INTRODUCTION
1This judgment determines two motions arising out of a de facto relationship which has been the subject of:
(a) a purported "Termination Agreement" made between the parties pursuant to Part 4 of the Property (Relationships) Act 1984 NSW; and
(b) a judgment of the Supreme Court of Queensland, published as VTMVS v MREM [2009] QSC 393, in which an application by the present plaintiff for a property adjustment order under Part 19 Division 4 of the Property Law Act 1974 QLD (the Queensland equivalent of the Property (Relationships) Act 1984 NSW) was dismissed.
2By a statement of claim filed in this Court on 15 June 2010 the plaintiff applied for relief to the following effect: (a) an order under s 18 of the NSW Act that she be granted leave to make an application for an order under Part 3 of the Act (for an adjustment of property rights) outside the time limited by that section for the making of such an application; (b) an order under s 20 of the NSW Act adjusting the parties' property rights; and (c) insofar as the purported Termination Agreement may constrain her application for an adjustment order by reason of s 47 of the NSW Act, an order that the Termination Agreement be declared void or set aside.
3The grounds upon which the plaintiff challenges the validity of the purported Termination Agreement include a contention that that instrument was an "unjust contract" within the meaning of the Contracts Review Act 1980 NSW.
4The potential availability of such a ground is confirmed by s 46 of the NSW Act which provides that, except as otherwise provided by Part 4 of the NSW Act, a termination agreement "shall be subject to and enforceable in accordance with the law of contract, including, without limiting the generality of this section, the Contracts Review Act 1980".
5The defendant filed a defence to the plaintiff's statement of claim on 24 September 2010. Although he traversed the plaintiff's allegations in detail, he did not plead the judgment of the Supreme Court of Queensland as an answer, in whole or part, to her claims for relief in these proceedings.
6The possibility of such a defence was first raised by the defendant at a directions hearing before Hallen J on 10 December 2012, at which time his Honour (by consent) made orders (which, for convenience, I will here describe generically as "directions") for the future conduct of the proceedings.
7Those directions provided, principally, for the appointment of experts for the purpose of valuing land and business entities. They were forensically important as a step towards a final hearing of proceedings in which there had been, and there remained, disputes about the adequacy of the defendant's disclosure of information about his assets and operations.
8The directions did not grant leave to the defendant to file an amended defence; but they did provide for the defendant to serve on the plaintiff "a proposed amended defence" on or before 31 January 2013 in anticipation of an application for leave to amend his defence.
9Without leave, the defendant purportedly filed an "Amended Defence" on 31 January 2013.
10Materially, that document contains the following paragraphs in purported answer to the whole of the plaintiff's statement of claim:
"43. Further, the defendant says that the plaintiff's action is not maintainable as it is a res judicata, or as an estoppels [sic] arises against the plaintiff, in consequence of a determination of the Supreme Court of Queensland.
Particulars
(a) On 4 December 2009 the Supreme Court of Queensland dismissed the plaintiff's claim for a property adjustment Order against the defendant, which claim arose by reason of their de facto relationship;
(b) The Supreme Court of Queensland found that the Termination Agreement entered into between the parties was both valid and enforceable;
(c) The Supreme Court of Queensland found further that the plaintiff would otherwise be stopped [sic] from proceeding with her claim for a property adjustment order;
(d) The plaintiffs [sic] claim was dismissed.
44. Further, or in the alternative, the plaintiff is or should be stopped [sic] from denying the validity or enforceability of the Termination Agreement on the basis that the agreement was pleaded as a bar to the plaintiff's action in the Queensland proceedings and no case was made by [her] there, no argument offered, that the agreement was void or voidable or had been induced by the unconscionable conduct of the defendant."
11By a notice of motion filed on 7 February 2013 and amended on 10 April 2013, the defendant seeks orders to the following effect: (a) an order, pursuant to rule 14.28 of the Uniform Civil Procedure Rules 2005 NSW, or the inherent jurisdiction of the Court, that the plaintiff's statement of claim be struck out, or summarily dismissed, per rem judicatam; (b) an order that the orders made by consent on 10 December 2012 be varied or set aside; (c) an order that the defendant be granted leave to rely upon the Amended Defence filed on 31 January 2013; and (d) an order for costs.
12Having purportedly filed his "Amended Defence", and having filed his notice of motion seeking summary disposal of the plaintiff's claims for relief on the grounds articulated in paragraphs 43 and 44 of the "Amended Defence", the defendant declined to comply with the directions given on 10 December 2012 pending determination of his motion.
13The motion does not, in terms, refer to r 13.4 of the Uniform Civil Procedure Rules, as distinct from UCPR r 14.28, but the inherent jurisdiction of the court (to which the motion does refer) is no less extensive than those two rules. Their respective terms reflect the ambit of debate on the hearing of the parties' motions.
14Rules 13.4 and 14.28 are in the following terms:
"13.4 Frivolous and vexatious proceedings
(1) If in any proceedings it appears to the court that in relation to the proceedings generally or in relation to any claim for relief in the proceedings:
(a) the proceedings are frivolous or vexatious, or
(b) no reasonable cause of action is disclosed, or
(c) the proceedings are an abuse of the process of the court,
the court may order that the proceedings be dismissed generally or in relation to that claim.
(2) The court may receive evidence on the hearing of an application for an order under subrule (1).
14.28 Circumstances in which court may strike out pleadings
(1) The court may at any stage of the proceedings order that the whole or any part of a pleading be struck out if the pleading:
(a) discloses no reasonable cause of action or defence or other case appropriate to the nature of the pleading, or
(b) has a tendency to cause prejudice, embarrassment or delay in the proceedings, or
(c) is otherwise an abuse of the process of the court.
(2) The court may receive evidence on the hearing of an application for an order under subrule (1). "
15By a notice of motion filed on 6 May 2013, the plaintiff seeks orders to the following effect: (a) an order that the defendant's Amended Defence be rejected and removed from the Court's file; (b) an order that, by reason of his non-compliance with directions given on 10 December 2012, the defendant not be heard on his Amended Notice of Motion filed 10 April 2013; (c) orders, by reference to Part 55 of the Supreme Court Rules 1970 NSW, for the defendant to be dealt with for contempt of court by reason of his failure to comply with directions given on 10 December 2013; and (d) orders for costs, including orders for the immediate enforcement of earlier, interlocutory costs orders made against the defendant.
16The application for an order that the defendant not be heard was a formal expression of what was, in substance, an objection to the defendant being heard on his application for summary relief. Taking the form of a notice of motion, it foreshadowed an objection that could have been communicated to the defendant and the Court by other means.
17On the day appointed for the hearing of the parties' respective motions, and with their acquiescence, I ordered that the two motions be heard together.
18The plaintiff's objection to the defendant being heard on his motion for summary disposal of her claims for relief is based upon the general principle that, until any contempt is purged, a party guilty of contempt should not be heard on any application for relief beyond an application to set aside or vary an order (or undertaking to the court) in respect of which he, she or it is in contempt or an appeal designed to set aside or vary that order or undertaking: Permewan Wright Consolidated Pty Ltd v Attorney General (NSW) (1978) 35 NSWLR 365 at 369 and 374; Young v Jackman (1986) 7 NSWLR 97; Leaway v Newcastle City Council (No 2) [2005] NSWSC 826; 220 ALR 757; Kayserian Nominees (No. 1) Pty Ltd v JR Garner Pty Ltd [2008] NSWSC 1011 at [1]-[3].
19I deliberately describe this proposition as a "principle", rather than as a "rule" (as it is sometimes characterised), because use of the expression "rule" has led to unjustified, or at least unproductive, perceptions of rigidity in its application.
20An early modern statement of the principle, but not its genesis, is that of Lord Cottenham in Chuck v Cremer (1846) 1 Coop t Cott 205; 47 ER 820 in a law report introduced with the reporter's headnote summary of the effect of the case: "In general a party in contempt cannot take a proceeding in the cause for his own benefit."
21The text of the report of the judgment is limited to the following:
"The Defendant moved before the Vice-Chancellor of England that an injunction granted ex parte might be dissolved. His application being unsuccessful, he gave notice of motion by way of appeal. Previously to the notice of the appeal motion being given, an attachment was issued against the Defendant, who was abroad, for not having put in his answer.
Upon the motion being opened, it was objected that the Defendant was in contempt and could not be heard.
THE LORD CHANCELLOR said, he was of opinion that the appeal motion could not proceed. That a party was entitled to be heard, if his object was to get rid of the order, or other proceeding, which placed him in contempt, and he was also entitled to be heard for the purpose of resisting or setting aside for irregularity, any proceedings subsequent to his contempt; but he was not generally entitled to take a proceeding in the cause for his own benefit. That there were exceptions to the last rule, but they were few in number."
22An historical account of enforcement procedures in English ecclesiastical courts, Chancery and courts of common law sufficient to place Lord Cottenham's ruling in context is set out in the judgment of Lord Denning in Hadkinson v Hadkinson [1952] P 285 at 295-298.
23Illustrations of the operation of the "rule", going back to the time of Sir Francis Bacon in 1618, are set out in notes compiled by the reporter of
Chuck v Cremer : 47 ER 820-830.
24It is not necessary to review them, or subsequent experience of the "rule", because, in modern times, the leading case became that of the English Court of Appeal in Hadkinson v Hadkinson.
25All three judges in that case (Somervell, Romer and Denning LJJ) concurred in declining to hear an appeal until the appellant had purged her contempt by compliance with an order under appeal, which she evidently did within a short time. Their decision was unanimous, but their articulation of reasons for the decision differed, at least in form.
26Sommervell and Romer AJJ stated the law in terms of a general rule subject to exceptions: [1952] P 288-289. Lord Denning favoured a statement of the law in terms of a discretionary rule: [1952] P 298.
27The approach of Romer LJ (in which Somervell LJ concurred) appears in the following extract from his Judgment at [1952] P 288-290:
"It is the plain and unqualified obligation of every person against, or in respect of whom, an order is made by a court of competent jurisdiction, to obey it unless and until that order is discharged. The uncompromising nature of this obligation is shown by the fact that it extends even to cases where the person affected by an order believes it to be irregular or even void. ...
Such being the nature of this obligation, two consequences will, in general, follow from its breach. The first is that anyone who disobeys an order of the court (and I am not now considering disobedience of orders relating merely to matters of procedure) is in contempt and may be punished by committal or attachment or otherwise. The second is that no application to the court by such a person will be entertained until he has purged himself of his contempt. It is the second of these consequences which is of immediate relevance to this appeal. The rule, in its general form, cannot be open to question. There are many reported cases in which the rule has been recognised and applied. ...
No attempt, indeed, was made before us by [counsel for the contemnor] to challenge the rule itself; he sought only to bring the present case within one of the exceptions to which the rule is undoubtedly subject. ...
Is this case, then, an exception from the general rule which would debar [the contemnor] from being heard by the courts whose order she has disobeyed? One of the exceptions is that a person can apply for the purpose of purging his contempt and another is that he can appeal with a view to setting aside the order upon which his alleged contempt is founded; neither of those exceptions is relevant to the present case. A person against whom contempt is alleged will also, of course, be heard in support of a submission that, having regard to the true meaning and intendment of the order which he is said to have disobeyed, his actions did not constitute a breach of it; or that, having regard to all the circumstances, he ought not to be treated as being in contempt. The only other exception which could in any way be regarded as material is the qualified exception which, in some cases, entitles a person who is in contempt to defend himself when some application is made against him. ..."
28The Denning approach is encapsulated in the following paragraph extracted from his judgment in Hadkinson v Hadkinson [1952] P 285 at 298:
"It is a strong thing for a court to refuse to hear a party to a cause and it is only to be justified by grave considerations of public policy. It is a step which a court will only take when contempt itself impedes the course of justice and there is no other effective means of securing [a party's] compliance. In this regard I would like to refer to what Sir George Jessel MR said in a similar connection in In re Clements v Erlanger (1877) 46 L.J.Ch. 375 at 383: 'I have myself had on many occasions to consider this jurisdiction, and I have always thought that, necessary though it be, it is necessary only in a sense in which extreme measures are sometimes necessary to preserve men's rights, that is, if no other pertinent remedy can be found. Probably that will be discovered after consideration to be the true measure of the exercise of the jurisdiction.' Applying this principle I am of the opinion that the fact that a party to a cause has disobeyed an order of the court is not of itself a bar to his being heard, but if his disobedience is such that, so long as it continues, it impedes the course of justice in the cause, by making it more difficult for the court to ascertain the truth or to enforce the orders which it may make, then the court may in its discretion refuse to hear him until the impediment is removed or good reason is shown why it should not be removed."
29Viewing the law as a general rule subject to exceptions, particular cases might be recognised as falling within an established exception; but the nature and scope of the exceptions generally remains ill-defined. A classic treatment of them can be found in Daniell's Chancery Practice (London, 7th ed, 1901) vol 1, pp 724-727.
30Whether the general principle is best stated as "a rule subject to exceptions" or as a "discretionary rule" is the subject of debate in New South Wales (Kayserian Nominees (No 1) Pty Ltd v JR Garner Pty Limited [2008] NSW 1011 at [3]-[4]), a debate which must now be viewed in the context of the case management provisions of ss 56-64 of the Civil Procedure Act 2005 NSW and the Uniform Civil Procedure Rules 2005 NSW.
31CPA s 56 mandates that, in civil proceedings, the Court give effect to the "overriding purpose" of facilitating the just, quick and cheap resolution of the real issues in the proceedings. CPA s 57 mandates that the Court strive to ensure the attainment of case management objectives defined in terms of both efficiency and justice in the determination of proceedings. CPA s 58 mandates that, in the management of proceedings, the Court must seek to act in accordance with the dictates of justice. CPA ss 59-64 contain ancillary provisions which, in their legislative context, point in the same direction.
32The ambit of "exceptions" to the general rule that a contemnor cannot be heard in his own cause appears often, if not universally, to have been described by reference to felt necessities in the due administration of justice generally and by the dictates of justice in the particular case. The felt necessities appear to have varied over time and to have depended, in part, on each court's practice and procedure, not limited to particular provisions in rules of court.
33Nevertheless, in Permewan Wright Consolidated Pty Limited v Attorney General (NSW) (1978) 35 NSLWR 365 at 369, Hutley JA emphatically favoured the approach of Romer LJ, with which Somervell LJ had concurred, over that of Denning LJ. Mahoney JA appears to have acquiesced in that approach: 35 NSWLR 374B-C. Reynolds JA appears to have sidestepped controversy: 35 NSWLR 367B.
34In Young v Jackman (1986) 7 NSWLR 97 at 102B, Young J felt constrained to adhere to the view expressed by Hutley JA.
35Since that time, the House of Lords has embraced Lord Denning's reasoning (X Limited v Morgan-Grampian (Publishers) Limited [1991] 1 AC 1 at 46B-H, 50H and 55E-F); the Full Court of the Family Court of Australia has done likewise (In the marriage of Fahmi (1995) 19 Fam LR 517 at 525; AN v Zhu [2006] Fam CA 179; (2006) FLC 93-257; 198 FLR 152 at [79] and [120]-[123]); and a senior New South Wales judge, Campbell J, has proceeded on the basis that the question of which approach is correct is open (Leaway v Newcastle City Council (No 2) [2005] NSWSC 826; 22 ALR 757 at [52], [59]-[60] and [87]).
36To this mix might be added the injunction of the High Court of Australia in Farah Constructions Pty Limited v Say Dee Pty Limited (2006) 230 CLR 89 at 151-152 [135] to trial judges not to depart from decisions of intermediate appellate courts in another Australian jurisdiction unless they are convinced that the interpretation is plainly wrong.
37That, possibly, complicates the picture for a single judge of this Court because the position taken by the Full Court of the Family Court was taken, deliberately, with notice of Permewan Wright Consolidated Pty Limited v Attorney General (NSW) and Young v Jackman.
38The judgments of the House of Lords in X Limited v Morgan-Grampian (Publishers) Limited and Campbell J in Leaway v Newcastle City Council (No 2) stand in the way of any expression of an opinion that the Full Court of the Family Court was "plainly wrong" to have preferred the reasoning of Lord Denning in Hadkinson v Hadkinson over that of Hutley JA (and possibly Mahoney JA) in Permewan Wright Consolidated Pty Limited v Attorney General (NSW). So too does treatment of the topic by text writers such as the editors of Borrie & Lowe, The Law of Contempt (London, Butterworths, 1996, 3rd ed), pp 651-654.
39Conceptually, Lord Denning's approach appears to have all but captured the field.
40Even if that be so, the appropriate course for a single judge of this Court is to apply Romer LJ's approach until such time as the Court of Appeal may reconsider Permewan Wright.
41For this, there are several reasons. First, the question under consideration relates to the practice and procedure of the Court rather than a question of substantive law unrelated to adjectival law considerations. Secondly, I take the injunction of the High Court in Say-Dee to have been published with questions of substantive law in mind. Thirdly, there is no incongruity in the law if different courts approach differently questions of practice and procedure, bearing in mind that it is incumbent upon each court to control its own processes. Fourthly, at day's end there are few, if any, cases in which the differences in approach canvassed in this area of legal practice are likely to be decisive. Both approaches attempt a reconciliation between enforcement of court decisions and allowing voices to be heard on the road to decision, or thereafter. Fifthly, in NSW the process of reconciliation of those twin objectives is now governed, and guided, by the case management provisions of the Civil Procedure Act 2005 NSW, not either of the competing approaches per se. Sixthly, the approach favoured in Permewan Wright works in practice, and potentially works more effectively in a broader range of cases than does the alternative, which is ostensibly more accommodating of laxity in compliance with court orders.
42In practical reality, as Lord Bridge of Harwich observed in X Limited v Morgan-Grampian (Publishers) Limited [1991] 1 AC 1 at 46G-H, the different approaches of Romer and Denning LJJ presented in Hadkinson v Hadkinson, in many (if not most) cases, are likely to lead to the same conclusion. That is so here, particularly when the case management provisions of the Civil Procedure Act 2005 NSW are taken into account.
43In practice, any difference between the respective approaches of those who favour a "rule subject to exceptions" and those who prefer a "discretionary rule" may be illusory. That is because the dynamics of the litigation process channel a dispute about whether a contemnor should be heard into a procedural framework in which the court is able, and required, to exercise a discretion, according to case management principles, even in the context of a statement of the law in terms favoured by Romer LJ.
44There are at least four possible explanations for this phenomenon. First, the operation of "the rule", as currently perceived and however formulated, is not conditioned upon formal steps having been taken, or foreshadowed, for prosecution of a contemnor for contempt: Young v Jackman (1986) 7 NSWLR 97 at 101D-E; KP Cable Investments Pty Limited v Meltglow Pty Limited (1995) 56 FCR 189 at 206C-G. It operates within the realm of general case management principles. It is not confined by the comparative rigidity of criminal law practice and procedure or a prosecutorial mindset.
45Secondly, where objection is taken to a contemnor being heard, a routine response by the contemnor is to move the court for relief against the order or undertaking sought by the objection to be enforced. This too engages a need in the court to focus attention on questions of case management. Is the contemnor's motion to be heard first? Can it be, should it be, must it be, heard in conjunction with other process before the court?
46The practical necessity for a contemnor to apply for relief from the orders or undertakings sought to be enforced provides a vehicle for a focussed review of the cutting edge of enforcement procedures and, at least, an occasion upon which, if appropriate, an order for costs can be made in vindication of the court's authority.
47Thirdly, in a case of contempt of an interlocutory order or undertaking, the most effective means for dealing with that contempt may be for the court to take whatever steps may be available to advance the proceedings as quickly as possible to a final determination, by conventional means uncomplicated by a complaint of a denial of procedural fairness arising from a refusal to hear the contemnor. An inflexible refusal to hear a contemnor may unnecessarily arm the contemnor with a ground of appeal that might, perversely, serve the contemnor's strategy of obstructing enforcement of a court order or an undertaking given to the court. With a focus on ultimate outcomes, a court might be constrained to hear a contemnor: embracing the counter-intuitive to avoid the counter-productive.
48Fourthly, it is a comparatively rare thing (outside a small range of cases that includes child abduction cases such as Hadkinson v Hadkinson, or cases such as X Limited v Morgan-Grampion (Publishers) Limited [1992] 1 AC 1 at 45 E-F in which disclosure obligations are sought to be enforced against a journalist) for an alleged contemnor to reveal, during the pendency of proceedings in which he, she or it seeks actively to participate as a persuasive force, a settled intention never to comply with an order or undertaking sought to be enforced. Absent an overt challenge to the authority of the court, its ordinary business, which mandates that parties be allowed an opportunity to be heard, generally proceeds, one way or another, in the ordinary course.
49Despite appearances, the respective approaches of Romer and Denning LJJ might be thought to complement, rather than to contradict, one another. They approach the same question (namely, whether a contemnor should be heard) from opposite sides. Romer LJ's approach starts with a negative answer then explores competing factors. Denning LJ's approach starts with an affirmative answer, then considers competing factors. Both approaches require the court to examine factors bearing upon the administration of justice generally and the dictates of justice in the particular case. In exploring their middle ground, both are bound to take into account the case management provisions of the Civil Procedure Act 2005 NSW.
50Strictly, I do not, ultimately, need in these proceedings to choose between a statement of the law in terms of "a rule subject to exceptions" or in terms of a "discretionary rule". However the question of whether the defendant should be heard notwithstanding his non-compliance with directions of the Court is approached, the outcome is the same. Case management considerations loom large.
51It is sufficient for the purposes of the present proceedings to notice that the orders of the Court with which the defendant has not complied are procedural in character, albeit forensically important (Hadkinson v Hadkinson [1952] P285 at 288); the defendant has applied for those orders to be set aside or varied (Hadkinson v Hadkinson at 289); that application is accompanied by a contention, based upon reliance on the Queensland judgment, that the current proceedings, not limited to the orders not complied with, are irregular (Permewan Wright Consolidated Pty Limited v Attorney General (1994) 35 NSWLR 365 at 367B, 369C and 374C); and the dictates of justice, in the particular case, mandate that the defendant be heard on his motion, heard together with that of the plaintiff, so that the respective rights and obligations of the parties can be determined without further undue delay or expense.
52For these reasons, I declined to accede to the plaintiff's application that the defendant not be heard on his motion until he had complied with the directions given by the Court on 10 December 2012.
53I do not, as matters presently stand, propose to initiate contempt proceedings against the defendant as sought in the plaintiff's notice of motion. The defendant is, in this judgment, the subject of criticism for having consented to the directions given on 10 December 2012 and then, without complying with them, having filed a motion for summary disposal of the principal proceedings. Nevertheless, he did, on 10 December 2012, expressly foreshadow the case subsequently "pleaded" in paragraphs 43 and 44 of the "Amended Defence", and the course he subsequently took can be dealt with more productively by the making of costs orders than by prosecution of a charge for contempt of court.
54The parties' motions raise two principal questions:
(a) First, whether the maintenance or conduct of these proceedings is constrained by the judgment of the Supreme Court of Queensland upon a proper application of principles relating to res judicata, estoppel or abuse of process.
(b) Secondly, if so, whether the plaintiff can overcome any such constraint by reliance upon principles of waiver or estoppel by conduct.