It is the Authority that is the body entrusted with the power to grant a licence for the sale or supply of liquor within a casino (S 18).
57 Pursuant to Reg 103 a licensee may refuse to admit, or turn out, any person who is, inter alia, intoxicated. This has a relevance in so far as it shows that the casino has a lawful fight to refuse further patronage to an intoxicated gambler.
58 Regulation 125 provides:
"125 Conduct on licensed premises
(1) A licensee must not:
(a) …
(b) permit intoxication, or any indecent, violent or quarrelsome conduct, on the licensed premises.
Maximum penalty: …50 penalty units …
(2) …
(3) A person (whether or not the person is the licensee) must not, on licensed premises, sell or supply liquor to any person who is at the time in a state of intoxication.
Maximum penalty: 50 penalty units.
(4) If a person is intoxicated on licensed premises, the licensee is taken to have permitted intoxication on the licensed premises unless the licensee proves that the licensee and his or her employees took the steps set out in subsection (5) or all other reasonable steps to prevent intoxication on the licensed premises.
(5) For the purposes of subsection (4), the following are the relevant steps:
(a) asked the intoxicated person to leave the premises,
(b) contacted, or attempted to contact, a police officer for assistance in removing the person from the premises.
(c) refused to serve the person any alcohol after becoming aware that the person was intoxicated.
59 Provision is made for complaints, and for disciplinary action, concerning non compliance with the provisions of liquor licenses held in relation to casino premises, and the commission of offences under the modified provisions applicable to the licensed operations of the casino. Among the specified grounds for complaint are those nominated in S68(1):
"68 Grounds for complaint
(1) The grounds upon which a complaint may be made under section 67(1) in relation to a licensee or a manager of licensed premises are:
(a) …
(b) that the licensee or manager has been guilty of a breach of a condition of the licence concerned.
(c) that the licensee or manager has failed to comply with a direction or order of the Authority given or made under this Act and specified in the compliant.
(d) (e) …
(f) that the licensee or manager has engaged in conduct or activities that are likely to encourage misuse or abuse of liquor (such as binge drinking or excessive consumption),
(g) that intoxicated persons have frequently been on the licensed premises or have frequently been seen to leave those premises, …."
60 The Regulations continue:
"69 Disciplinary powers of Authority
(1) The Authority is to consider and determine the matter of a complaint and any submissions duly made in relation to the complaint and, if it is satisfied that the ground upon which the complaint was made has been established may, unless subsection (4)applies, do any one or more of the following:
(a) reprimand the licensee or manager,
(b) order the licensee or manager to pay to the Crown a monetary penalty not exceeding 500 penalty units or, if circumstances of aggravation exist in relation to the complaint, not exceeding 1,000 penalty units,
(c) impose a condition to which the licence is to be subject or revoke or vary a condition to which the licence is subject,
(d) suspend the licence for a specified period,
(e) cancel the licence,
(f) disqualify the licensee from holding a licence for such period as the Authority thinks fit,
(g) in the case of a manager of licensed premises, withdraw the manager's approval by the Authority to manage licensed premises,
(h) in thecae of a manger of licensed premises, disqualify the manager from being the holder of an approval to manage licensed premises,
(i) where the ground established is the ground referred to in section 68(1) (e) or (n), give such directions as to the exercise of the licence as it thinks fit, or
(j) takes no action.
(2) …
(3) Where the Authority determines under subsection (1) that the matter of complaint has been established, the Authority may, whether or not it acts under that subsection:
(a) reprimand:
(i) a person required by section 67 (7) (b) or (c) to be served with a copy of the complaint, or
(ii) a person who occupies a position of authority in the body corporate that holds the licence, or
(iii) a director of, or shareholder in, a proprietary company required to be so served, or
(iv) a director of, or shareholder in, a corporation that, within the meaning of the Corporations Law, I is a related body corporate of a proprietary company referred to in subparagraph (iii),
(b) order a person, director or shareholder referred to in paragraph (a) to pay to the Crown a monetary penalty not exceeding 500 penalty units or, if circumstances of aggravation exist in relation to the complaint, not exceeding 1,000 penalty units,
(c) disqualify, for a period commencing on a specified day, a person, director or shareholder referred to in paragraph (a) from being:
(i) a person interested in a business, or in the profits of a business, carried on pursuant to a licence (within the meaning of section 38(3)) or a person who occupies a position of authority in a body corporate that holds a licence, or
(ii) a director of, or shareholder in, a proprietary company so interested or a corporation that, within the meaning of the Corporations Law is a related body corporate of such a proprietary company,
unless it is proved that the person, director or shareholder had no knowledge of the matter upon which the complaint was made out and used all due diligence to obviate the necessity for the complaint."
61 These provisions take their place alongside S79 of the principal Act, pursuant to which a casino operator may give an order prohibiting a person from entering or remaining in a casino, of its own motion (S79(1), or upon the person's voluntary application (S79(3). An exclusion order made under this provision is subject to review (S80). A person who contrary to an exclusion order, enters or remains in a casino is liable to a pecuniary penalty (S84) and an obligation is imposed upon the person in charge of the casino, agents of the casino operator and casino employees, to remove a person whom they know to be the subject of an exclusion order (S85). This provision similarly has relevance so far as it confers an additional lawful right, in the casino operator , to ban certain persons.
62 It is in the light of this comprehensive regulatory framework that the Statutory counts need to be considered. The broad submission of the defendant is that, within a context in which only one casino is to be licensed at any given time (S6), in which a Casino Control Authority is established with comprehensive objects and powers designed to regulate and control every aspect of the operations of the casino, in which penal and disciplinary consequences exist for breaches of the Act, Regulations and licence conditions, and in which obligations arise for the payment of a casino duty (S 114) as well as of a community benefit levy (S 115), the Act cannot be construed as having been intended to give a private right of action for damages. In this regard, it was pointed out that the Act and regulations are silent as to the existence of any such right.
63 The question whether a breach of a duty arises under Statute was the subject of consideration in Sovar v Henry Lane Pty Ltd (1967) 116 CLR 397, where Kitto J said, at 404 to 406:
"In the case of an enactment … prescribing conduct to be observed by described persons in the interests of others who, whether described or not, are indicated by the nature of a peril against which the prescribed conduct is calculated to protect them, the prima facie inference is generally considered to be that every person whose individual interests are thus protected is intended to have a personal right to the due observance of the conduct, and consequently a personal right to sue for damages if he be injured by a contravention: see Whittaker v Rozelle Wood Products Pty Ltd (1936) 36 SR (NSW) 204; 53 WN 71. At least this is so where the evil provided against is one of personal injury and the relationship existing between the person enjoined and the person protected is one which is recognised by the common law as giving rise to a duty on the part of the former to take precautions for the safety of the latter: O'Connor v S.P. Bray Ltd (1937) 56 CLR 464 at 478. But at the outset of every inquiry in this field it is important, in my opinion, to recognise … that the question whether a contravention of a statutory requirement of the kind in question here is actionable at the suit of a person injured thereby is one of statutory interpretation. The intention that such a private right shall exist is not, as some observations made in the Supreme Court in this case may be thought to suggest, conjured up by judges to give effect to their own ideas of policy and then 'imputed' to the legislature. The legitimate endeavour of the courts is to determine what inference really arises, on a balance of considerations, from the nature, scope and terms of the statute, including the nature of the evil against which it is directed, the nature of the conduct prescribed, the pre-existing state of the law, and, generally, the whole range of circumstances relevant upon a question of statutory interpretation: see Martin v Western District of the Australasian Coal and Shale Employees' Federation Workers' Industrial Union of Australia (1934) 34 SR (NSW) 593 at 596, and cases there cited. It is not a question of the actual intention of the legislators, but of the proper inference to be perceived upon a consideration of the document in the light of all its surrounding circumstances. …
A particular difficulty arises where the enactment which prescribes the conduct is accompanied by the express provision of a criminal sanction for the enforcement of its requirements. On the prima facie principle that expressio unius est exclusio alterius there is ground for a countervailing inference of an intention that in the event of a contravention the specifically provided remedy shall be the only remedy; cf Cutler v Wandsworth Stadium Ltd (1949) AC 398.
64 Earlier, in O'Connor v S.P. Bray Ltd (1937) 56 CLR 464, Dixon J said (at 477-478):
"The received doctrine is that when a statute prescribes in the interests of the safety of members of the public or a class of them a course of conduct and does no more than penalise a breach of its provisions, the question whether a private right of action also arises must be determined as a matter of construction. The difficulty is that in such a case the legislature has in fact expressed no intention upon the subject, and an interpretation of the statute, according to ordinary canons of construction, will rarely yield a necessary implication positively giving a civil remedy. As an examination of the decided cases will show, an intention to give, or not to give, a private right has more often than not been ascribed to the legislature as a result of presumptions or by refluence to matters governing the policy of the provision rather than the meaning of the instrument. Sometimes it almost appears that a complexion is given to the statute upon very general considerations without either the authority of any general rule of law or the application of any definite rule of construction … In the absence of a contrary legislative intention a duty imposed by statute to take measures for the safety of others seems to be regarded as involving a correlative private right, although the sanction is penal, because it protects an interest recognised by the general principles of the common law. After the full discussion of the authorities by Jordan CJ in Martin v Western District of the Australian Coal and Shale Employees' Federation Workers Industrial Union of Australia (Mining Department ) (1934) 34 SR (NSW) 593 at 596 et seq; 51 WN (NSW) 203 at 204 and Whittaker v Rozelle Wood Products Pty Ltd (1936) 36 SR (NSW) at 207 et seq; 53 WN (NSW) at 71, 72, it would be superfluous to refer to them. Whatever wide rule may ultimately be deduced, I think it may be said that a provision prescribing a specific precaution for the safety of others in a matter where the person upon whom the duty laid is, under the general law of negligence, bound to exercise due care, the duty will give rise to a correlative private right, unless from the nature of the provision or from the scope of the legislation of which it forms a part a contrary intention appears."
65 Reference may also be made to Stubbs v NRMA Insurance Ltd (1997) 42 NSWLR 550, where Mason P cited the passage extracted from the judgment of Kitto J, in Sovar above noted.
66 Reliance was placed by the plaintiff upon the report of Sir Lawrence Street AC KCMG "Inquiry into the Establishment and Operation of Legal Casinos in New South Wales" ('the Street Report") and upon the second reading speech in relation to the Casino Control Bill in the Legislative Assembly, on 5 March 1992. In the Street Report, there was a great deal of discussion in relation to the impact of problem gambling on individuals and families, and as to the existence of serious human costs relating to this form of activity (para 4.4.23). The report also noted the problem of junkets and inducements when used to attract and hold gamblers, and made reference to the desirability of the Authority giving consideration to guidelines in this connection (para 4.6.13).
67 Additionally, there was reference to the desirability of widening the objects of the Authority to include consumer protection initiatives, and to the taking of reasonable steps to control the potential of harm to the public interest and to individuals and families (para 4.7) - a matter taken up in S 140(d) of the Act noted earlier.
68 In the second reading speech, Mrs Cohen, the Chief Secretary, recorded the concerns of the government about the social impact of legalised casino gambling, which had led to the public inquiry. Reference was made to the recommendation of the Inquiry to amend the draft legislation, in order to widen the objects of the Authority, so as to meet this concern.
69 Together, it was the plaintiff's submission that the report and the speech, to which reference might legitimately be had under S 34 of the Interpretation Act 1987 (NSW), set an environment in which acceptance by the Legislature of the existence of legitimate concern for the potential impact of the casino upon individuals should be inferred, and the Act and regulations should be construed in that context.
70 In relation to the provision of free alcohol as an inducement to a potential gambler, reliance was placed in particular on S 163 and regulation 20. Those provisions, as I have observed, are supplemented by the modified provisions of the Liquor Act. The defendant, however, submitted that even if it were to be accepted that S 163 was intended to protect intoxicated persons from suffering financial loss through gambling, and that regulation 20 was intended to dissuade the casino from encouraging persons to gamble by the offer of free alcohol, it did not follow that there was any legislative intent to confer a private right of action for breach of any such provision.
71 It was submitted first that the cases, where an implied right to bring an action for damages for breach of statutory duty has been recognised, have been mainly in the area of the regulation of standards of work, where there is not only a risk of physical injury, but also a general common law duty of care. The difference was said to lie in the circumstance that in the case of a casino which is open to the public at large, there is no particular class of persons in respect of whom the protection is intended. The plaintiff however replied that there is such a class of person, namely those who are prone to gambling while intoxicated or to being lured into that activity by the blandishment of free alcohol.
72 By analogy the defendant referred to certain authorities in relation to analogous provisions under State or Territory Liquor Licensing legislation which prohibited, under penalty of an offence, the sale or supply of liquor to an intoxicated person. In Chordas v Bryant (Wellington) Pty Ltd (1988) 20 FCR 91, the Full Federal Court held that such a provision (S 79 of the Liquor Ordinance (ACT)) did not confer a private right of action for damages resulting from its breach.
73 Applying Sovar and following Abela v Giew (1965) 65 SR (NSW) 485 (a decision in relation to a breach of a regulation made under the Motor Traffic Act 1909 (NSW)) it was held (at 102) that no such right of action was conferred because the Section "was enacted in the general public interest not for the protection of persons who may be injured by the conduct of intoxicated persons". The Ordinance in which the regulation appeared was intended, so it was held, to "protect the public interest by regulating the sale of intoxicating liquor, so as to protect those who by over indulgence or because of youth or mental ill health are at risk from its abuse: see Commissioner of Police v Cartman (1896) 1 QB 655 at 657; Cundy v Le Cocq (1884) 13 QBD 207 at 209 and Luff v Oakley (1986) 82 FLR 91 at 101."
74 In Soutter v P & O Resorts Pty Ltd (Court of Appeal Queensland, 13 March 1998 unreported) the Court accepted that, while it may have been reasonable to treat a provision in the Liquor Act 1912 (Qld) creating an offence for a licensee to allow various classes of undesirable persons, including drunken persons, to be upon licensed premises (S 78), as having been intended to protect a particular class of persons, namely the reputable patrons of the licensed premises, from harm or annoyance at the hands of those persons, it was difficult to take the next step to impute an intention to create a civil cause of action.
75 Pincus J, with whom McPherson JA and Fryberg J agreed, said (at 111):
"Courts have been very ready to treat statutes governing conditions at places of work as conferring a right of action as for a breach of statutory duty upon injured employees, but it does not appear to me that the spirit of those cases has ruled in other areas. A strong example of that attitude is the view which was favoured in Hargrave v Goldman (1963) 110 CLR 40, as to the effect of a statute requiring the occupier of land to extinguish certain fires… Although the purpose of that legislation must surely have been, or included protection of neighbouring properties, that was apparently thought not to be enough to give rise to a cause of civil action. In Abela v Giew (1965) 65 SR (NSW) 485, it was held that regulations governing the behaviour of operators of motor traffic do not confer any private right of action upon injured persons."
76 His Honour also noted that in: R v Deputy Governor or Parkhurst Prison, ex parte Hague(1992) 1 AC 58, there had been a denial of the proposition that the question is simply whether the legislature intended to confer protection from damage, and continued:
"To find a right of action one must go further and consider whether the intention was to confer one: see at 159, 170, 171. The question is said not to be exactly one of construction: Stovin v Wise (1996) AC 923 at 952.
Where the Statute prescribes a relatively modest penalty for breach it may sometimes seem harsh to impose upon the offender, as within the legislative intention, an unlimited liability for damages as well. It will not necessarily be right to do that where the offender would not otherwise be liable to pay damages, for example, on the ground of negligence. (at pp 111-112)
77 Master Harrison considered it arguable that these decisions might be distinguished upon the basis that the liquor legislation was concerned with the problems associated with the consumption of alcohol per se, and not with the problems attributable to its consumption in combination with the activity of gambling; and upon the further basis that the present legislation was directed to the protection of a particular class of persons, namely intoxicated gamblers, and not the public at large.
78 When considering the question of construction, the Master thought it necessary to view the relevant provision (which was then S 163, but now also includes Regulation 20) in the light of the other provisions of the Act, including S 140(d) (wrongly referred to in the reasons as S 143(d)). That section states that one of the objects of the Authority is to maintain and administer systems for the licensing, supervision and control of a casino for the purpose of containing and controlling its potential to cause harm to the public interest and to individuals and families. In those circumstances, and in circumstances where the full facts were as yet unexplored and there had been no judicial determination of the extent of the obligations and responsibilities of the Authority, or of casino operators towards patrons, the conclusion by the Master was reached that the plaintiff's argument was not untenable.
79 In relation to S 70(1)(g) (the provision said to be applicable so far as the financial inducements were concerned) Master Harrison expressed the view that this provision seemed to have been intended to establish whether a casino operator had complied with the conditions of its licence (under pain of the disciplinary action provided for in S 23) rather than having been intended to apply to protect patrons who were subject to inducements. Although weak, the conclusion was reached that such a claim could not be dismissed as untenable or hopeless.
80 I have come to a contrary conclusion to the Master in relation to the statutory counts. To determine the question of construction referred to in Sovar and O'Connor it is necessary to have regard to the Statute as a whole: see King v Goussetis (1986) 5 NSWLR 89 at 93 per McHugh JA and Byrne Australia Airlines Limited (1985) 185 CLR 410 at 424 per Brennan CJ and Dawson and Toohey JJ, where their Honours said:
"A cause of action for damages for breach of statutory duty arises where a statute which imposes an obligation for the protection or benefit of a particular class of persons is, upon its proper construction, intended to provide a ground of civil liability when the breach of the obligation causes injury or damage of a kind against which the statute was designed to afford protection".
81 The question of construction posed is not, however, answered by asking whether the enactment is for the protection of the public at large, or for the benefit of a class of persons of which the plaintiff is a member: see Onus v Alcoa of Australia Limited (1981) 149 CLR 27 at 67-68.
82 As noted earlier, there is a presumption that, when an enactment creates an obligation and provides a means for securing compliance with the obligation, then the remedy so provided is exclusive: Doe d Rochester (Bishop) v Bridges (1831) 1B and Ad 847 at 859; 109 ER 1001 AT 1006; Pasmore v Oswaldstwistle Urban District Council (1898) A C 387 at 394-395; and Kinzet v McCourt (1999) 46 NSWLR 32 at 43 per Spigelman CJ. In Josephson v Walker (1914) 18 CLR 691, this presumption was said by Griffiths CJ (at 697) to be:
"… a very strong presumption which may be rebutted if there are sufficient grounds for thinking that the language of the Act itself shows that the legislature intended that the mode of enforcing the obligation should be the only mode, but that the party should also be entitled to have recourse to any ordinary means of enforcing it under the general law".
83 In this regard a criminal penalty has been regarded as a means of enforcing obligations of the kind which Griffiths CJ had in mind: Cutler v Wandsworth Stadium Ltd (1949) A C 398 at 407-408, 411 and 413.
84 It may be accepted, as the plaintiff, submitted that this principle has been progressively watered down, it having been held in a number of instances, especially in the field of employer-employee relations, that the existence of a penalty for breach of a relevant prohibition or obligation, did not exclude the existence of a private right of action. So it was that Dixon J in O'Connor observed that, in the absence of a contrary legislative intention, the existence of a duty imposed by statute to take measures for the safety of others seemed to be regarded as involving a correlative private right, even though the sanction was penal.
85 The existence of such a sanction is accordingly but one factor to be taken into account.
86 It was submitted in support of the Master's conclusion that it was proper to take into account when construing the Act, matters of underlying policy as identified in the Street Report, and the Second reading speech, concerning the need for the protection of gamblers and their families and society at large, and in that regard to give effect to a construction that would promote the purpose or object underlying the legislation, in preference to one that would not have that result (S 33 of the Interpretation Act 1897).
87 In my view, however, the comprehensive regulatory scheme set up under the Act and Regulations, which includes the establishment of a body charged with monitoring legal casino gaming in the State and supervising compliance by casino operators and staff, and which provides for criminal and civil sanctions, as well as for disciplinary action in the event of any contravention of the Act, Regulations or licence conditions, is such that the requisite legislative intention to confer a private right of action for damages is lacking. The Street Report and the second reading speech point, in my view, towards the establishment of a regulatory scheme as the means of addressing the negative impacts of legalised gambling. There is nothing in that material, or in the Act itself, to suggest that there should be a private right of action additional to the obligations imposed upon casino operators. Indeed, the presence within the Act of S 34, under which jurisdiction is vested in the Supreme Court, at the suit of the Authority, to restrain contraventions of the Act, or of licence conditions, points in the opposite direction.
88 An examination of the specific provisions upon which the plaintiff seeks to rely does not assist his argument. So far as he relies on S70, it can be seen that the contravention alleged is of a licence condition. It is difficult to see how a private right to damages could apply in relation to an obligation so created, even though non compliance could lead to action by the Authority. In any event it appears to me that this provision is directed towards ensuring that touts and urgers are not deployed outside or within casino premises. Any wider interpretation would place restrictions on the use of promotional material, advertising and the like, that would be unwarranted.
89 The legislative scheme does in fact contemplate the offer of individual inducements - see SS 76 and 75 noted above. So far as regulation 20 is concerned, the prohibition of the offer of free liquor is also not absolute, an exception being permitted for its provision in accordance with a direction of the Authority (sub par 1), or within certain designated or reserved areas (sub par 2). The existence of a maximum penalty for a breach of this regulation of 50 penalty units ($5,500 as at 2 July 1997), the authority for the making of which is derived under SS 76(1)(b) and 170 (1) of the Act, points in my view
against the existence of a private right of action.
90 In relation to the remaining inducements, ie the offer of business contracts for the provision of services to the casino, it is to be noted that the entry into controlled contracts and into notifiable contracts is the subject of a regulatory mechanism. Whether the contracts alleged in the present case fall into this category does not appear, upon the face of the statement of claim. The point, however, is that there is no absolute prohibition upon the casino entering into any contract of this kind, with a person such as the plaintiff.
91 The final matters of relevance under this head of claim are the provision of free liquor to the plaintiff (contrary to Reg 20), the provision of liquor to him while intoxicated (contrary to the modified provisions of the Liquor Act noted above); and selling liquor to him while he was in the gaming area, and permitting him to gamble, in each case while he was intoxicated (contrary to S 163).
92 I am not persuaded that the present case differs, in any material respect from those of Chordas and Soutter, where upon the construction of the analogous provisions under licensing laws, it was held that no private right for damages was conferred.
93 Accordingly, I am of the view that the statutory claims are untenable, and that so much of the statement of claim as depends upon them should be struck out.
94 I observe in passing that I have not found it necessary in coming to this conclusion, to deal with the further argument of the defendant to the effect that if, upon their proper construction, the regulations relied upon do confer a private right of action for damages, then they would be ultra vires, cf Darling Island Stevedoring & Lighterage Company Limited v Long (1957) 97 CLR 36, Utah Construction and Engineering Pty Ltd v Pataky (1966) A C 629 at 640-641, and Byrne v Australian Airlines Ltd (1995) 185 CLR 410 at 461-462.