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Plymouth Brethren (Exclusive Brethren) Christian Church v Fairfax Media Publications Pty Ltd; Plymouth Brethren (Exclusive Brethren) Christian Church v The Age Company Pty Ltd [2017] NSWSC 214 (3 October 2017)
Last Updated: 3 October 2017
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Supreme Court
New South Wales
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Case Name:
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Plymouth Brethren (Exclusive Brethren) Christian Church v Fairfax Media
Publications Pty Ltd; Plymouth Brethren (Exclusive Brethren)
Christian Church v
The Age Company Pty Ltd
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Medium Neutral Citation:
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Hearing Date(s):
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3 March 2017
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Decision Date:
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3 October 2017
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Jurisdiction:
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Common Law
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Before:
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McCallum J
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Decision:
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In each proceeding, that the question whether the matter complained of is
reasonably capable of identifying the plaintiff be decided
separately from and
before any other question in the proceedings; that the separate question be
answered “no”
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Catchwords:
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CIVIL PROCEDURE – action for defamation – application for
separate decision of question whether matters complained of
reasonably capable
of identifying the plaintiff – weight to be given to the fact that
separate decision of that question could
bring the proceedings to an end –
importance of case management principles in proceedings for
defamation DEFAMATION – identification – requirement
that the defamatory publication sued on be “about” the plaintiff
– articles concerning events involving members of a church dating back
over decades – actions for defamation brought
by a corporation which is
not the church – plaintiff company incorporated in 2012 with the object of
acting as the secretariat
of the church in Australia – whether open to
jury to find that the articles were about the corporation
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Legislation Cited:
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Cases Cited:
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Category:
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Principal judgment
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Parties:
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2016/210844: Plymouth Brethren (Exclusive Brethren) Christian Church
(plaintiff) Fairfax Media Publications Pty Ltd (first defendant) Michael
Bachelard (second defendant) 2016/210856 Plymouth Brethren
(Exclusive Brethren) Christian Church The Age Company Pty Ltd (first
defendant) Michael Bachelard (second defendant)
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Representation:
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Counsel: K Smark SC, S Chrysanthou (plaintiff in both proceedings) Dr
M Collins QC, L Barnett (defendants in both
proceedings) Solicitors: Mark O’Brien Legal (plaintiff in
both proceedings) Minter Ellison (defendants in both proceedings)
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File Number(s):
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2016/2108442016/210856
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JUDGMENT
- HER
HONOUR: Under the Defamation Act 2005 (NSW), a person has a cause of
action for defamation when defamatory matter is published “about the
person”.[1] A corporation may
equally have a cause of action when defamatory matter is published “about
the corporation” (provided
it is the kind of corporation that is otherwise
entitled to bring an action for
defamation).[2]
- These
proceedings concern allegedly defamatory publications about a church. The
matters complained of state that “members of
a wealthy Christian
sect” (referred to in the articles as “the Exclusive
Brethren”) are accused of child sex abuse
and that “now the man who
helped with the cover-up is speaking out”. The accusations of child sex
abuse date back to
the 1990s and earlier; the man who is “speaking
out” is said to have left the church in 2009.
- The
plaintiff is not a church. It is a company. It came into existence in 2012,
years after the events discussed in the articles.
It was incorporated for the
purposes of advancing the Christian religion and acting as the secretariat of
“the church”
in Australia. The church in question is defined in the
company’s constitution as follows:
the worldwide Christian fellowship that commenced in 1827 at a meeting for the
celebration of the Lord’s Supper at which Mr
John Nelson Darby was in
attendance and has continued since and become variously known as
“Brethren”, “Plymouth
Brethren”, “Plymouth
Brethren IV”, “Exclusive Brethren” or “Plymouth Brethren
Christian Church”.
- Being
registered as a charity, the plaintiff is entitled to omit the suffix
“Limited” from its name in accordance with
the provisions of
s 150(1) of the Corporations Act 2001 (Cth). Its company name is
“Plymouth Brethren (Exclusive Brethren) Christian Church”. The
articles do not refer to any
entity by that name.
- There
are two sets of proceedings before the Court arising out of articles in the same
terms published in different newspapers. It
is convenient to hear both matters
together.
- The
defendants contend that neither of the matters complained of is capable of
identifying the plaintiff company and that the proceedings
should accordingly be
dismissed. It was common ground between the parties that the test for
identification is that stated by Isaacs
J in David Syme & Co v
Canavan:[3]
The test of whether words that do not specifically name the plaintiff refer to
him or not is this: Are they such as reasonably in
the circumstances would lead
persons acquainted with the plaintiff to believe that he was the person referred
to?
- That
is a question of fact for the jury. However, it is well established that the
question whether the evidence is capable of establishing
that fact is a question
of law to be determined by the judge. The defendants seek to have that issue
determined separately as a preliminary
question pursuant to r 28.2 of the
Uniform Civil Procedure Rules 2005 (NSW). In bringing that issue forward for
separate determination, the defendants accept that the Court should assume the
plaintiff
would be able at trial to establish the matters stated in the
pleadings and particulars.
- The
plaintiff opposes the separate decision of the question raised. The parties
consented to have the issue whether the separate question
should be ordered and,
depending upon the determination of that issue, the separate question itself
determined in a single hearing.
For the following reasons I have concluded that
orders for the separate decision of the question raised by the defendants should
be made and that the question should be answered in favour of the defendants. It
will be necessary to hear the parties as to what
orders should be made following
from that conclusion.
Whether separate question orders should be
made
- Rule
28.2 of the UCPR provides:
The Court may make orders for the decision of any question separately from any
other question, whether before, at or after any trial
or further trial in the
proceedings.
- The
order sought by the defendants in notices of motion filed in each proceeding is
“that the question of the capacity of the
matters complained of to
identify the plaintiff be determined as a separate question”. In my
respectful opinion, it would have
been preferable to formulate the order sought
in terms posing a question that demands a specific answer, as follows:
“that
the question whether the matters complained of are reasonably
capable of identifying the plaintiff be decided separately from and
before any
other question in the proceedings.”
- Mr
Smark SC, who appears with Ms Chrysanthou for the plaintiff, submitted that the
question posed is inappropriate for determination
as a separate question in this
case. He accepted that the issue of the capacity of a publication to identify
the plaintiff could,
in an appropriate case, be determined as a separate
question. He submitted, however, that the question raises an issue of
reasonableness
which will necessarily turn on matters of evidence in this case
and that the scope of the evidence would, in the ordinary course,
develop as the
matter proceeds to trial.
- Mr
Smark further submitted that particulars, including particulars of
identification, are apt to be supplemented, expanded and changed
and sometimes
withdrawn, particularly after the parties have had the benefit of interlocutory
procedures such as discovery, interrogatories
and subpoenas.
- I
am satisfied that it is appropriate in the present case for the question raised
by the defendants’ notices of motion to be
decided separately, for the
following reasons.
- First,
there is a precedent for deciding the question of capacity to identify as a
separate question, at least where it is a question
that can be determined taking
the pleadings and particulars at their highest: see Younan v Nationwide News
Pty Ltd.[4] It must be
acknowledged that those proceedings took an unusual course. The
plaintiffs’ claim was based on an article about
the conduct of a boarding
house during a particular period. The plaintiffs had become the owners of the
boarding house at a later
time and were the owners at the time of publication of
the matter complained of. All of the imputations were expressed in the past
tense (for example “the plaintiff ran a boarding house in Marrickville
with reckless disregard for the health of its residents”)
whereas the
particulars of identification were in the present tense (“the plaintiffs
operate a boarding house in the property”).
- Justice
Nicholas held that, according to the undisputed pleaded facts, the matter
complained of was incapable of identifying the plaintiffs
and accordingly made
an order dismissing the proceedings, presumably under r 28.4 of the
UCPR.
- An
application for leave to appeal was brought against that decision. Leave was
said to be required because the order for dismissal
was
interlocutory.[5] It may be noted
that, having determined the issue of identification as a separate question,
Nicholas J could arguably have entered
judgment for the defendant under
r 28.4(2)(b) but that was not the order made.
- As
the course of ordering a separate question had not been opposed at first
instance, it was not necessary for the Court of Appeal
to consider that issue.
Macfarlan JA nonetheless paused to make some observations about that course. In
particular, his Honour noted
that the determination of a point as a separate
question requires its consideration “as on a final hearing” and that
the determination of such a question “will often be appropriate where, as
here, the determination of a question of law in one
way will dispose of the
proceedings”.[6]
- The
Court concluded that, on the case as pleaded, the decision at first instance was
right. As I would understand it, that was a conclusion
that the issue of
identification (an element of the cause of action) had been determined adversely
to the plaintiffs on a final basis.
However, the Court of Appeal then granted an
application by the plaintiffs to amend their particulars so as to cure the
temporal
problem and, on that basis, allowed the appeal. In the circumstances
that was generous, in my respectful opinion. Having granted
the amendment
application, the Court
said:[7]
It is regrettable that the order for separate determination in this matter has
resulted in unnecessary costs being incurred but that
is a risk that is run
where such orders are made, or indeed summary dismissal or strike out
applications are made. These steps give
plaintiffs an opportunity to reconsider
their positions and, perhaps, to thwart them by seeking to amend pleadings or
particulars.
As Aon illustrates, a defendant may be in a better position
to resist such an amendment if it is sought during a trial, when the consequence
of its allowance may be an adjournment with corresponding expense to parties and
to public resources. It is less likely that the
Court will at an interlocutory
stage refuse to permit a plaintiff to amend to raise an arguable
case.
- Mr
Smark submitted that those remarks indicate Macfarlan JA “entertained
doubts” about the appropriateness of determining
the issue as a separate
question. I would not interpret his Honour’s remarks in that way.
- The
decision in Younan highlights the importance, before ordering a separate
question, of considering whether the question is one that can fairly be
determined
before the evidence is heard, taking the pleadings and particulars at
their highest. But that is not to say the Court should balk
at separate
questions on the grounds that the plaintiff may in the future seek to shore up
his case after taking further interlocutory
steps.
- The
High Court has made plain that, in pursuing the overriding purpose stated in
s 56 of the Civil Procedure Act 2005 (NSW) of facilitating the just,
quick and cheap resolution of the real issues in the proceedings, the Court is
entitled to take a
“robust and proactive
approach”.[8] All necessary
particulars of a claim are supposed to be provided in the pleadings: r 15.1
UCPR. That is not to say that particulars
cannot be supplemented, expanded or
changed where it is appropriate to allow that to occur. But parties should not
proceed on the
assumption that that is the norm; certainly, the exercise of the
Court’s procedural powers should not be constrained by any
such
assumption.
- That
is particularly so in the case of actions for defamation where the risk of
disproportion between the cost of the proceedings
and the interest at stake is
high. It would be inimical to the overriding purpose to encourage any assumption
that a deficiently-pleaded
case will be allowed to proceed on the basis that it
might be cured through the use of interlocutory procedures.
- In
any event, as explained below, my assessment of the separate question in the
present case is that no additional particulars or
evidence could save it from
being answered in favour of the defendants.
- For
those reasons, I am satisfied that orders for separate decision should be made
in this case.
The matters complained of
- The
article sued on by the plaintiff discusses the manner in which allegations of
child sex abuse were dealt with by the Exclusive
Brethren over a lengthy period.
It begins with an account of the experience of a young girl who, in mid-2002,
reported to her mother
that she had been sexually assaulted by Lindsay Jensen,
an elder of “the Christian sect to which they all belonged”.
It
refers to legal proceedings heard in 2005 relating to those allegations.
- Paragraph
20 of the article then introduces the topic of the Royal Commission into
Institutional Responses to Child Sexual Abuse,
stating:
The Royal Commission has examined everything from Sydney’s Knox Grammar
School to the Jehovah’s Witnesses; Cardinal George
Pell to Tennis NSW. But
not the Exclusive Brethren, a wealthy Protestant sect of 40,000 worldwide
(including 15,000 in Australia),
led by Sydney based Bruce Hales. Among the
Brethren (now rebranded as the Plymouth Brethren Christian Church) public
scrutiny is
shunned just as surely as are radios, TVs, voting and other
trappings of “worldly” society. So far this group has managed
to fly
under the radar. That is about to change”.
- The
article then turns to the involvement of Mr Tony McCorkell, a former member of
“the sect” who (as at the date of the
article, published on 18 June
2016) had decided to speak out about his role in covering up accusations of
child sex abuse within
the sect. It addresses matters dealt with by McCorkell
between 2006, when he went back to the church offering “some strategies
to
assist” with its public relations, and 2009, when he left the church
again.
- There
is an explanation of the role of Bruce Hales, who is described as “the
seventh leader of a church founded in southern
England’s Plymouth in
1829”. The article states that Hales has ultimate control over “how
the Brethren dress and
wear their hair and make-up, with whom they eat and whom
they marry, where they live, where their children go to school and what
entertainment they seek”.
- The
article then describes the claims of child sex abuse dealt with by McCorkell
during the three-year period when he re-joined the
church and became
Hales’ “right-hand man”. They include the case of the girl who
reported that she had been sexually
assaulted in 2002 by Lindsay Jensen, a
similar report by her sister (both complaints having been made before McCorkell
rejoined the
church), the case of a man who, as a boy, was abused by his uncle
over a four or five year period from 1975 (dealt with by McCorkell
in 2007) and
the case of a woman who as a girl was abused by a local church doctor in 1966
(dealt with by McCorkell in about 2007
or 2008).
The
pleadings
- The
plaintiff alleges that the article conveyed the following imputations about
it:
- (a) The
plaintiff is an institution which covered up child sexual abuse by Lindsay
Jenson, then one of its members;
- (b) The
plaintiff is an institution which discourages victims of child sexual abuse from
speaking out;
- (c) The
plaintiff is an institution with a priority to protect its property and assets
ahead of protecting the victims of child sexual
abuse;
- (d) The
plaintiff is an institution which forced two child victims of sexual abuse by
Lindsay Jenson to live with him.
- As
the plaintiff company is not in fact the entity referred to in the article (and
did not exist when the events described occurred),
any defence of truth to those
imputations seems doomed to fail.
- As
already noted, the plaintiff is not named in the matters complained of. Contrary
to the requirements of the rules, the pleading
contained no particulars of
identification. The defendants wrote to the plaintiff in early October 2016
drawing attention to the
requirements of r 15.19(1)(d) of the UCPR, which
provides that the particulars to the statement of claim must
include:
If the plaintiff is not named in the matter complained of – particulars of
identification of the plaintiff together with the
identity, by reference to
names and addresses or class of persons, of those to whom any such particulars
were known.
- The
plaintiff responded by providing the following
particulars:
Particulars of Identification
(a) Throughout the matters complained of there are references
to “the Exclusive Brethren”, “the Brethren”
and
“the Plymouth Brethren Christian Church” including the following
references:
“Among the Brethren (now rebranded as the Plymouth
Brethren Christian Church) ...”;
“...the Exclusive Brethren has rebranded itself the Plymouth Brethren
Christian Church ...”;
(b) The plaintiff is registered as a company limited by
guarantee in the name of “Plymouth Brethren Christian Church”;
(c) The plaintiff is registered as the owner of the trade mark
“Plymouth Brethren Christian Church”;
(d) The plaintiff trades as Plymouth Brethren Christian
Church;
(e) The plaintiff is the owner and operator of the
plymouthbrethrenchristianchurch.org website. That website contains numerous
references to the “Plymouth Brethren (Exclusive Brethren Christian
Church”, the “Plymouth Brethren Christian Church”
and
“Plymouth Brethren (Exclusive Brethren) Christian Church Ltd”.
(f) The plaintiff is registered with the Australian Charities
and Not-for-profits Commission as a registered charity;
(g) The plaintiff is the sole member of Rapid Relief Team,
being a registered charity and public benevolent institution, which
operates its
own website and which is referred to repeatedly on the plaintiff’s
website;
(h) The plaintiff retains media and public relations advisers
to respond to media enquiries and articles relating to the Plymouth
Brethren
Church;
(i) The plaintiff, being “Plymouth Brethren (Exclusive
Brethren) Christian Church Ltd”, is specified as the owner of
copyright in
material concerning the Plymouth Brethren Church sold through the
plymouthbrethrenchristianchurch.org website –
see the booklet entitled
“Living Our Beliefs”;
(j) The plaintiff operates a YouTube channel page at
https://www.youtube.com/user/plymoughtbcc with various videos uploaded on
that
page containing a statement that the copyright owner of the videos is
“Plymouth Brethren (Exclusive Brethren) Christian
Church Ltd”;
(k) There are 4 volunteers of the plaintiff who have email
accounts which contain ‘footers; referring to “Plymouth
Brethren
(Exclusive Brethren) Christian Church”.
Particulars of Identity
The particulars of identification were known by the following classes of persons
who read the matters complained of:
(a) Readers of matter contained on and/or purchased through the
plymouthbrethrenchristianchurch.org website. In this regard, we
are instructed
that there was a significant “spike” in new users of the
plaintiff’s website as at the date of publication
of the matters
complained of, and it is clear that by reason of that “spike” that
our client was plainly identified by
readers of the matters complained of;
(b) Viewers of video matter placed on the
plymouthbrethrenchristianchurch.org website and YouTube channel page at
https://www.youtube.com/user/plymoughtbcc;
(c) Officers and/or employees of the Australian Charities and
Not-for-profits Commission;
(d) Persons who received assistance from the Rapid Relief
Team;
(e) Recipients of responses to media enquiries and articles
relating to the Plymouth Brethren Church;
(f) Recipients of emails from volunteers of the plaintiff;
(g) Parishioners of the Plymouth Brethren
Church.
- The
plaintiff’s evidence (an affidavit sworn by its solicitor, Mr Svilans)
established that the plaintiff is associated with
the Plymouth Brethren Church
but is not the church. The plaintiff owns a website about the church, owns the
trade mark “Plymouth
Brethren Christian Church”, answers media
inquiries about the church and runs a
charity.[9] The church consists of a
group of assemblies or congregations “without any governing constituent
document other than the Holy
Bible”.[10]
- The
plaintiff’s lengthy particulars of identification notably omit the fact
that the plaintiff did not exist until 24 May 2012.
The matters complained of
are unequivocally concerned with events that occurred before that date.
Accordingly, as already noted,
the plaintiff company could not, as a matter of
objective fact, be the organisation referred to in the article. Mr Smark
submitted,
however, that that is not the test.
The separate
question
- The
defendants submitted that the plaintiff bears the onus of establishing that the
publication was “of and concerning”
the plaintiff. While that is the
expression used in many authorities, it is appropriate now to adopt the language
of the Defamation Act, which refers to a cause of action for defamation
in relation to the publication of defamatory matter “about” a person
or an excluded corporation.[11]
- It
is clear enough that that question is not determined by reference to the
subjective intention of the author of the article. The
test is objective; the
task is to consider what the words mean. The question is, to whom?
- The
test in Canavan focuses on the inference that might reasonably be drawn
by “persons acquainted with the plaintiff”. The defendants’
argument assumed that means a person acquainted with the true facts concerning
the plaintiff. The plaintiff submitted that the test
is, rather, whether some
people might reasonably have understood the matter complained of to refer to it
even though any such understanding
must necessarily have been mistaken.
- In
my view, the correct position is as stated by the defendants. Leaving aside
cases in which the plaintiff is identified by name
or image, I do not think a
publisher can be held liable for a conclusion as to identification founded upon
an erroneous belief on
the part of the reader. The authorities relied upon by
the defendant to establish that proposition were Mirror Newspapers Ltd v
World Hosts Pty Ltd[12]
and my decision in Nu-Tec v
ABC.[13]
- The
relevant passage in Mirror Newspapers states (citations
omitted):
A defendant is not liable for an imputation which is not the product of the
words complained of read in the light of existing facts
known to the reader, but
which is merely the product of those words understood in the light of the
reader’s erroneous belief.
It is of course different if the reader’s belief arises from, or is the
product of, the matter complained of. Then the case
falls to be determined, as
here, by reference to the inherent capacity of the words to bear the imputation
put forward, that is,
by reference to the natural and ordinary meaning of the
words.
- In
Nu-Tec, I said:
17 The principles as to identification of a plaintiff in
proceedings for defamation are well-known. In Morgan v Odhams Press Ltd
(1971) 1 WLR 1239, Lord Morris said (at 1252):
“The question for the Judge at the end of the
plaintiff’s case was whether there was evidence upon which the jury could
(not would) decide in favour of the plaintiff. That in turn raised the question
whether the jury could decide that some readers (having
knowledge of certain
circumstances) would reasonably understand the words as referring to the
plaintiff. If no reasonable reader
could have understood the words as referring
to the plaintiff, then there would be nothing to be left to the
jury.”
18 The test assumes that the identifying circumstances known to
some readers or viewers are circumstances that in fact exist. A
publisher is not
liable for a defamatory meaning imputed to the plaintiff as a result of some
erroneous belief on the part of a person
to whom the matter is published. That
proposition is well established in the context of true innuendo: Mirror
Newspapers v World Hosts. The position is no different in respect of
particulars of identification.
- The
burden of the defendants’ submission was that the article could not
reasonably lead persons acquainted with the plaintiff
to believe it was the
entity referred to because such persons would know it did not exist at the time
of the conduct described. In
that circumstance, so it was submitted, any
identification of the plaintiff as the entity referred to would necessarily be
based
on an erroneous belief on the part of the reader.
- Mr
Smark submitted that the defendants’ position was misconceived in that
respect. I understood him to contend, as an aspect
of that submission, that the
last sentence in the passage from Nu-Tec set out above is wrong and that
a plaintiff can have a cause of action on the basis that he or she is identified
as the person referred
to in an article even if the identification would be
based on an erroneous belief.
- On
one view, this issue is easily resolved by a simple application of the plain
words of the statute. As already noted, the Defamation Act contemplates
the existence of a cause of action in respect of the publication of defamatory
matter “about” a person.
That suggests an objective test. It does
not suggest the existence of a cause of action for the publication of defamatory
matter
not about a person, or about a non-person.
- Of
course an article that names a person or depicts a person in a photograph is an
article “about” that person, even if
the person is named or depicted
by mistake on the part of the newspaper. Similarly, an article intended to
describe a fictitious
person may be taken to be an article about a real person
of the same name.[14] Cases
referring to persons by name or photograph are in a different category because
the erroneous belief arises from the words published.
Such an article is
“about” the plaintiff, even if it was not intended to be. I do not
think the words published in the
present case, which describe the conduct of
members of a church in past decades, is capable of being taken to be a
publication “about”
a corporate vehicle first registered in
2012.
- In
case it is considered heretical to rest on the clear words of the statute in
this most arcane field of the common law, my review
of the authorities relied
upon by the parties has brought me to the same conclusion and has not prompted
me to resile from what I
said in Nu-Tec.
- Those
authorities do draw a distinction between defamatory publications in which a
plaintiff is referred to by name and those in which
that is not the case. Mr
Smark submitted that the question in the present case is not who was meant but
rather who was hit. That
was the question posed in argument by Loreburn LC in
E Hulton & Co v Jones, the case referred to above involving an
article about a person thought to be fictitious but who actually
existed.[15] The plaintiff was Mr
Artemus Jones, a barrister who had previously been on the staff of the newspaper
and contributed articles under
his own name. The authors of the matter
complained of, believing “Artemis Jones” to be a fictitious person
with an unusual
name, published an article defamatory of a person so described.
The fact that they had not intended to refer to the plaintiff was
not to the
point. They had referred to a real person by name.
- The
liability of the publishers in Lee v
Wilson[16] and Zoef v
Nationwide News Pty Ltd[17]
similarly rested on the fact that the identification of the plaintiff in
each case was the result of the words published. In each
case, the article
referred to a person of the name of the plaintiff. It makes sense that a
publisher will be held liable where his
own erroneous statement leads to the
identification of a person but not where that occurs due to an erroneous belief
not arising
from the words published.
- Separately,
Mr Smark submitted, in effect, that a lack of knowledge on the part of the
reader (that the plaintiff did not exist at
the time of the conduct described in
the article) cannot be styled as an erroneous belief. He submitted that there is
no reason to
think persons “acquainted with” the plaintiff would
know when it was incorporated.
- I
do not accept that submission. The argument tended to conflate the objective
qualities of a person with the particulars of identification
relied upon by the
plaintiff. The particulars specified in the present case do not include the fact
that the plaintiff came into
existence in 2012, for the obvious reason that any
person who knew that fact would know the article was not about the plaintiff.
I
accept that there may well be classes of people who are aware of the existence
of the plaintiff but do not know when it was incorporated.
But in that event,
the inference that the article was about the plaintiff could not reasonably be
drawn based on the words published.
It could only be based on speculation on the
part of the reader.
- For
those reasons, I have concluded that the matters complained of are not
reasonably capable of identifying the plaintiff.
- The
defendants submitted that, in that event, both proceedings should be dismissed.
It might be more appropriate in the circumstances
to enter judgment for the
defendants, as allowed under r 28.4(2)(b). As that has occurred to me only
since reserving my decision,
it will be necessary to hear the parties on that
issue and as to costs.
- I
make the following orders in each proceeding:
- (1) that the
question whether the matter complained of is reasonably capable of identifying
the plaintiff be decided separately from
and before any other question in the
proceedings;
- (2) that the
separate question be answered
“no”.
**********
Amendments
03 October 2017 - Typographical error in case cited on coversheet
[1] Section 8 of the Defamation Act
2005 (NSW).
[2] Section 9 of
the Defamation Act.
[3] (1918) 25
CLR 234; [1918] HCA 50 at 238.
[4]
[2012] NSWSC 1528 (Nicholas J).
[5]
Younan v Nationwide News Pty Ltd [2013] NSWCA 335 at [5] per Macfarlan JA;
Bathurst CJ and Beazley P agreeing at [1] and
[2].
[6] Ibid at
[20].
[7] Ibid at
[34].
[8] Expense Reduction
Analysts Group Pty Ltd v Armstrong Strategic Management and Marketing Pty
Limited [2013] HCA 46 at [57].
[9]
Svilans affidavit, par 4.
[10]
Svilans affidavit, par 5.
[11]
Defamation Act, ss 8,
9.
[12] [1979] HCA 3; (1979) 141 CLR 632 at 642
per Mason and Jacobs JJ (with whom Gibbs and Stephen JJ
agreed).
[13] [2010] NSWSC 711 at
[17]- [18].
[14] Cf E Hulton &
Co v Jones [1910] AC 20.
[15]
Ibid at 22.1.
[16] [1934] HCA 60; (1934) 51 CLR
276.
[17] [2016] NSWCA 283.
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