The New South Wales Court of Appeal in Manning
22 Like Christie, Manning involved an application for leave to bring proceedings claiming damages for personal injuries out of time. The first application was refused and the plaintiff brought a further application before a different judge of the same Court, supported by additional evidence not produced at the first application. On the second application, leave was granted to commence the proceedings. That decision was then appealed to the New South Wales Court of Appeal. Unlike in Christie, the appeal was not argued on the basis of issue estoppel, but rather solely on whether the second application was an abuse of process. The majority in Manning, Heydon and Foster JJA, were persuaded by the dissenting judgment of Charles JA in Christie and declined to follow the majority judgment in that case.
23 Much of the reasoning of Heydon JA related to the provisions of the Supreme Court Act 1970 (NSW) dealing with the receipt of further evidence on appeal and the New South Wales decisions that had considered those provisions: at [49]-[60]. In this respect, his Honour began by pointing to the reasoning of Charles JA in Christie and said (at [49]):
The essence of Charles JA's approach is that since new evidence can be admitted on appeals from interlocutory decisions with leave but without demonstration of special grounds (not only in Victoria, but also, for different reasons, in New South Wales and England) it would be anomalous if new evidence could not be received on a further application made in the court below without an appeal.
24 His Honour noted that Hayne JA had identified a "converse anomaly" as follows (Christie at 605, cited at [49] in Manning):
… there is in my view a considerable tension between saying that an appellate court should not receive the further evidence which the applicant desires to adduce to bridge a gap in proofs that was identified below, whereas a judge at first instance not only may receive that material but presumably must receive it and determine the application taking it into account.
25 Heydon J observed that this difference partly flowed from the liberal/restrictive dichotomy outlined in the judgments in Christie and posed the question: "Which approach is correct, as a matter of New South Wales law?": at [49]. In answering that question, the decision of Wickstead was central to his Honour's reasoning. It will be recalled that Charles JA cited that decision in Christie when highlighting the differences, on this question, between the law in Victoria, on the one hand, and that in New South Wales and Queensland, on the other (see [17]-[18] above). In addition to considering Wickstead and a number of New South Wales decisions on the question, his Honour also considered a decision of the House of Lords (Langdale v Danby [1982] 1 WLR 1123) on comparable provisions of the Rules of the Supreme Court (at [61]-[66]). Then, after highlighting a number of relevant discretionary considerations (at [67]-[69]), his Honour concluded (at [70]-[73]) that:
(a) the decision of Charles JA in Christie, on the construction of the New South Wales legislation, was consistent with the approach taken in the relevant New South Wales decisions on the question of receiving evidence on appeals from interlocutory orders and there was therefore no reason that the majority reasoning in Christie should be followed as a matter of comity or otherwise. Rather, the position propounded by Charles JA should be applied in New South Wales to avoid "anomalous differences" arising (at [70]);
(b) it was not necessary, and was probably undesirable, to seek to define a test capable of general application in all cases (at [71]); and
(c) since there were obvious difficulties attendant upon a litigant bringing a second interlocutory application, the evils identified by Hayne JA in Christie should be addressed by each court using its individual discretion (at [72] and [73]).
26 In relation to (b) above, earlier in his reasons, his Honour cautioned against the development of a general rule of practice preventing successive interlocutory applications, observing that the "over-riding principle governing the approach of the Court to … interlocutory applications" must be to do "whatever the interests of justice require[d] in the particular circumstances of the case": at [46].
27 On the last point (that in (c) above), Heydon JA declined to adopt the approach outlined by Hayne JA in Christie, saying (at [72]-[73]):
The real evils to which Hayne JA referred - the risk of conflicting decisions, the unnecessary vexing of respondents, judge-shopping and the diminution of certainty in the conduct by respondents of their affairs … damaging public confidence in the integrity of judicial decisions, expending time and money on litigation unnecessarily - are evils which each court in its individual discretion will rightly strain to avoid. But the risk of the evils must be balanced against all the circumstances of the case relevant to whether it is fair and just that leave should be granted, and in particular whether a trial which is just and fair to all parties can be held.
28 On this aspect, Heydon JA had earlier identified some of the factors that he considered would most likely result in a second interlocutory application being dismissed as an abuse of process in the exercise of the Court's discretion, as follows (at [67]):
A second application without additional evidence would smack of judge-shopping and be unlikely to succeed. If at a second interlocutory hearing new evidence is called which could have been called earlier, the absence of a satisfactory explanation for the failure to do so is a factor increasing the risk of dismissal. Another relevant matter would be whether in the second hearing the court was invited to revisit questions of law which had been fully argued. Yet another relevant matter would be whether in the second hearing the court was being invited to re-open factual matters investigated in and decided.
29 The other member of the majority in Manning, Foster AJA, conducted a detailed examination of the reasoning of the three judges in Christie (at [104]-[118]) and was ultimately persuaded by the dissenting judgment of Charles JA. In particular, having regard to the corresponding provisions of the Supreme Court Act 1970 (NSW), his Honour was persuaded by the observations of Charles JA that the approach outlined by Hayne JA in Christie:
… not only effectively deprives the applicant of any right to make a second application save on the basis of fraud or additional facts which amount to fresh evidence, but in so doing makes it more difficult for the applicant to bring forward additional facts on the second application than if the applicant had simply appealed the dismissal of the first application, and had sought to adduce that evidence on the appeal with leave of the court.
See [118]-[122].
30 Having adopted the approach outlined by Charles JA in Christie, his Honour then turned to consider whether the trial judge had erred in the exercise of his discretion and, in doing so, carefully considered each of the matters that counsel for the appellant had relied upon to submit that the second application was an abuse of process. In that process, his Honour found that the second application was not simply a repetition of the previously failed application, but was a "genuine endeavour to repair the deficiencies in the first application" and, further, he did not consider that the second application was a case of "hawking" the application from judge to judge in search for a successful outcome: at [124]. After making a careful and detailed examination of the whole of the circumstances surrounding the proceedings, including the conduct of the plaintiff's solicitors, his Honour concluded that there was no other factor that demonstrated that the trial judge was in error in the exercise of his discretion to allow the extension of time.
31 In his dissenting judgment in Manning, Mason P concluded that the second application was an abuse of process for the reasons given by the majority in Christie: at [7]. His Honour observed (at [10]) that there was:
A long line of authority attest[ing] to the practice of courts hearing interlocutory applications on matters of substance declining to allow a second contested run at the target where the only change of circumstances is an applicant coming forward with new evidence.
32 One of the decisions cited by his Honour in support of this long line of authority was Brimaud v Honeysett Instant Print Pty Ltd (Supreme Court of New South Wales, McLelland J, 19 September 1988, unreported) (Brimaud). After quoting from the decision in Brimaud and identifying the principle stated therein as a "rule of practice" (at [12]), his Honour specifically agreed with the reasoning of Hayne JA in Christie, in the following terms (at [19]):
I agree with the reasoning of Hayne JA in Christie. Subject to possible and presently irrelevant exceptions, the principle expressed as the "ordinary rule of practice" in Brimaud means that an attempt to evade that principle in a second substantive interlocutory application is an abuse of process. Once the court detects this and satisfies itself that the case falls within the letter and spirit of the rule of practice then the application should be dismissed.
33 His Honour strongly disagreed with the majority view that the question should be approached as a question of judicial discretion rather than as a rule of practice. On this question, his Honour observed (at [20]):
If there is no principled general rule then there will be an area of pure judicial discretion. I prefer to avoid this if possible, if only because it lends itself to the perception that the persistent applicant's rights vary from judge to judge and, in the final analysis, depend upon no pre-existent principle.
34 Mason P also disagreed with Charles JA in Christie about the anomaly that would have arisen if the plaintiff had appealed the first application and applied to tender his additional evidence in that appeal. His Honour said of this:
[27] … To my mind, there is nothing anomalous in preserving the rule of practice at first instance while recognising that the Court of Appeal has (by statute) power to admit evidence which would not be "admitted" under the rule of practice.
[28] The applicant for leave to appeal requires leave to adduce further evidence and the Court of Appeal may take account of the reasons why it was not adduced in the original application under appeal. Admittedly there is inconvenience in requiring an appellate court to address the evidentiary deficiencies of the first application. But the alternative is to permit the appearance and (at times the reality) of first instance judge-shopping. This is incompatible with the policies underpinning the abuse of process doctrine (at [5] supra): see Saif Ali v Sydney Mitchell & Co [1980] AC 198 at 222F. The evils of abuse of process are avoided if the sole gateway for overcoming the evidentiary deficiencies of an unsuccessful first application is at the appellate level and in the limited context of determining whether the first interlocutory application miscarried.
[29] There are additional benefits that can be placed in the scales: adherence to the rule of practice promotes greater efficiency in the first place and it ensures that the fresh or new evidence is viewed against the template of the evidence and issues adduced in the first application under appeal.
35 The reasoning of the majority in Manning was subsequently approved by the New South Wales Court of Appeal in National Parks and Wildlife Service v Pierson (2002) 55 NSWLR 315; [2002] NSWCA 273 (Pierson), where Palmer AJA said (at [19]), citing Foster JA in Manning (at [97]):
… the overriding principle governing the approach of the court to interlocutory applications is that the court should do whatever the interests of justice require in the particular circumstances of the case.
36 Notably, earlier in his judgment, Palmer AJA emphasised (at [17]) that:
… nothing said by their Honours [in Manning] could be construed as indicating a permissive or relaxed attitude of the court to the bringing of more than one interlocutory application for the same order - indeed, quite the contrary: see, eg, per Heydon JA at (at 156 [72]).
37 From this brief review of the decisions in Christie and Manning, it seems to me that the difference in approach adopted by the various judges on those decisions can be summarised in the following terms. The majority in Christie and Mason P in Manning preferred the approach that there was a rule of practice, with limited exceptions, that successive interlocutory applications were to be rejected as an abuse of process. On the other hand, the majority in Manning and Charles JA in Christie preferred the approach that the question whether a successive interlocutory application was an abuse of process was a matter for judicial discretion to be determined by reference to what was fair and just in all the circumstances of the case.