Declaratory relief
72 The parties are agreed that the court should grant declaratory relief in respect of the Agreed Contravention in the following terms, namely that:
Milin Builders Pty Ltd contravened s.501 of the Fair Work Act 2009 by, through its employees, refusing Messrs Hardy and Miller entry to part of the Trilogy Apartment Building Site in Phillip ACT, namely a meal room, on 5 February 2016.
73 The court's power to grant declaratory relief has its origins in the Court of Chancery. Section 50 of the Chancery Procedure Act 1852 (UK) enabled the making of declaratory decrees in circumstances where there existed a right to consequential relief that, if requested, might have been granted: see Barraclough v Brown [1897] AC 615, 623-624 (Lord Davey) and the cases to which his Lordship there refers.
74 This court's power to grant declaratory relief - to the extent that it isn't inherent (see Ainsworth v Criminal Justice Commission (1992) 175 CLR 564 (hereafter, "Ainsworth"), 581 (Mason CJ, Dawson, Toohey and Gaudron JJ); and Australian Broadcasting Corporation v Lenah Game Meats Pty Ltd (2001) 208 CLR 199, 288-289 (Callinan J)) - is found in s 21 of the Federal Court of Australia Act 1976 (Cth), which provides:
21 Declarations of right
(1) The Court may, in civil proceedings in relation to a matter in which it has original jurisdiction, make binding declarations of right, whether or not any consequential relief is or could be claimed.
(2) A suit is not open to objection on the ground that a declaratory order only is sought.
75 That power is plainly wider than the one for which s 50 of the Chancery Procedure Act 1852 (UK) provided. This court, in proceedings relating to any matter in which it has original jurisdiction, has the power to make declarations in respect of any right, regardless of whether or not it is one in respect of which any other remedy is or could be sought. "Right" is to be understood in its broadest sense, covering privileges, powers and immunities: Sankey v Whitlam (1978) 142 CLR 1, 23 (Gibbs ACJ).
76 Declaratory relief, like any final relief, is granted by way of the determination of a justiciable controversy. It is available even where, as here, the facts said to warrant the relief are agreed and the parties consent to its being granted: Australian Competition and Consumer Commission v MSY Technology Pty Ltd (No 2) (2011) 279 ALR 609, 612-620 [9]-[48] (Perram J); Australian Competition and Consumer Commission v MSY Technology Pty Ltd (2012) 201 FCR 378, 387 (Greenwood, Logan and Yates JJ).
77 The granting of declaratory relief involves an exercise of judicial discretion: Ainsworth, 581 (Mason CJ, Dawson, Toohey and Gaudron JJ); Cruse v Multiplex Ltd & Ors (2008) 172 FCR 279 (hereafter, "Cruse"), 299 [55] (Goldberg and Jessup JJ, Gray J dissenting but not on that point); McLeish v Faure (1979) 25 ALR 403, 414-415 (Sweeny, Evatt and Northrop JJ). That discretion, it has been said, should "…be exercised 'sparingly,' with 'great care and jealousy,' with 'extreme caution,' [and] with 'the utmost caution'" and, at all events, with "…a proper sense of responsibility and a full realisation that judicial pronouncements ought not to be issued unless there are circumstances that call for their making": Ibeneweka v Egbuna [1964] 1 WLR 219, 224-225 (Viscount Radcliffe, Guest and Upjohn LLJ); Ainsworth, 596 (Brennan J).
78 Ordinarily, it will not be appropriate to grant declaratory relief unless it can be said that there is some utility in doing so: Ainsworth, 582 (Mason CJ, Dawson, Toohey and Gaudron JJ); Truth About Motorways Pty Ltd v Macquarie Infrastructure Investment Management Limited (2000) 200 CLR 591, 613 [52] (Gaudron J); Lifeplan Australia Friendly Society Ltd v Ancient Order of Foresters in Victoria Friendly Society Limited (No 2) [2017] FCAFC 99, [3] (Allsop CJ, Middleton and Davies JJ); Australian Competition and Consumer Commission v MSY Technology Pty Ltd & Ors (2012) 201 FCR 378, 388 [35] (Greenwood, Logan and Yates JJ); Aussie Airlines Pty Ltd v Australian Airlines Ltd (1996) 68 FCR 406, 414 (Lockhart J, with whom Spender and Cooper JJ agreed); Tobacco Institute of Australia Ltd v Australian Federation of Consumer Organisations Inc (No 2) (1993) 41 FCR 89 ("Tobacco Institute"), 99 (Sheppard J); Ogawa v Attorney-General (No 2) [2019] FCA 1003, [50] (Logan J).
79 Such utility might be thought to be lacking in circumstances where other relief is granted in respect of the conduct that is sought to be made the subject of a declaration: Australian Competition and Consumer Commission v Francis (2004) 142 FCR 1 (hereafter, "Francis"), 33 [98] (Gray J); Grant v BHP Coal Pty Ltd (No 2) [2015] FCA 1374, [45] (Collier J). In other circumstances, declaratory relief would serve no purpose (or, at least, would be undesirable) unless granted with other, consequential relief: see, for example, Neeta (Epping) Pty Ltd v Phillips (1974) 131 CLR 286, 307 (Barwick CJ and Jacobs J).
80 For a time, there was debate in this court as to whether a declaration that did nothing more than state that conduct engaged in by a respondent was engaged in in contravention of a statute could fairly qualify at all as a "declaration of right". Gray J, in particular, was very clearly of the view that it could not: Francis, 33 (Gray J); Carr v Higgins Coatings Pty Ltd (2005) 148 IR 201 (hereafter, "Carr"), 206 [21] (Gray J). In the latter case, his Honour was asked - as I am in this case - to record, by means of a declaration, that past conduct engaged in by a respondent had been engaged in in contravention of a particular statutory injunction. His Honour observed (at 205-206 [20]-[23]):
I have great difficulty accepting that a declaration which does nothing more than record a[n] historical event is properly described as a declaration of right. A declaration of right settles a state of dispute between parties, by declaring what the rights of one or other or both of them are, and enables them to conduct their relations in the future on the basis that their rights are thereby established. In essence, it is a remedy looking towards future conduct, rather than at past conduct.
…I am aware that it has become a practice under the Trade Practices Act 1974 (Cth) (the Trade Practices Act) for applicants to seek, and for the Court to make, declarations that appear to do nothing other than reflect the fact that past conduct amounts to a contravention of provisions of that Act. Declarations in that form have often been made in cases in which the option of a penalty has not been available, but have also been made in cases where a penalty is an option, and even in cases in which penalties have been opposed. It is perhaps too late to protest about that practice under that Act, it having been sanctioned by the High Court of Australia, at least impliedly, in Rural Press Ltd v Australian Competition and Consumer Commission [2003] HCA 75; (2003) 216 CLR 53 at [89]-[90] per Gummow, Hayne and Heydon JJ, by the failure of the High Court to condemn the making of declarations of that kind, even though it condemned the particular, rather vague, form of the declarations that had been made in that case.
Recent cases under s 187AA of the Workplace Relations Act suggest that the practice is threatening to spill over from the Trade Practices Act to that area. There have been a number of cases in which judges have made declaratory orders where they have not imposed penalties under s 187AA. In no case, so far as I am aware, has any judge engaged in discussion in reasons for judgment about whether the making of such a declaration is appropriate.
In my view, it is not. Counsel for the applicant contends that the making of a declaration would send the right message to others that the law is being enforced. I am not sure that a case such as this would gain such notoriety that others would inevitably learn what they would learn from reading s 187AA of the Act, namely that it is unlawful to make payments to employees who are engaging, or have engaged, in industrial action.
81 The above passage contains two observations with which, with respect to his Honour, I am unable to agree. First, I see no reason why a binding declaration of right might be limited to future conduct (if that is what his Honour was suggesting). A declaration of right is a statement made by a court that resolves a justiciable controversy by recording the existence (or otherwise) of a legal state of affairs: Zamir and Woolf, The Declaratory Judgment (Sweet & Maxwell, 4th ed, 2011), 1 [1.02]. Such a resolution, although not enforceable in the way that coercive judgments are, is nonetheless res judicata. That being so, there is no reason why the particular state of affairs in any given case couldn't pertain to past conduct. A controversy about whether or not particular conduct was engaged in in contravention of a statute strikes me as a good example.
82 Second, I don't consider that the High Court, in Rural Press Ltd v Australian Competition and Consumer Commission (2003) 216 CLR 53 (hereafter, "Rural Press"), went so far as to "sanction" the granting of declaratory relief that serves no purpose other than to record that a party's past conduct was engaged in in contravention of a statute. That, there is no doubt, is the course that was ultimately taken in that case. But there are two respects that ought to be borne in mind that might serve to explain why. The declaratory relief made at first instance was not challenged, neither in the full Federal Court nor the High Court. Further, the revisions that the High Court made to those orders were made because of circumstances peculiar to that case. Gummow, Hayne and Heydon JJ observed (at 92 [95]):
…there is some utility in the particular circumstances of these appeals in making the declarations to which the parties consent. The degree to which the Commission succeeded has changed from stage to stage of these proceedings, and it is convenient to have set out in the declarations not only the basis for the primary liability and accessorial liability found, but also the basis for the penalties ordered as it must now be understood.
(emphasis added)
83 The observation in the immediately preceding paragraph is, in any event, now moot. In Cruse, the majority (Goldberg and Jessup JJ) said (at 298 [53]) that there could be:
…no objection in principle to the making of a declaration where the purpose and utility thereof is formally to record the basis upon which the proceeding in question has been resolved (whether by adjudication or otherwise).
The court went on to make declaratory orders that did little more than state that one of the respondents had engaged in conduct prohibited by statute. The other member of the bench was Gray J, the terms of whose dissent (at 285 [18]) might readily be imagined (but need not here be set out).
84 Even prior to Rural Press, there was at least some High Court authority supportive of the proposition that declaratory relief was available to record simply that past conduct contravened a statute: Australian Softwood Forests Pty Ltd v Attorney General (NSW); ex rel Corporate Affairs Commission (1981) 148 CLR 121, 125 (Gibbs CJ), 136 (Mason J, with whom Stephen J agreed), 137 (Murphy J), 144-145 (Wilson J). There was authority for the proposition in this court prior to Cruse: Tobacco Institute, 94, 98, 100-101 (Sheppard J), 106 (Foster J), 107, 110 (Hill J); Australian Competition and Consumer Commission v Chen (2003) 132 FCR 309, 319 [35] (Sackville J).
85 Subject to other circumstances that might inform an exercise of the court's discretion, I accept - indeed, am bound to observe - that the court has the power to grant declaratory relief that does nothing more than state that a respondent's prior conduct was engaged in in contravention of a statute. Like Gray J, I do so with difficulty and scepticism; all the same acknowledging that this court makes orders of that nature with a frequency that reflects a view that is "firmly entrenched in history": Justice Robert French, 'Declarations - Homer Simpson's remedy - is there anything they cannot do?' [2007] FedJSchol 24, [50].
86 Attention should turn, then, to whether the court should make such an order in this case. That calls for some analysis of whether doing so would have any practical utility.
87 In Francis, Gray J confronted what all three members of the full court in Tobacco Institute had said about why an exercise of the court's power to declare that past conduct contravened a statute was appropriate in that case. His Honour observed (at 35-36 [108]-[110]) that:
…the notion of a declaration as a vindication of a public right is difficult to grasp. The right of a member or members of the public not to be misled or deceived by conduct to which s 52 of the Trade Practices Act applies is apparent on the face of the section itself. The right might be said to be vindicated if some penalty could be imposed upon the contravener of the section. It is hard to see how it could be vindicated by the mere recording of the conclusion that a contravention had occurred. It is not clear why the expression of that conclusion in a summary form in a declaration should be considered to be more capable of vindicating the public right than the detailed findings expressed in published reasons for judgment.
Since the Tobacco Institute case, declarations have been made in a very great number of cases involving contraventions of the Trade Practices Act, particularly s 52. In most of those cases, the peculiar circumstances present in the Tobacco Institute case have been absent. Declarations in summary form have often been made by single judges who have expressed clear views in their reasons for judgment as to the nature of the misleading or deceptive effect of the conduct concerned. These cases have generated very little discussion as to the rationale for making a declaration. It has been said that the reason is to mark the Court's disapproval of the conduct concerned. See, for example, Australian Competition and Consumer Commission v Chen [2003] FCA 897; (2003) 132 FCR 309; [2003] FCA 897 at [36]. Again, I have difficulty with this as a reason for granting a declaration. The function of the Court is to find the facts and apply the law to them, to determine whether a contravention of a statutory provision has occurred. It is not to express its opinion of the quality of the conduct, by the use of adjectives indicating that opinion. In any event, adjectives of that kind are never used in the declarations concerned. The question is not whether the judge approves, or disapproves, or has no opinion either way.
The process of an applicant seeking, and the Court granting, a declaration, if the Court finds that a contravention has occurred, seems to have become mechanical, at least in cases under the Trade Practices Act. The fashion seems to have been established. In the case of the applicant in the present case, it seems to have become something of a fetish.
88 Those observations followed earlier comments (the disapproving undertones of which were no less thinly disguised) about this court's tendency to grant relief of the relevant kind "…as a matter of course, and usually without discussion as to the adequacy of the terms of the declaration sought, or as to the necessity for one to be made": Francis, 33 [98] (Gray J).
89 His Honour then proceeded, however reluctantly, to make a declaratory order of precisely the kind of which he'd been critical. He did so despite being of the view that that course would be "totally pointless": Francis, 36 [110] (Gray J).
90 With respect - and appreciating why he took the course that he did - I cannot reconcile his Honour's observations with the order that he made. Declaratory relief ought not to be granted in circumstances where granting it would be pointless (much less totally pointless). In Truth About Motorways Pty Ltd v Macquarie Infrastructure Investment Management Limited (2000) 200 CLR 591, Gaudron J (at 613 [52]) said:
…a declaration cannot be made if it "will produce no foreseeable consequences for the parties." That is not simply a matter of discretion. Rather, a declaration that produces no foreseeable consequences is so divorced from the administration of the law as not to involve a matter for the purposes of Ch III of the Constitution. And as it is not a matter for those purposes, it cannot engage the judicial power of the Commonwealth.
See also: Ainsworth, 582 (Mason CJ, Dawson, Toohey and Gaudron JJ). Her Honour's observations have been applied by this court many times: Lifeplan Australia Friendly Society Ltd v Ancient Order of Foresters in Victoria Friendly Society Limited (No 2) [2017] FCAFC 99, [3] (Allsop CJ, Middleton and Davies JJ); Yau's Entertainment Pty Ltd v Asia Television Ltd (2002) 54 IPR 1, 15-16 [74] (Hely J, with whom Sundberg and Finkelstein JJ agreed); De Belin v Australian Rugby League Commission Limited [2019] FCA 688, [380] (Perry J); Animals' Angels e.V. v Secretary, Department of Agriculture [2014] FCA 398, [24] (Edmonds J); Leonie's Travel Pty Limited v International Air Transport Association (No 2) [2009] FCA 646, [7] (Moore J).
91 Over the last three decades, a strain of reasoning has developed (primarily in this court) that effectively distinguishes proceedings that are instituted to vindicate statutory rights or norms of general application from other proceedings. Cases of the former kind have apparently been thought more amenable to declaratory relief because relief of that nature serves (or, at least, might serve) to record the court's disapproval of conduct that contravenes a public right, or because it otherwise has (or might have) some wider educative effect. In Australian Competition and Consumer Commission v Midland Brick Company Pty Ltd (2004) 207 ALR 329, Lee J observed (at 333 [21]):
[I]t may be said that there is some utility in declaring contraventions of the [Trade Practices] Act to have occurred in order to define and publicise the type of conduct that constitutes a contravention of the Act and to set out clearly the foundation on which the consequential orders by way of injunction and pecuniary penalty, including those based on accessorial liability, are grounded…
92 The majority in Cruse endorsed those obligations (at 298 [53]). In Australian Building and Construction Commissioner v Construction, Forestry, Maritime, Mining and Energy Union ("Cardigan Street Case") [2018] FCA 957 (Bromberg J), the court applied that reasoning (at [46]-[47]):
The educative value of declarations in civil remedy proceedings under the FW Act has been remarked on by the Court on many occasions: Cruse v Multiplex Limited (2008) 172 FCR 279 at [53]-[59] (Goldberg and Jessup JJ); Fair Work Ombudsman v Al Hilfi [2015] FCA 313 at [22] (Besanko J).
The proposed declarations are appropriate to formally record the basis upon which the proceeding has been resolved.
93 In Australian Competition and Consumer Commission v Chaste Corp Pty Ltd (in liq) [2005] FCA 1212 (Lander J), the court observed (at [150]):
When regard is had to the underlying policy of the Act which is concerned with the public interest, it is appropriate for the Court to exercise its power to grant declaratory relief to mark its disapproval of the contravening conduct.
94 In Re McDougall; Australian Securities and Investments Commission v McDougall (2006) 229 ALR 158 (Young J), this court noted (at 170 [55]):
Since Australian Softwood Forest Pty Ltd v Attorney-General (NSW) (1981) 148 CLR 121, esp at 125, the courts have recognised that the grant of declaratory relief on the application of a statutory body such as ASIC may serve important law enforcement purposes: see Corporate Affairs Commission (NSW) v Transphere Pty Ltd (1988) NSWLR 596 at 603; Australian Securities and Investments Commission v Sweeney [2001] NSWSC 114 at [30]-[31]; and Pegasus at 571. ASIC is charged with the administration and enforcement of the Act, and there will be many cases where it is in the public interest for the courts to make a declaration on ASIC's application that the Act has been contravened in specified respects. The making of such a declaration does not simply record the outcome of enforcement proceedings; it may also be an appropriate way of marking the court's disapproval of the contravening conduct: see Tobacco Institute of Australia Ltd v Australian Federation of Consumer Organisations Inc (No 2) (1993) 41 FCR 80 at 97-99, 106 and 110.
95 His Honour's approach was endorsed (if only summarily) by the High Court in Wellington Capital Limited v Australian Securities and Investments Commission (2014) 254 CLR 288, 298-299 [10], 312 [40] (French CJ, Crennan, Kiefel and Bell JJ), 316 [59]-[60] (Gageler J).
96 In Director of Fair Work Building Industry Inspectorate v Stephenson & Ors (2014) 146 ALD 75 (White J), this court went further, holding (at 92-93 [104]) that declaratory relief was appropriate because:
…it is a formal record of the adjudication of the charged contravention, and thus comprises a formal and public declaration that the person engaged in the charged conduct. As such, it forms part of the community's denunciation and censure of the conduct. Second, the prospect that a declaration will be made has by itself a deterrent effect. Third, the making of a declaration operates as a vindication of the regulator's actions.
97 In Australian Building and Construction Commissioner v Construction, Forestry, Mining and Energy Union (2017) 254 FCR 68 (Dowsett, Greenwood and Wigney JJ), the court went further still (at 87 [93]):
Declarations relating to contraventions of legislative provisions are likely to be appropriate where they serve to record the Court's disapproval of the contravening conduct, vindicate the regulator's claim that the respondent contravened the provisions, assist the regulator to carry out its duties, and deter other persons from contravening the provisions…
98 Despite what would otherwise be my strong contrary inclination, I accept that the court is able to grant declaratory relief as a means of marking its disapproval of conduct found to have been undertaken in breach of a statute. Alternatively, I accept that there might be circumstances where declaratory relief is appropriate to realise some broader educative or deterrent effect, or otherwise to vindicate or assist an applicant's actions.
99 In the circumstances of this case, though, I do not consider that an exercise of the court's discretion to grant declaratory relief is warranted. The order that the parties seek amounts to little more than a record of the conclusion contained elsewhere in these reasons (above, [16]). That is not an appropriate deployment of the remedy: Warramunda Village v Pryde (2001) 105 FCR 437, 440 [8] (Gray, Branson and North JJ); Australian Competition and Consumer Commission v MSY Technology Pty Ltd & Ors (2012) 201 FCR 378, 388 [35] (Greenwood, Logan and Yates JJ). There is no obvious reason why it might serve as a record of my decision any more formally than do these reasons; nor is there anything peculiar about the penalty relief that warrants some declaratory introduction or explanation.
100 More significantly, the court's disapproval of the first respondent's conduct - and the broader educative or deterrent effect, or vindication of the applicant's action, to which an expression of that disapproval in declaratory form might give effect - is, in each case, wholly apparent from (and given effect to by) the civil penalty that I have decided to impose. As to any educative or deterrent effect or value, there was nothing beyond bare assertion in any of the parties' submissions on the point and no evidence was led to demonstrate any effect or value that declaratory relief might, in fact, realise. I am not convinced that a declaration of the sort proposed would have any educative or deterrent effect - or indeed any relevant effect at all - beyond that of the penalty orders that I will make. Likewise, I do not accept that the applicant's actions will be vindicated any more than they will be by those same penalty orders. In light of the penalty that I will impose, declaratory relief would be "totally pointless".
101 Finally - and being conscious of the need identified by the High Court in Rural Press for primary judges to pay "[c]lose attention to the form of proposed declarations" (Rural Press, 91 [90] (Gummow, Hayne and Heydon JJ)) - the terms of the declaration that the parties propose by consent (above, [72]) are problematic. They record that the first respondent, "through its employees", "refus[ed]" Messrs Miller and Hardy entry to "a meal room" at the Site on Friday, 5 February 2016. There are at least three difficulties that arise from that phraseology. First (and again), the language used is conclusory: the declaration contains no analysis of how it was that the refusal was constituted; it simply states that there was one. Second, it says nothing about who effected it, other than that they were "employees". As it happens, those who effected the refusal were employees of the first respondent's; but it was the positions in which they were employed, rather than their status as employees per se, that gave the comments that they made on Friday, 5 February 2016 that character of refusal (above, [41]-[43]). As presently drafted, the proposed declaration might serve to suggest, wrongly, that any employee of an occupier's, simply by saying to a permit holder, "you can't go in there", could be understood to have refused entry in the proscribed sense, even if he or she had no capacity to facilitate it. Third, it suggests that Messrs Miller and Hardy were denied entry into a meal room. That is not what happened. They were invited (or, perhaps more accurately, directed) to conduct their discussions in a meal room. The complaint is that the induction shed was not the meal room in which they wished to conduct their discussions; they wished to conduct them in another meal room (or other meal rooms). For at least those reasons, the declaration that the parties propose is a "bad precedent" of the kind against which the High Court counselled: Rural Press, 91 [90] (Gummow, Hayne and Heydon JJ).
102 It follows that no declaratory relief will be granted.