materialised
and instigated the police under false pretences
to arrest the strikers and AMCU leaders.
General
comments: Particulars of Claim
[16]
Before considering the various grounds of exception, it is necessary
to comment on a number of aspects in regard to the pleading
of facts
generally, and in particular the reference to and incorporation of
documents in the particulars of claim.
[17]
Uniform Rule of Court 18(4) requires every pleading to contain ‘a
clear and concise statement of the material facts upon
which a
pleader relies for his claim’. The plaintiff is accordingly
required to disclose a cause of action, which means every
fact which
it would be necessary for the plaintiff to prove, if traversed, in
order to support his right to judgment of the court.
[18]
It follows as a matter of logic that irrelevant and superfluous
allegations in regard to the cause of action relied on, are
impermissible.
[19]
A copy of the summons and particulars of claim in an action
instituted on 14 August 2015, by the plaintiffs against the President
of the Republic of South Africa, the Minister of Police and the
National Director of Public Prosecutions, in the Gauteng Division
of
this Court, is attached to the particulars of claim. The reason for
the reference to and annexing a copy of the summons in that
matter,
are to be gleaned from the introductory statement in the particulars
of claim, that all the plaintiffs are instituting
the present action
in addition to any claims instituted against other defendants, albeit
with a ‘few identifiable intersections’,
arising from the
aftermath of the Marikana massacre. The relevance of the reference to
the action, either in regard to the plaintiffs’
cause of action
in the present matter, or, perhaps by way of background, escapes me.
In my view, this information is superfluous
and except for adding to
the volume of documents already having been filed, serves no useful
purpose. Although not rendering the
particulars of claim excipiable,
it remains undesirable to include superfluous matter in a pleading.
[20]
The conversation transcript, the extracts from the Marikana
Commission of Enquiry proceedings and the two sets of minutes,
as I
have already alluded to, are referred to, and copies thereof are
attached to the particulars of claim, merely to serve as
‘further
support’ for the averments contained in the preceding paragraph
(para 14).
[21]
Rule 18(4) requires a clear and concise statement of the material
facts upon which a pleader relies for his claim. The mere
reference
to the type of documents we are here concerned with, falls short of
this requirement. The identification of the specific
portions relied
on, in my view, is necessary. The defendants are entitled to be
informed of the specific portions relied on by
the plaintiffs, in
regard to the cause of action. In the absence thereof, as it came to
the fore in argument before me, wide ranging
inferences and
conclusions on the proposed interpretation of the conversation
transcript, by counsel for the plaintiffs, were sought
to be drawn,
without those having been either specifically identified in the
particulars of claim, or pleaded. It is not for the
defendants nor
for the court in reading the documents to conduct a search in order
to find possible ‘support’ for the
allegations pleaded.
That, it needs to be reiterated, remains the duty of the pleader in
setting out the cause of action in the
particulars of claim. I do not
consider this to be a ground of exception but rather of practical
importance.
The
exception raised by the first defendant
The
first ground of exception (paras 8.1 and 8.2 of the plaintiffs’
particulars of claim)
[22]
With reference to the email communications, the first respondent
contends that the averments contained therein, and the several
telephone calls made to several politicians and ministers of state,
in order to exert pressure on them to take violent action with
speed,
do not constitute actionable incitement or other wrongful conduct
resulting in the plaintiffs’ claims not disclosing
a cause of
action.
[23]
It is accordingly necessary to juxtapose the contents of the email
communication against the plaintiffs’ interpretation
thereof.
The plaintiffs plead that it was proposed in the email communication
that the actions of the strikers, including the plaintiffs,
ought to
be characterised as criminal and not as part of a labour dispute,
that the situation required the intervention of the
army and/or the
police, that the idea or suggestion of resolving the issue by Lonmin
management engaging with dialogue with its
employees was to be
rejected as repugnant and one to be avoided, that ‘as the
workers were (murderous) criminals, concomitant
action was required
to be perpetrated against them (
ie
they ought to be
similarly murdered in turn)’, that pressure should be put to
bear upon the politicians who controlled
the means of violence, as
embodied in the army or police, namely,
inter alios
the
Minister of Police, the Minister of Minerals and Energy, the
President and other members of the cabinet so that
such
concomitant
action could be politically
sanctioned.
[24]
Due to their importance, the contents of the emails, all exchanged on
15 August 2012, are reproduced in full:
In
the email sent to Roger Phillimore, at 00h47, Mr Ramaphosa reported
that he had had discussions with Minister Shabangu, and told
her that
her silence and inaction about what was happening at Lonmin was bad
for her and the Government, and suggested to her that
they should
have a discussion and see what she needs to do. Mr Ramaphosa further
mentioned that he had spoken to the President
of NUM, Mr Senzeni
Zokwana, who told him that he and Frans Baleni wanted to meet with Mr
Ramaphosa and the former president of
NUM, James Motlatsi, to discuss
what they should do as a union going forward. Motlasi had told Mr
Ramaphosa that NUM had held a
successful meeting where some 500-700
workers had stated that they wanted to work. Mr Ramaphosa further
wrote that he would be
speaking to Secretary General of the ANC, Mr
Gwede Mantashe and suggested that the ANC should intervene, as well
as to Mr Mike
Teke, the deputy-chairperson of the Chamber of Mines.
At
09h43, Mr Albert Jamieson responded:
‘
Thanks
for your help so far. Thankfully last night was relatively peaceful
as is this morning. We have had approaches from NUM Eastern
Plats
that they would like to return to work if police can offer adequate
protection. Two areas of concern.
·
The
Minister was on radio today saying she’d been briefed that this
was a wage dispute and management and unions should sit
down and sort
it out? Not sure who’s briefed her, we are waiting to talk to
her (Roger), and although not too damaging it’s
also not too
helpful. I’ve had two discussions with the DG and in each case
have characterised this as NOT an industrial
relations issue, but a
civil unrest/destabilisation/criminal issue that could not be
resolved without political intervention and
needs the situation
stabilised by the police/army. I think on both occasions he agreed
with me and it reflected what was in our
letter but now I’m not
sure - I have a call to him this morning.
·
We
are grateful the police now have c. 800 on site. Our next challenge
is sustaining this and ensuring they remain and take appropriate
action so we can get people back to work. It would be good to have
some independent confirmation the police have plans to sustain
a
presence for at least a week and numbers don’t wane on the
weekend.’
At
12h18, Mr Ramaphosa thanked Mr Jamieson for ‘the consistent
manner in which you are characterising the current difficulties
we
are going through’ and added:
‘
The
terrible events that have unfolded cannot be described as a labour
dispute. They are plainly dastardly criminal and must be
characterised as such. In line with this characterisation there needs
to be concomitant action to address this situation.
You
are absolutely correct in insisting that the Minister and indeed all
government officials need to understand that we are essentially
dealing with a criminal act. I have said as much to the Minister of
Safety and Security.
I
will stress that Minister Shabangu should have a discussion with
Roger.’
At
14h58, in an email addressed to the all involved in the
communication, Mr Ramaphosa mentioned that he had had a discussion
with
Minister Susan Shabangu in Cape Town and added:
‘
1.
She agrees that what we are going through is not a labour dispute but
a criminal act. She will correct
her characterisation of what we are
experiencing.
2.
She is going into Cabinet and will brief the President as well and
get the Minister of Police, Nathi
Mthetwa to act in a more pointed
way.
3.
She will be in Johannesburg by 5pm and would be able to speak to
Roger.’
In
his response, 15 minutes later, Mr Jamieson thanked Mr Ramaphosa and
added:
‘
(T)hat
is very helpful – have a call into the DG so will reinforce’.
[25]
The point of departure is to consider the impact on, and relevance of
the emails to the massacre. The crucial words requiring
consideration
are, that the first respondent described the workers
as
(murderous)
criminals and the proposal
that
concomitant action
was required to be
perpetrated against them, which it is pleaded bear the meaning ‘
they
ought to be similarly murdered in return’.
These words
are not to be found in the text of the emails and were inserted by
the pleader in paragraph 8.1.4 of the plaintiffs’
particulars
of claim. Nothing is pleaded in support of adding those words and
attributing that particular meaning to the contents
of the emails. It
must accordingly be assumed that the connotation of murder was
pleaded by way of inference from the contents
of the email
correspondence as a whole. These not being factual allegations that
ought to be accepted as they stand, the question
arising is whether
the inferences drawn as pleaded, are reasonably, and on any
interpretation, reconcilable with the contents of
the emails.
[26]
Counsel for the plaintiffs contended that the first defendant, in
proposing
concomitant action
, was proposing that the
workers be murdered. I do not agree. The argument assumes, without
proffering the grounds in support thereof,
that the proposal was made
that the workers be murdered. Having carefully read and considered
the email communications, I have
not been able to find any support
for the inference that the murder of the workers was intended or
foreseen. In arriving at this
conclusion, I have had regard in
particular to all extracts from the emails that are relevant to the
enquiry.
[27]
The characterisation of the conduct of the workers as criminal, was
initiated by Jamieson. He was of the view that it was not
an
industrial relations issue, but a civil
unrest/destabilisation/criminal issue. The assistance of the
police/army was considered
necessary to stabilise the situation. He
continues to mention that the police were on site and that this
should be sustained to
take
appropriate action
so
we can get people back to work.
In his response Mr Ramaphosa
described the difficulties having arisen, as
terrible
events
and
not a labour dispute
, which he
characterised as
dastardly criminal requiring concomitant
action to address the situation,
which the Minister after
discussing it with her, agreed was correct and which she undertook
would be taken further ‘
to act in a more pointed way’
.
[28]
Mr Ramaphosa’s characterisation of the events as
dastardly
criminal
requiring
concomitant action
must
be interpreted in the light of the communications as a whole. Whether
he was correct in holding and expressing the view, is
not of
relevance in deciding the issue. To infer from the characterisation
and proposal of concomitant action, that the workers
were murderous
and in turn ought to be murdered, is not only far-fetched but also
irreconcilable within the context of the email
communication contents
as a whole. Concomitant action in regard to criminal conduct, however
benevolently interpreted, does not
in any way imply murder, or entail
‘violent killings and/or serious injuries to many human beings,
including the plaintiffs’
(para 9.2 of the particulars of
claim).
[29]
Counsel for the first defendant submitted that in this respect, an
inconsistency or contradiction between the allegation pleaded
and the
emails attached in support thereof, exists, which renders the
plaintiffs’ particulars of claim excipiable. I agree.
In
support of the contention relied on, counsel referred to the judgment
of Opperman J in
Meechan
and Another v VGA Chartered Accountants Partnership t/a PKF (VGA)
Chartered Accountants
(7999/2019)
[2020] ZAGPJHC 53;
[2020]
2 All SA 510
(GJ)
(28 February 2020), paras 16 to 33, where the learned judge, in
regard to the plaintiff’s reliance placed on an
attached audit
report for its claim of a negligent misstatement, which did not in
fact contain the representations for which the
plaintiff contended,
held it to be a ‘classic example of a vague and embarrassing
pleading is where there is a contradiction
between a document annexed
to the pleading and what is pleaded about it’ and that the
pleading on that ground, was excipiable.
[30]
The plaintiffs further plead in regard to the email communications
(paras 8.1.2 and 8.1.3), that it was proposed that the situation
required the intervention of the army and/or the police, and that the
idea or suggestion of resolving the issue by Lonmin management
engaging in dialogue with its employees, was to be rejected as
repugnant and one to be avoided. In order to understand the averments
on which the inferences pleaded are premised, they must be examined
in their proper context. The averments were made by Mr Jamieson
in
the 09h43 email to Mr Ramaphosa, quoted above. Mr Jamieson said that
he had had two discussions with the DG and in each thereof
the events
were characterised as
NOT
an industrial relations
issue
, but as a
civil unrest/destabilisation/criminal
issue
. On a plain reading of the sentence, it is the civil
unrest/destabilisation/criminal issue that he considered could not be
resolved
without political intervention and required to be stabilised
by the police/army. Mr Jamieson in expressing this view, separated
and distinguished the industrial issue from the civil
unrest/destabilisation/criminal issue. This is confirmed where, in
dealing
with the presence of police on site, he mentioned that the
challenge would be, while the police were still present on site, to
take
appropriate action
so we can get people back
to work
. The inference pleaded, that the idea or suggestion of
resolving the issue by Lonmin management engaging with dialogue with
its
employees was to be rejected as repugnant and one to be avoided,
cannot be reconciled with the content of the email, and is
accordingly
misconceived and falls to be rejected.
[31]
Lastly, in regard to the ‘several’ telephone calls made
by Mr Ramaphosa to several politicians and ministers of
state, that
are named, in order to exert pressure on them to take violent action
with speed (para 8.2), the absence of any detail
or particularity in
order to enable the first defendant to plead thereto, is significant.
The conclusion that the telephone calls
were made to exert the
alleged pressure is all that is pleaded. Details as to the dates of
the telephone calls and the contents
thereof, cannot be described
as
facta probantia
: these are clearly
facta
probanda.
The addition of the words ‘with speed’
must be a reference to the contents of the telephone calls and the
defendants
are accordingly entitled to be apprised of the basis for
pleading ‘violent action with speed’.
[32]
The fist defendant’s first ground of exception must accordingly
be upheld.
The
first defendant’s second ground of exception (para 11 and 12 of
the plaintiffs’ particulars of claim)
[33]
The second ground excepts to the plaintiffs’ alternative claim
against the first defendant. It is trite that where the
same claim is
based on alternative causes of action, an exception can be taken
against one or more of the alternatives (
See
Du
Preez v Boetsap Stores (Pty) Ltd
1978
(2) SA 177
(NC).
I have already alluded to the plaintiffs’ alternative claim.
This ground of exception relates to the various capacities
of the
first defendant as pleaded, in that they do not give rise to the
duties alleged by the plaintiffs, nor that such duties
are legal
duties owed by the first defendant to the plaintiffs, resulting in
the claim not disclosing a cause of action.
[34]
The first defendant, in the capacities referred to, is alleged to
have owed the duty to ensure that the management of Lonmin
took
appropriate measures to protect its employees, including the
plaintiffs, from undue physical harm and violence, including
state-sponsored violence, the duty to take reasonable steps to ensure
that Lonmin should engage and/or negotiate with the strikers
so as to
avoid or minimise the temptation on the part of the state and capital
to resort to unnecessary violence, as has been his
own experience;
the duty to ensure that the employees of Lonmin, including the
plaintiffs, were fairly remunerated, adequately
and not in accordance
with the apartheid wage structure, which he had criticised in his
earlier life as a trade unionist; the duty
to ensure that
Lonmin,
inter alia
, provided adequate houses to its
employees in compliance with its statutory and regulatory
obligations; the duty to take all reasonable
steps to eliminate
and/or mitigate the devastating effects of the migrant labour system;
the duty to ensure that Lonmin was not
guilty of committing illicit
financial flows, including transfer pricing, base erosion and the
shifting of profits to so-called
tax havens, such as Bermuda and
other such countries, whilst simultaneously neglecting and failing to
fulfil its financial, social
and economic obligations to its
employees and the South African public in general, and the duty to
accord them respect as human
beings in accordance with the spirit and
principles of ubuntu/botho.
[35]
Although much can be said about the litany of duties and obligations
listed, I confine the enquiry to one single determinative
question:
whether the first defendant in his personal capacity, as director of
Lonmin, as a matter of law, owed any of the duties
to the plaintiffs
(See
Country
Cloud Trading CC v MEC Department of Infrastructure Development
2015
(1) SA 1
(CC)
para 19 [‘The issue is not whether the Department’s
conduct was wrongful in some general sense, or wrongful
towards
iLima. It is whether its conduct was wrongful vis-à-vis
Country Cloud’];
Itzikowitz
v Absa Bank Ltd
2016
(4) SA 432
(SCA)
para 13 [‘…conduct must be wrongful, not in some general
sense, but vis-à-vis the appellant’]).
Section
76
(3)
of the
Companies
Act 71 of 2008
,
deals with the duties of a director of companies and no reference is
made of any duties to employees of the company. Some of the
listed
duties may be duties the first defendant owed to Lonmin, or that
Lonmin owed to the plaintiffs, but the first defendant
plainly did
not owe the plaintiffs any of the listed duties. Nothing has been
advanced in argument before me, in support of the
existence of the
listed legal duties, allegedly owed to the plaintiffs by the first
defendant, in any of his capacities as ‘BEE
investor/shareholder, chairperson of the transformation committee,
former trade union leader and political leader’.
[36]
Next, it is alleged that the first defendant acted in breach of those
duties. This allegation likewise, is also unfounded in
law, because
the first defendant did not owe the plaintiffs those duties.
[37]
For these reasons, the second ground of exception must be upheld.
The
first defendant’s third ground of exception (para 13 of the
plaintiffs’ particulars of claim)
[38]
Paragraph 13 of the particulars of claim is pivotal to the
plaintiffs’ cause of action against the first defendant,
because it seeks to establish the only causal link between his
alleged unlawful conduct and the plaintiffs’ loss. I have
already alluded to the content of the paragraph.
[39]
The third ground of exception is directed at para 13, in that insofar
as the direct interventions of the first defendant are
those referred
to in paragraph 8 of the particulars of claim (arising from the email
communications and the telephone calls), the
pressure exerted by the
second respondent is not unlawful and hence discloses no cause of
action. Insofar as the direct interventions
is a reference to the
active enticement set out in para 12, such allegation is vague and
embarrassing, containing no specificity
to which the defendant might
plead.
[40]
Paragraph 13 is confined to ‘the aforesaid direct
interventions’ of the first defendant, causing the pressure
exerted by him to be transmitted through all the named persons to the
police forces on the ground in Marikana. As I read the particulars
of
claim the
aforesaid
direct interventions can only
constitute a reference to the telephone calls, referred to in para
8.2. There it is alleged
that telephone calls were made to the
Minister of Police
directly
and the Minister of
Minerals and Energy
directly.
The email
communications and the conduct described in paragraphs 12.2 to 12.7
did not constitute direct interventions, and
must accordingly be
excluded from having caused the consequences set out in para 13. The
first defendant’s conduct described
in paragraphs 8.1 and 12.2
to 12.7 accordingly, in regard to the cause of action, is irrelevant
in that it is not alleged to have
caused the plaintiffs’ loss.
[41]
Counsel for the first defendant submitted that the pressure allegedly
exerted and transmitted to ground level, does not satisfy
the
requirement of legal causation in delict. Causation entails a
two-stage test. In regard to factual causation, the plaintiffs
have
in paragraph 14, fully set out the steps that senior management would
not have taken but for the intentional alternatively
negligent
conduct of the first defendant in collusion with the third defendant.
As counsel for the plaintiffs was at pains to emphasise,
whether the
plaintiffs will at the trial be able to prove those allegations, is
not relevant for present purposes. I am in agreement
with counsel for
the plaintiffs, the allegations as they stand, do satisfy the test
for factual causation.
[42]
As regards legal causation, counsel for the first defendant, with
reliance on the leading authorities, submitted that the plaintiffs’
reliance on a convoluted chain of events, in which the first
respondent is far removed from the eventual harm that the plaintiffs
suffered, is too remote in relation to the first defendant to found
liability in delict. Counsel for the plaintiffs urged for a
proper
reading and consideration of paragraph 13, especially in view of the
pleaded collusion between the three defendants (para
5.8), the
allegation that the defendants were acting individually and
collectively and the allegation that the first defendant
‘participated in, masterminded and championed the toxic
collusion between Lonmin and the South African Police Service which
resulted in the death, injuries and arrests and detention of Lonmin
employees, including the plaintiffs’ (para 12.5). I agree
and
it is accordingly my finding that the plaintiffs have satisfied the
test of legal causation.
[43]
The third ground of exception must accordingly fail.
The
first defendant’s fourth ground of exception (para 14 to 16 of
the plaintiffs’ particulars of claim)
[44]
In paragraph 14 of the plaintiffs’ particulars of claim, they
plead that but for the ‘above intentional, alternatively
negligent, conduct of the first defendant
in collusion with
the third defendant’
, the senior police management involved
would not have made various critical decisions in regard to the
events on 15 August 2012.
[45]
This ground of exception addresses the absence of any detail in the
preceding paragraphs to afford any factual basis for the
alleged
collusion. Counsel for the plaintiffs made much of the ‘tripartite
collusion’ alleged to have existed between
the defendants, as
well as the allegations of incitement or instigation, which counsel
submitted speak for themselves and obviate
the need to plead
particularity in respect of the specific conduct in regard to each of
the defendants. Counsel stressed the allegations
pleaded at paragraph
22 of the particulars of claim, that the harm suffered resulted from
the ‘aforestated faulty conduct
of the first, second and/or
third defendants, alternatively any combination of two or all of the
defendants, acting collusively’.
At paragraph 5.8 the
plaintiffs plead that the three defendants were acting in concert
among each other and as principal players
in the collusion between
the state and capital, which resulted in the massacre which is at the
centre of this action. The all-embracing
umbrella term ‘collusively’,
is facts specific, and cannot be elevated to a general rule that by
the mere reliance
thereon, no further, or less specificity needs to
be pleaded. In the present matter the defendants are remote parties
to the actual
harm that was caused. Collusion, incitement and
instigation have been pleaded, but those are not sufficient to
properly link each
of the defendants to the harm that was caused. The
plaintiffs, in my view, in addition to alleging collusion, incitement
and instigation,
are required the plead the facts on which they rely
to properly link the defendants to the harm.
[46]
This ground of exception must accordingly be upheld.
The
first defendant’s fifth ground of exception (para 5 and 6.1 of
the plaintiffs’ particulars of claim)
[47]
In paragraph 5 of the particulars of claim, the various capacities of
the first defendant are set forth. These are that Mr
Ramaphosa, at
all material times, was a non-executive director and in that
capacity, a member of the board of directors with portfolio
of
chairperson of the transformation committee of Lonmin, which is the
employer of the plaintiffs; a shareholder and the chairperson
of
Shanduka which was a 18% shareholder in Lonmin, and a member of the
National Executive Committee of the African National Congress.
[48]
The plaintiffs then plead in para 6.1 that the first defendant is
sued in his personal capacity and/or as a director of Lonmin,
and in
pursuit of his personal interests and those of Lonmin.
[49]
This complaint raised in this ground of exception, is in regard to
the legal foundation for holding the first respondent liable
as a
director of the second defendant.
[50]
It is trite that the director of a company owes his or her duties to
the company, to act in its interests, being those of the
company
itself as a corporate entity and those of its members as such as a
body. In support of the proposition, counsel for the
plaintiff have
referred me to the judgment of Unterhalter J, in
De Bruyn v
Steinhoff International Holdings NV
2020 JDR 1405 (GJ) para
151, where the learned judge put it as follows:
‘
In
my view, the case advanced has this difficulty. A case can be pleaded
that the conduct of the Steinhoff directors is in breach
of the
directors’ fiduciary duties. But in accordance with the
standard account of directors’ fiduciary duties, those
duties
are owed to the company. Any harm suffered as a result of the breach
is actionable by the company to whom the duties are
owed. The breach
may also cause harm to shareholders, and indeed potentially to other
classes of persons: creditors, employees,
suppliers and customers.
The harm does not establish that the duty is owed to all persons who
suffer harm. On the contrary, and
as the cases show, there must be a
special relationship that subsists between the directors and the
plaintiffs so as to require
that the fiduciary duties owing to the
company are also due to other persons. The prospective action fails
to make that case. And
compounds the problem by alleging that the
Steinhoff companies to whom fiduciary duties are owed also owes those
duties to the
shareholders. I find no basis on the pleaded case, read
with the affidavits, that permit me to find that the Steinhoff
directors,
SIHL or Steinhoff NV owe fiduciary duties to the
shareholders. Without such a case, I cannot find that there is a
cause of action
because, absent wrongfulness, there is no delict.’
[51]
Applied to the present ground of exception, the plaintiffs have
failed to plead a case that a special relationship subsisted
between
the first defendant as director of the second defendant, so as to
require that the first defendant’s fiduciary duties
owing to
the company are also due to the plaintiffs. The allegations pleaded
do not show that the first defendant owed the plaintiffs
legal
duties, and he therefore cannot in law incur liability to the
plaintiffs in delict in his capacity as director of Lonmin,
or ‘in
pursuit of his personal interests and those of Lonmin’.
[52]
For these reasons, this ground of exception must be upheld.
The
first defendant’s sixth, seventh and eighth grounds of
exception (paragraphs 12, 25 and 27 read with prayer C of the
plaintiffs’ particulars of claim)
[53]
These grounds of exception are raised in regard to the plaintiffs’
entitlement to the relief claimed, having regard to
the allegations
pleaded in paragraph 12 of the plaintiffs’ particulars of
claim; the claim for non-pecuniary atonement, aimed
at restorative
justice; the claim for non-patrimonial and non-compensable relief,
and the claim for punitive and/or constitutional
and/or exemplary
damages.
[54]
I do not consider the exception stage of these proceedings as the
appropriate time to consider and decide these grounds of
exception.
In terms of the order concerning the exceptions to the merits of the
plaintiffs’ claims, appearing at the end
of this judgment, the
plaintiffs will be afforded the opportunity to amend the particulars
of claim to address and correct several
substantial and vital issues.
A full and sustainable pleaded claim is not presently before this
court. A decision on these grounds
of exception, in my view, would be
premature and accordingly not in the interest of justice (see in
regard to the considerations
applicable to absolution from the
instance, but likewise of application to this matter:
Carmichele
v Minister of Safety and Security
[2001]
ZACC 22
;
2001
(4) SA 938(CC)
;
2001
(1) BCLR 995
(CC)
para 80). The factual situation in the present matter is complex and
the legal position in regard to such amendments
as may be effected
pursuant to the order I propose to make, uncertain (
Cf
Tembani
,
para 15-20). The interests of justice will be better served by the
exercise of my discretion in postponing the adjudication of
these
grounds of exception to a date to be determined after the close of
pleadings in the action. At that stage, a decision can
be given by
the court having considered all the pleadings in which a sustainable
cause of action has been set out, together with
the defendants’
plea thereon. In the meanwhile, the plaintiffs may well cease the
opportunity to re-consider the practical
considerations I have
alluded to as well certain aspects relating to the various exceptions
raised, especially at this stage, having
been apprised of the
arguments by the defendants in regard thereto.
The
exception raised by the second defendant
[55]
The second defendant (Sibanye) has raised altogether 10 grounds of
exception: two of which are directed at the cause of action
and the
remaining 8 on the basis of vague and embarrassing. Counsel for
Sibanye have helpfully grouped the grounds of exception
under three
main topics. The first category of the grounds of exception addresses
whether the plaintiffs have pleaded a link between
the conduct that
Sibanye is alleged to have perpetrated and the harm that the
plaintiffs have pleaded (the linkages exceptions).
The second
category of grounds of exception relates to whom Sibanye is alleged
to have owed duties of care and through whom Sibanye
is alleged to
have perpetrated the wrongful conduct (the relationship exceptions).
The third category concerns the duties of care
pleaded in the
particulars of claim (the duties of care exception).
[56]
As can be expected, there is some overlap between the first
defendant’s exception and the second defendant’s
exception,
which I have already dealt with and need not be addressed
again.
The
vague and embarrassing grounds of exception
The
linkages exception: the fourth, sixth, seventh and eighth grounds of
exception (paras 18 of the plaintiffs’ particulars
of claim)
[57]
I have already alluded to the plaintiffs’ allegations
concerning the liability, accountability and responsibility of
Sibanye and the various duties of care owed by Sibanye to the
plaintiffs. At paragraph 18 of the particulars of claim, Sibanye
is
alleged to have breached those duties,
inter alia
, having
participated in the email communications; participated in an unlawful
and inappropriate conversation as reflected in the
conversation
transcript; unlawfully colluded with the SAPS to end the strike by
any means, including fatal violence; instigated
the premature use of
violence; failed to take necessary steps to prevent violent conflict,
death and injury and unlawful arrests;
failed to have fulfilled
obligations which would have prevented the massacre, such as its
housing obligations towards its voters;
was a party to and approved
and instigated the actions of the first defendant; actively barred or
discouraged those who were well-placed
to prevent the bloodshed and
other calamities; extensively contributed human, material, physical
and financial resources to the
police and/or the army, without which
the massacre would not have materialised; actively refrained from
engaging and/or negotiating
with the strikers when they were
duty-bound to do so; took sides with and was biased against competing
trade unions; instigated
the police under false pretences to arrest
the strikers and AMCU leaders.
[58]
The exception raises the issue whether the conduct pleaded has been
linked to the harm that the plaintiffs allegedly suffered.
Although
the linkage in regard to certain conduct has been pleaded (inter
alia, the failure to take necessary steps to prevent
violent
conflict, death and injury and unlawful arrests; unlawfully colluded
with the SAPS; instigating the premature use of violence;
contribution of resources to the police and/or the army and
refraining from negotiating with the strikers), some of the remaining
allegations concerning the conduct are not linked to the harm. It has
not been pleaded how Sibanye’s alleged
housing
obligation towards voters
is linked to the massacre or any
of the calamities suffered by the plaintiffs, nor why Sibanye
was
duty-bound
to engage and negotiate with
strikers, nor how Sibanye’s alleged failure to
engage
and negotiate
resulted in the calamites experienced by the
plaintiffs, nor how
taking sides with and being biased
against competing trade unions
resulted in the harm.
[59]
These exceptions accordingly must be upheld to the extent I have
indicated.
The
relationships exception: the first and second grounds of exception as
well as the first part of the fifth ground of exception
(para 5.6
read with para 17 and para 6.2 of the plaintiffs’ particulars
of claim)
[60]
Paragraph 5.6 of the particulars of claim reads as follows:
‘
[Sibanye]
as the employer of the plaintiffs, owed them several duties of care
as such, alternatively as persons working for its
sub-contractors or
simply as fellow human beings’.
[61]
In paragraph 17 of the particulars of claim the plaintiffs aver that
Sibanye was ‘at all times hereto, the employer of
the strikers,
including the plaintiffs’ and owed them the duties listed in
paragraphs 17.1 to 17.6, which I have referred
to above.
[62]
That the duties were owed to persons working for Sibanye’s
sub-contractors or simply as human beings, is pleaded in the
alternative to Sibanye as their employer owing the duties to the
plaintiffs. The duties listed are mainly associated with the
employer-employee relationship. These are: the duty to protect its
employees from physical injury and death; to engage with or negotiate
working conditions, including wages; not to incite violence against
employees and to adopt a neutral posture amongst competing
trade
unions.
[63]
In
Swinburne
v Newbee Investments (Pty) Ltd
2010
(5) SA 296
(KZD),
the court held that wrongfulness is established by considering,
whether, based on the
boni
mores
,
the defendant did indeed have a legal duty to prevent a plaintiff
from being in a harmful situation and was reasonably expected
to do
so, but the defendant failed to do so. The
boni
mores
test
is common to both an infringement of a subjective right as well as
the breach of a legal duty. To answer the question
of whether an
omission is wrongful, requires simply asking whether the wrongdoer
has a legal duty to act positively. Where a defendant
has a legal
duty to act positively to prevent harm and does not do so, the
omission is wrongful. It follows that the mere addition
of human
beings to the list of persons to whom the duty was allegedly owed, is
inadequate, absent the basis upon which Sibanye
is alleged to have
owed the duty to
simply
human beings.
[64]
The plaintiffs plead in paragraph 6.2 of the particulars of claim
that Sibanye, in relation to the present action/claims ‘was
acting via the agency of its employees, its directors, its board of
directors, and
its
business associates’
.
Who the business associates were and on what basis vicarious
liability would exist for the conduct of its business associates,
has
not been pleaded. Counsel for Sibanye has referred me to the judgment
in
Minister
of Safety and Security v F
2011
(3) SA 487
(SCA)
para 15, where vicarious liability is described as follows:
‘
Vicarious
liability has a long but uncertain pedigree. In essence it may be
described as the liability that one person incurs for
a delict that
is committed by another, by virtue of the relationship that exists
between them. There are two features of vicarious
liability in its
traditional form that are trite, but they bear repetition. The first
is that vicarious liability arises by reason
of a relationship
between the parties and no more - it calls for no duty to be owed by
the person who is sought to be held liable,
nor for fault on his or
her part. The second feature is that it is a secondary liability - it
arises only if there is a wrongdoer
who is primarily liable for the
particular act or omission.’
[65]
Except for the words ‘through the agency of’ appearing
immediately before the reference to ‘its employees,
its
directors, its board of directors and its business associates’,
nothing is pleaded as to the relationship, if any, that
would have
created vicarious liability. The relationship between a company and
its employees, directors and board of directors,
differs materially
from whatever the relationship between the company and business
associates might have been, especially in regard
to vicarious
liability. For these reasons, the absence of a description of the
relationship between Sibanye and its business associates,
to
establish vicarious liability, renders the inclusion of business
associates in par 6.2 vague and embarrassing. Although this
has been
pleaded in the alternative, the plaintiffs are notwithstanding
required to plead all elements of the delict before delictual
liability can arise.
[66]
Counsel for the plaintiffs explained that the reference to business
associates is superfluous as it was intended to overlap
with
sub-contractors. I have a difficulty in understanding the
overlapping, but it suffices to state that the exception is raised
to
the paragraph as its stands, which absent an amendment, must be
decided.
[67]
The first and second exceptions, as well as the first part of the
fifth exception must accordingly be upheld.
The
duties of care exception (the second part of the fifth ground of
exception)
[68]
Sibanye is alleged to have owed the plaintiffs the following two
duties of care:
‘
17.5
certain fiduciary duties arising from its lawful incorporation in
terms of the company laws of the Republic of South Africa;
and
17.6
constitutional duties arising from the obligations set out in the
Constitution of South Africa, more particularly, the rights
specified
in paragraph (sic) 16 (sic) thereof’.
[69]
The plaintiffs have simply referred to
certain
fiduciary
duties without pleading which duties are referred to.
[70]
In regard to the constitutional duties, counsel for the plaintiffs
submitted that the particulars of claim, and in particular
the
constitutional damages claimed, should be read as a whole, from which
it will become clear that the constitutional duties owed
by Sibanye
to the plaintiffs, as human beings and/or bearers of the specified
constitutional rights implicated in the pleaded calamities,
are those
including bodily integrity, life and reputation. I agree that there
indeed are numerous references to the plaintiffs’
human rights
in the particulars of claim, but then the plaintiffs are required to
clearly and concisely plead their case in lucid
and intelligible form
and not to expect the defendants to search for the true meaning or
relevance of allegations pleaded, or for
the court to edit or review
the particulars of claim.
[71]
The second defendant is clearly embarrassed by the vagueness and
insufficiency of the facts averred by the plaintiffs. Sibanye’s
fifth exception must accordingly be upheld.
The
cause of action exceptions: The ninth and tenth grounds of
exception
(non- pecuniary relief and constitutional damages)
[72]
For the reasons already given, these exceptions will be postponed for
adjudication on a date to be determined after the close
of pleadings
in the action.
Costs
[73]
I do not consider this the appropriate stage of the proceedings for
awarding costs. The court finally adjudicating the exception
will be
in a better position to consider and award costs.
Order
[74]
In the result I make the following order:
1.
The
first, second, fourth and fifth grounds of the first defendant’s
exception, are upheld.
2.
The
third ground of the first defendant’s exception is dismissed.
3.
The
first, second, fourth, fifth, sixth, seventh and eighth grounds of
the second defendant’s exceptions are upheld.
4.
The
plaintiffs are granted leave to deliver a notice of amendment of the
plaintiffs’ particulars of claim, within 6 weeks
of the date of
this order, failing which the defendants shall be entitled to enrol
the matter for further relief.
5.
The
sixth, seventh and eighth grounds of the first defendant’s
exception, and the ninth and tenth grounds of the second defendant’s
exception, are postponed for hearing on a date to be determined after
the close of pleadings in the action.
6.
The
costs of the exception are reserved for determination by the court
finally determining this exception.
FHD
VAN OOSTEN
JUDGE
OF THE HIGH COURT
GAUTENG
LOCAL DIVISION
COUNSEL
FOR PLAINTIFFS ADV
DF
MPOFU SC
ADV
T MASUKU SC
ADV
T MOTLOENYA MODISE
ADV
MA QOFA
PLAINTIFFS’
ATTORNEYS
NKOME INC
COUNSEL
FOR
1
ST
DEFENDANT
ADV WH TRENGOVE SC
ADV
S BUDLENDER SC
ADV
BL MAKOLA SC
ADV
MBE MBIKIWA
1
ST
DEFENDANT’S
ATTORNEYS
EDWARD NATHAN SONNENBERGS
COUNSEL
FOR
2
ND
DEFENDANT
ADV KS HOFMEYR SC
ADV
K
HARDY
2
ND
DEFENDANT’S
ATTORNEYS
CLIFFE DEKKER HOFMEYR INC
DATES
OF HEARING
2 & 14 JUNE 2022
DATE
OF JUDGMENT
30 JUNE 2022
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