First respondent's responsibility for pre-incorporation events
22 The first issue is unique to the applicant's claims against the first respondent. In short, the first respondent complains that the claims against it are bad as a matter of law because the representations alleged to found the allegedly contravening conduct occurred prior to the first respondent's incorporation.
23 For this purpose, the relevant chronology (as alleged by the applicant) is as follows:
(a) 11 representations were made to the applicant between 18 March and 8 April 2016: Proposed Statement of Claim, paras 13-27;
(b) those representations caused the applicant, on 8 April 2016, to transfer funds to a bank account (Proposed Statement of Claim, para 30), which it seems was owned by the seventh respondent: Proposed Statement of Claim, sub-para 45(a);
(c) at the time of the representations, the seventh respondent did not own land, or an interest in the land, or in the development: Proposed Statement of Claim at [32(a)];
(d) the first respondent was incorporated on 12 April 2016: Proposed Statement of Claim at [2];
(e) the second respondent was a director of the first respondent from 12 April 2016 to 24 September 2018: Proposed Statement of Claim at [6(a)]; and
(f) on 5 September 2016, the first respondent took title to the relevant land: Proposed Statement of Claim at [39(b)].
24 After the Proposed Statement of Claim characterises the representations as, amongst other things, contravening ss 1041E, 1041F and 1041H of the Act (para 38), the involvement of the first respondent in the contravening conduct is addressed as follows:
39. The first respondent is involved in the contraventions of ss 1041E and 1041F and 1041H of the Corporations Act by [the second respondent] as:
a. it had actual knowledge of the Investment as its director on incorporation on 12 April 2016 was [the second respondent];
b. it took title to 1091 Plenty Road and / or 3 Snake Gully Drive, Bundoora VIC 3083 on which the "Bundoora Parc Vue" apartment complex, identified as Lot 32 on Plan of Subdivision 734543R, upon its creation by instrument PS734543R on 5 September 2016 (the Land);
c. [the second respondent] remained a director of the first respondent until 9 September 2016;
d. it did not grant any rights to the seventh respondent equivalent to the Representations;
e. by reason of the foregoing, was involved - within the meaning of the Corporations Act - by act or omission and knowingly concerned in the contraventions of the Corporations Act by [the second respondent];
f. further and in the alternative, by reason of the foregoing conspired with [the second respondent] in the contraventions of the Corporations Act.
25 As a result, the Proposed Statement of Claim provides that the first respondent is liable to account for certain losses (paras 42 and 46), or otherwise holds proceeds from the sale of apartments on the relevant land on constructive trust (paras 47 and 48(f)).
26 The first respondent responds by rhetorically asking what it did within the five months between being incorporated and obtaining title to the land to implicate it in the wrongs alleged against the second respondent. The first respondent further asks what the connection is between any conduct of the first respondent (or event concerning the first respondent) and the applicant's loss. In particular, the first respondent cites BJ McAdam Pty Ltd v Jax Tyres Pty Ltd (No 3) [2012] FCA 1438 at [18]-[24] per Perram J to the effect that it is impossible at common law for a company, upon incorporation, to ratify a contract entered into prior to incorporation. However, my sense is that the authorities regarding the corporate ratification of contracts may offer little assistance when it comes to characterising corporate involvement in conduct for statutory purposes. It is instead necessary to look to the statutory wording.
27 According to para 39 of the Proposed Statement of Claim, the vice in the first respondent's conduct was being "involved in the contraventions of ss 1041E and 1041F and 1041H of the [Act] by [the second respondent]". According to para 38 of the Proposed Statement of Claim, those contraventions pertained exclusively to the making of certain representations. No conduct subsequent to the making of those representations was said to amount to contravening conduct under the Act (although the subsequent events were relevant to, amongst other things, the applicant's alleged reliance and incurring of loss or damage). Could the applicant be "involved" in the making of the representations, even though it was not incorporated at that time?
28 Where the applicant is seeking an order for damages pursuant to s 1041I of the Act, which relevantly applies in respect of a person "involved" in a primary contravention (see above at [11]), it is necessary to consider the sense in which the Act refers to such involvement. For this purpose, s 79 of the Act provides as follows:
79 Involvement in contraventions
A person is involved in a contravention if, and only if, the person:
(a) has aided, abetted, counselled or procured the contravention; or
(b) has induced, whether by threats or promises or otherwise, the contravention; or
(c) has been in any way, by act or omission, directly or indirectly, knowingly concerned in, or party to, the contravention; or
(d) has conspired with others to effect the contravention
29 A review of this statutory definition reveals that each form of identified conduct in relation to the primary contravention - aiding, abetting, counselling, procuring, inducing, being knowingly concerned in, being a party to, or conspiring to effect - could only have been performed prior to, or at the time of, the primary contravention: Australian Securities and Investments Commission v Australian Investors Forum Pty Ltd (No 2) [2005] NSWSC 267; 53 ACSR 305; 23 ACLC 929 (Australian Investors Forum (No 2)) at [113]-[118] per Palmer J; see also Yorke v Lucas [1985] HCA 65; 158 CLR 661 at 670 per Mason ACJ, Wilson, Deane and Dawson JJ. As Palmer J expressed in Australian Investors Forum (No 2) at [118], "[n]one of the paragraphs in s 79 permit of a construction which encompasses within "involvement" doing something after the contravention has already been committed and is complete, even if what is later done is to conceal, ratify or knowingly derive benefit from the contravention".
30 It follows that the applicant, who was incorporated on 12 April 2016, could not have been "involved" (within the sense relevant to s 79 of the Act) in the making of the impugned representations, which occurred between 18 March and 8 April 2016. As such, this particular allegation against the first respondent, as currently pleaded, is bad at law.
31 I also add (without deciding) that, to the extent that the applicant intends to plead that the first respondent was a joint tortfeasor with the second respondent in connection with a deceitful making of representations (as further discussed below), that allegation may face similar obstacles: see Thompson v Australian Capital Television Pty Ltd [1996] HCA 38; 186 CLR 574 at 580 per Brennan CJ, Dawson and Toohey JJ, as cited in the first respondent's written submissions.
32 The paragraphs containing the allegations in relation to the first respondent's involvement in the representations are liable to be struck out. In isolation, this defect with the Proposed Statement of Claim may have been capable of severance from the balance of the allegations. However, there are broader issues with the applicant's proposed pleadings.