Consideration
23 Rule 30.01 of the Federal Court Rules 2011 provides for separate questions on questions. It is in the following terms:
30.01 Application for separate trials
(1) A party may apply to the Court for an order that a question arising in the proceeding be heard separately from any other questions.
(2) The application must be made before a date is fixed for trial of the proceeding.
Note 1: The Court may order that a party state a case and the question for decision.
Note 2: The Court will give any directions that are necessary for the hearing of the separate question.
30.02 Disposal of proceedings after hearing separate questions
If a decision on a question substantially disposes of the proceeding or renders any further trial of the proceeding unnecessary, a party may apply to the Court for:
(a) judgment; or
(b) an order dismissing the whole or any part of the proceeding.
24 The current provision is in substantially similar terms to O 29 r 2 of the earlier rules (although the earlier provision defined "question" to include a question or issue in any proceeding).
25 The relevant principles relating to such an application are well settled. I consider that authorities on the earlier rule continue to provide guidance to an application under rule 30.01.
26 The leading authority remains Justice Branson's decision in Reading. It is convenient to set out [6]-[9] of her Honour's reasons for judgment:
O29 r 2 gives to the Court wide powers to regulate the procedures to be adopted for the hearing and determination of a proceeding.
Ordinarily all issues of fact and law in a proceeding will be determined at the one time by the Court following a trial (O 32). However, the authorities show that O 29 r 2 has been relied on to support the making of orders that have modified this general rule in the following ways:
(a) by requiring that certain questions, formulated by the order, be decided separately from (and presumably, before) any other questions in the proceeding on the basis of a special case stated in accordance with O 50 r 1 (see, for example, Chippendale Printing Co Pty Ltd v Commonwealth (1995) 17 ACSR 328 );
(b) by requiring the determination of a preliminary issue of law in circumstances in which it was unnecessary for any facts to be stated or evidence to be adduced (see, for example, Blurton v Minister for Aboriginal Affairs (1991) 29 FCR 442 );
(c) by requiring the determination of certain preliminary questions of law as to the competence of the case of the applicant on the basis of certain agreed facts (see, for example, Pritchard v Racecage Pty Ltd (1996) 64 FCR 96 and on appeal, (1997) 72 FCR 203; South Pacific Air Motive Pty Ltd v Magnus (1998) 157 ALR 443 );
(d) by requiring the separate trial "as a preliminary issue" of certain of the claims made by the applicant (see, for example, Comite Interprofessionnel des Vins des Cotes de Provence v Bryce (1996) 69 FCR 450 );
(e) by requiring that the question of the respondents' liability be tried separately, and that any question as to the quantum of any damages to be paid by the respondents, or any of them, to the applicants, or as to the taking of any account of the respondents' profits, be tried separately and at a dated to be fixed after the determination of the question of liability (see, for example, Rhone-Poulenc Agrochimie SA v UIM Chemical Services Pty Ltd (1985) 10 FCR 567 ).
The principles that govern the circumstances in which an order will be made under O 29 r 2 are relatively well established. They may be summarised as follows:
(a) the term "question" in O 29 r 1 includes any question or issue of fact or law in a proceeding. The distinction in the rule between an "issue" and a "question" is the distinction between that which, when resolved, will result in an adjudication in favour of one party or the other, being an "issue", and less decisive matters of dispute being "questions" (Landsal Pty Ltd (in liq) v REI Building Society (1993) 113 ALR 643 at 647 );
(b) a question can be the subject of an order for a separate decision under O 29 r 2 even though a decision on such a question will not determine any of the parties' rights (Landsal Pty Ltd (in liq) v REI Building Society at 647);
(c) however, the judicial determination of a question under O 29 r 2 must involve a conclusive or final decision based on concrete and established or agreed facts for the purpose of quelling a controversy between the parties (Bass v Permanent Trustee Co Ltd [1999] HCA 9 at para 45);
(d) where the preliminary question is one of mixed fact and law, it is necessary that the question can be precisely formulated and that all of the facts that are on any fairly arguable view relevant to the determination of the question are ascertainable either as facts assumed to be correct for the purposes of the preliminary determination, or as agreed facts or as facts to be judicially determined (Jacobson v Ross [1995] 1 VR 337 at 341 , referring to Nissan v Attorney-General [1970] AC 179 at 242-243 per Lord Pearson; Bass v Perpetual Trustee at para 53);
(e) care must be taken in utilising the procedure provided for in O 29 r 1 to avoid the determination of issues not "ripe" for separate and preliminary determination. An issue may not be "ripe" for separate and preliminary determination in this sense where it is simply one of two or more alternative ways in which an applicant frames its case and determination of the issue would leave significant other issues unresolved (CBS Productions Pty Ltd v O'Neill per Kirby P at 606);
(f) factors which tend to support the making of an order under O29 r 2 include that the separate determination of the question may -
(i) contribute to the saving of time and cost by substantially narrowing the issues for trial, or even lead to disposal of the action; or
(ii) contribute to the settlement of the litigation (CBS Productions Pty Ltd v O'Neill (1985) 1 NSWLR 601 per Kirby P at 607);
(g) factors which tell against the making of an order under O 29 r 2 include that the separate determination of the question may -
(i) give rise to significant contested factual issues both at the time of the hearing of the preliminary question and at the time of trial (GMB Research & Development Pty Ltd v The Commonwealth [1997] FCA 934 ;
(ii) result in significant overlap between the evidence adduced on the hearing of the separate question and at trial - possibly involving the calling of the same witnesses at both stages of the hearing of the proceeding (GMB Research & Development Pty Ltd v The Commonwealth; Arnold v Attorney-General for Victoria [1995] FCA 727 ). This factor will be of particular significance if the Court may be required to form a view as to the credibility of witnesses who may give evidence at both stages of the hearing of the proceeding; or
(iii) prolong rather than shorten the litigation (GMB Research & Development Pty Ltd v The Commonwealth).
Ultimately the issue for the Court to determine when consideration is being given to the making of an order under O 29 r 2 is whether it is "just and convenient" for the order to be made (Arnold v Attorney-General for the State of Victoria). There are classes of proceedings in which it is commonly recognised that it is just and convenient for an order under O 29 r 2 to be made. One such class is proceedings concerning intellectual property rights where an applicant cannot be compelled to make an election as between damages and an account of profits at least until all of the evidence has been received so that, if an order has not been made separating the determination of the issues of liability and relief, the parties will have to call evidence to deal with both damages and an account of profits (Dr Martens Australia Pty Ltd v Bata Shoe Company of Australia Pty Ltd (1997) 75 FCR 230 ). Another class is proceedings in which an application in the nature of a demurrer is appropriately made. An application of this kind assumes the truth of the pleaded facts. In a case in which it is clear that the pleadings contain all of the relevant facts but one party contends that the pleading does not disclose a cause of action, or a defence or a matter of reply, as the case may be, an application in the nature of a demurrer will have obvious utility (Bass v Permanent Trustee Co Ltd at para 50).
27 It might also be noted that her Honour attached particular significance to the fact that the applicant in Reading sought relief under ss 82 and 87 of the TPA in respect of an alleged contravention of s 52 of the TPA (as is also the case here). Her Honour made the following pertinent observations at [12]:
Thirdly, the applicant seeks relief under s 82 and s 87 of the TP Act. Relief is available under those sections only where a court finds, in the case of s 82, that a person has suffered loss or damage or, in the case of s 87, that a person has suffered, or is likely to suffer, loss or damage. It is not possible in respect of these claims for determination of the issues of liability and damages to be wholly separated. The same is likely to be the case in respect of the applicant's claim that the respondents are estopped from denying the existence of the Lease Agreement. To establish the alleged estoppel the applicant will be required to show, amongst other things, that it has suffered detriment. There is a risk that is seeking to do so, questions touching on the applicant's claim for damages will arise.
28 Reading has been applied in numerous subsequent cases, including Instyle, Nunagan Holdings Pty Ltd v Evertop Investments Pty Ltd (No 2) [2010] FCA 1228 per McKerracher J and Andrews v Australia and New Zealand Banking Group Limited [2011] FCA 388 per Gordon J.
29 Applying those principles I would reject the applicants' interlocutory application for the following reasons.
30 First, the general principle is that all issues should be determined at the one time, but the Court has a discretion to depart from that approach, particularly having regard to its wide ranging power of case management and the overarching requirement imposed by s 37M of the Federal Court of Australia Act 1976 (Cth). I accept that there are appropriate cases in which the early determination of some issues may substantially narrow the issues to be determined at trial or even possibly lead to the partial or total settlement of the proceeding, but I am not persuaded that this is such a case, particularly where the likely outcome of a trial on liability cannot be predicted.
31 Secondly, it is uncontroversial that the party seeking to have a separate determination bears the onus of demonstrating that there should be a departure from the ordinary course (see, for example, Liberty Financial Pty Ltd v Scott [2003] FCA 226 at [35] and University of Sydney v ResMed Limited (No 5) [2012] FCA 232 at [42] per Stone J).
32 Thirdly, the weight of authority indicates that in representation cases, such as here, it is often unwise to separate liability and quantum.
33 Fourthly, I accept Mr McAdam's evidence which is to the effect that, at least to some extent, there is likely to be an overlap of witnesses on issues of liability and quantum and that issues of credibility may arise for determination, particularly in respect of Mr Stevenson. As I indicated during the course of the hearing, if it proved necessary to make adverse findings on credibility in respect of any witness who gave evidence on liability, this could create an impediment to my also hearing a subsequent trial on damages. Depending on the nature and extent of the adverse credibility findings, it might be necessary to have another judge hear and determine issues of damage. This would add to the strain on the Court's resources and is best avoided by not splitting the trial.
34 Fifthly, splitting the trial raises the possibility of additional costs and delay, particularly if there is an appeal on liability. This raises the prospect of creating a multiplicity of ongoing proceedings which, as McKerracher J observed in Nunagan at [32], achieved "exactly the opposite objective of the statutory purpose underlying s 37M FCA".
35 Finally, another matter which has weighed with me is the applicants' delay in making this application and, more particularly, the somewhat unsatisfactory state of its evidence as to why no final decision has yet been made on rectification. The amended statement of claim pleads various causes of action against Jacobs relating to events dating back as far as May 2007. The alleged deficiencies in the Smithfield plant were well known by at least mid-2010. Various proposals have been considered by the applicants since then with a view to addressing those deficiencies. While it is apparent that some consideration is being given to a solution involving microvi bacteria, Mr Salgo could not be certain that the mooted five month trial of this product would in fact take place. Mr Pike SC acknowledged in oral address that, based on his current instructions, he could take the matter no further.
36 In all the circumstances, I do not consider that a case has been made out for the trial to be split. I would dismiss the interlocutory application. It is difficult to see why costs would not follow the event as is the usual course but I will now hear any oral submissions on that matter.
37 Directions need to be made for the filing of all evidence on liability and other issues. As noted above, the applicants say that their lay evidence on liability has all been filed. The parties should seek to agree directions for the filing of all remaining evidence prior to the next directions hearing, which is scheduled for 2 September 2014.
I certify that the preceding thirty-seven (37) numbered paragraphs are a true copy of the Reasons for Judgment herein of the Honourable Justice Griffiths.