Haselhurst v Toyota Motor Corporation
29 The application of s 183 of the CP Act to a class closure order was considered by the Court of Appeal in New South Wales comprised of five judges (Bell P, Macfarlan, Leeming and Payne JJ, Emmett AJA) in Haselhurst v Toyota Motor Corporation Australia Ltd [2020] NSWCA 66; (2020) 101 NSWLR 890 (although the Court abjured use of the term "class closure order"). The order then under consideration was in the following terms:
Class closure orders
16 Pursuant to s 183 of the Act, any Group Member who neither opts out in accordance with Order 12 nor registers in accordance with Order 15 on or before the Class Deadline shall remain a Group Member for the purposes of any judgment or settlement but, in the event that an in-principle settlement is reached before the commencement of the trial on the common issues and that settlement is ultimately approved by the Court, shall be bound by the terms of the settlement agreement and barred from making any claim against the Defendant in respect of or relating to the subject matter of this proceeding, including participating in any form of compensation or otherwise benefiting from any relief that might be ordered or agreed.
(Emphasis added)
30 It is to be noted that Order 16 considered in Haselhurst differs from the order proposed in the present case in that it expressly barred, without limitation, an unopted out and unregistered group member from making any claim against the defendant and from participating in any form of compensation or otherwise benefiting from any relief which may be ordered or agreed. However, apart from the prospect of a contrary court order (and, at least theoretically, the terms of the settlement) the practical effect of the present applicants' proposed orders would be similar.
31 All members of the Court agreed with the reasons of Payne JA (although Bell P and Emmett AJA added reasons of their own) in holding that s 183 of the CP Act did not empower the Supreme Court to make Order 16 and that, even if it did, the order should not as a matter of discretion be made.
32 The reasons of Payne JA contained a detailed review of the authorities, to which it is not necessary for present purposes to refer. His Honour noted a number of features of Order 16. These included:
(a) the order would extinguish the rights of both unopted out and unregistered group members, even though they had taken no active part in the proceedings and their rights against a defendant had benefited from s 182 of the CP Act (FCA Act s 33ZE) suspending time for the purposes of limitation defences, at [47];
(b) the settlement on which the extinguishment was contingent would not be a settlement of the claims of all group members, but only of those who had registered, at [48];
(c) in specifying that all group members are "bound by the terms of the settlement agreement", the order would go beyond the terms of s 179(b) of the CP Act (FCA Act s 33ZB), at [49]-[51];
(d) the order would operate adversely against group members even though Pt 10 of the CP Act (FCA Act Pt IVA) contemplated only two circumstances in which a court order may bind group members who were not otherwise parties to the proceedings, at [52]-[55]; and
(e) the fact that Order 16 was interlocutory and could be rescinded or varied did not address its vice, namely, that its clear purpose was to effect a contingent extinguishment of group members' rights of action against the respondents, at [57]-[59];
33 Having noted these and other matters, the reasons of Payne JA for concluding that s 183 of the CP Act did not empower the Court to make Order 16 included:
(a) the legislative framework, including the opt out provisions and the absence of any requirement that a class be closed before settlement, tended strongly against there being a power to make an order extinguishing the rights of an unregistered group member in advance of any settlement being achieved, in order to facilitate settlement of the claims of group members who had chosen to register their claims, at [66];
(b) Order 16 does more than would be achieved by an amendment of the class narrowing it to those who had registered, retained the applicants' solicitors or entered into a funding agreement with the funder, and, in fact, would have the contrary effect to an order limiting the class, at [67]-[75];
(c) applying Brewster, the specific powers in ss 173 and 177 of the CP Act (FCA Act ss 33V and 33Z) are enlivened only after a settlement and s 183 (FCA Act s 33ZF) "does not provide a licence to rewrite the legislative prescriptions of the exercise of those powers", at [87]. That is to say, Pt 10 of the CP Act contemplates that the time for the court to make orders in relation to the distribution of the proceeds of the action is at its successful completion and s 183 could not be applied so as to alter that position, at [107];
(d) the decision in Matthews v SPI Electricity Pty Ltd (No 13) [2013] VSC 17; (2013) 39 VR 255 on which the respondents relied was to be distinguished because the Supreme Court Act 1986 (Vic) (SC Act (Vic)) considered in that case contained a specific provision (s 33ZG) authorising the court to order steps to be taken by group members by a specified date in order to be entitled to obtain benefits arising out of the proceedings. J Forrest J had specifically relied upon the existence of that power, at [15]. In contrast, the CP Act (and for that matter Pt IVA of the FCA Act), do not contain any equivalent provision, at [93], [95]-[96];
(e) the decision of this Court in Treasury Wine Estates should not be followed because:
(i) the relevant passages were dicta, as the issues of power and discretion had been conceded by the appellant, at [95];
(ii) the principal authority on which the Full Court had relied (Matthews), was based on s 33ZG of the SC Act (Vic) and, as just noted, there was no counterpart in the CP Act for that provision, at [96]; and
(iii) the construction of Pt 10 of the CP Act preferred by the majority in Brewster is inconsistent with the acceptance of the approach in Treasury Wine Estates, at [99]-[112];
(f) the making of Order 16 had not been shown, as a matter of fact, to be necessary to facilitate settlement of the class action and, indeed, because it would make it in the interests of unregistered group members for the matter not to settle, it would then create insoluble conflict of interest for the appellants and their legal advisors, at [117]-[121].
34 The particular inconsistencies between the approach in Treasury Wine Estates and Brewster which Payne JA identified, were these. First, as the barring of claims by group members was addressed in s 173 (s 33V) in the case of settlement and s 177 (s 33Z) in the case of judgment (supplemented in each case by s 179 (s 33ZB), could not be regarded as appropriate to read into s 183 (s 33ZF) a power to the same effect, at [105],
35 Secondly, the provisions just listed indicated that the power to bar a claim by a group member was one which arose at the conclusion of the representative proceeding, at [105], [107]-[108].
36 Thirdly, the power in s 183 (s 33ZF), being supplementary, could not have been intended to provide a power of contingently extinguishing group members' claims so as to facilitate settlement discussions taking place, at [114].
37 The overarching conclusion of Payne J was that Order 16 would "[strike] at the heart of the Part 10 regime, by setting up an alternative regime of extinguishing group members' rights of action for the purpose of encouraging the parties towards pre-trial settlement", at [122]. As indicated, his Honour regarded the scheme of Pt 10 as being inconsistent with a construction of s 183 so as to empower the Court to make orders for pre-settlement claims closure, at [119].
38 In his separate reasons, Bell P referred to the analysis of s 33ZF by Beach J in Earglow Pty Ltd v Newcrest Mining Ltd [2015] FCA 328; (2015) 230 FCR 469 at [33]:
[A]lthough the words "thinks appropriate" have a lower threshold than "thinks necessary", nevertheless the relevant element of necessity in another guise is enshrined in the coupling of the words "to ensure that". In summary, the question becomes whether I think it is appropriate, to ensure that justice is done in the proceeding, to make the orders sought by Newcrest. It is not whether I think it to be merely convenient or useful per se. Section 33ZF(1) is not a licence for me to impose my own expansive case management philosophy. Rather, I must be satisfied that any order that is made satisfies the statutory test …
(Emphasis in the original)
39 Bell P then continued:
[12] [I]t is difficult to conceive of how an order which destroys a person's cause of action within the limitation period, without a hearing and with no guarantee that the person will necessarily know of the outcome or consequences of their failure to register, is an order that could be thought to be "necessary to ensure that justice is done in the proceedings". To ask whether such an order could be thought to be "appropriate … to ensure that justice is done in the proceedings" is, for the reasons explained by Beach J in Earglow, to ask essentially the same question.
[13] Whilst a mediation of the proceedings may well be desirable and no doubt should be explored and encouraged, it is not an end in itself and is not, in my opinion, something which is required to ensure that justice is done in the proceedings. If a mediation can only occur in circumstances where group members who do not register to participate in it will lose their causes of action (an assertion which must underpin the respondents' position and which I consider dubious), I do not consider that that outcome is something that can be described as either "appropriate or necessary" to "ensure that justice is done in the proceedings".
…
[16] This is not of course to say that mediation is not valuable and that settlement should not be encouraged. Moreover, there is no reason why, in my opinion, there could not be mediation in the current case without an order of the kind under challenge being required …
[17] Alternatively, if registration was sought as a condition of mediation (without the fatal consequences of non-registration which order 16 mandates), it could be sought with a view to amending the class definition so that any settlement only applied to those members who had registered. This would avoid the risk of the respondents "overpaying" in any settlement, if that risk represents their genuine concern. Settlement of the claims of those consumers who had manifested their concern by taking an active step of registration could at least be achieved, without those who had neither opted out nor registered losing their causes of action.
(Emphasis added)
40 Each of Macfarlan, Leeming and Payne JJA agreed with the additional reasons of Bell P.