Restraining solicitors from acting
28 In recent times applications to restrain solicitors from acting against clients or former clients have arisen not infrequently and have been the subject of detailed consideration in Australian courts, in particular in Spincode Pty Ltd v Look Software Pty Ltd (2001) 4 VR 501 (Victorian Court of Appeal), Bureau Interprofessionnel des Vins de Bourgogne v Red Earth Nominees Pty Ltd [2002] FCA 588 (Ryan J), Photocure ASA v Queen's University at Kingston (2002) 56 IPR 86 (Goldberg J) and Geelong School Supplies Pty Ltd v Dean [2006] FCA 1404 (Young J). The leading English authority is the House of Lords' decision in Prince Jefri Bolkiah v KPMG (a firm) [1999] 2 AC 222.
29 It is not necessary to review these authorities in detail. The issues calling for resolution in the present case are within a short compass.
30 Since BDW never acted for Mr Salfinger or Arkaroola, and indeed have always acted against them, this case does not present the situation of a solicitor acting against a present or former client.
31 I will assume for present purposes that Mr Salfinger has made out a case with sufficient particularity that confidential information concerning his affairs and those of Arkaroola passed into the possession of Mr Lindwall and Ms Schweirkert when they were at Corrs. Such confidential information would extend to what Gillard J in Yunghanns v Elfic Ltd (Supreme Court of Victoria, unreported, 3 July 1998) has characterised as the "getting to know you" factors. His Honour said at 10-11:
"In some cases the circumstances of the retainer and the nature of the legal work will be sufficient to establish the nature of the confidential information. In this regard the relationship between solicitor and client may be such that the solicitor learns a great deal about his client, his strengths, his weaknesses, his honesty or lack thereof, his reaction to crisis, pressure or tension, his attitude to litigation and settling cases and his tactics. These are factors which I would call the 'getting to know you' factors. The overall opinion formed by a solicitor of his client as a result of his contact may in the circumstances amount to confidential information that should not be disclosed or used against the client."
See also Mintel International Group Ltd v Mintel (Australia) Pty Ltd (2000) 181 ALR 78 at [37]-[44].
32 However, the critical question is whether the knowledge of Mr Lindwall and Ms Schweikert should be imputed to other lawyers at BDW. In Red Earth at [34] Ryan J said:
"It is now well established that the knowledge of a solicitor joining a new firm should not automatically be imputed or attributed to other lawyers or employees at that firm (see Re a Firm of Solicitors [1992] QB 959 at 973, per Staughton LJ; Unioil International Pty Ltd v Deloitte Touche Tohmatsu (1997) 17 WAR 98, per Ipp J at 110-111; Newman v Phillips Fox (1999) 21 WAR 309, per Steytler J; Bolkiah (supra) at 235). As Lord Millett said in Bolkiah, whether a particular individual is in possession of confidential information is a question of fact to be proved or inferred from the circumstances of the case: (Bolkiah at 235. See also the observation of Steytler J in Newman v Phillips Fox (supra)at 317).
33 Applying that principle, and assuming the onus is on BDW, I am satisfied that no relevant information was passed on to anyone at BDW. The detailed evidence both from Mr Lindwall and Ms Schweirkert and from solicitors at BDW, the veracity of which was not challenged, enables that conclusion to be safely drawn. The circumstances point the same way. A large and reputable firm like BDW would be aware of the obvious potential conflict when a solicitor previously acting on the other side of litigation has joined them. This would be clear, notwithstanding that Corrs had ceased acting for Arkaroola some six months earlier. So there was all the more reason to take positive steps, such as notifying the former client of Mr Lindwall and going out of their way to ensure that he had nothing to do with any matters relating to that client.
34 As events have turned out, Mr Lindwall and Ms Schweikert left BDW before the present Federal Court litigation commenced so the risk of even accidental communication of relevant information hereafter can be ignored.
35 Mr Salfinger raised one particular matter. In early January 2001 he retained Mr David Finney of C & B Consultants of Cairns to prepare an expert's report and supporting affidavit for the Queensland proceeding. On Mr Salfinger's instructions Mr Lindwall and Mr Andreatidis prepared a brief for Mr Finney which contained confidential information and sent it to him on 9 March.
36 Mr Salfinger called Mr Finney in July and August 2001 to request the affidavit and again in September when he was given an "evasive response" and was told that C & B was not now willing to provide the affidavit and report.
37 On 4 September 2002, ie a year later, he called C & B to see if it were possible to get the affidavit in support of their report. On the same day he received a fax from C & B stating that they were now able to provide the affidavit to support the report. It stated:
"Rod, Further to or discussion today, please note that C & B will prepare an affidavit to support the 2001 Tailings Dam Seepage Contamination Report and follow up letter report of 10 January 2002, however because of our conflict of interest concern, we could only undertake the work after completion of our current Niugini Mining project. This project is likely to be completed in 4 weeks"
38 I do not see how this matter is relevant to the present application. It would appear that C & B provided some kind of report in early 2002 but by this time Corrs had ceased to act for Arkaroola and Mr Lindwall and Ms Schweikert had left Corrs.
39 I order that:
- The application be dismissed with costs.
- The Directions Hearing be adjourned to 5 June 2007 at 9.30 am.
I certify that the preceding thirty-nine (39) numbered paragraphs are a true copy of the Reasons for Judgment herein of the Honourable Justice Heerey .