4.5 Has there been an issue waiver?
80 Ms Morton submits that by virtue of [41] of the Bolinda cross-claim and, separately, the contents of [84] of the affidavit of Ms Herrmann (quoted at [46] and [47] above, respectively), Bolinda has waived privilege in any claimed documents. Ms Morton submits that Bolinda has brought a case which necessarily "laid open" the confidential communications to scrutiny in circumstances where it is clear that contemporaneous advice was provided by Mr Choy that would be likely to have contributed to Bolinda's state of mind. Ms Morton relies in particular on the decision of Allsop J (as his Honour then was) in DSE (Holdings) Pty Limited v Intertan Inc [2003] FCA 384; (2003) 127 FCR 499 (DSE) at [58].
81 The guiding principle to be applied in determining whether waiver of legal professional privilege occurs at common law is that stated in Mann v Carnell [1999] HCA 66; (1999) 201 CLR 1 where the majority held at [29]:
Waiver may be express of implied. … What brings about the waiver is the inconsistency, which the courts, where necessary informed by considerations of fairness, perceive, between the conduct of the client and maintenance of the confidentiality; not some overriding principle of fairness operating at large.
82 The applicable principles have recently been restated by a Full Court of the Federal Court in Macquarie Bank Ltd v Arup Pty Limited [2016] FCAFC 117 (Middleton, Robertson and Gleeson JJ) at [24] - [34]. In that case, the Full Court endorsed the summary of the law set out by Yates J in Ferella v Official Trustee in Bankruptcy [2010] FCA 766; (2010) 188 FCR 68 (Ferella) at [65] and also the formulation of principle set out in DSE at [58].
83 In Ferella, Yates J said at [65]:
… However the question is not simply whether the holder of the privilege has put that person's state of mind in issue but whether that person has directly or indirectly put the contents of the otherwise privileged communication in issue: see [Commissioner of Taxation v Rio Tinto Limited [2006] FCAFC 86; (2006) 151 FCR 341 (Rio Tinto)] at [65]. Indeed, even the fact that the holder of the privilege makes clear that the advice was relevant or contributed to a particular course of conduct would not be sufficient to waive the privilege unless, possibly, the contents of the legal advice (and not merely the fact of the advice) are specifically put in issue by relying on the contents of the advice to vindicate a claimed state of mind: [Rio Tinto] at [67].
84 In DSE Allsop J said at [58]:
… It is sufficient to understand, I think, that in most undue influence cases (and in Thomason when its circumstances are appreciated) the party entitled to the privilege makes an assertion (express or implied), or brings a case, which is either about the contents of the confidential communication or which necessarily lays open the confidential communication to scrutiny and, by such conduct, an inconsistency arises between the act and the maintenance of the confidence, informed partly by the forensic unfairness of allowing the claim to proceed without disclosure of the communication. Read with an understanding of the effect of the then governing influence of Attorney General (NT) v Maurice (1986) 161 CLR 475 on the views of Hodgson J, the above expression of the matter is consistent with the expression of principle by Hodgson J in Standard Chartered.
(italics in original)
85 Ms Morton submits that DSE identifies two forms of waiver. Where the party entitled to claim privilege makes an express or implied assertion or brings a case (a) about the contents of a communication; or (b) which necessarily lays open the confidential communication to scrutiny. She submits that proposition (b) applies to the facts of the present case. In this context it might be thought that the language of DSE leaves open a broader form of waiver than that expressed in Ferella. However, the preferable view is that the underlying principle in both remains the same, namely where there is an express or implied assertion about the content of confidential communications between a party and its legal adviser, then fairness to the other party may mean that this assertion has to be taken to be a waiver. This is apparent from the final sentence in the above passage from DSE when read with [57] of that judgment.
86 The question of whether this form of waiver arises depends in every instance upon the character of the case and how it is conducted; Rio Tinto at [60]. In my view, Bolinda has not in its cross-claim, directly or indirectly, put the contents of the privileged documents in issue, within either proposition (a) or (b).
87 The pleading asserts at [41] that Bolinda's alleged repudiation, breach or breaches of the publishing agreements were made on the basis of a mistake in relation to the proper recipient of the payments or were otherwise accidental, trivial, slight, inadvertent and not wilful. The factual basis for these contentions is said to arise from the chronology of events to which reference is made above. In particular; on 8 February 2016, Ms Morton informed Bolinda that she had terminated the agency between herself and Ms Anthony and directed Bolinda to pay all amounts owing to Ms Morton directly; on 10 February 2016, Bolinda was informed by Ms Anthony that she was now in dispute with Ms Morton and intended to take legal proceedings against Ms Morton; on 12 February 2016, Bolinda informed Ms Morton that in light of the dispute between Ms Anthony and Ms Morton, Bolinda would withhold payments due under the publishing agreements until the dispute had been resolved; on 15 February 2016, Ms Morton asserted fundamental breach against Bolinda on the basis that it was withholding payments due to Ms Morton; as at that date no royalties were payable by Bolinda under the agreements; on 22 March 2016, Ms Morton purported to terminate the publishing agreements and, as of that date, no royalties or other amounts were due and payable; on 23 March 2016, Ms Anthony issued the Supreme Court proceedings against Ms Morton; on 29 March 2016, Bolinda informed Ms Morton that it remained willing and ready to make payment in fulfilment of its obligations under the publishing agreements, that there was no breach of the agreements as at that date and that upon receiving confirmation that Ms Morton had withdrawn the termination notice, Bolinda would make payments that were due; on 30 March 2016, Bolinda received a letter from Ms Anthony asking Bolinda to pay royalties to her or to hold those amounts in escrow pending resolution of the dispute; on 31 March 2016, Bolinda was served with a copy of a summons filed in the Supreme Court proceedings.
88 The particular character of the present pleading does not of itself "lay open" the privileged communications between Bolinda and Mr Choy to scrutiny. The mistake alleged which is said to give rise to relief against forfeiture arises from the circumstances pleaded, which amount to an allegation that Bolinda was caught in the middle between competing claims to some or all of the royalty payments. Accordingly, no issue waiver applies.
89 Ms Morton also relies on the contents of Ms Herrmann's affidavit at [84]. This paragraph does not rely on the contents of the communications from Mr Choy to vindicate Bolinda's state of mind. Accordingly, this paragraph does not constitute an issue waiver within the authorities. The result is that Ms Morton is not entitled to access documents 1 to 11.