The course of events
4 The evidence in the applications in the District Court, which were also heard together with the evidence in each being evidence in the others, was incomplete and confusingly presented. An understanding of what occurred, to the extent it can be achieved, is essential.
5 Alexander Laird was injured or claimed to have been injured in three motor vehicle accidents, on 31 March 1982, 20 September 1983 and 17 November 1983.
6 On 31 March 1982 a motor bike carrying Laird, then aged 17, and Wayne Sevil, then aged 16, came into collision with a car driven by Irene Falconer. The motor bike was not registered and neither Laird nor Sevil was licensed. Neither of them wore a helmet. Both were badly injured. Sevil died from his injuries on 3 April 1982. Laird was in hospital for some months.
7 A coronial inquest into the death of Sevil was held in October-November 1982. Laird's parents retained Paul Mulally of Breen, Mulally, Mylott & Meehan to represent Laird at the inquest. Significantly at issue were which of Laird and Sevil was the rider of the motor bike and which the pillion passenger, and whether Falconer had made a right-hand turn into the path of the motor bike as it travelled along the road or whether the motor bike had come from the footpath into collision with the car as Falconer turned appropriately. From the Coroner's reasons, Mulally cross-examined and called evidence with a view to establishing that Sevil was the rider of the motor bike and Laird the pillion passenger and that the collision was the fault of Falconer. The Coroner was satisfied that Laird was the rider of the motor bike and Sevil the pillion passenger, but made no finding as to fault in the collision.
8 On 20 September 1983 Laird was a passenger in a car driven by Robert Raciti which came into collision with a car driven by Leslie Green. On 17 November 1983 Laird was a passenger in a car driving by Mark Lemming which went off the road. There was much less evidence about the circumstances of these accidents, and the injuries Laird claimed to have suffered were apparently relatively minor in comparison with the injuries suffered in the first accident.
9 Shortly after the accident of 20 September 1983 Laird retained Mulally to claim compensation in relation to that accident, and after the accident of 17 November 1983 he consulted Mulally about that accident. There was no direct evidence of retainer to claim compensation in relation to the accident of 31 March 1982, but it must have occurred.
10 Mulally wrote to the Government Insurance Office of New South Wales ("the GIO") on 7 March 1984. (The GIO's name and status changed over the years and a different body now relevantly stands in its place. I will continue to refer to the GIO.) Mulally gave notice of a claim arising from the accident of 20 September 1983. There was no evidence of a similar letter or letters in relation to the other accidents.
11 Mulally wrote again to the GIO on 9 November 1984. The letter was headed, "Third Party Claim by Alexander Laird arising out of motor vehicle accident which occurred on 31st March, 1982", and began, "We refer to correspondence forwarded by you to our client and confirm that we act on his behalf in connection with the above accident". From this it seems that, in circumstances unknown, the GIO had notice of (or at least anticipated) a claim by Laird otherwise than through Mulally. The letter went on to say that Laird's medical condition had not yet stabilised, that in connection with who was the rider of the motor bike charges against Laird had been "dismissed … there being no prima facie case", and that the GIO might care to obtain the depositions. The two later accidents were mentioned, in terms suggesting that the GIO was already aware of them, and it was said that it was desired to resolve by negotiation claims arising out of all three accidents when final medical reports were available.
12 Mulally wrote again to the GIO on 14 January 1985, referring to his earlier letter and "a subsequent telephone conversation with a member of your office". The telephone conversation must have been a request for documents, since the letter then enclosed transcript and exhibits from the coronial inquest, returnable on demand, and copies of medical reports. It concluded -
"We note that our Mr Mulally will be in Sydney, Tuesday, 29th January, next. We would welcome the opportunity of calling at your office to discuss Mr Laird's various claims.
We have written to you separately enclosing details of the other claims."
13 There was no evidence of these other letters, or of a meeting. Mulally did not give evidence.
14 Laird, who gave evidence by affidavit but was not cross-examined, said that he saw his solicitor regularly, but gave no detail. He also said that he remembered "attending a number of doctors on behalf of the GIO and my own solicitor arranged some medico-legal doctors for me to see". The evidence included reference to a number of medical reports apparently obtained on behalf of Laird in 1982-84, but Laird is probably confused as to time since the GIO medical reports in evidence were of examinations in 1989 and did not refer to earlier examinations
15 At some time John Meehan of the firm took over from Mulally. Meehan did not give evidence
16 On 7 March 1986 Meehan commenced the three actions by filing statements of claim on behalf of Laird.
17 Action 356 of 1986 was brought against Sevil and Falconer, the former being named as "Wayne Derick Sevil (Deceased)". It was alleged that Sevil was the rider of the motor bike and Laird the pillion passenger. Since the motor bike was unregistered, any action against its rider had to be brought against the Nominal Defendant. So far as purportedly brought against Sevil, the action was a nullity. Even if action could have been brought against the rider of the motor bike, Sevil was dead and it would have been necessary to bring the action against an executor or administrator: it was wrong to name "Wayne Derick Sevil (Deceased)".
18 The car driven by Falconer was owned by her husband and insured for third party cover with the GIO. Although a filed copy could not be found, from reference in correspondence to an undated defence and a foreshadowed amended defence it was accepted in the applications that the GIO had caused a defence to be filed on behalf of Falconer, and so must have entered an appearance on her behalf.
19 Action 358 of 1986 was brought against Raciti and Green and action 357 of 1986 was brought against Lemming. The cars driven by Raciti and Green were also insured for third party cover with the GIO. Third party cover in relation to the car driven by Lemming was less clear, although from the early correspondence with the GIO it may be inferred that he was insured for third party cover with the GIO. There was nothing similarly to indicate that the GIO had taken up the defence of the proceedings brought against these defendants.
20 There was mention in the evidence of a letter from the GIO dated 21 May 1986 "offering to settle all matters for $24,000.00", and of a letter presumably from Laird's solicitors dated 17 June 1986 "of offer of settlement (all matters for $186,000.00)".
21 The evidence included a letter to the GIO from Mulally Mylott Meehan, as the firm had become, dated 30 July 1986, headed with reference to all three accidents and reading -
"We refer to our telephone conversation with your Mrs Irene Vougdis on the 25th July, 1986 and now enclose herewith as requested the following:
a) copy of our letter to you dated 17 June, 1986;
b) copy of Statement of Claims [sic] in respect of each accident.
Your earliest attention to this matter would be appreciated."
22 The letter of 17 June 1986 was not in evidence. We were informed, without dissent, that it was a detailed settlement offer. From the letter, it seems that the statements of claim had not reached the GIO.
23 According to Laird, in 1986 or 1987 he saw a barrister. In 1996 there was in existence a brief to John Carr of counsel, and the evidence included a memorandum of fees from Carr referring to work in 1987, but nothing more was revealed of the 1986-7 occasion.
24 The evidence included in each of the actions copies of the statements of particulars required under the then Pt 12 r 4A of the District Court Rules. All were signed and dated 2 February 1988 and bore the filing stamp of the District Court. The judge noted that "there is a doubt as to when they were filed".
25 On 23 May 1988 the GIO wrote to Mullally Mylott Meehan, with a heading referring to all three accidents, asking for "filed copies of the Statements of Claim … showing dates filed and plaint numbers, together with Affidavits of Service". The copies of the statements of claim provided in July 1986 must have been of apparently unfiled documents; service of the statements of claim was put in question. There was no evidence of a reply, and from the letter of 31 October 1997 later mentioned there was no reply.
26 Putting service of the statements of claim in question should have caused Meehan concern. Under the then Pt 5 r 5 of the District Court Rules, the statements of claim were valid for the purposes of service for two years from 7 March 1986. If they had not been served on the defendants (and of course the statement of claim in action 356 of 1986 could not have been served on Sevil), but copies had simply been provided to the GIO, in the absence of appearances the District Court's jurisdiction over the defendants had not been enlivened.
27 Someone in Mulally Mylott Meehan wrote to the GIO on 30 May 1988. The letter's heading referred to all three actions, with apparent GIO claim file numbers. It enclosed copies of medical reports, clinical notes, police reports and Pt 12 r 4A particulars, set out a basis for assessing damages, and offered to "finalise all three claims" for $230,000. $200,000 was attributed to the accident of 31 March 1982 and the balance was attributed $15,000 each to the other two accidents. There was no evidence of a response.
28 Laird said that every two or three months he telephoned the solicitors to see how the case was going, and was told that it was going well and that he would receive a large sum of money in due course. After 1990 the telephone calls tailed off to about every six months, and according to Laird he was often told that the case was waiting for a hearing date.
29 The evidence included a letter dated 7 May 1992 to the GIO from Meehan, then practising on his own account, headed "Re: Alexander Laird v Irene Falconer" and stating -
"Please note that we are currently attending to filing a Notice of Listing in this matter and request that you review your file.
We would be happy to hear from you concerning an offer of settlement."
30 There was no evidence of a similar letter in the other two actions. It being common ground that a praecipe for trial had not been filed, see later in these reasons, it is unlikely that a notice of listing was filed.
31 Laird said that in 1993 "all letters from the solicitors stopped", although there was otherwise no evidence of letters from the solicitors to Laird. Laird went to the solicitors' offices and found that they had moved. He tracked Meehan down to his practice on his own account. Still according to Laird, he was told by Meehan that the case was progressing and that he could in due course expect a large sum of money.
32 If Laird's evidence is correct, and it was in the most general terms and not the subject of cross-examination, the responses to his occasional enquiries of his solicitors was misleading. His actions were not properly progressed, and in particular the steps to set them down for trial and thus obtain a hearing date were not taken.
33 As a result of some advice from Meehan about repayment of social security benefits and "the trouble that I had been having in getting a result in my compensation cases", Laird changed his solicitors. In July 1996 he instructed Ron Dunbier then of Dunbiers The Law Practice, later of Baird & Associates. Dunbier gave evidence by affidavit, but was not cross-examined.
34 Dunbier had great difficulty obtaining the file from Meehan. He wrote many times, and received no replies or prevaricating replies. He sought to enlist the help of the Legal Services Commissioner and the Law Society, but obtained no satisfaction. In January 1997 the file was purportedly sent by Meehan to Dunbier through, but lost in, the DX. Dunbier was, however, able to obtain the Carr brief and undertake a reconstruction.
35 Under the then Pt 12 r 2 of the District Court Rules the actions could not be set down for trial until a praecipe for trial and, at the same time, a notice of listing had been filed. On 6 December 1996 there was gazetted a new Rule 4C in Pt 12 of the District Court Rules, relevantly providing -
"4C.(1) This rule applies to actions which were commenced before 1 January 1996:
(a) by the lodging of an ordinary statement of claim; or