31 The Third Cross-Defendant to the Fourth Cross-Claim contribute to and indemnify the Fourth Cross Claimant with respect of one quarter of any liability he has to the plaintiffs and/or the Third Cross-Claimant pursuant to orders 10 to 16 inclusive and 22.
55 As has been said the Fourth Cross-Claimant was Hunt. The Third Cross-Defendant to that Claim was Mr Cunningham. The Third Cross-Claimant was Mr Perkins. Orders 10 to 14 were orders directing verdicts and judgments for monetary sums in favour of the Plaintiffs against each of Mr Cunningham, Mr Perkins and Hunt. Order 15 is an order which I have said above will be made for payment of the Plaintiffs' costs by those defendants. I have declined to make order 16. Order 22 requires Hunt, and order 23 requires Cunningham, to indemnify Perkins with respect to any liability the latter may have to the Plaintiffs.
56 In the Fourth Cross-Claim Hunt sought indemnity or alternatively contribution from Mr Cunningham and in my principal Reasons I held that as between the two it was just and equitable that Hunt should bear three quarters of their liability to the Plaintiffs. Mr Cunningham did not file a cross-claim seeking any orders against Hunt but counsel appearing for Hunt at the time of debate as to the terms of the orders which should be made said (T45 line 19) that he took no point as to that. That course would seem well justified by the decision in Adamopolous and Anor v Olympic Airways SA (1991) 25 NSWLR 75 at 84-5. My findings in favour of the Plaintiffs against Hunt were of misleading and deceptive conduct. I did not find it necessary to consider the particular statutory basis for that claim. In fact in the final pleading of the Plaintiffs against Hunt, viz. that filed on 5 December 2001, no statutory basis for the complaint of misleading and deceptive conduct was alleged. A comparison with the previous edition of that Statement of Claim, which referred to s52 of the Trade Practices Act and s42 of the Fair Trading Act would suggest the omission was inadvertent and no point was taken about any inadequacy in the pleading. My findings carry the implications that the terms of both sections were breached and that the Plaintiffs were entitled to recover against Hunt under, at least, s82 of the Trade Practices Act and s68 of the Fair Trading Act.
57 My findings in favour of the Plaintiffs against Mr Cunningham were for misleading and deceptive conduct under s42 of the Fair Trading Act and for breach of contract (although the damages for the latter would be nominal).
58 In saying in the course of my principal Reasons that, as between Hunt and Mr Cunningham, it was "just and equitable" that Hunt should bear three quarters of their liability to the Plaintiffs, I clearly had in mind s5 of the Law Reform (Miscellaneous Provisions) Act 1946. However, in the course of considering draft orders 30 and 31, it has become apparent that s5 may not apply. That section, so far as is presently relevant, provides:-
"(1) Where damage is suffered by any person as a result of a tort (whether a crime or not) -
(c) any tortfeasor liable in respect of that damage may recover contribution from any other tortfeasor who is, or would if sued have been, liable in respect of the same damage, whether as a joint tortfeasor or otherwise, so, however, that no person shall be entitled to recover contribution under this section from any person entitled to be indemnified by him in respect of the liability in respect of which the contribution is sought."
59 There was, so far as is presently relevant, no issue of other liability in tort of Mr Cunningham or Hunt found in the proceedings - c.f. Jones v Mortgage Acceptance Nominees Ltd and Ors (1996) 63 FCR 418 at 420. The question therefore arises whether breaches of s52 of the Trade Practices Act or of s42 of the Fair Trading Act are torts within s5 and thus those defendant(s) tortfeasors, and liable for, or entitled to, contribution. The determination of that question involves a consideration of the meaning of the word "tort", either generally or as used in s5, and the characterisation of a breach of s52 and s42 and the rights arising in consequence.
60 There is, and was in 1946 (and in the 1930s when the English predecessor to s5 of the Law Reform (Miscellaneous Provisions) Act 1946 was introduced), no precise and universally accepted definition of a "tort". It was defined in Salmond on the Law of Torts, 8th ed. (1934), p15 as "a civil wrong for which the remedy is a common law action for unliquidated damages, and which is not exclusively the breach of a contract or the breach of a trust or other merely equitable obligation", although in a footnote the author goes on to say that "No satisfactory definition of a tort has yet been found". Winfield, 1st ed. (1937), paragraph 2 said that "Tortious liability arises from the breach of a duty primarily fixed by law; this duty is towards persons generally and its breach is redressible by an action for unliquidated damages". Earlier, in "Province of the Law of Tort", the author had said that "unless an action were maintainable in the courts of Kings Bench, Common Pleas, Exchequer (or any one of them), as they existed before the Judicature Acts, it cannot be an action in tort" although he had declined to include reference to this jurisdictional element in the definition - see p 237. Pollock on Torts, 13th ed. (1929), at page 5 contained a similar view. Clerk and Lindsell on Torts, 9th ed. (1937), page 1 adopts the definition I have cited from Winfield although records that in the previous edition the definition had been "A tort may be described as a wrong independent of contract, for which the appropriate remedy is a common law action". (The previous edition had been published in 1939.)
61 Later editions - see Winfield and Jolowicz on Tort, 14th. ed., p4, Clerk and Lindsell, 14th ed., paragraph 1, Salmond and Heuston on The Law of Torts, 21st ed., p13 repeat those views. Fleming, The Law of Torts, 9th ed., p1 refers to Winfield's "Province of the Law of Tort" and goes on to explain the concept by contrasting tortious liability with what he suggests are "broadly speaking (the other aspects of) the entire field of liability" viz. criminal, contractual and restitutionary. Byrne J in Commonwealth Bank of Australia v White (1999) 2 VR 681 at 697 also acknowledged the difficulty in definition.
62 The definition in an early edition of Salmond and remarks to similar effect in Halsbury led Menhennitt J in Philip Morris v Ainley (1975) VR 345 at 349 to say that it appeared to him that "an action in tort is one in which the remedy is a common law cause of action although the right being enforced in the action may be a right created by either the common law or statute". His Honour went on to hold that a statutory entitlement to an indemnity was not an action in tort although, it should be noticed, not on the simple basis that the remedy was conferred by statute.
63 Section 5 of the Law Reform (Miscellaneous Provisions) Act 1946 reproduced s6(1)(c) of the English Law Reform (Married Women's and Tortfeasors) Act 1935. That provision had been enacted following the third interim report of the United Kingdom Law Revision Committee wherein the Committee had observed (paragraphs 3 and 4):-
3. When two or more persons jointly commit a wrongful act, the person injured can recover the full amount of his damage from any one of them. If he does so, the wrongdoer who has paid the whole damage has to bear the whole loss and the other wrongdoers escape liability by reason of the rule of the common law that there can be no contribution between joint tort-feasors.
The rule is different in cases of breach of contract, for where one of several persons, jointly, or jointly and severally, liable under a contract is called upon to perform the contract in full or to discharge more than his proper share, he has, as a general rule, a right to call upon persons jointly, or jointly and severally, liable with himself to contribute to the liability which he has incurred (Halsbury Laws of England (Vol. VII at 375).
4. The rule that no contribution obtains between joint tortfeasors, which is of obscure and uncertain origin, first assumed definite shape in the judgment of Lord Kenyon in Merryweather v Nixan ((1799) 8 T.R. 186; 1 Smith's L.C. 13th Ed. p.449), and applies equally to claims for indemnity by one tortfeasor upon another ( Betts v Gibbins 2 Ad. And E. at pp.74 and 76). It has often been disapproved. In Palmer v Wick and Pulteneytown Steam Shipping Co. ([1894] A.C. at p. 324) Lord Herschell, speaking of the rule, said, "It does not appear to me to be founded on any principle of justice or equity, or even of public policy". In Austin Friars Co v Spillers & Bakers ([1915] 3 K.B. at p. 592) a case relating to general average, Pickford LJ. described it as an artificial doctrine, and not to be extended.
Early in its history exceptions were engrafted upon it. …
"7 …. We think therefore that when two persons each contribute to the same damage suffered by a third the one who pays more than his share should be entitled to recover contribution from the other.
8. The question then arises whether the contribution by all the wrongdoers should be equal, or whether the Court should have the power to apportion the liability.
We think that there are many cases where such an apportionment might fairly be made…"
64 The rationale behind the rule that one tortfeasor could not obtain contribution from another should be recognised. In Betts v Gibbins 2 Ad & E 57 at 74; 111 ER 22 at 29, Lord Denman, when referring to Merryweather v Nixan, although saying that the case had been strained beyond what it would bear, said "The general rule is, that between wrongdoers there is neither indemnity nor contribution; the exception is, where the act is not clearly illegal in itself." In Smith LC, 13th ed., vol 1, p 452 it is said to be contrary to policy to allow a man to recover what he has paid in consequence of an illegal act or wilful wrong. In Weld-Blundell v Stephens (1920) AC 956 at 976, Lord Dunedin said that there was no contribution between wrongdoers "because of the underlying proposition that no man can claim damages when the root of the damage which he claims is his own wrong" although his Lordship went on to add the qualification, if the person suing is "presumed to have known that he was doing an unlawful act". An explanation of this latter concept is to be found in Burrows v Rhodes (1899) 1 QB 816 at 829-30 where Kennedy J indicated that knowledge of the circumstances constituting the unlawfulness or offence was sufficient, a person being presumed to know the law. In part this section of Kennedy J's judgment was approved in Weld-Blundell v Stephens.
65 The explanation advanced by Lord Dunedin derives support from Eyles v Faikney, Peake NPC 144n where, albeit in a claim for an indemnity rather than contribution, the Plaintiff was refused relief seemingly on the basis that, having allowed a prisoner to escape by breach of duty, he ought not to be permitted to come as a plaintiff into a court of justice. Eyles v Faikney was followed in Pitcher v Bailey (1807) 8 East 171; 103 ER 308.
66 When the Bill for the Law Reform (Miscellaneous Provisions) Act 1946 was introduced into the NSW Parliament, the Attorney General in the second reading speech in the Legislative Assembly, recorded that the then existing law had been trenchantly criticised by a United Kingdom Law Revision Committee and that the Bill followed the relevant provisions of the English Law Reform (Married Women's and Tortfeasors) Act 1935 verbatim. In explaining the proposal and before going on to summarise parts of the legislation including section 5(1)(c), the minister told the House that a tortfeasor was one who commits a tort or wrong against some other person. He also contrasted the then existing situation of a "joint tortfeasor" with one person liable under a contract who, so it was said, could generally call upon others also liable to contribute. Introducing the Bill's second reading in the Legislative Council, the Minister for Justice also described a tortfeasor as one who commits a tort or wrong against some other person.
67 To what extent some of these matters can be taken into account depends on the terms of Sections 33 and 34 of the Interpretation Act, 1987 (NSW) which, so far as is presently relevant, provide:-
33 In the interpretation of a provision of an Act or statutory rule, a construction that would promote the purpose or object underlying the Act or statutory rule (whether or not that purpose or object is expressly stated in the Act or statutory rule or, in the case of a statutory rule, in the Act under which the rule was made) shall be preferred to a construction that would not promote that purpose or object.
34 In the interpretation of a provision of an Act or statutory rule, if any material not forming part of the Act or statutory rule is capable of assisting in the ascertainment of the meaning of the provision, consideration may be given to that material:
1(a) …
(b) to determine the meaning of the provision:
(i) if the provision is ambiguous or obscure, or
(ii) if the ordinary meaning conveyed by the text of the provision (taking into account its context in the Act or statutory rule and the purpose or object underlying the Act or statutory rule and, in the case of a statutory rule, the purpose or object underlying the Act under which the rule was made) leads to a result that is manifestly absurd or is unreasonable.
(2)(f) the speech made to a House of Parliament by a Minister or other member of Parliament on the occasion of the moving by that Minister or member of a motion that the Bill or the Act be read a second time in that House.
(3) In determining whether consideration should be given to any material, or in considering the weight to be given to any material, regard shall be had, in addition to any other relevant matters, to:
(a) the desirability of persons being able to rely on the ordinary meaning conveyed by the text of the provision (taking into account its context in the Act or statutory rule and the purpose or object underlying the Act or statutory rule and, in the case of a statutory rule, the purpose or object underlying the Act under which the rule was made), and
68 Before I go on to answer the questions I have so far raised, it may help in defining the issues to reflect on terms of the Trade Practices Act and the Fair Trading Act. There are differences between those two Acts but none are significant for present purposes and accordingly it will be convenient initially to confine attention to the Trade Practices Act.
69 So far as is presently relevant, ss 52 and 82 of that Act provide:-
52(1) A corporation shall not, in trade or commerce, engage in conduct that is misleading or deceptive or is likely to mislead or deceive."
82(1) A person who suffers loss or damage by conduct of another person that was done in contravention of a provision of Part IV, IVA, IVB or V or Section 51AC may recover the amount of the loss or damage by action against that other person or against any person involved in the contravention.
(2) An action under subsection (1) may be commenced at any time within 6 years after the day on which the cause of action that relates to the conduct accrued.
70 It was said in Tobacco Institute of Australia Ltd v Australian Federation of Consumer Organisations Inc (1988) 19 FCR 469 at 473, that "Section 52 does not purport to create liability, nor does it vest in any party any cause of action in the ordinary sense of that term; rather, s52 establishes a norm of conduct, and failure, by the corporations and individuals to whom it is addressed in its various operations, to observe that norm has consequences provided for elsewhere in the Act: Brown v Jam Factory Pty Ltd (1981) 53 FLR 340 at 348". Section 82 is one of the sections providing for those consequences. Other "remedies include a declaration (s 163A); injunction (s80); disclosure of information and publication of corrective advertisements (s80A); … and the prohibition of payment or transfer of moneys or other property (s87A)." The passage quoted was endorsed by Spender, Gummow and Lee JJ in State of Western Australia v Wardley Australia Limited and Ors (1991) 30 FCR 245. That case went on appeal - see (1992) 175 CLLR 514 - but only Toohey J dealt with the present topic. At page 551 his Honour said, "Although it is customary to speak of a claim for damages for misleading or deceptive conduct, s52 of the Act does not of itself give rise to any liability. The consequences of a contravention of the terms of s52 are to be found in various sections of the Act. One of those consequences lies in s82(1) … ."
71 In Bank of New Zealand v Spedley Securities Ltd (1992) 27 NSWLR 91 at 98-99, Kirby P observed that for some time there had been a controversy as to whether s52 of the Trade Practices Act (and by analogy s42 of the Fair Trading Act 1987) gives rise, by its own force, to a duty which is enforceable at law but that, whatever his own views, he was bound to pay deference to the decisions just mentioned because they applied to legislation designed to operate uniformly throughout Australia. Hope JA, at 110, agreed.
72 Whether a breach of s52 constitutes a tort has been the subject of consideration on a number of occasions. For example, in ANZ Banking Group Ltd v Turnbull (1991) 33 FCR 265 at 277, Shepherd J said that an action for breach of s52 was entirely statutory and not a tort. In an article in volume 67 of the Australian Law Journal, "Contribution, Contributory Negligence and Section 52 of the Trade Practices Act" Mr J C Campbell QC, (now Campbell J) argues that an action for breach of s52 is a tort. In Dorrough v Bank of Melbourne Ltd (1995) ATPR (Digest) 53,185 Cooper J, influenced by that article, said that there was a substantial argument that an action for breach of s52 was a tort. In Bialkower v Acohs Pty Ltd (1998) 83 FCR 1 at 11 the full Federal Court said that it preferred the views of Sheppard J to those of advanced by Campbell J but that it was unnecessary for the matter to be decided. Citing Bialkower v Acohs Pty Ltd, in Burke v LFOT Pty Ltd (2000) 178 FLR 161 at [131], Lehane J took the same view. In fact, as the other judgments in that case make clear, no party had suggested that s5 of the (Law Reform Miscellaneous Provisions) Act applied. On appeal, as might be expected, there was no discussion of s5 beyond the remark of Kirby J that "No state legislation intrudes to afford here a statutory foundation for contribution …" - Burke v LFOT Pty Ltd (2002) 76 ALJR 749 at [99].
73 In Commonwealth Bank of Australia v White (1999) 2 VR 681 at [60] Byrne J said that Justice Campbell's article "presents a compelling argument in support of the conclusion that these claims (for breach of s52) should be treated for other procedural purposes as torts". His Honour held that misleading and deceptive conduct in breach of s52 was a tort, although it must be acknowledged that he did so in the context of Rules of Court providing for service out of the jurisdiction and which Rules drew a distinction between claims in contract and those in tort. His Honour acknowledged that he was differing from McDonald J in Williams v the Society of Lloyds (1994) 1 VR 274.
74 In light of this difference of opinion, the topic merits further consideration. There can be no doubt that a breach of statutory duty is a tort - Spotless Group Ltd and Anor v Proplast Pty Ltd (1987) 10 IPR 668 at 670; Philip Morris v Ainley (1975) VR 345 at 349; Commonwealth Bank v White (1999) 2 VR 681 at [66]; London Passenger Transport Board v Upson (1949) AC 155 at 168;
75 Having regard to the approach to be seen in Martin v Western District of the Australasian Coal and Shale Employees' Federation Workers Industrial Union of Australia (Mining Department) (1934) 34 SR (NSW) 593 at 596 and Whittaker v Rozelle Wood Products Ltd (1936) 36 SR (NSW) 204 and its endorsement by Dixon CJ in O'Connor v S P Bray Ltd (1937) 56 CLR 464 there can be little doubt that the statutory obligation in s52 not to "engage in conduct that is misleading or deceptive or likely to mislead or deceive" is one which, absent s82 and the other sections of the Act providing for remedies, would be regarded as one the breach of which gives rise to a cause of action and amounts to a tort. Experience both before and subsequent to the Act shows that misleading or deceptive conduct is not uncommon. The obvious purpose of the provision clearly embraces the protection of those who would be likely to suffer in consequence of such conduct - conduct which, it might be observed, if accompanied by other features such as knowledge of the misleading nature of the conduct or, in some cases negligence, is liable to amount to a tort at common law.
76 Does the presence of s82 and the other provisions of the Act providing for remedies change this?
77 At least in part it was the presence of s82 which influenced the court in Bialkower v Acohs Pty Ltd (1998) 83 FCR 1 at 11, to say that "the cause of action under s82 for breach of s52 of the Act is entirely statutory and is not an action in tort". On the other hand, one of the difficulties which have beset courts asked to consider whether breaches of duties imposed by statute give rise to a civil cause of action has been the determination of what Parliament's intention was. Commonly that has not been clearly expressed. An alternate way of looking at s82 is to regard the provision as merely an express indication of what might, and in my view would, otherwise have been implied, viz. that anyone who suffered in consequence of a breach of the obligations the statute imposed was to have a cause of action for the breach.
78 To conclude that although, if s82(1) was not in the Act, a breach of s52 would constitute the tort of breach of statutory duty and would confer on someone injured by the breach a right to damages, the presence of an express statement in s82(1) that such damages may be recovered removes the breach from the concept of tort is to draw a distinction which is both fine and of no obvious practicable use.
79 However, in that s82(2) goes on to say that an action under s82(1) may be commenced within a defined period (originally 3 years, but now 6 years) after the cause of action that relates to the conduct accrued, it provides an indication that any cause of action arises under s82(1) and not merely in consequence of the contravention itself. It is impossible to reconcile with the terms of the sub-section the thought that an action in consequence of the contravention and to which no, or other, time limits apply could be brought otherwise than under s82(1). On the other hand, s82(1) is directed to imposing a time limit on proceedings. To give to the sub-section the effect of determining the nature of the proceedings is to give to it an operation which goes well beyond its subject matter.
80 Nor, in light of the existence of s82, can one see in the other provisions of the Act conferring remedies for a breach of s52 an intention that a person injured by such a breach shall have no civil remedy in damages.
81 And, as Campbell J points out, the fact that not only an obligation but also the right arising in consequence of a breach has been statutorily imposed has not in all cases been regarded as precluding the right of action as being characterised as a tort. A right of action statutorily conferred has been regarded as a tort in the case of a statute creating a liability for excessive traffic or weight imposed on a highway - Story v Sheard (1892) 2 QB 515, a statute imposing liability on the Nominal Defendant - Chadwick v Bridge (1951) 83 CLR 314 and in the case of Lord Campbell's Act - Koop v Bebb (1951) 84 CLR 629; Downs v Williams (1971) 126 CLR 61. In American Express v British Airways (1983) 1 WLR 701 at 708, an action under a provision of the Warsaw Convention imposing liability for loss of, or damage to, any registered baggage or cargo, if the occurrence which caused the damage so sustained took place during the carriage by air was regarded as "proceedings in tort" within s29 of the Post Office Act, 1969 (UK) which provided immunity from such proceedings.
82 Proceedings for breach of s52 were described as a "statutory tort" in Australian Commercial Research and Development Ltd v ANZ McCaughan Merchant Bank Ltd (1989) 3 All ER 65 at 72.
83 It is unnecessary to say more about the other cases to which I have just referred but remarks in the decisions of the High Court to which I have just referred merit further attention. In Koob v Bebb the majority of the High Court recounted the terms of the principal provision which repeated Lord Campbell's Act in Victoria, viz:-
"Whenever the death of a person is caused by a wrongful act neglect or default and the act neglect or default is such as would (if death had not ensued) have entitled the party injured to maintain an action and recover damages in respect thereof, then in every such case the person who would have been liable if death had not ensued shall be liable to an action for damages notwithstanding the death of the person injured and although the death has been caused under such circumstances as amount in law to felony".