Parties' contentions
52 I now turn to the contentions of the parties, and to a specific consideration of them with the background of my earlier observations.
53 Throughout the hearing for the stay application, it is fair to say the respondents refined their submissions, but did not abandon any of their written submissions. It is appropriate I deal with each of the contentions of the respondent to the extent necessary.
54 The respondents relied upon HLP and various comments of Finkelstein J therein. However, it is important to put that decision and his Honour's comments in context, remembering also the CFMEU in this civil proceeding is not standing in the shoes of an accused facing a criminal trial.
55 In HLP the Australian Securities and Investments Commission ('ASIC') sought a declaration that the second defendant, Mr Berlowitz, operated an illegal unregistered managed investment scheme contrary to the Corporations Act 2001 (Cth) ('Corporations Act'), and that he carried on a financial services business without the requisite licence. ASIC also sought an injunction permanently restraining Mr Berlowitz from operating a financial services business or from seeking funds from investors in connection with the operation of an unregistered managed investment scheme.
56 Counsel for ASIC informed the Court that also under consideration was whether Mr Berlowitz should be charged with criminal offences in relation to the same conduct in respect of which proceedings had been brought. In addition, the evidence that ASIC intended to rely upon in the civil proceeding included statements made by Mr Berlowitz during coercive examinations conducted under provisions under the Australian Securities and Investments Commission Act 2001 (Cth). Those statements could not be tendered as evidence in the contemplated criminal proceeding.
57 In HLP Finkelstein J made the following observations at [58]-[59]:
[58] I would sum up the position as I see it as follows. The English and Australian authorities that warn of the dangers of a civil court becoming involved in criminal conduct continue to apply in an appropriate company case. The general rule in a company case is that a civil court will usually be the appropriate court to deal with a contravention of the Corporations Act. But the court should be wary of granting relief, including the grant of a declaration or an injunction, if the case is likely to end up before a criminal court. Ordinarily, a civil court should not intervene in those circumstances unless its failure to do so will result in irreparable injury. That strict rule need not be applied if the case involves undisputed facts and the issue raised gives rise to a question of pure law. Then a declaration can be a very useful remedy. As Barwick CJ said in Commonwealth v Sterling Nicholas Duty Free Pty Ltd (1972) 126 CLR 297 that is the kind of case "which contributes enormously to the utility of the jurisdiction."
[59] The case at bar is a particularly good example of one in which the court should not interfere. First of all, a criminal prosecution is on the cards. Second, the facts are not agreed. On the contrary, if there is to be a trial, the Crown would be put to its proof on most issues and some of the "facts" to be asserted by the Crown are likely to be in contest. Third, there is potential for an adverse impact on the jury. The civil case will be decided on evidence that, for the most part, will not be available to the prosecutor in a criminal trial. Imagine what would happen if a jury discovers that a civil court has ruled that Mr Berlowitz' conduct is illegal. The judge presiding over the criminal trial will be obliged to tell the jury to leave that out of account. It is axiomatic in our courts that jurors can be trusted to leave out of their consideration things that they are instructed to leave out. Yet many regard this kind of instruction as little more than wishful thinking. Perhaps the jurors will have explained to them that the judge who made the ruling acted on evidence not before the jury and that in any event a lower standard of proof was required in the civil court. Whether those instructions will result in a fair criminal trial may be strongly doubted. Last, but by no means least, is the falsification point made by Fryberg J which, if it occurs, will bring the law into disrepute.
58 On the basis of the principles in HLP, the respondents submitted that the remainder of the present civil proceeding should be stayed against the CFMEU. They contended this for the following reasons.
59 The criminal proceeding against the individual respondents is not just 'on the cards' as before Finkelstein J, but have been commenced. There is practically a complete overlap in the facts in issue in the civil and criminal proceedings. Hence, the respondents submitted that in these circumstances, the hearing of the civil matter prior to the conclusion of the criminal matter will raise each of the issues that were considered problematic in HLP.
60 Then it was submitted by the respondents that any adverse finding or conclusion of this Court in the civil matter would be likely to prejudice the criminal trial: if the jury in the criminal matter was aware or discovered that a Judge of the Federal Court of Australia had made factual findings in favour of the ACCC, and had ruled that a contravention had occurred, that jury would find it difficult not to take this into account, notwithstanding any directions from the trial judge in the criminal matter.
61 In considering these submissions of the CFMEU, it is important to recall that the issue considered in HLP was whether the Court should make declarations against an individual respondent (Mr Berlowitz) that he had contravened s 601ED(5) of the Corporations Act as sought by ASIC, in circumstances where ASIC was still considering whether or not to seek to charge him with a criminal offence in respect of the same subject matter as the declarations sought by ASIC (at [15]-[17]). This was the 'real debate' in the case before Finkelstein J.
62 It can immediately be observed that the principle referred to in HLP (at [58]) has no direct application in this proceeding as the declaratory relief sought by the ACCC in respect of the s 45D conduct is to be made (if at all) in respect of the CFMEU, and not against the individual respondents. As is apparent from the nature of the relief sought, the declarations the ACCC continues to press in respect of the s 45D conduct are sought against the CFMEU only and do not include any statement that the individual respondents committed any offence or engaged in any improper conduct.
63 Further, whilst there is an overlap of the sub-stratum of facts, the elements of the criminal charge against the individual respondents are different to the elements of the alleged s 45D contraventions:
(a) section 45D requires that:
(i) a person (CFMEU) has engaged in conduct in concert with a second person (shop stewards) that hinders or prevents a third person (Boral customers) from acquiring goods or services from a fourth person (Boral); and
(ii) the conduct is engaged in for the purpose and would have or be likely to have the effect of causing substantial loss and damage to the business of the fourth person (Boral); and
(b) in contrast, the criminal charge of blackmail under s 87 of the Crimes Act 1958 (Vic) requires that a person (either or both of the individual respondents) makes an unwarranted demand with menaces to another person (Messrs Dalton and Head) with intent to cause loss to another (Grocon);
64 Undoubtedly, the s 45D conduct overlaps with the conduct that may be the subject of evidence relating to the criminal charge in the sense that some of the elements of the s 45D conduct will be put forward by the prosecution as part of the circumstances surrounding the alleged criminal offence of blackmail. However, the elements of the s 45D conduct could not determine the result of the criminal proceeding, without also recourse to what occurred at the April meeting and whether what occurred meets the elements of the alleged offence of blackmail. Whilst the prosecutor will need to prove the requisite intent, this is in the context of the criminal charge, and not in the context of the s 45D conduct as prescribed by Commonwealth law.
65 Accordingly, the relief sought by the ACCC in respect of the s 45D conduct, assuming it is granted, would not be falsified by any acquittal of the individual respondents in the criminal proceeding, and the granting of the relief could not supplant the function of the jury or the court in the criminal proceeding, as was one of the issues in HLP.
66 The other matter to observe is that the Court in HLP dealt with the issue of the making of declarations of contraventions in the face of criminal prosecutions in respect of the same matter, rather than an application for a stay. I will return to this aspect of HLP, but note now that Finkelstein J, having effectively determined the case, decided not to make the declarations as requested. His Honour said (at [60]):
For the foregoing reasons I decline to entertain, on a final basis, the application for declaratory and injunctive relief against Mr Berlowitz. I am, however, prepared to stand the matter over until a final decision is taken as regards a criminal prosecution. If Mr Berlowitz is to be charged I would dismiss this proceeding against him and leave it to the criminal court to decide his fate. On the other hand, if the decision is made not to lay charges, this case can be brought back on.
67 I will return to the issue raised by Finkelstein J as to instructions to the jury and the jury's ability to discard irrelevant material. As Finkelstein J observed, it seems axiomatic that jurors can be trusted to leave out of their consideration things that they are instructed to leave out. Whether this is 'wishful thinking' or not, I do not know. Instructions to this effect in criminal trials are frequently given by judges. However, I should proceed on the basis that these instructions are not given without good cause, and are given in the anticipation that they will be acted upon by the jurors. Of course, there may be instances where an instruction to disregard irrelevant material will not be given, where the Court considers (for example, in well publicised cases) that any such instruction will have no real practical effect and so would be of no practical utility.
68 The respondents also seek a stay based on the application of the McMahon guidelines.
69 Again, it should be observed that the McMahon line of authority is not directly applicable to this stay application. The CFMEU has not been charged with a criminal offence, the ACCC's case in respect of the conduct the subject of the criminal proceeding against the individual respondents is already stayed, and the balance of this proceeding (which is the subject of the respondents' application for a stay) is against the CFMEU and in relation to s 45D conduct only.
70 Nonetheless, I accept that the principles underlying the McMahon guidelines do provide relevant assistance to the exercise of the discretion in this proceeding.
71 For the sake of completeness, as to how those guidelines may incorporate the 'principles' laid down in HLP, I note this was discussed in Craigside.
72 In Craigside, ASIC commenced a proceeding against a company and two of its directors. The directors sought a stay of the proceeding until ASIC decided whether it would prosecute them in respect of the same subject matter, and if so, until the final determination of the prosecutions. The directors submitted that there was an inconsistency between the McMahon line of authority and the approach of Finkelstein J in HLP: see Craigside (at [11]). Justice Jagot noted (at [13]) that HLP did not deal with an application for a stay but held that the analysis nonetheless involved:
consideration of the underlying principles of the potential problems of hearing and determining civil proceedings when the subject matter of the civil proceedings is or may be the subject of criminal proceedings.
Her Honour then proceeded (at [19]-[20]) to decide the application by reference to the McMahon principles.
73 At the outset in their written submissions, the respondents noted two important matters in relation to the McMahon principles.
First, the McMahon principles were developed in the context of civil proceedings brought by private plaintiffs, where the protection and preservation of the rights of private plaintiffs were emphasised. The principles derived from these authorities are not well formulated to deal with proceedings brought by an emanation of the State, being the ACCC, as opposed to a private individual seeking private redress for a private wrong. Where the proceeding is brought by the State, there is no private right to be protected or preserved. Rather the proceedings are brought in the public interest. However where two different State entities bring public interest proceedings, there is a potential for abuse of process. Recently, judges in the Federal and State Courts have been alive to this issue. In Wide Bay Conservation Council Inc v Burnett Water Pty Ltd Logan J, in the application of the McMahon principles, observed that:
What is required is a balancing of the interests of the applicant and respondent in a civil proceeding having regard to any statutory context relevant to that civil proceeding and to any impending or prospective criminal proceeding. A separate but not unrelated consideration is whether the civil proceeding or at least its then prosecution might be regarded as an abuse of the process of the court. Such considerations will especially loom where the applicant in a civil proceeding is an emanation of the Crown and seeks declaratory relief and the imposition of pecuniary penalties in circumstances where a respondent is or is in jeopardy of facing criminal proceedings in respect of substantially the same conduct. I note that such a prospect particularly influenced Robson J [in Re AWE (No 1) (2008) 21 VR 252] in his suggestion that McMahon v Gould may need to be reconsidered by an appellate court. (emphasis added)
The respondents therefore submit that the McMahon principles may not be an appropriate set of guidelines to apply in civil proceedings brought by a federal regulator, or, alternatively, that the fact that no individual rights are prejudiced by the stay of the proceedings should be given significant weight in the balancing process of determining whether a stay should be granted.
Second, if the McMahon principles do apply, the respondents submit that they fail to give sufficient recognition to the right to silence and the accusatorial system of criminal law. As stated by Robson J in AWB:
the right of silence should not only be recognised but protected by the courts by preventing a defendant from being effectively compelled to waive his right of silence and thereby help those who seek to prove an offence by requiring him to defend civil actions relating to the same or similar conduct the subject of existing or potential criminal proceedings before those civil proceedings are completed. Compelling the defendant to defend civil proceedings, particularly those which impose a penalty, may assist the Crown in its prosecution by putting the Crown onto a train of inquiry or enable it to adjust its case to meet the anticipated defence in advance. It might be thought that such a circumstance denies the defendant his or her basic common law right to have the Crown establish its case against him or her without any assistance from the defendant.
(Emphasis in original. Footnotes omitted.)
74 The respondents then submitted that the balancing of justice between the parties requires a stay of the civil proceedings against the CFMEU. They put the following reasons for applying the McMahon guidelines:
(1) There is no individual plaintiff whose private right to bring the proceeding will be interfered with;
(2) The CFMEU will be exposed to real prejudice in the civil proceeding if the civil proceeding against it is not stayed. This is because the individual respondents have indicated that they cannot give instructions in relation to any of the overlapping facts between the civil and criminal proceedings. The respondents instruct that, were the CFMEU to seek to call the individual respondents to give evidence regarding the alleged November 2012 phone call, the alleged CFMEU meetings at Trades Hall in February and March 2013, the Auction Rooms meeting, or in relation to other alleged dealings with CFMEU stewards on the relevant sites or with other relevant CFMEU or non-CFMEU persons, both individual respondents would seek to be excused from answering on the grounds of the privilege against self-incrimination. Without the ability to contradict the ACCC's case regarding the alleged November 2012 phone call, the alleged CFMEU meetings at Trades Hall in February and March 2013, or the Auction Rooms meeting, the capacity for the CFMEU to defend the proceedings is severely compromised, because the CFMEU will be hampered in or unable to cross-examine the ACCC's witnesses, or put a contradictory version of the ACCC's case on these matters. It was submitted that to the extent that this is considered a consequence of a strategic choice made by the individual respondents, it fails to give proper weight to their right to silence;
(3) The individual respondents will also be prejudiced in the criminal proceeding if the civil proceeding is not stayed. There is a real risk that the jury will become aware of the evidence, findings or orders in the civil proceeding and that they will be unable to put this information out of their mind in coming to a verdict in the criminal proceeding, regardless of any judicial direction to ignore such evidence, findings or orders;
(4) If the civil proceeding is not stayed against the CFMEU, there will be a burden on the individual respondents insofar as they are required to prepare for the civil and criminal proceedings concurrently. Although the civil proceeding has been stayed against them in respect of the declarations and pecuniary penalties sought against them as individuals, they are still required to provide instructions in the matter on behalf of the CFMEU;
(5) The ACCC will suffer no great prejudice by reason of the delay occasioned by a stay, as the evidence in this matter has been prepared and witness outlines have been filed.
75 Finally, the respondents submitted that the open court principle weighs in favour of a stay, rather than proceeding in a closed court and subsequent suppression orders. They rely on an observation of the High Court in Zhao (at [44]):
The Commissioner suggests that protective orders could be made, which might maintain the confidentiality of evidence, and that evidence could be given in closed court. In the latter regard, the open court principle, to which the law adheres, now finds expression in s 28 of the Open Courts Act 2013 (Vic). The rationale of the open court principle is that court proceedings should be subjected to public and professional scrutiny, and courts will not act contrary to the principle save in exceptional circumstances. Closing the court so that the Commissioner might progress forfeiture proceedings and receive the second respondent's evidence does not qualify as a proper reason for departing from the principle.
(Footnote omitted.)
76 I now turn to consider each of the relevant considerations raised by the parties for determination of the stay application brought by the respondents. Some aspects have been alluded to previously in my general observations.
77 The fact there is no individual plaintiff seeking to vindicate a private right is of no real significance. There are other relevant considerations to be weighed up in favour of a regulator which brings civil penalty proceedings.
78 A regulator, like any other applicant, is entitled to have the action tried in the ordinary course of the procedure and business of the Court. The same principle of the balancing of justice between the parties applies, which will of course place appropriate weight on the interest of a respondent. Nevertheless, there is a burden on the respondent to persuade the Court to grant the stay. How that burden is discharged will depend on the circumstances, including the rights of a respondent to a fair criminal trial that may be pending.
79 Looking to the position of the ACCC, this proceeding is brought in the public interest, and should be heard and determined in the ordinary course of the business of the court. As the High Court reminded us in Zhao (at [39]), no proceeding should be delayed except for good cause. This is a proceeding brought by a regulator under Commonwealth legislation, pursuant to various statutory responsibilities placed upon it. The regulator and the courts have functions to perform in the bringing and the determining of civil penalty proceedings. The criminal proceeding is brought by a state prosecutorial authority in reliance on state legislation. Whilst the context may be different in the weighing up of various factors, as I have said the issues remain the same in determining the question of a stay balancing the interests of justice between the parties. Relevantly in this proceeding, this involves looking at the risk of prejudice to the respondents and the risk of prejudice to the regulator, having regard to its legislative responsibilities. Just as a private litigant is entitled to pursue his or her litigation in the normal course, so should the regulator. There also may be flow on consequences upon a regulator being successful against a respondent in civil penalty proceedings, including the impact a successful case may have on those affected directly by the allegations made by the regulator.
80 I do not see the mere fact that there is a regulator on the one hand and a respondent who stands accused of a crime on the other as a separate factor to take into account, other than to the extent it impacts upon the content of the relevant prejudice a regulator may face if a stay is granted as opposed to the prejudice a private litigant may face.
81 I then turn to consider matters relevant to all proceedings, whether brought by a private litigant or regulator. The stay orders sought by the respondents in this application will likely effect a long delay in the hearing of the allegations concerning the s 45D conduct until the criminal proceeding against the individual respondents is determined (assuming they are committed for trial), and then, possibly longer if there are appeals. I accept that if a stay is otherwise justified, the fact that a civil proceeding will be delayed for a long period of time may be the price to pay for ensuring a fair trial.
82 There are also the interests of the witnesses to consider. In any litigation, the prospect of giving evidence naturally generates substantial stress and anxiety for potential witnesses. There is also the prospect of memories fading over the period of delay given that the events occurred in 2013 and 2014, and the orders sought by the respondents in this application will likely result in the trial of this proceeding not occurring until late 2017 at the earliest, probably though in 2018.
83 If a stay were granted, there would thus be a significant lapse of time between the relevant events and the trial of this proceeding. Undoubtedly, '[w]here there is delay the whole quality of justice deteriorates': R v Laurence [1982] AC 510 at 517 per Lord Hailsham LC. As McHugh J commented (in circumstances where there was a delay in commencing proceedings) in Brisbane South Regional Health Council v Taylor (1996) 186 CLR 541 at 551:
As the United States Supreme Court pointed out in Barker v Wingo "what has been forgotten can rarely be shown". So, it must often happen that important, perhaps decisive, evidence has disappeared without anybody now "knowing" that it ever existed. Similarly, it must often happen that time will diminish the significance of a known fact or circumstance because its relationship to the cause of action is no longer as apparent as it was when the cause of action arose. A verdict may appear well based on the evidence given in the proceedings but if the tribunal of fact had all the evidence concerning the matter, an opposite result may have ensued. The longer the delay in commencing proceedings, the more likely it is that the case will be decided on less evidence than was available to the parties at the time that the cause of action arose.
(Footnotes omitted.)
84 Whilst there has been no delay in commencing the proceeding, the comments of McHugh J still have a relevance to the position that may arise if this proceeding is further adjourned or stayed.
85 Whilst examinations have been conducted under s 155 of the CCA ('s 155 examinations'), which may assist witnesses later in giving evidence, these examinations do not relate to all witnesses who may or are likely to give evidence at the trial in this proceeding. In any event, witnesses will undoubtedly be subject to cross-examination, and be tested on their independent recollections.
86 I should interpolate that some suggestion was made that the s 155 examinations of the individual respondents could be put into evidence, and subsequently sought to be used in the criminal trial. This may be so. If they are to be tendered in this proceeding, then this will be dealt with in the ordinary course of this proceeding. As I have indicated, there are mechanisms the Court has to protect the individual respondents in relation to their criminal trial. At the criminal trial, the court will have the ability to preclude any evidence that is unfairly prejudicial to the accused (see s 137 of the Evidence Act).
87 I then turn to the issue raised by the CFMEU that they may have difficulty in obtaining the co-operation of the individual respondents. This is a matter which I do not place too much weight upon. All litigation has the potential for parties (here relevantly only the CFMEU) to have difficulty in obtaining the co-operation of witnesses - for all sorts of reasons. It may or may not be the case that the individual respondents will be called to give evidence, but I accept that their co-operation in preparing the CFMEU case would be very useful, although not essential having regard to the fact that other personnel observed the events critical to the allegations concerning the s 45D conduct. It will occur from time to time that a party will desire to call a witness who is uncooperative. Court processes allow for a witness to be brought before a court to give evidence against their will. If a witness does not wish to give information or instructions to a party prior to being called to give evidence, in the absence of any coercive power, that is the choice of the potential witness. Section 128 of the Evidence Act seems to envisage there will be civil proceedings in which a witness may be called who objects to answering questions contrary to the desire of the party questioning that witness. The fact the witness does not provide an answer (if not required to do so by the court) would not necessarily be a basis for a stay of the civil proceedings, although a party may be disadvantaged by the failure of the witness to give the evidence. Of course, the court may, in the circumstances, consider that it was in the 'interests of justice' to require the witness to give evidence (see s 128 (4)), and then of course, the evidence would be before the court. It is of relevance to recall that if a witness claims the privilege against self-incrimination and is not required to give evidence by the Court, or if the Court is persuaded that a party does not even have the opportunity to call a witness who claims the privilege and is subject to criminal prosecution, the Court cannot make any adverse inferences in that regard against that party (in this case the CFMEU).
88 In addition to the above, I am not in any event persuaded on the evidence before me that I should assume that the individual respondents would be likely to give evidence at all, or alternatively that their evidence would assist the CFMEU's defence (and this is so even if the trial was adjourned until after the conclusion of the criminal proceeding). I come to this view taking into account the material the Court is now aware of, namely the pleadings, the s 155 examinations, the witness statements, and the fact that there are other potential witnesses from whom instruction can be taken and evidence adduced.
89 The assertions made that the CFMEU's ability to defend this proceeding is 'severely compromised' because the individual respondents are apparently refusing to give instructions or will object to give evidence at the trial as a consequence of the criminal proceeding are not substantiated. Undoubtedly, the individual respondents are significant players at the various meetings and sites, but this does not mean that evidence from them will be adduced at the trial of the civil proceeding. This depends upon the approach taken to defending this proceeding by the CFMEU, a matter upon which the CFMEU has not yet disclosed to the Court.
90 I then turn to the issue of the jury becoming aware of the allegations, the hearing itself, and of the eventual findings and orders of the Court in the civil proceeding.
91 The prejudice asserted by the respondents in respect of the criminal proceeding is the risk of the jury becoming aware of evidence, findings or orders in this proceeding and being unable to put this information out of their minds in coming to a verdict in the criminal proceeding. I do not consider this a real risk, particularly if the civil proceeding is heard in September/October 2016, and a criminal trial, at its earliest, will be heard in late 2017, but probably in early 2018.
92 In General Manager of the Fair Work Commission v Thomson [2013] FCA 380, Jessup J refused to assume that the media and the public would not readily be able to make a distinction between the different contraventions alleged in the criminal and civil penalty proceedings in that case and relevantly said (at [20]):
… At the purely factual level, the conduct with which the balance of the present proceedings is concerned is quite different from that which forms the basis of the charges which have been laid against the respondent. It is true, perhaps, that there are some threads of legal principle which run through all of the presently relevant matters, but those threads would, in my view, be much more apparent to the legal practitioner than to members of the public. Furthermore, if, as I presume will be the case, the media will report the present proceeding in an accurate and responsible way, the risk that reasonable members of the public would fail to appreciate that there are two proceedings against the respondent, each with its own factual allegations, is a negligible one. Doubtless the circumstance that the respondent is also facing the criminal charges will be commented upon from time to time, but this puts the respondent in a position no different from any person who has the misfortune to be involved in separate legal proceedings within what is broadly the same time frame. Even if one of those proceedings is to be determined by way of a jury trial, the fact that the respondent has recently been (or is still being) sued in another proceeding is, in my view, no basis to stay the latter.
93 The situation is analogous here. Even assuming that jurors were to learn of the evidence, findings or orders made in this proceeding in respect of the s 45D conduct (which is remote in any event), I do not accept the respondents' assertion that jurors will be unable to put this information out of their mind in deciding the criminal charge, regardless of judicial direction, putting aside the lapse of time anyhow. The information provided out of this proceeding would only be relevant to a limited extent and then only by way of context or background.
94 Moreover, as Mansfield J observed in Guglielmin v Trescowthick (No 3) (2005) 220 ALR 535 (at [48]):
It should not readily be assumed that a duly selected jury, properly instructed, should be unable to hear and determine the criminal charges purely on the evidence adduced despite any (or even extensive) publicity about the allegations made in civil proceedings such as the present, and the progress of those proceedings at interlocutory stages, where the factual issues to be addressed can be seen to significantly overlap.
I have already mentioned the comments of Finkelstein J in HLP and do not need to repeat them.
95 Further, in Australian Securities and Investments Commission v ActiveSuper Pty Ltd (No 5) [2013] FCA 369, Gordon J said (at [23]) that:
[t]he possibility of adverse media publicity does not provide grounds for a stay, nor is it a matter of any significant weight in determining whether to grant a stay.
96 If a trial judge in a civil proceeding could (by appropriate court processes) relieve against any unfair interference with the criminal trial, then this is a relevant matter to consider in any application for a stay. In my view, any legitimate risk of prejudice to the criminal proceeding which arises from the risk of jurors learning about the evidence, finding or orders of the Court in this proceeding could be addressed in a number of ways, including through non-publication orders under s 37AF of the Federal Court Act. This matter can more appropriately be considered at the point in time when the Court is considering making such orders. It is true the High Court in Zhao said that closing the Court so that the Commissioner may progress the forfeiture proceedings and receive the evidence from the person also accused does not qualify as a proper reason for departing from the open court principle. However, I do not consider the High Court intended by that comment to limit the discretion given to a trial judge, to be exercised in a wide variety of circumstances, to suppress particular evidence for relevant and proper reasons, having regard to the nature of the evidence sought to be suppressed, the identity of the witness giving that evidence, and possible prejudice to an accused in any imminent criminal trial.
97 I turn to the burden of preparing for trial, and the possibility of an adjournment based on case management principles.
98 I do not consider that the proximity of the committal in the criminal proceeding and the trial of this matter in September 2016 should present difficulty for the CFMEU or the individual respondents. The individual respondents are apparently refusing to provide instructions to the CFMEU's legal representatives for the purpose the civil proceeding. On that basis, they do not need to prepare for and attend the trial on 26 September 2016. There is also no evidence that other CFMEU officers cannot adequately assist with the conduct of this proceeding. The respondents have had ample notice of the forthcoming trial in September 2016, and presumably a great deal of preparation has been undertaken already. Whilst the legal representation is common to both the civil and criminal proceedings, this is the choice of the CFMEU and the individual respondents. The trial does not commence until 26 September 2016, and other arrangements can be made if necessary. This is not a case where there is any evidence, nor do I assume, that the CFMEU or the individual respondents are without financial resources to appropriately contest this proceeding and prepare for the criminal proceeding.
99 I am mindful of the position of the potential witnesses to be called. However, if, as it seems to be accepted, there is a significant overlap in the facts relating to the civil proceeding and criminal proceeding, then this may well facilitate the preparation for the hearing of the civil proceeding and the committal hearing. In any event, at the moment I do not have any evidence to suggest that the proximity of both the civil proceeding and committal hearing will cause any injustice to any or all of the respondents.