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Trouton v Trouton [2022] QSC 210 (30 September 2022)

Last Updated: 30 September 2022

SUPREME COURT OF QUEENSLAND

CITATION:
Trouton v Trouton & Another [2022] QSC 210
PARTIES:
PATRICIA ANN TROUTON

(plaintiff)

v

NEIL SIMON TROUTON

(first defendant)

LEANNE TROUTON

(second defendant)
FILE NO/S:
BS No 6965 of 2017
DIVISION:
Trial Division
PROCEEDING:
Application
ORIGINATING COURT:
Supreme Court at Brisbane
DELIVERED ON:
30 September 2022
DELIVERED AT:
Brisbane
HEARING DATE:
13 September 2021 – 30 September 2021; 6 December 2021; 7 December 2021; 16 December 2021
JUDGE:
Williams J
ORDER:
  1. I will hear further from the parties as to the appropriate orders in light of these reasons and costs.
  2. Further, the parties should agree directions for:
(a) the provision of draft agreed orders, or if orders cannot be agreed, for the provision of competing draft orders and brief submissions in support; and

(b) the provision of brief submissions and any supporting material in respect of costs.

CATCHWORDS:
REAL PROPERTY – TORRENS TITLE – INDEFEASIBILITY OF TITLE – EXCEPTIONS TO INDEFEASIBILITY – FRAUD OR FORGERY – where a Form 1 Transfer was executed under an enduring power of attorney – where the enduring power of attorney had been revoked due to the death of the donor – where the Form 1 transfer was registered with the Registrar of Titles – where the plaintiff alleges fraud by the registered proprietors – where the plaintiff alleges she did not know what document she was signing – whether the Form 1 Transfer was invalid – whether the deficiencies in the Form 1 Transfer amount to fraud by the registered proprietors
CONTRACTS – GENERAL CONTRACTUAL PRINCIPLES – DOCTRINE OF PART PERFORMANCE – WHAT ACTS CONSTITUTE PART PERFORMANCE – ACTS CONSTITUTING PART PERFORMANCE – where the defendants allege that there is an agreement for the sale and purchase of the property – where the plaintiff alleges no such agreement exists – whether there is an agreement – whether the agreement is written or oral or partly written and partly oral – where the defendants acted in reliance of the agreement – whether the defendants’ conduct amounts to part performance of the agreement
PROCEDURE — CIVIL PROCEEDINGS IN STATE AND TERRITORY COURTS – PLEADINGS — FORM OF PLEADING – MATTERS TO BE PLEADED SPECIFICALLY — where there is a requirement for fraud to be pleaded and particularised — where fraud exception to indefeasibility pleaded under s 184(3)(b) – where the plaintiff alleges exception to indefeasibility under 184(3)(a) and/or s 185(1)(a) of the Land Title Act – where the plaintiff does not specifically plead exception to indefeasibility under s 184(3)(a) and/or s 185(1)(a) of the Land Title Act – whether the plaintiff should be precluded from pursuing a claim under s 184(3)(a) and/or s 185(1)(a) of the Land Title Act.

Land Title Act 1994 (Qld), s 127, s 184, s 185, s 187

Assets Company Limited v Roihi [1905] UKLawRpAC 11; (1905) AC 176
Australian Guarantee Corp Ltd v De Jager [1984] VicRp 40; [1984] VR 483
Bahr v Nicolay (No 2) [1988] HCA 16; (1988) 164 CLR 604
Bank of South Australia Limited v Ferguson [1998] HCA 12; (1998) 192 CLR 248
Banque Commerciale S.A. En Liqudiation v Akhil Holdings Limited (1990) 169 CLR 279
Briginshaw v Briginshaw [1938] HCA 34; (1938) 60 CLR 336
Browne v Dunn (1893) 6 R. 67, H.L
Butler v Fairclough [1917] HCA 9; (1971) 23 CLR 78
Cassegrain v Gerard Cassegrain & Co Pty Ltd (2015) 254 CLR 425
Corin v Paton (1990) 169 CLR 540
Davis v Williams (2003) 11 BRP 21313
Macquarie Bank Ltd v Sixty-Fourth Throne Pty Ltd [1998] 3 VR 133
National Australia Bank v Maher [1995] VicRp 23; [1995] 1 VR 318
Pyramid Building Society (in liq) v Scorpion Hotels Pty Ltd [1998] 1 VR 188
Royalene Pty Ltd v Registrar of Titles [2008] QSC 64
Waimiha Sawmilling Company Limited (in liq) v Waione Timber Co Ltd [1926] AC 101
White v Tomasel & Anor [2004] QCA 89
Young v Hoger [2001] QCA 453
COUNSEL:
A J H Morris KC, with I Erskine for the plaintiff;
G Allan for the defendants
SOLICITORS:
Creagh Weightman Lawyers for the plaintiff;
Walt Allan for the defendants

2ADCC” means the Second Amended Defence and Counterclaim;

4ARej” means the Fourth Amended Rejoinder to the Reply and Defence to the Counterclaim;

5ARD” means the Fifth Amended Reply to Defence and Defence to Counterclaim;

9 March Written Agreement” means the purported agreement contained in the written document dated 9 March 2007 between the plaintiff, Colin Trouton and the defendants;

Form 1 Transfer” means the Form 1 Transfer instrument number 710716147 signed on 19 June 2007;

Colin Trouton Power of Attorney” means the Form 2 Enduring Power of Attorney entered into and executed by Colin Trouton on 27 February 2003;

Dagmar Street Property” means Lot 6 on survey plan 128612, title reference 50306460, situated at 53 Dagmar Street, Holland Park West;

DCS” means the Defendant’s Written Closing Submissions;

DRCS” means the Defendant’s Reply to the Plaintiff’s Written Closing Submissions;

Harbut Street Property” means Lot 7 on survey plan 128612, title reference 50306461, situated at 1 Harbut Street, Holland Park West;

Land Title Act” means Land Title Act 1994 (Qld);

Original Block” means the real property at 1 Harbut Street, Holland Park West;

PCS” means the Plaintiff’s Written Closing Submissions;

Plaintiff’s Caveat” means caveat 717953437 lodged by the plaintiff on 10 April 2017;

POA Act” means Powers of Attorney Act 1998 (Qld);

RAMS Facilities” means:

(i) RAMS home loan account number 001367390, in the names of the plaintiff and Colin Trouton; and

(ii) RAMS home loan account number 001922533, in the names of the plaintiff and Colin Trouton;

Registrar’s Caveat” means caveat 718136397 lodged by the Registrar of Titles on 6 July 2017;

Scaasi” means the retail fashion business Scaasi Enterprises Pty Ltd ACN 081 139 399 operated by the plaintiff and Christine Trouton;

SOC” means Statement of Claim;

UCPR” means the Uniform Civil Procedure Rules 1999 (Qld)

(a) An order pursuant to s 187 of the Land Title Act cancelling the registration of the Form 1 transfer instrument being dealing number 710716147 dated, and lodged for registration, on 19 June 2007 over and on the Harbut Street Property.

(b) An order for recovery of possession of the Harbut Street Property.

(a) Pursuant to s 127(1) of the Land Title Act, an order for removal of the Plaintiff’s Caveat.

(b) Pursuant to s 127(1) of the Land Title Act, an order for removal of the Registrar’s Caveat.

(c) Damages for deceit if the title to the Harbut Street Property is not transferred to the plaintiff, the amounts of:

(i) $516,817.88 being the total of the payments made by the defendants in respect of the RAMS Facilities to 30 June 2021; and

(ii) Such additional payments made by the defendants on the RAMS Facilities from 1 July 2021 to the date of judgment.

(d) Damages for breach of contract:

(i) $516,817.88 being the total of the payments made by the defendants in respect of the RAMS Facilities to 30 June 2021; and

(ii) Such additional payments made by the defendants with respect to the RAMS Facilities from 1 July 2021 to the date of judgment.

(e) A declaration that the plaintiff is liable for repayment of the RAMS Facilities.

(f) An order that the plaintiff repay the RAMS Facilities and discharge the mortgages against the Harbut Street Property which are security for the RAMS Facilities.

(g) A declaration that the plaintiff is estopped from seeking an order under s 187 of the Land Title Act cancelling the registration on 19 June 2007 of the Form 1 Transfer over the Harbut Street Property, and is estopped from seeking any consequential order for recovery of possession of the Harbut Street Property.

(h) Alternatively, if the Court makes an order under s 187 of the Land Title Act to direct the Registrar to cancel the registration of the Form 1 Transfer, and to register the plaintiff as the registered owner of the Harbut Street Property, then the defendants seek:

(i) A declaration that the Harbut Street Property is held by the plaintiff on constructive trust for the benefit of the defendants to the extent of the amounts determined by the Court in respect of the defendants’ claims for unjust enrichment and allowances.

(ii) A declaration that the plaintiff is liable for repayment of the RAMS Facilities.

(iii) Restitution for unjust enrichment, alternatively damages for deceit, in the amount of $1,525,597.22 or such another amount determined by the Court.

(iv) An enquiry into the value of the energy, skill and expertise contributed by the defendants to the increasing value of the Harbut Street property.

(v) An order for payment of all just allowances in such amounts as may be found due by the Court upon conducting an enquiry.

(vi) An order that the plaintiff pay to the defendants such additional payments made by the defendants on the RAMS Facilities from 1 July 2021 to the date of judgment.

Admitted facts – Facts not in contention

(a) the first and second defendants became the registered proprietors as joint tenants of the Dagmar Street Property; and

(b) on or about 19 June 2007, Colin Trouton and the plaintiff were the registered proprietors as joint tenants of the Harbut Street Property.[23]

(a) the plaintiff;

(b) the first defendant; and

(c) Deanne Hummelstad.

(a) expressed by clause 5 to begin immediately;

(b) an enduring power of attorney within the meaning of s 44(1) of the POA Act; and

(c) subsequently lodged for registration with the Registrar of Land Titles and registered as dealing number 710602341.[26]

(a) Any sale of the Harbut Street Property could be achieved by entering into a standard contract which would be made subject to finance and the sale of Dagmar Street;

(b) The plaintiff should obtain an appraisal of the house prior to any repairs or improvements;

(c) Any agent engaged to carry out the appraisal must refer to at least three recent comparable sales in the area;

(d) The appraisal would fix the value for stamp duty purposes; and

(e) That the first defendant could lodge a “consent caveat” to partially protect his position.[28]

(a) the plaintiff drew down the following further amounts against loan facilities from RAMS which were secured by a mortgage over the Harbut Street Property:
(i) $10,000 on or about 16 February 2007;

(ii) $5000 on or about 16 February 2007;

(iii) $15,000 on or about 26 February 2007; and

(iv) $15,000 on or about 27 February 2007.

(b) The total amount was $45,000.[29]

(c) The plaintiff did not inform the first or second defendants about the further advances.[30]

2.
Lot on Plan Description
County
Parish
Title Reference

Lot 7 on SP 128612
Stanley
Yeerongpilly
50306461
3.
Transferors

Colin William Trouton and Patricia Ann Trouton

4.
Consideration

five hundred and twenty five thousand dollars ($525,000)

5.
Transferee Given names
Surname
(include tenancy if more than one)

Neil Simon

Leanne

Trouton

Trouton

Joint Tenants
(a) The defendants knew that Colin Trouton had died on 15 June 2007.[44]

(b) The defendants knew that the Registrar of Land Titles had no knowledge of the death of Colin Trouton on 15 June 2007.[45]

(a) was of no effect as the Colin Trouton Power of Attorney had been revoked from the date of his death.[47]

(b) was of no effect.[48]

(a) RAMS home loan account number 001367390, in the name of the plaintiff and Mr Colin Trouton, with a balance of -$297,068.44;

(b) RAMS home loan account number 001922533, in the name of the plaintiff and Mr Colin Trouton, with a balance of -$123,999.23,

and the total amount was -$421,067.67.[49]

Issues in dispute

Pleading issue

(a) the plaintiff’s pleaded case is exclusively based on, and confined to, proving fraud by the registered proprietors: that is, the title of the first and second defendants as joint tenants and registered owners of the Harbut Street Property is defeasible by reason of fraud as pleaded at paragraph 19(a) of the SOC and as particularised in the plaintiff’s Further and Better Particulars that were filed on 9 September 2021.[53]

(b) the plaintiff’s case does not plead or rely upon any of the exceptions in s 185 of the Land Title Act.[54]

(c) the plaintiff appears to be seeking to rely on a case that is based on exceptions to indefeasibility as provided for in s 185(1)(a) of the Land Title Act.[55]

(d) if the plaintiff had wished to conduct its case based on some type of “in personam” exception under s 185(1)(a) as well as fraud, then this needed to be specifically pleaded in the alternative.[56]

“[The statement of claim] pleads in paragraph 19 a conclusion of law and it identifies one of the things that the rules required to be specifically identified, and that is fraud. But that doesn’t curtail reliance on other legal conclusions which arise from the same facts. And if the same facts are capable of giving rise to a person[al] equity or statutory fraud or an in personam liability to relief, then the pleading sets out the parameters of the case.”[57]

“Throughout the course of ... 12 days of evidence, not once was objection taken to questions which could not be relevant to a case of fraud but were plainly relevant to a case of equitable obligations, constructive fraud, in personam liability. and not once... was objection taken. ... [T]here is no basis for saying that if we make up the case pleaded on the facts set forth in paragraphs 1 to 18 of the pleading [the plaintiff] is not entitled to the [relief] under the law of Queensland which arises from those facts.”[58]

(a) outlined the evidence that was anticipated to be given by the various witnesses to be called as part of the plaintiff’s case; and

(b) incorporated a summary of issues (reproduced as Annexure A to these reasons).

“1. Whether the title to Harbut St was procured by the fraud of NT and LT within the meaning of s.184(3)(b) of the Land Title Act 1994 (“LTA”), such fraud consisting of -

  1. If fraud is established, what order should be made under s.187 of the LTA
  2. If fraud is not established, what order should be made under s.127 of the LTA

“In the premises

(a) The registration of the Harbut Street property in the joint names of the first and second defendants was procured by the first and second defendants’ fraud within the meaning of s 184(3)(b) of the [Land Title Act];

(b) The plaintiff claims the relief sought in the prayer for relied below.”

(a) “the Defendants’ conduct” and five identified acts, including some in the alternative; and

(b) “The fact that the Defendants never had any intention of paying the purchase price for the Harbut Street property, such fact being inferred from [six listed facts after registration of title in the Defendant’s joint names]”.

“(a) Unlawfully and surreptitiously executing the Form 1 Transfer instrument on behalf of [Colin Trouton] after his death purportedly under Power of Attorney No. 710602341 (invalid Form 1).

(b) Lodging the invalid Form 1 for registration with intent to effect a transfer of the title of the Harbut Street property to each of the Defendants absent any valid contract for the sale or transfer of the Harbut Street property from the Plaintiff and [Colin Trouton] to the Defendants.

(c) Alternatively, if the Harbut Street Agreement[59] is valid (which is denied), lodging the invalid Form 1 for registration with intent to effect a transfer of the title of the Harbut Street property to each of the Defendants in circumstances where it was the case, and the Defendants knew that:

(i) the deposit of $10,000 under cl.6.4 was not paid to the Plaintiff;

(ii) there was no variation in writing signed by the parties to the Harbut Street Agreement for deferring payment of the said deposit;

(iii) There was no variation in writing signed by the parties to the Harbut Street Agreement varying the time for payment of the purchase price; and

(iv) there was no provision in the Harbut Street Agreement for the transfer of title prior to payment of the purchase price.

(d) Further or alternatively, lodging the invalid Form 1 for registration with intent to effect a transfer of the title of the Harbut Street property to each of the Defendants in circumstances where, at the time of lodgement, the Defendants:

(i) had not paid the consideration of $525,000 stated in the Form 1 transfer, or any part thereof;

(ii) had not paid the consideration stated in the alleged Harbut Street Agreement of $550,000, or any part thereof; and

(iii) had not paid the adjusted consideration stated in the alleged Harbut Street Agreement of $500,000, or any part thereof.

(e) Further or in the alternative, lodging the invalid Form 1 for registration with intent to effect a transfer of the title of the Harbut Street property to each of the Defendants in circumstances where, at the time of lodgement, the Defendants:

(i) had taken no steps to sell 53 Dagmar Street;

(ii) were not in a financial position to pay the purchase price for the transfer of the Harbut St[reet] property or any significant part thereof;

(iii) failed to inform the mortgagee of the fact of the transfer of the Harbut Street property; and

(iv) failed to make any payments or contributions towards the RAMS mortgage secured over the Harbut Street property prior to September 2018.”

“(a) have not made any payments to the Plaintiff with respect to the purchase of the Harbut Street property;

(b) have taken no steps to sell 53 Dagmar Street;

(c) have paid no part of the purchase price, whether from the proceeds of sale of 53 Dagmar Street or at all;

(d) have never provided to the Plaintiff a ‘granny flat’ in which to live;

(e) on or about 12 December 2012, obtained a development approval deleting the proposed ‘granny flat’ shown in plans and drawings ...; and

(f) by email dated 13 December 2012 from the First Defendant, instructed the Plaintiff not to contact the mortgagee with respect to arranging a discharge of the mortgage.”

“(b) the defendants have not paid and the plaintiff has not received, the, or any part of the, consideration of $525,000 referred to at Item 4 of the Form 1 Transfer Instrument ...; and

(c) that no liability for payment of the, or any part of then (sic), said consideration was assumed by the defendants; ...”

184 Quality of registered interests

(1) A registered proprietor of an interest in a lot holds the interest subject to registered interests affecting the lot but free from all other interests.

(2) In particular, the registered proprietor—

(a) is not affected by actual or constructive notice of an unregistered interest affecting the lot; and

(b) is liable to a proceeding for possession of the lot or an interest in the lot only if the proceeding is brought by the registered proprietor of an interest affecting the lot.

(3) However, subsections (1) and (2) do not apply—

(a) to an interest mentioned in section 185; or

(b) if there has been fraud by the registered proprietor, whether or not there has been fraud by a person from or through whom the registered proprietor has derived the registered interest.”

“(1) A registered proprietor of a lot does not obtain the benefit of section 184 for the following interests in relation to the lot—

(a) an equity arising from the act of the registered proprietor;

(b) the interest of a lessee under a short lease;

(c) the interest of a person entitled to the benefit of an easement if its particulars have been omitted from, or misdescribed in, the freehold land register;

(d) the interest of a person who, on application, would be entitled to be registered as owner of the lot because the person is an adverse possessor;

(e) the interest of another registered proprietor making a valid claim under an earlier existing indefeasible title for all or part of the lot;

(f) the interest of another registered owner if there are 2 indefeasible titles for the same interest in the lot and the inconsistency has arisen through failure on transfer to cancel, wholly or partly, the indefeasible title of the first registered owner;

(g) the interest of another registered proprietor if the lot described in the indefeasible title wrongly includes land in which the other registered proprietor has an interest;

...”

187 Orders by Supreme Court about fraud and competing interests

(1) If there has been fraud by the registered proprietor or section 185(1)(c), (d), (e), (f) or (g) or (1A) applies, the Supreme Court may make the order it considers just.

(2) Without limiting subsection (1), the Supreme Court may, by order, direct the registrar—

(a) to cancel or correct the indefeasible title or other particulars in the freehold land register; or

(b) to cancel, correct, execute or register an instrument; or

(c) to create a new indefeasible title; or

(d) to issue a new instrument; or

(e) to do anything else.”

(a) “fraud” by the registered proprietor (this is relevantly the exception to indefeasibility of title in s 184(3)(b) of the Land Title Act); and

(b) Sections 185(1)(c), (d), (e), (f) or (g) of the Land Titles Act (also section 185(1A) in respect of a relevant mortgagee) apply.

“Although the Court’s powers under s 187 would not have been applicable, relief could have been granted by making a vesting order under s 82 of the Trusts Act 1973, which could be registered under s 110A of the Land Title Act 1994.”

(a) At [10.220] at page 325 in respect of s 184(3)(b):

“Fraud, as an exception to the indefeasibility of Torrens Title, is codified in the [Land Title Act], s 184(3)(b). This provision stipulates that the quality of indefeasibility will be destroyed “if there has been fraud by the registered proprietor, whether or not there has been fraud by a person from or though whom the registered proprietor has derived the registered interest”.[64] Fraud, as used in the context of this section, “may not have fixed and definite boundaries”;[65] however, two propositions can be stated with certainty:

  1. The fraud complained of must relate to the current state of the title. Unless the current registered proprietor, or the current registered proprietor’s agent, can be implicated in the fraud, fraud on the part of a predecessor in title will not make the title of the current registered proprietor defeasible.[66]
  2. Fraud means actual dishonesty by the registered proprietor or her or his agent. Accordingly, the meaning of the term “fraud” is more restricted under the [Land Title Act], s 184(3)(b), than under the general law.”
(b) At [10.330] at pages 348 - 349 in respect of s 185(1)(a):

“The [Land Title Act], s 185(1)(a), codifies the current state of the law by stipulating that a registered proprietor does not obtain the benefits of indefeasibility as against “an equity arising from the act of the registered proprietor”. Unfortunately, the section is drafted in terms of an “equity” arising from the act of the registered proprietor, but it is clear that the section is referring to a claim in personam that arises from the act of the registered proprietor and extends to both legal and equitable claims. The use of the term “equity” in this context is apt to be misleading because it appears to leave out of account legal claims such as those arising from breach of contract. For that reason the term “in personam” claim is preferred.[67] Registered proprietors cannot rely on the protection indefeasibility of title confers to escape obligations personally incurred by them. In other words, registered proprietors cannot create legal or equitable interests in their land and then purport to disregard them on the basis that such interests are not recorded on the Register. The court will enforce “an equity arising from the act of the registered proprietor”,[68] notwithstanding that the interest is not reflected on the registered proprietor’s title.”

(c) At [10.375] at page 358 as to the potential overlap between the two and the differences in remedies:

“... there are some circumstances where a claim can be categorised as either fraud or within the in personam exception, for example, the claim in Bahr v Nicolay and a claim for accessory liability under the second limb of Barnes v Addy. For many purposes, it may not matter which category is relied upon, but it is probably wise to plead both. The remedies available for each category differ slightly. If fraud is established, an order for rectification of the register by removing the relevant registered interest may be available under s 187 of the [Land Title Act]. This remedy is not available for a claim under s 185(1)(a) and instead the court will need to make orders against the defendant to transfer property to the plaintiff, along with a vesting order under the Trusts Act 1973.[69] The end result is likely to be the same but the form of the orders and procedure is different and more cumbersome.”

(a) the plaintiff has not pleaded a claim under s 184(3)(a) and/or s 185 of the Land Title Act; and

(b) the plaintiff is precluded from now pursuing a claim for relief on the basis of s 184(3)(a) and/or s 185(1)(a) of the Land Title Act outside of the plaintiff’s pleaded case.

Evidence and onus

(a) the events leading to the Harbut Street Agreement the plaintiff and Colin Trouton entered into with the first and second defendants;

(b) the signing of the 9 March Written Agreement;

(c) the plaintiff’s actions to register Colin Trouton’s Power of Attorney in May 2007;

(d) the purpose of the plaintiff and Colin Trouton visiting the first and second defendants on 3 June 2007; and

(e) the communications and dealings the plaintiff had with the first and second defendants.[80]

(a) The evidence of the plaintiff was plainly implausible in a number of respects.
(i) One example is the plaintiff’s evidence as to why she did not list the Harbut Street Property as an asset when completing her application for a Centrelink pension if she thought that she still owned the Harbut Street Property. As she was then living at the Gold Coast as her principal place of residence, the Harbut Street Property would have been an investment property if she still owned it. I find that the plaintiff’s explanation of an oversight is implausible.

(ii) Another example is the plaintiff’s explanation of her lack of knowledge concerning the District Court proceedings by RHG seeking orders in respect of the default on the RAMS facilities and the related Supreme Court proceedings by the defendants seeking orders, in effect, permitting the defendants to make payments in respect of the RAMS Facilities and preserving the position until the determination of these proceedings. These proceedings were more recent in time and also had serious consequences if the plaintiff was still the owner of the Harbut Street Property. The mortgagee could have taken possession of the Harbut Street Property and sold it. Given the central importance of the Harbut Street Property to these proceedings it is implausible that the plaintiff would not have had a greater involvement in, and knowledge of, those proceedings if she was in fact the rightful owner of the Harbut Street Property.

(b) The plaintiff’s evidence was largely unresponsive to questions asked, and the plaintiff kept repeating matters in a way that suggested she was giving evidence consistent with her own case.

(c) The plaintiff’s evidence was not credible or reliable.

(d) Overall, I do not accept the evidence of the plaintiff except where it is consistent with the evidence of the first and second defendants, or it is consistent with contemporaneous documents.

Execution of the Form 1 Transfer

(a) The plaintiff received a telephone call from the first defendant asking the plaintiff to come to Brisbane quickly because “we had to address something with the estate”.[84]

(b) The first defendant asked the plaintiff to sign the Form 1 Transfer.[85]

(c) The plaintiff did not know what it was about.[86]

(d) The first defendant did not explain to the plaintiff what she was signing.[87]

(e) The second defendant did not explain to the plaintiff what she was signing.[88]

(f) The plaintiff did not ask what she was signing as she was too grief stricken. She also trusted the first and second defendants.[89]

(g) The plaintiff signed things for the first defendant when he brought them to her. “It was never in [her] mind to think that this would happen”.[90]

(h) The plaintiff first learned that the title had been transferred when her daughter Christine Trouton discovered that the title was no longer in her or Colin Trouton’s name.[91]

(i) The plaintiff had no idea that the title had been transferred. The plaintiff stated:

“I always thought it was my land and my son would be building on it”.[92]

(j) The plaintiff gave evidence that she never received $525,000.[93]

(k) If the plaintiff had understood that the document was to transfer the title she would not have signed it at the time.[94]

(l) The first defendant did not mention that title had transferred when the first defendant made enquiries as to why the RAMS home loan was in default. The first defendant did not mention to her that the title had been transferred.[95]

(m) The plaintiff asked the first defendant to pay the arrears on the RAMS home loan. The plaintiff thought at the time the first defendant agreed to take over the mortgage payments that it would only be for a year or so, or two years like a normal build would be.[96]

(n) The plaintiff “expected the build to go ahead on [her] land”. She further said “At the completion of the build, I would then speak to the rest of my children – four daughters, seek – and the advice, and go to my solicitor – he’d already given me the advice – go to my solicitor, and the expectation would be, in conjunction with everything, we’d all get together, we’d sort out the finances, I’d be paid and the amount that Neil was owed, he’d be paid to. But it would be done legally”.[97]

“On 19 June 2007 [the defendants]:

  1. procured the signature of the plaintiff on the Form 1 Transfer Instrument by:
    1. telephoning the plaintiff on the morning of 19 June 2007 informing her, in substance or effect, that there was a problem that required her to travel to Brisbane immediately to sign some documents;
    2. meeting the plaintiff at Garden City Shopping Centre;
    1. accompanying the plaintiff to an office within Garden City Shopping Centre;
    1. Handing the plaintiff, in said office, a bundle of documents (including the Form 1 Transfer Instrument) (herein after the “bundle”);
    2. requesting the plaintiff to sign documents in the bundle (including the Form 1 Transfer Instrument); and indicating by hand gesture where the plaintiff was to sign;
    3. failing at any stage to explain, or otherwise inform, the plaintiff of the legal nature and effect of documents including the Form 1 Transfer Instrument; and
    4. having the plaintiff’s various signatures witnessed by a justice of the peace.”
(a) The second defendant prepared the Form 1 Transfer in early May.[98]

(b) The plaintiff and Colin Trouton met the first and second defendant on 3 June 2007 at the Carindale Shopping Centre in the afternoon.[99]

(c) Colin Trouton fell ill on the night of 3 June 2007 and as a consequence, the Form 1 Transfer was not signed by the plaintiff and the first defendant. The plaintiff and Colin Trouton returned to the Gold Coast on 4 June 2007.[100]

(d) The day after Colin Trouton’s death, on 16 June 2007, the first defendant received a telephone call from John Hummelstad, Dr Deanne Hummelstad’s husband, who advised that arrangements were being made to remove certain care items from the Gold Coast unit. The first and second defendants travelled to the Gold Coast to see what was happening in respect of the removal of the care items.[101]

(e) When the first and second defendants arrived at the Breakers North unit on the Gold Coast, they observed that care items were being removed and taken away by a third party.[102]

(f) The first defendant was quite shocked. The first and second defendants stayed at the Breakers North unit on the evening of 16 June 2007.[103] The first defendant had a discussion with Dr Deanne Hummelstad to the following effect:

“Deanne asked me when I was at the computer in the alcove. She said that, ‘are you still going to proceed with the Harbut Street property?’ ... I said we had already invested a huge amount of time and money and that mum would have the granny flat.”[104]

(g) The first defendant returned to Brisbane and spoke to the plaintiff next on 18 June 2007 when the first defendant rang the plaintiff as he was upset that he was not included in the casket and funeral arrangements in respect of Colin Trouton.[105]

(h) During the telephone conversation between the first defendant and the plaintiff on 18 June 20017:

(i) the first defendant told the plaintiff that Dr Deanne Hummelstad had asked him the “other night” whether he would be proceeding with Harbut Street. The plaintiff responded by saying “the girls are asking questions”.[106]

(ii) the first defendant asked the plaintiff did the plaintiff still want to proceed with Harbut Street. The plaintiff replied “definitely yes” and commented that “it’s what dad wanted”.[107]

(iii) the plaintiff said that she was coming up to Brisbane the next day and the plaintiff and the first defendant would “organise what we had to do tomorrow”, that is, arrange the transfer.[108]

(i) On 19 June 2007, the first defendant telephoned the plaintiff in the morning, which is what had been discussed the day before. During the telephone conversation, the transfer was discussed and finding “a JP to witness the transfer” and “locating a JP”.[109]

(j) The plaintiff indicated that she would assist in finding a Justice of the Peace and she would make some phone calls. The first defendant would also make some phone calls to locate a Justice of the Peace.[110]

(k) The first defendant spoke to the second defendant and the second defendant assisted in making some phone calls to find a Justice of the Peace while the plaintiff was also making phone calls.[111]

(l) The plaintiff telephoned the first defendant and said that she had found a Justice of the Peace at the Garden City Shopping Centre through Mortgage Choice.[112]

(m) The plaintiff said that she would come up to Brisbane and that the first and second defendants would meet her at Garden City. A time was arranged based on how much time the plaintiff needed to travel to Brisbane.[113]

(n) A time around 10 o’clock, midmorning, was arranged.[114]

(o) The plaintiff said that she would bring the Colin Trouton Power of Attorney.[115]

(p) The first and second defendants and their children travelled to Garden City Shopping Centre to meet the plaintiff.[116]

(q) Mortgage Choice was located in the Centre Manager’s area, on level 1 above the main section of the shopping centre. There was a lift and a staircase. The first and second defendants met the plaintiff where the staircase went up to the Centre Manager’s area.[117]

(r) The plaintiff, the first and second defendants and their children, greeted each other and went up the stairs to Mortgage Choice. Mortgage Choice was in an enclosed office. They went through a doorway and up to a reception desk.[118]

(s) A person (now known as Luke Cashin) came out of the back office and came up to the side of the reception desk. The second defendant introduced herself and others to Luke Cashin and said that we were there to get him to witness a transfer document.[119]

(t) The second defendant had the Form 1 Transfer and put it on the reception desk.[120]

(u) The plaintiff produced the Colin Trouton Power of Attorney and put that on the reception desk.[121]

(v) Prior to signing the Form 1 Transfer, Mr Cashin asked for a driver’s licence as identification and each of the plaintiff and the first and second defendants produced their drivers’ licences.[122]

(w) Mr Cashin briefly looked at the documents on the table (being the Form 1 Transfer and the Colin Trouton Power of Attorney).[123]

(x) Mr Cashin asked if everyone understood document they were about to sign. The plaintiff and the first and second defendants each said yes.[124]

(y) The first defendant heard the plaintiff say “yes” in response to Mr Cashin’s question whether everyone understood the document they were about to sign.[125]

(z) The first defendant did not direct the plaintiff as to where to sign on the Form 1 Transfer.[126]

(aa) The plaintiff signed the Form 1 Transfer first, the first defendant signed the Form 1 Transfer second and the second defendant signed the Form 1 Transfer third.[127]

(bb) Following the plaintiff and the first and second defendants signing the Form 1 Transfer, Mr Cashin completed his signature and applied his stamp as the Justice of the Peace.[128]

(cc) The first defendant does not recall who wrote the dates on the Form 1 Transfer. It is not the first defendant’s writing.[129]

(dd) The handwritten words immediately under the transferor’s signature in respect of Colin Trouton were on the Form 1 Transfer prior to signing.[130]

(ee) The plaintiff and the first and second defendants were standing at the high reception desk when signing the document.[131]

(ff) After the Form 1 Transfer was signed, the plaintiff, the first and second defendants and their two children went downstairs and walked through the Garden City Shopping Centre.[132]

(gg) They grabbed a takeaway coffee on the way up to Harvey Norman. The first and second defendants at the time were looking at replacing a kettle. The plaintiff indicated she was going to look around at some other things in the store. They were in the store for 15-20 minutes, maybe a bit longer, half an hour.[133]

(hh) By the time they left Harvey Norman, it was getting close to lunch. The first and second defendants said that they were taking their children home for lunch. The plaintiff said she was going to go visit her daughter Margo Powell who was then living at Wynnum.[134]

(ii) The whole process of signing the Form 1 Transfer took less than 10 minutes.[135]

(jj) The first defendant observed the plaintiff’s demeanour as being “normal” in that she was happy to see them and was talking normally.[136]

(kk) After having lunch at home, the first and second defendants and their children got into their car and went into the city. They went to Charlotte Street for the Office of State Revenue. The second defendant was dropped off as the first defendant could not find a parking spot. The first defendant drove around the block.[137]

(ll) The second defendant returned and the first defendant drove to the Titles Office and dropped off the second defendant. The second defendant went into the Titles Office and returned sometime later.[138]

“The details in the ... testimony from [the first defendant] highlights the fact that [the plaintiff’s] version of all of the events that led to the signing of the form 1 transfer is a lie. This prospect of any witness being able to fabricate or make up the facts with the detail recounted by [the first defendant] and of being able to testify with the fluency that he did when giving his testimony are so remote that the court would have no hesitation in accepting his testimony in its entirety.”

(a) there was a conversation that the plaintiff wanted to proceed with the Harbut Street Property.[143]

(b) the plaintiff indicated that she would be travelling to Brisbane and brought the Colin Trouton Power of Attorney with her.

(c) the first defendant recalls that the plaintiff volunteered to bring the Colin Trouton Power of Attorney.[144]

(a) On 19 June when the plaintiff brought the Colin Trouton Power of Attorney to the Garden City Shopping Centre, that was the first time the first defendant had seen it since it was executed years earlier.[146]

(b) The first defendant had not seen the document when the plaintiff and Colin Trouton visited on 3 and 4 June 2007.[147]

(c) When the first defendant saw the Form 1 Transfer on 19 June 2007, it already had the words “Colin William Trouton by his duly constituted attorney” written on it.[148]

(d) The only writing he observed on the Form 1 Transfer on the day that it was executed at the Garden City Shopping Centre on 19 June 2007 were the signatures. He was not absent at any time during the document being executed.[149]

(e) The Form 1 Transfer was produced at the Garden City Shopping Centre for execution and the first defendant did not indicate to the plaintiff where to sign.[150]

(f) The first defendant did not tell the plaintiff what the document was that she was signing as the plaintiff knew what the document was and the plaintiff knew she was signing a transfer.[151]

(a) The first time she saw Colin Trouton’s Power of Attorney was on the evening of 3 June 2007 when she was talking to the plaintiff in the first and second defendants’ son’s bedroom.[155]

(b) The plaintiff asked the second defendant whether the second defendant needed the Colin Trouton Power of Attorney as tentative arrangements had been made to transfer the property on 4 June 2007.[156]

(c) The second defendant wrote the endorsement relating to Colin Trouton’s Power of Attorney on the Form 1 Transfer on the night of 3 June 2007 using the registration number shown on the Colin Trouton Power of Attorney.[157]

(d) Earlier, on or about 31 May 2007 or 1 June 2007, the second defendant had made enquiries of the Titles Office enquiry line and had been informed that an Enduring Power of Attorney was required to be registered before a transfer could be lodged for registration and the form of endorsement that would need to be made.[158]

(e) The second defendant put the endorsement on the Form 1 Transfer so that the first defendant and the plaintiff would be able to sign the transfer as attorneys for Colin Trouton.[159]

(f) The endorsement was the only words written on the Form 1 Transfer on the evening of 3 June 2007.[160]

(g) Once the endorsement had been made on the Form 1 Transfer, the second defendant left the Colin Trouton Power of Attorney on top of the plaintiff’s handbag which was located in the first and second defendants’ son’s bedroom.[161]

(h) The first and second defendants and their children were at the plaintiff’s unit on 16 June 2007.[162] There, the second defendant overheard a conversation between the first defendant and Dr Deanne Hummelstad as follows:

“Deanne asked if we would still be proceeding with the Harbut Street property and [the first defendant] told her that we had invested a substantial amount of time and money and that his mum would still have the granny flat to live in.”[163]

(a) The first and second defendants and their children attended the Garden City Shopping Centre midmorning to meet with the plaintiff.[165]

(b) The second defendant took the Form 1 Transfer to the Garden City Shopping Centre in her handbag.[166]

(c) The second defendant understood that the purpose of the meeting was to meet with a Justice of the Peace to sign the Form 1 Transfer.[167]

(d) The first and second defendants, their children and the plaintiff walked up some stairs to a mortgage broking business where the Justice of the Peace was.[168]

(e) The first and second defendants, their children and the plaintiff entered an office and the second defendant introduced herself to a male person, Luke Cashin, first. The only person in the room was Luke Cashin.[169]

(f) The second defendant put the unsigned Form 1 Transfer on the reception counter.[170]

(g) The plaintiff took the Colin Trouton Power of Attorney out of her handbag and put it on the reception counter.[171]

(h) Luke Cashin asked the plaintiff and the first and second defendants to provide identification.[172]

(i) The second defendant produced her driver’s licence. The second defendant observed the first defendant and the plaintiff do the same.[173]

(j) Luke Cashin looked at the Form 1 Transfer and asked the plaintiff and the first and second defendants whether they understood the transfer.[174]

(k) The second defendant responded “yes”. The second defendant heard the plaintiff and the first defendant also say “yes”.[175]

(l) The second defendant saw the plaintiff sign the Form 1 Transfer first. Next, the second defendant saw the first defendant sign the Form 1 Transfer.[176]

(m) The second defendant signed the Form 1 Transfer last.[177]

(n) The second defendant observed Luke Cashin sign and stamp the Form 1 Transfer.[178]

(o) The second defendant took the signed Form 1 Transfer and the plaintiff took the Colin Trouton Power of Attorney.[179]

(a) The first and second defendants and their children went back to their home and had some lunch.[181]

(b) Then they travelled by car to the city.[182]

(c) The first defendant dropped the second defendant off at the Office of State Revenue to pay the transfer duty. The first defendant then picked up the second defendant and took her to the Titles Office so she could lodge the transfer.[183]

(d) The second defendant took to the Office of State Revenue the 9 March Written Agreement, and the Form 1 Transfer and the valuation from SLR Valuations. The second defendant paid the stamp duty, was picked up by the first defendant and they then drove to the Titles Office.[184]

(e) The second defendant then went into the Titles Office and lodged the transfer for registration.[185]

(f) The second defendant subsequently received confirmation that the Form 1 Transfer had been registered.[186]

(a) A tentative arrangement had been made to execute the document on 4 June 2007. This arrangement was made between the plaintiff and the first defendant.[189]

(b) The Form 1 Transfer was on her desk on the evening of 3 June 2007. She did not show the plaintiff. Further, she did not show anyone the words that she had inserted beneath the signature section.[190]

(a) There had been a deterioration in Colin Trouton’s health after he went into respite care on 18 May 2007 and subsequently, Allamanda Hospital.[191]

(b) The second defendant inserted the words on the Form 1 Transfer as at that time the plaintiff and the first defendant were going to sign as Colin Trouton’s attorneys. It was not the second defendant’s decision in that regard.[192]

(c) She inserted the words because the person she spoke to at the Titles Office said those words were necessary if the Form 1 Transfer was going to be executed under a power of attorney.[193]

(d) The second defendant does not recall the discussion where she was told that the Form 1 Transfer at that time would be executed under the power of attorney.[194]

(a) She did not turn her mind to the fact that as Colin Trouton was deceased he had no continuing interest in the property.[197]

(b) She was not aware that an attorney under a power of attorney could not execute any instrument on behalf of a deceased donor.

(c) She admitted that she is embarrassed that a mistake was made but she was not aware of it at that time.[198]

(a) She did not turn her mind to the fact that upon Colin Trouton’s death the title in the property would have passed to the plaintiff.[199]

(b) She was not aware at the time that a power of attorney ceases to have effect on the death of the donor.[200]

(c) On 18 June 2007 the second defendant became aware that the plaintiff would be coming to Brisbane on 19 June 2007 and there had been a discussion between the plaintiff and the first defendant as to signing the transfer.[201]

(d) The second defendant did not know they were going to the Garden City Shopping Centre until 19 June 2007.[202]

(e) The second defendant recalls that the first defendant told her that he had been speaking to the plaintiff and the plaintiff had said she was coming up to Brisbane the following day, and there had been a discussion about signing the transfer on 19 June 2007 when the plaintiff came to Brisbane.[203]

(f) The second defendant also recalls some mention that the plaintiff was coming to Brisbane to visit her daughter, Margo Powell.[204]

(a) The first and second defendants chose to do it that afternoon as the first and second defendants were not working that week and the children were home that week. They had time in the afternoon and decided to do it.[206]

(b) The second defendant had with her the 9 March Written Agreement, the Form 1 Transfer and the SLR Valuation when she went to the Office of State Revenue. The second defendant recalls the clerk at the Office of State Revenue being more focused upon the valuation.[207]

“I did not sign the transfer in that context. I said to you, I didn’t know I had sold the property. I didn’t know I had – I didn’t know I didn’t own the property until 2017.”[229]

Luke Cashin’s evidence

(a) As a Justice of the Peace Mr Cashin was aware that he had to identify a person and to make sure they were eligible to sign a document.[233]

(b) He does not have any recollection of actually placing his signature on the Form 1 Transfer, nor does he have any recollection of placing his stamp on the Form 1 Transfer.[234]

(c) Mr Cashin took it as “a common-sense thing” in respect of documents such as a transfer, enduring power of attorney or medical directives “that the person does understand and is not under duress”.[235]

(d) Here, given the words on the Form 1 Transfer that was being executed by attorneys as part of his practice he would have required production of the power of attorney. This was to make sure that people signing were eligible to sign.[236]

(e) In respect of his “standard practice” Mr Cashin gave evidence as follows:

“In a normal case most would be my client and they would fully understand. But in – I guess if someone came to me, you know, four people, to do a transfer to transferees – transferors. I guess I would want to make sure that they understood that they were transferring property, yes.”[237]

(f) Mr Cashin could not recall an occasion in respect of witnessing a registerable instrument as a Justice of the Peace where he was unsure whether they had capacity or they were under duress. He could recall one occasion in relation to a will when he felt that two beneficiaries may have been overpowering and he took the individual aside.[238]

(g) He could also recall one incident when a solicitor had asked him to sign a form in relation to re-financing and he asked for evidence of eligibility. He would not sign the document as the individual said that she did not need to provide evidence of eligibility.[239]

Other witnesses relevant to transfer issue

“At the time of my father’s passing was that my parents had agreed to sell the [Harbut Street Property] to my brother for a particular price and that he was going to redevelop – initially going to renovate... and then the plans changed to actually demolish and rebuild and include a granny flat for my parents.

Now, you meant the – you used the expression “a particular price”. Were you privy to that price?— Only from what Mum told me.

And what did she tell you? – Five hundred and fifty thousand.

All right. And did she tell you anything else about the so-called arrangement? Not much because it – the way she had described it was that she had told me that the conversations were to be kept quiet - - -

Yes? - - - because [the first defendant] didn’t want my sisters involved because of the spitefulness of my other sisters.”[243]

Other contemporaneous evidence

Documentary evidence post 19 June 2007

(a) Email communications between the plaintiff and first defendant describing the house at 1 Harbut Street as “Neil’s home” or like description and emails confirming the existence of a sale agreement in respect of the Harbut Street Property.

(b) Other Form 1 Transfers signed by the plaintiff.

(c) Email communications between the first defendant and the plaintiff in respect of payments made by the first defendant towards the purchase price of the Harbut Street Property.

(d) The 2016 Magistrates Court pleading in the matter of Stone Group Lawyers v Patricia Trouton.

(e) Centrelink documents.

(f) Rates notices and schedules.

Emails between the plaintiff and first defendant consistent with the property having been transferred

“Hi Mum, We are planning on putting our house on the market in February or March next year. I am expecting that nothing would have changed with Chrissie, so unfortunately your money will have to be used to pay out the Scaasi and Unit loans.

Can you please fax me the current loan statement showing the current payout value for both the loans. On settlement of our house, we will draw up cheques to RAMS to pay-out the balances at that time. The remaining monies from the $550K purchase price (less the current $44K in advances) will be paid directly to you.

Regarding the Granny Flat I don’t believe there is any point in fitting it out for ‘fulltime’ occupancy.

We will maintain the ensuite, but make the following changes:

  1. Delete the dividing glass wall and door to the Bedroom – install a sofa bed;
  2. Delete the separate A/C unit to the bedroom area – the larger secondary unit will cool the whole space;
  3. Delete the provision for Washing Machine/Dryer/Laundry tub in the Storeroom including the separate exhaust system;
  4. Simplify the kitchenette to a single bench, with sink and bar fridge;

5. Simplify the electrical and lighting;

6. Delete the wardrobe in the Ensuite.

This will still enable you to stay when it suits ...” (emphasis added in bold).

(a) That there was a contract in existence imposing obligations on the first defendant and the second defendant to pay the plaintiff the purchase price for the Harbut Street Property.

(b) The plaintiff was responsible for the payment of the RAMS loans over the Harbut Street Property.

(c) As at 14 December 2007, the defendants had already made payment to or on behalf of the plaintiff in the amount of $44,000 towards the purchase price of the Harbut Street Property.

(d) The reference to the original purchase price of $550,000 was not adjusted. There was a binding agreement between the defendants and the plaintiff for the sale of the Harbut Street Property that entitled the plaintiff to receive the net sale proceeds from the sale of Dagmar Street Property. The reference is to the original purchase price of $550,000 and not the adjusted purchase price of $500,000 which was recorded in the 9 March 2007 Agreement (exhibit 60).

“... please do whatever you and Leanne feel is appropriate for your new home ... I also feel I cannot be a burden to anybody which is why it would seem sensible for me to try & find my own place, wherever it may be. I am considering, as you know, the sale of this unit, purchasing somewhere else, staying for at least a year, doing it up & selling. As this will be my primary residence it should be capital gain free & therefore I may be able to claw my way back up the financial ladder.

Dad & I never wanted to impact on our Family, understanding full well the possible effects of close proximity which is why I am so grateful to you & Leanne for offering us the opportunity to live with you ... not an easy decision for you Leanne ... & one which I wish to thank you so sincerely for. Unhappily for me it was not to be.” (emphasis added)

“I am also sick and tired of the backstabbing and inuendo regarding the sale of Land (53 Dagmar Street) and House (1 Harbut Street) from the girls. I don’t like the implication that we have ripped you and Dad off! I will therefore provide the girls with the sale prices as well as copies of the Registered Valuations which form the basis of our agreement.” (emphasis added)

“... What I would like is for Chrissie to pay what she owes us after she has paid her debts to you. At present, the total is around $ 48,000 including interest. I have attached a summary of the payments we have made. Whilst we did retrieve money from the sale of Chrissie’s ring, most has gone back into the $ 68,000 in direct payments to you (net $46,000) to pay off credit cards for Scaasi purchases as well as cash advances to Chrissie and payments to Anna to offset further Scaasi debt owed.

Whilst the $48,000 will ultimately go back to you as part of the 1 Harbut Street sale to us (Scaasi + Unit Debt), I object to being burdened with additional Scaasi debt and interest in the short term which has drained our financing originally allocated to complete the house to a stage where we can occupy the Lower Ground and sell 53 Dagmar Street. Why is Chrissie is not held accountable for her debts? Why should the sale proceeds from 1 Harbut Street be used to pay for Chrissie’s stealing, lies and deceit?” (emphasis added)

“Chrissie, with your un-dying support, has managed to destroy our lives and our future (along with many others) due to greed, self-serving desires and deceit. I can’t even begin to explain the helplessness Leanne and I feel knowing the impact on [our children] and their uncertain future. Everything that we have worked so hard for has been taken away. How are we supposed to provide for our children’s future? How are we supposed to retire one day when even that has gone?

You said in one of your recent emails ‘I can assure you there was absolutely no malicious intent & I am so grieved that others have been so affected by it all ... unfortunately I cannot undo it’. If that was the case, why would a mother go behind her sons family’s back when they were prepared to care and look after them in their later years and add another mortgage to a property without their knowledge? Why would a mother allow an existing loan over the property to be drawn to its maximum amount (1/3 of the loan or approx. $100,000 in less than 6 months after our agreement to purchase) without their knowledge? Why would a mother not force her other daughter to remove her belongings from the house, knowing the delays were affecting the start date and cost of the house that was also for them to live in? Why would a mother not tell her son that the loan repayments were in default so they had to find a debt collector on their doorstep, basically making it impossible for them to re-finance? Why would a mother constantly defend and provide unconditional support for a daughter who has stolen from them in the knowledge that her continued support and decisions would clearly jeopardise her son and his family? Do I need to go on?” (emphasis added)

“... the intent was always to move into your home which you were preparing for Dad & I & have the unit as a place that all the Family could use ... be it holidays, weekends or whatever ...” (emphasis added)

“My Family has been torn asunder, I have lost my Home, my Unit, Dad’s & my hard earned Money ...” (emphasis added)

“Dear Neil, I would really like to be able to take [your children] out on Thursday to celebrate [the defendants’ children]’s Birthdays. Also, at some stage I would really love to see your house. What a spectacular achievement.” (emphasis added)

“Thank you for showing me your house it is absolutely amazing & exactly how I imagined it. Your workmanship would have made Dad proud ... Honestly Neil, it is WOW! It will be a beautiful home for you & your family.” (emphasis added)

Other form 1 transfers signed by the plaintiff

“No I ... must’ve understood it at the time. I cannot remember it. So I’ll have to say yes, I must’ve understood it.”[260]

“Did you understand, when you signed that form in your capacity as a director, that [Scaasi], the company, was selling that particular unit, lot 4 on BUP3292? Did you understand that, Mrs Trouton?---Yes, I would’ve understood it.”[263]

Emails regarding part payment of purchase price

Given your current circumstances, I was going to arrange a sizeable payment (maybe $50k) for 1 Harbut Street. Can you get a letter or email from RAMS confirming the current payout value of the loans on 1 Harbut Street so we know the total exposure.”[264] (emphasis added)

Court documents signed by the plaintiff

“4. Further, the Plaintiff was made fully aware before signing the costs agreement that the Defendant:

  1. Did not own any property or other assets to utilise to pay for legal services;
d) Was honest with the Plaintiff as to her financial circumstances.”[269] (emphasis added)

“I don’t recall putting that in. I don’t recall it. It is in a court document. I think it was an absolute oversight and I can’t say I didn’t because it’s in a court document and I’ve signed it. So what else can I say?[271]

...

Well, I’ve obviously signed the document. I can’t remember exactly what it is, but I am not going to lie and say I have signed a document and then lie about it. I’ve obviously done that, but it’s obviously an absolute oversight and I ha – I can’t remember it.”[272]

Centrelink documents

“There is no asset referred to in that record that includes any house or real property, is there?‑‑‑No.

And you would’ve been required, in order to obtain – and you are required to correctly record the details of your assets when you make an application for the aged pension, aren’t you? You’ve got to be truthful and ‑ ‑ ‑?‑‑‑Yep.

‑ ‑ ‑ properly and honest ‑ ‑ ‑?‑‑‑Yes. And I said ‑ ‑ ‑

Hold on, please. You’ve got to be truthful and honest, and declare, accurately, to Centrelink, what your assets are?‑‑‑Yes. It’s in the document.

Yes. And you did – and you were truthful to that extent, where you didn’t include any house at 1 Harbut Street being in your own ownership?‑‑‑An honest oversight. I can’t recall the actual ins and outs of this. But I’m saying to you it would’ve been an honest – it was an honest oversight.”[274]

“I beg your pardon?‑‑‑I’m reading it here. The cash investments are two-three and the household personal effects, 1000 ‑ ‑ ‑

Yes?‑‑‑ ‑ ‑ ‑ and what are you asking me?

I’m asking you – that is the extent that – of your assets that you have historically declared to Centrelink in order to receive the aged pension ‑ ‑ ‑?‑‑‑Yes.

‑ ‑ ‑ since you were first receiving it in September 2007?‑‑‑Yes.

You agree with that?‑‑‑Yes.[275]

...

Now, you don’t, and never have, declared to Centrelink that you were the owner of the property at 1 Harbut Street, Holland Park West as part of your assets. That’s correct, isn’t it?‑‑‑Well, looking by this I didn’t, but I don’t recall.”[276]

Payment of rates and utilities by the first and second defendants from 8 May 2007

Analysis of documentary evidence

“Rightly or wrongly, [we] considered that in a case of this complexity and size, it was not really necessary to waste time going through the sorts of propositions advanced by [the defendants] to the effect that some adverse inference is to be drawn from the fact that there are emails going back over a number of years, referring to things like “your new home”.

[The defendant’s] proposition seems to be that because [the plaintiff] referred to “your new home” that means she was conscious that title had already been transferred and that she was therefore aware of what had happened on the 19th of June 2007. It’s pointless.... No one can draw from those documents an inference or conclusion that is adverse to [the plaintiff].”[281]

Other evidence

“... the family fell apart not in short form based on #1 Harbut street and the transactions that occurred around its title ... I still dont [sic] know what the in’s and out’s of it was [sic] – but I see the effect that it and Scassi has had”.

New arrangement – defendants’ house/plaintiff’s land

(a) The defendants were to build a house on the plaintiff’s land.

(b) The defendants were to pay all the costs of construction of the new house containing the granny flat.

(c) The defendants would own the house but not the land. The land was to remain in the ownership of the plaintiff.

(d) The defendants would receive “compensation” for building the house at the end of the plaintiff selling the land to the defendants.

Wider evidence

“This entire proceeding arises out of a conscious, calculated and premeditated scheme to take advantage of [the plaintiff’s] vulnerability ... so as effectively to strip from her the only substantial asset, the value of the former family home, and ensure that none of [the first defendant’s] siblings could share in the inheritance which represented the fruits of their parents’ lifetime of work, love, care and devotion.”[289]

“(a) First, that [the defendants] wrote to QTCU on 22 December 2006 [Ex. 2, pp. 2407 to 2409], foreshadowing their intention to obtain title to Harbut Street by May 2007;

(b) Secondly, that [the plaintiff] consulted and obtained advice from her solicitors, Stockley Furlong, in December 2006 [Ex.2, p.543-544], and was advised how best to protect her and [Mr Colin Trouton’s] interests in relation to any sale of Harbut Street;

(c) Thirdly, the registration of the [Enduring Power of Attorney]; and

(d) Fourthly, that [the defendants] procured a bank cheque in order to be able to pay exigible transaction duty on the very day that the Form 1 Transfer was executed.”[290]

(a) The second defendant does not recall having a bank cheque to pay the stamp duty but assumes she did.[297]

(b) The second defendant does not recall arranging the bank cheque but it “must have been that day” as she does not recall doing it another time.[298]

(c) The second defendant does not believe it was arranged before that day.[299]

(d) She assumes that the bank cheque was arranged before the defendants went to the Titles Office.[300]

(e) There was time after they went home for lunch and before going to the city.[301]

(f) The defendants had an overdraft account from which the bank cheque was drawn.[302]

Further and better particulars

(a) The execution of the Form 1 Transfer was not “surreptitious” as Mr Cashin, the independent Justice of the Peace was involved.[304]

(b) The Form 1 Transfer was not invalid as the execution of it by the plaintiff as transferor to the defendants was sufficient. The defendants’ position is that the mistaken execution on behalf of Colin Trouton utilising the Colin Trouton Power of Attorney was otiose.[305]

(c) The defendants contend that there was a valid contract of sale which was partly written and partly oral. The defendants also rely on acts of part-performance supporting the Harbut Street Agreement which, at 19 June 2007, included giving and taking of possession of the Harbut Street Property as shown by the demolition of the existing dwelling between 27 and 29 March 2007.[306]

(d) The defendants rely on an oral variation to the agreement where there was no requirement for a variation to be in writing.[307]

(e) The evidence of both defendants was that the plaintiff did not require payment of the deposit of $10,000.

(i) The evidence of the first defendant was that he asked the plaintiff whether she wanted the payment and she said she received some funds from Christine Trouton and it was not necessary at that point. Further, the deposit is one of the payments that has been made.[308]

(ii) The second defendant gave evidence that the plaintiff did not require a payment of the deposit immediately upon demolition but that she did start to request payments against the Harbut Street Property purchase price from early June 2007.[309]

(iii) The plaintiff gave evidence that she could not recall the variation but did not deny the variation to the Harbut Street Agreement. The evidence was that she did not recall the agreement.[310]

(f) Further, there was no requirement that any variation for the time of the payment of the purchase price be in writing. The defendants’ evidence is that the purchase price has been paid at the plaintiff’s direction (see exhibit 67) and also by the RAMS mortgage repayments (see exhibit 71).

(g) The Harbut Street Agreement, to the extent that it was in writing, was not an entire agreement and there was no entire agreement clause. The second defendant expressly gave evidence that the agreement in writing was not intended to be the entire agreement. It was a family transaction. There were discussions and an arrangement, and the document was prepared in that context.[311]

(h) There was an oral agreement between the first defendant and the plaintiff that the title would be transferred prior to payment of the purchase price and the plaintiff voluntarily and knowingly executed the Form 1 Transfer on 19 June 2007.[312]

(i) There was no requirement in the written part of the agreement that the purchase price had to be paid prior to the transfer of title and the plaintiff orally agreed to the transfer of title before the Dagmar Street Property was sold.[313]

(j) The defendants were taking steps to sell the Dagmar Street Property, including renovating it with a view to placing it on the market. However, as a result of the plaintiff’s default on the RAMS loans, the defendants had to commence payments on those loans and were unable to continue to fund the renovations of the Dagmar Street Property.[314]

(k) The defendants again looked to potentially sell 53 Dagmar Street in 2010, but the plaintiff advised that she was working on something to get some money. This included money out of the insurance claim against Asteron Insurance by Christine Trouton and also the matrimonial claim of Christine Trouton.[315]

(l) The defendants’ position is that they were not in a financial position to pay the purchase price for the transfer of the Harbut Street Property at the time but submit that it is irrelevant because it was not part of the agreement as varied that they had to pay the purchase price or any significant part of it upon lodgement of the Form 1 Transfer.[316]

(m) The defendants contend that there was no requirement or obligation to inform the mortgagee of the fact of the transfer.[317]

(n) Further, the defendants contend that there was no requirement or obligation on the defendants, pursuant to the agreement, as varied to make any payments or contributions towards the RAMS mortgage, either before or after September 2018.[318]

(o) The defendants submit that they have made payments to or at the direction of the plaintiff in respect of the purchase price. These are set out in exhibits 67 and 71.[319]

(p) The defendants contend that whilst the design has changed, space for the granny flat has been constructed. Further, the variations to the design were agreed to by the plaintiff in the email dated 14 December 2007.[320]

(q) The plaintiff seeks to rely on the signing of the 9 March Written Agreement as being relevant to a determination of fraud in respect of the transfer of the property.

(i) It is contended by the defendants that it is irrelevant to any determination of fraud.[321]

(ii) The plaintiff’s evidence was that she knew nothing of the existence of the 9 March Written Agreement and did not see it until after these proceedings had been commenced in July 2017.[322]

(iii) Accordingly, the defendants contend that the 9 March Written Agreement could have no operative effect on her mind in terms of inducing her to sign the Form 1 Transfer.

Harbut Street Agreement

(a) [17] 2ADCC, the oral agreement in 2005;

(b) [18] 2ADCC, the variation to the oral agreement by a further oral agreement in approximately February 2007; and

(c) [19] ADCC, the 9 March Written Agreement.

(a) The defendants would purchase the Harbut Street Property for a price of $550,000;

(b) The defendants would cause the existing dwelling on the Harbut Street Property to be demolished and would build a new dwelling thereon for them and their children to live in;

(c) The new dwelling would include customised self-contained accommodation in the form of a ‘granny flat’ in which the plaintiff and Colin Trouton would live;

(d) The plaintiff and Colin Trouton would have the benefit of the defendants present to assist in Colin Trouton’s care;

(e) The defendants would be responsible for the design and construction of the new dwelling;

(f) The plaintiff would be responsible for paying out any loans secured by mortgage registered over the Harbut Street Property;

(g) During the construction of the new dwelling, the plaintiff and Colin Trouton would live on the ground floor of the dwelling of the Dagmar Street Property;

(h) Once the construction of the new dwelling was completed to lock up stage, the defendants would list the Dagmar Street Property for sale; and

(i) The defendants would pay the purchase price for the Harbut Street Property to the plaintiff and Colin Trouton upon settlement of the sale of the Dagmar Street Property.

(a) By the conversations pleaded in [17] and [18];

(b) By the conduct pleaded at [28] to [30][323], [32],[324] [33],[325] [34][326] and [38] to [45];[327]

(c) By engaging in that conduct in the context of their previous dealings in relation to the Dagmar Street Property pleaded at [1] to [9].

(a) A response to the plaintiff’s Further and Better Particulars dated 9 September 2021;

(b) Submissions that the circumstances of signing of the 9 March Written Agreement were irrelevant to the determination of fraud; and

(c) The oral agreement pleaded at [17], [18], [29] and [30] 2ADCC being valid and enforceable by reason of part-performance.

(a) There was no “valid contract for the sale or transfer” of the Harbut Street Property. The defendants submit in response that the contract was partly written and partly oral and there were acts of part-performance as at 19 June 2007, including taking possession of the Harbut Street Property and the first defendant causing the demolition of the existing dwelling on 27 to 29 March 2007.

(b) If there was a valid contract, the deposit had not been paid and there was no variation in writing. The defendants submit that there was an oral variation that the deposit of $10,000 was not required to be paid and there was no requirement for any variation to be in writing.[328]

(c) There was no variation in writing varying the time for payment of the purchase price. The defendants submit that there was no requirement that any variation in timing of payment of the purchase price be in writing. The purchase price was paid at the plaintiff’s direction (Exhibit 67) and by way of the payments made by the defendants against the RAMS facilities (Exhibit 71).

(d) There was no provision in the agreement for transfer of title prior to payment of the purchase price. The defendants submit that the 9 March Written Agreement was not an entire agreement and there was no entire agreement clause.[329] Further, the defendants contend (consistent with [30] of the 2ADCC) that it was orally agreed between the plaintiff and the first defendant that title would be transferred prior to the payment of the purchase price.[330]

(e) Further or alternatively, that the defendants lodged the Form 1 Transfer with the intent to transfer title where the purchase price had not been paid in full or in part (any of the possible amounts being $500,000, $525,000 or $550,000). The defendants submit in response that there was no requirement in the 9 March Written Agreement that the purchase price had to be paid prior to the transfer of title. Further, the plaintiff orally agreed to the transfer of the title of the Harbut Street Property before the Dagmar Street Property was sold.

(a) Around 9 March 2007 Colin Trouton exhibited significant dementia, including poor attention and concentration, a decreased ability to obey commands, severe deficits in basic cognition and a reduced capacity for new learning.

(b) Cognitive testing resulted in a MMSE score of 18/30 in 2002 and 7/30 on 2 February 2007.

(c) In their opinion Colin Trouton would not have had the mental capacity to understand the nature and effect of the 9 March Written Agreement.

(d) It is likely his legal capacity deteriorated from 2002 until his death in 2007.[333]

(a) The Harbut Street Agreement created no legally enforceable obligations on the part of Colin Trouton or his estate.[334]

(b) Consequently, it cannot subsist as an agreement binding on the plaintiff independently of Colin Trouton.[335]

(c) An agreement entered into by joint tenants, dealing with their rights as joint tenants, cannot survive as an agreement which binds one of them where it does not impose a legally enforceable obligation on the other.[336]

(d) Consequently, there can be no Harbut Street Agreement at all.[337]

(e) The discussions do not identify any offer or acceptance of the asserted oral terms.[338]

(f) The evidence does not support consensus ad idem on any of the alleged oral terms.[339]

(g) Any agreement reached was void for uncertainty.[340]

(h) At best, the defendants could establish an agreement to agree.[341]

(a) If the Harbut Street Agreement was invalid then the defendants had no justification or purpose in obtaining the transfer of the Harbut Street Property. That is, there was no contract pursuant to which a transfer of title could be effected. The plaintiff submits this results in the fraud being established and there being no indefeasibility of title.[343]

(b) If the Harbut Street Agreement was valid then the defendants were in breach from at least from December 2007 and certainly from 2014 onwards. The 9 March Written Agreement required for payment of the purchase price upon the sale of the Dagmar Street Property, which would be implied to be within a reasonable time. There has been no discharge of that obligation.

(i) Arguably a reasonable time would be December 2007, when the first defendant estimated to QTCU that the building would reach lock up stage.

(ii) Actual lock-up was achieved no later than 2014. Therefore, a generous interpretation of the time for payment of the purchase price was 2014.

(iii) It can be inferred that the defendants had no intention of paying the purchase price under the 9 March Written Agreement.

(iv) There has been a total failure of consideration: the purchase price has not been paid and the granny flat has not been constructed or been made available for occupation.[344]

(a) The 9 March Written Agreement is voidable as a result of the incapacity of Colin Trouton, but is valid “unless and until it is avoided by that party or his representatives”.[345] Colin Trouton did not avoid the agreement before his death and his executor or other representative have not purported to avoid the agreement.[346]

(b) The plaintiff signed the 9 March Written Agreement knowing what it was and intending to be bound by it.[347]

(a) The first defendant undertook the preliminary design and approval work.

(b) The first defendant undertook design and construction work in part performance of the agreement, including:

(i) In 2005, preliminary design and consultation regarding details of the granny flat.[349]

(ii) On or about 23 November 2005, lodgement of the Brisbane City Council applications for assessment and siting relaxations, which were approved in December 2005.[350]

(iii) In May 2006, the preparation of drawings for the proposed dwelling, including a granny flat and garage space in accordance with discussions with the plaintiff.[351]

(iv) On or about 19 September 2006, lodgement of the Development Application (Building Approval) for the new dwelling.[352]

(v) On or about 10 November 2006, that building approval was obtained.[353]

(vi) In December 2006, an application (with the second defendant)to increase the overdraft limit with QTCU to cover construction costs.[354]

(vii) The defendants took physical possession of the Harbut Street Property on or about 27 March 2007 when the existing dwelling was demolished.[355]

(viii) On or about April/May 2007, the defendants commenced paying rates and water and sewerage charges for the Harbut Street Property.[356]

(ix) The defendants made payments to or on behalf of the plaintiff at her request from 5 June 2007 to 28 August 2009 against the purchase price totalling $94,547.75 (Exhibit 67).

(x) In or about September 2007, the first defendant commenced construction of the new dwelling as an Owner Builder. The defendants paid for all construction costs.

(xi) On or about 15 December 2008, the defendants paid the loan arrears of $7,148 on behalf of the plaintiff to prevent RAMS (RHG) foreclosing on the Harbut Street Property on the understanding that this amount would be off-set against the purchase price.

(xii) From 30 September 2008, the defendants made repayments under both RAMS Facilities on behalf of the plaintiff and on the understanding that they were to be off-set against the purchase price.

(xiii) In or about November 2008 the first defendant ceased construction of the new dwelling as the defendants could not pay the construction costs as well as the payments in respect of the RAMS Facilities and their own QTCU loan.

(xiv) In or about January 2009 to March 2010 there were delays in construction as a result of inclement weather and damage done.[357]

(xv) In or about March to April 2010 damaged flooring was removed.[358]

(xvi) The building work recommenced in April 2013 to 3 December 2013 following delays due to lack of funds and the lapsing of the building approval. Additional costs of approximately $100,00 were incurred due to the rebuilding work required.

(xvii) In or about November 2014 the external construction of the dwelling was substantially complete.

(xviii) From January to November 2016 the first defendant designed and commenced renovations of the Dagmar Street Property with the intention of selling the property.

(xix) In April 2017, the defendants and their children moved into the new Harbut Street dwelling. The dwelling was incomplete but habitable.

“... certain elements of part performance essential to raise the equity: -

(1) The act relied on must be unequivocally and in its own nature referable to “some such agreement as that alleged.” That is, it must be such as could be done with no other view than to perform such an agreement ...

(2) By “some such agreement as that alleged” is meant some contract of the general nature of that alleged...

(3) The proved circumstances in which the “act” was done must be considered in order to judge whether it refers unequivocally to such an agreement as is alleged .... if the circumstances under which the possession was given are proved, then the Court may judge whether the act indicates permission or contract, and, if contract, its general character...the expression “some agreement” is used ... in contradistinction to the specific terms of the agreement, and not in the most general sense of any agreement whatever.

(4) It must have been in fact done by the party relying on it on the faith of the agreement, and further the other party must have permitted it to be done on that footing....

(5) It must be done by a party to the agreement.

These requirements must be satisfied before the actual terms of the alleged agreement are allowed to be deposed to.

Further, when those terms are established, it still remains to be shown:-

(6) That there was a completed agreement...

(7) That the act was done under the terms of that agreement by force of the agreement...”. (footnotes omitted)

(a) The acts must be unequivocal and in their own nature referable to some contract of the general nature of that alleged.

(b) The acts must have been done under the terms of the agreement and by force of that agreement.

(c) The taking of possession was sufficient if the taking of possession was pursuant to the contract.

(d) Improvements on property, including those which were neither required nor permitted, may be acts of part performance.

Fraud by the registered proprietor

(a) The evidence establishes that the plaintiff signed the Form 1 Transfer on 19 June 2007 in circumstances where she voluntarily signed the document, she knew she was singing a Form 1 Transfer document and she knew that the document related to the transfer of her interest in the Harbut Street Property to the first and second defendants.[362]

(b) At the time of signing the Form 1 Transfer, the plaintiff was the sole owner of the Harbut Street Property, as a result of the operation of the right of survivorship upon Colin Trouton’s death on 15 June 2007.[363]

(c) The mistaken signing of the Form 1 Transfer by both the plaintiff and the first defendant, purportedly as Colin Trouton’s attorneys, is irrelevant.[364]

(d) There can be no fraud if the plaintiff knew and understood what she was signing.[365]

(e) The relevant test is:

“For fraud to be operative, it must operate on the mind of the person said to have been defrauded and to have induced detrimental action by that person.”[366]

(f) It would be necessary for the plaintiff to establish fraud by each of the registered owners. Further, even if the fraud of one is proved, it is not the fraud of the other.[367]

(g) The evidence supports a finding that the second defendant, on behalf of the first and second defendants, presented the Form 1 Transfer to the Titles Office on 19 June 2007 believing it to be a genuine document which could be properly acted upon.

(h) The relevant principle is as follows:

“A person who presents for registration a document which is forged or has been fraudulently or improperly obtained is not guilty of fraud if he honestly believes it to be a genuine document which can be properly acted upon.”[368]

(a) That the Registrar of Land Titles had no knowledge as at 19 June 2007 of the death of Colin Trouton on 15 June 2007.

(b) That the Registrar of Land Titles would not have registered and executed Form 1 Transfer instrument:

(i) “had the defendant [sic]” informed the Registrar of Land Titles of the death of Colin Trouton on 15 June 2007; and

(ii) absent execution by, or on behalf of, Colin Trouton on the face of the Form 1 Transfer instrument.

(c) By adding the words referring to the execution under the power of attorney, “the defendants” conveyed to the Registrar of Land Titles a false impression, statement or representation that Colin Trouton knew or approved the registration of the Form 1 Transfer instrument or that the power of attorney authorised the first defendant and the plaintiff to execute the Form 1 Transfer instrument on behalf of Colin Trouton, notwithstanding his death on 15 June 2007.[370]

“There are five different kinds of fact scenarios that have historically been treated as cases of fraud against the Registrar. These scenarios are where: (1) the registered proprietor or his or her agent did not have a hand in, and was not aware of, the forgery but falsely attested the forged signature; (2) the registered proprietor altered the instrument (whether forged or not) after execution but before lodgement for registration; (3) the registered proprietor did not have a hand in, and was not aware of, the forgery or the false attestation but caused the forged and falsely attested instrument to be registered; (4) the instrument was not forged but it was falsely attested by the registered proprietor or his or her agent; and (5) the registered proprietor or his or her agent attested the signature of an imposter. The first, fourth and fifth scenarios are situations where there has been a false attestation by the registering party. The second and third scenarios do not involve false attestation by the registering party, however, may also give rise to a claim of fraud against the Registrar.

An examination of the cases reveals that in each kind of case the moniker of ‘fraud against the Registrar’ is either unnecessary or unhelpful, or both, and is, furthermore, prone to lead to inconsistent and, in some cases, inappropriate outcomes.”[371] (footnotes omitted)

(a) actual fraud; and

(b) the fraud must be “brought home to the registered proprietor or his or her agent”.[375]

“... fraud in these Acts is meant actual fraud, i.e., dishonesty of some sort, not what is called constructive or equitable fraud ... further it appears to their lordships that the fraud which must be proved in order to invalidate the title of a registered proprietor for value ... must be brought home to the person whose registered title is impeached or to his agents... The mere fact that he might have found out fraud if he had been more vigilant, and had made further inquiries which he omitted to make, does not of itself prove fraud on his part. But if it be shewn [sic] that his suspicions were aroused, and that he abstained from making inquiries for fear of learning the truth, the case is very different, and fraud may be properly ascribed to him. A person who presents for registration a document which is forged or has been fraudulently or improperly obtained is not guilty of fraud if he honestly believes it to be a genuine document which can be properly acted upon.”

“If the designed object of a transfer be to cheat a man of a known existing right, that is fraudulent, and so also fraud may be established by a deliberate and dishonest trick causing an interest not to be registered and thus fraudulently keeping the register clear ... The act must be dishonest, and dishonesty must not be assumed solely by reason of knowledge of an unregistered interest.”[387]

“... In the circumstances of those cases, the establishment of the cause of action depended upon proof of some knowledge of the forgery or other invalidity of the instrument which would have made it unconscientious or unconscionable to have enforced the mortgage. A mere failure to make careful inquiries as to the validity of the mortgage instrument was not sufficient to provide an obligation under the general law, irrespective of the impact of registration...”

“(a) an assurance prior to transfer, not intended to be kept; or

(b) an acknowledgement or assurance, after transfer, that the interest will be preserved.”

“... to lodge an instrument for registration in the knowledge that the attesting witness had not been present at execution must deprive the lodging party of an honest belief that it is a genuine document on which the Registrar can properly act.”[392]

(a) An order pursuant to s 187 of the Land Title Act cancelling the registration of the Form 1 Transfer instrument being dealing number 710716147 dated and lodged for registration on 19 June 2007 in respect of the Harbut Street Property.

(b) The plaintiff then lodge a notice of transmission on death that would have the effect of placing the property in her sole name as registered proprietor.

(c) Any order should be conditional upon an equitable adjustment.

(a) The amount of $49,900.69 paid to the plaintiff or for her benefit.[395]

(b) A portion of the amounts in schedule 3 totalling $531,726.18 being payments made by the defendants to RAMS on account of the RAMS’ facilities in the plaintiff’s name and secured over the Harbut Street Property.

(c) The amount of $745,497.74 set out in schedule 4 being the amounts expended by the defendants towards the development and construction costs of the Harbut Street Property from 23 November 2005 to 13 April 2017.

(a) the first defendant did not commit the alleged fraud and his title as registered proprietor as a joint tenant of the Harbut Street Property, is not defeasible; and

(b) the second defendant did not commit the alleged fraud and her title as registered proprietor as a joint tenant of the Harbut Street Property, is not defeasible.

(a) the removal of caveat 717953437 lodged by the plaintiff on 10 April 2017; and

(b) the removal of caveat 718136397 lodged by the Registrar of Titles on 6 July 2017.

Consideration and findings

Key issues to be determined

(a) Question 1: Was the Form 1 Transfer signed without the plaintiff knowing or understanding the legal effect of the Form 1 Transfer and the plaintiff never intending to transfer the title of the Harbut Street property to the defendants by the execution of the Form 1 Transfer?

(b) Question 2: Did the defendants never have any intention of paying the purchase price of the Harbut Street property as pleaded at [17(a)], [17(b)] and [17(c)] of the SOC and/or by their conduct after the registration of the title as particularised in [2] of the Further and Better Particulars?

(c) Question 3: Did the second defendant when lodging the Form 1 Transfer on behalf of herself and the first defendant with the Registrar of Land Titles:

(i) know that the document was not properly executed and/or was a false document;

(ii) know that the Registrar of Land Titles would not have registered the Form 1 Transfer had they been informed of the death of Colin Trouton and absent the purported execution of the Form 1 Transfer by or on behalf of Colin Trouton; or

(iii) had the intention that the Registrar be induced by the misleading representation that Colin Trouton knew or approved of the registration of the Form 1 Transfer or that the power of attorney authorised the first defendant and plaintiff to execute the Form 1 Transfer on behalf of Colin Trouton, notwithstanding his death on 15 June 2007?

Findings of fact

(a) The plaintiff knew and understood the legal effect of the Form 1 Transfer at the time it was executed.

(b) The plaintiff knowingly and voluntarily signed the Form 1 Transfer.

(c) The plaintiff, by executing the Form 1 Transfer in both her personal capacity and purportedly as an attorney on behalf of Colin Trouton, intended to transfer the Harbut Street Property to the defendants.

(d) The plaintiff, the first defendant and the second defendant honestly, but mistakenly, thought the Form 1 Transfer was properly executed on behalf of Colin Trouton.

(e) The first and second defendants were not dishonest in the preparation of and execution of the Form 1 Transfer.

(a) The execution of the Form 1 Transfer was defective to the extent that it purported to be executed by or on behalf of Colin Trouton under the Colin Trouton Power of Attorney.

(b) The Colin Trouton Power of Attorney was revoked on and from 15 June 2007 when Colin Trouton died.

(c) The correct procedure to effect a transfer of the Harbut Street Property where one of the registered joint tenants had died was as follows:

(i) A certified copy of the official certificate of death to be provided to Titles Queensland;

(ii) Completion of Form 4 – Request to record death to be completed and lodged with Titles Queensland;

(iii) The Harbut Street Property to be registered solely in the name of the surviving joint tenant, being the plaintiff; and

(iv) Completion and execution of a form 1 transfer from the plaintiff to the defendants.

(d) Had the Registrar of Titles known of the death of Colin Trouton, the Form 1 Transfer would have been requisitioned and the procedure at (c) would have been required to complete the transfer.

(e) The plaintiff, the first defendant and the second defendant did not know that the execution of the Form 1 Transfer by or on behalf of Colin Trouton was defective.

(f) The plaintiff, the first defendant and the second defendant did not know the correct procedure outlined at (c) above was required by Titles Queensland to effect the transfer of the Harbut Street Property from the plaintiff as the sole surviving joint tenant to the defendants.

(a) The plaintiff had more than limited experience in business and commercial matters. Her relevant experience included being a director of a clothing business and also executing other form 1 transfers to complete transfers of real property.

(b) The plaintiff was not reliant on the first and second defendant in relation to the transfer of the Harbut Street Property as alleged in [1(g)] of the SOC.

(c) The plaintiff on the evidence was capable of, and did, make decisions in respect of commercial and legal matters without the input of the defendants. This included the increase of the drawdown amounts under the RAMS Facilities and liaising with RAMS in respect of the facilities.

(d) The plaintiff lodged the Colin Trouton Power of Attorney with Queensland Titles for registration.

(a) Question 1: At the time the Form 1 Transfer was signed the plaintiff knew and understood the legal effect of the Form 1 Transfer and the plaintiff intended to transfer the title of the Harbut Street Property to the defendants by the execution of the Form 1 Transfer.

(b) Question 2:

(i) The defendants intended to pay the purchase price of the Harbut Street Property and subsequently did so by way of:

(ii) The amount paid towards the purchase price is in excess of the purchase price of $500,000 as per the Harbut Street Agreement[396] (or alternatively $525,000 is stated on the Form 1 Transfer and the unadjusted purchase price of $550,000. Each of these amounts has been exceeded on what has been paid by the defendants).

(iii) Further, while the design has changed with the consent of the plaintiff,[397] a space that can be used as a ‘granny flat’ by the plaintiff remains as part of the design of the new dwelling built on the Harbut Street Property.

(c) Question 3: The second defendant when lodging the Form 1 Transfer on behalf of herself and the first defendant with the Registrar of Land Titles:

(i) Did not know that the document was not properly executed and/or was a false document.

(ii) Believed the document to be properly executed.

(iii) Did not know that the Registrar of Land Titles would not have registered the Form 1 Transfer had they been informed of the death of Colin Trouton.

(iv) Did not have the intention that the Registrar be induced by the misleading representation that Colin Trouton knew or approved of the registration of the Form 1 Transfer or that the power of attorney authorised the first defendant and plaintiff to execute the Form 1 Transfer on behalf of Colin Trouton, notwithstanding his death on 15 June 2007.

Findings in respect of the Harbut Street Agreement

(a) The first defendant agreed to purchase and the plaintiff agreed to sell the Harbut Street Property for a purchase price of $500,000.

(b) The defendants would demolish the existing house on the Harbut Street Property and build a new house to live in with their children, including a “granny flat” for the plaintiff and Colin Trouton to live in.

(c) The defendants agreed to assist in providing care to Colin Trouton and the plaintiff and Colin Trouton would have the benefit of living in the “granny flat” and the defendants being able to provide care.

(d) The defendants would be responsible for the design and construction of the new house.

(e) The plaintiff would be responsible for paying the RAMS Facilities secured by a mortgage over the Harbut Street Property.

(f) Once the construction of the new house was completed to lock-up stage, the defendants would list the Dagmar Street Property for sale.

(g) The defendants would pay the purchase price for the Harbut Street Property to the plaintiff and Colin Trouton upon settlement of the sale of the Dagmar Street Property.

(a) In May 2007 for the Harbut Street Property to be transferred to the defendants prior to them incurring the costs of construction of the new house.

(b) On or about 5 June 2007 that payments made by the defendants to the plaintiff or at her direction (including payments made in respect of Scaasi debts or expenses) were part payments of the purchase price.

(c) On or about 15 September 2008 that the payment by the defendants of the RAMS Facilities arrears of $7,148 was a part payment of the purchase price.

(d) From on or about 30 September 2008 onwards that the on-going payments by the defendants of the RAMS Facilities on behalf of the plaintiff were part payments of the purchase price.

(a) Taking possession of the Harbut Street Property and the existing house being demolished between 27 and 29 March 2007.

(b) Commencement of construction of the new dwelling in approximately September 2007.

(c) The defendants paying the rates, sewerage and water charges from 8 May 2007.

(d) The second defendant prepared a draft Form 1 Transfer in order to give effect to the agreement as varied.

(e) The first defendant and the plaintiff made an arrangement for the plaintiff and Colin Trouton to visit the defendants’ home on 3 and 4 June to sign the Form 1 Transfer.

(f) The telephone conversation between the first defendant and the plaintiff on 18 June 2007 regarding arrangements for the Form 1 Transfer to be signed in front of a Justice of the Peace in Brisbane on 19 June 2007.

(g) A further telephone conversation between the first defendant and the plaintiff on 19 June 2007 agreeing to meet at Garden City shopping centre to meet with a Justice of the Peace.

(h) The execution of the Form 1 Transfer on 19 June 2007 before a Justice of the Peace.

(i) Payments made by the defendants to or at the request of the plaintiff, including expenses of Scaasi as per Schedule 2 as part payments of the purchase price. Exhibit 67 records total payments of $94,547.55.

(j) Payments made by the defendants on behalf of the plaintiff in respect of the RAMS facilities secured by a mortgage against the Harbut Street Property as per Schedule 3 as part payments of the purchase price. Exhibit 71 records payments as at 30 November 2021 of $531,726.18.

Counterclaim

Payments made in respect of Dagmar Street

Alternative claims - Harbut Street Property

Alternative claim - Specific performance of the Harbut Street Agreement

Alternative claim - Harbut Street Property constructive trust and unjust enrichment

Alternative claim – damages for deceit

Alternative claim - Estoppel

Further claims by the defendants

Liability for RAMS facilities – declaration and order for repayment

(a) That she is and was the mortgagor under the RAMS facilities;

(b) That she is and was the co-borrower under the RAMS facilities secured against the Harbut Street Property;

(c) That the plaintiff paid or caused to be paid, and continued to pay, the mortgage payments required under the RAMS facilities until in or about August 2008;

(d) On 21 September 2008 the plaintiff sent a facsimile to RAMS requesting leniency on hardship grounds;

(e) RAMS refused any accommodation on the grounds of leniency;

(f) In September 2008 the plaintiff provided written authority for RAMS to speak with the first defendant in respect of the RAMS mortgage facility and that future correspondence be addressed to the defendants;

(g) In email correspondence between the plaintiff and the first defendant an RHG authority to discharge form was executed by the plaintiff.[409]

Damages for deceit

Breach of contract

(a) There was no such agreement or if there was such an agreement, its terms are unascertainable and it is void for uncertainty;

(b) The defendants are in fundamental breach;

(c) There has been a total failure of consideration;

(d) A necessary party – Colin Trouton’s estate – has not been joined to the proceedings;

(e) Had the estate been sued, it would have had a complete defence due to the admitted lack of capacity; and

(f) The 9 March Written Agreement gives rise to no enforceable obligations on the estate of Colin Trouton, it cannot survive as an agreement enforceable solely against the plaintiff.[414]

Further findings of fact

Orders

(a) the provision of draft agreed orders, or if the orders cannot be agreed, competing draft orders and brief submissions in support; and

(b) the provision of brief submissions and any supporting material in respect of costs.

Annexure A

SUMMARY OF ISSUES

Claim

  1. Whether the title to Harbut St was procured by the fraud of NT and LT within the meaning of s.184(3)(b) of the Land Title Act 1994 (“LTA”), such fraud consisting of -
  2. If fraud is established, what order should be made under s.187 of the LTA
  3. If fraud is not established, what order should be made under s.127 of the LTA

Counterclaim

Dagmar St

  1. Whether $94,673.85 of the claimed $147,451.14 in Schedule 1 should be offset against the $160,000 purchase price for Dagmar St.

Harbut St

  1. Whether the 2007 Harbut St Agreement is valid and efficacious -
  2. If the 2007 Harbut St Agreement is valid and binding on the parties,
  3. Did NT and LT comply with its terms by -

Constructive Trust/Unjust Enrichment

  1. If the Harbut St property is reconveyed to PT:

Deceit

  1. Whether PT is liable for damages for deceit -

Estoppel

  1. Is PT estopped from asserting that title should be reconveyed to PT or seeking an order under s.187 LTA cancelling registration of the Form 1 Transfer -

Enquiry

  1. Whether there is any need for an order for enquiry to determine the value of the energy, skill and expertise contributed by the Defendants to increase the value of the Harbut St property together with an order for payment of any at all just allowances upon the taking of such enquiry

[1] SOC 1(a) and 2ADCC 10(a).

[2] SOC 1(b) and 2ADCC 10(a).

[3] SOC 1(c) and 2ADCC 10(a).

[4] SOC 1(d) and 2ADCC 10(a).

[5] SOC 1(e) and 2ADCC 10(a).

[6] SOC 2(a) and 2ADCC 11(a).

[7] SOC 2(b) and 2ADCC 11(a).

[8] SOC 2(c) and 2ADCC 11(a).

[9] SOC 3(a) and 2ADCC 12(a).

[10] 2ADCC 1 and 5ARD 1.

[11] 2ADCC 3 and 5ARD 3(a).

[12] 2ADCC 3(c) and 5ARD 3(d).

[13] 2ADCC 3(d) and 5ARD 3(e).

[14] 2ADCC 4(a) and 5ARD 4(a).

[15] 2ADCC 4(c) and 5ARD 4(c).

[16] 2ADCC 4(d) and 5ARD 4(d).

[17] 2ADCC 4(e) and 5ARD 4(e).

[18] 2ADCC 4(f) and 5ARD 4(f).

[19] Lot 6 on survey plan 128612, title reference 50306460, situated at 53 Dagmar Street, Holland Park West.

[20] Lot 7 on survey plan 128612, title reference 50306461, situated at 1 Harbut Street, Holland Park West.

[21] 2ADCC 4(i) and 5ARD 4(i).

[22] 2ADCC 4(j) and 5ARD 4(j).

[23] SOC 5 and 2ADCC 14.

[24] 5ARD 18(b)(vi) and 4ARej 6(b)(vi).

[25] SOC 6 and 2ADCC 15.

[26] SOC 7 and 2ADCC 31.

[27] 2ADCC 23 and 5ARD 21.

[28] 5ARD 16A(c) and 4ARej 3(c).

[29] 2ADCC 25 and 5ARD 23.

[30] 2ADCC 26 and 5ARD 24.

[31] 5ARD 17(a) and 4ARej 4(b).

[32] 2ADCC 33 and 5ARD 30.

[33] 2ADCC 35 and 5ARD 32.

[34] 2ADCC 37 and 5ARD 34.

[35] SOC 11 and 2ADCC 50.

[36] SOC 12 and 2ADCC 51.

[37] SOC 14(a) and 2ADCC 53(a)(i).

[38] SOC 14(b)(i) and 2ADCC 53(b)(i).

[39] SOC 14(b)(i)(B) and 2ADCC 53(b)(iii).

[40] SOC 14(b)(i)(C) and 2ADCC 53(b)(iii).

[41] SOC 8 and 2ADC 47.

[42] SOC 14(d) and 2ADCC 53(d).

[43] SOC 9 and 2ADCC 48.

[44] SOC 15(d) and 2ADCC 54(d).

[45] SOC 15(e) and 2ADCC 54(e).

[46] SOC 16 and 2ADCC 55.

[47] 2ADCC 52(a) and 5ARD 44.

[48] SOC 13(a) and 2ADCC 52(a).

[49] 2ADCC 27 and 5ARD 25.

[50] 2ADCC 60 and 5ARD 56.

[51] 2ADCC 63 and 5ARD 59.

[52] 5ARD 18(b)(iii) and 4ARej 6(b)(iii).

[53] DRCS [31].

[54] DRCS [31].

[55] DRCS [32(b)].

[56] DRCS [32(b)]; Banque Commerciale S.A. En Liquidation v Akhil Holdings Limited (1990) 169 CLR 279 at 292-293.

[57] T 15-22, lines 3-8.

[58] T 15-22, lines 10-16.

[59] The reference to the Harbut Street Agreement is taken to be a reference to the defined agreement at [20] and [21] of the 2ADCC. Where the reference is only to the written agreement dated 9 March 2007 the defined term of the 9 March Written Agreement will be used.

[60] Either the amount stated in the transfer or the full amount, or adjusted amount, in the Harbut Street Agreement.

[61] Although (e)(iv) extends post lodgement up to September 2018.

[62] [2009] 1 Qd R 296; [2008] QSC 327.

[63] A Wallace, M Weir and L McCrimmon, Real Property Law in Queensland (4th Edition, Lawbook Co, 2015).

[64] Land Title Act, s 184(3)(b).

[65] Hinds v Uellendahl [1992] NTSC 26; (1992) 107 FLR 254 at 258 per Asche CJ (NTSC).

[66] Footnote omitted.

[67] Wu, “Beyond the Torrens Mirror: A Framework of the In Personam Exception to Indefeasibility” (2008) 32 Melb Uni LR 672 at 679. It is acknowledged that the term “in personam” is not a precise description and has its own limitations and critics: see Moses and Edgeworth, “Taking it Personally: Ebb and Flow in the Torrens System’s In Personam Exception to Indefeasibility”  [2013] SydLawRw 5 ; (2013) 35 Syd LR 107 at 108; Low, “The Nature of Torrens Indefeasibility: Understanding the Limits of Personal Equities” (2009) 33 Melb Uni LR 205 at 208 (who suggests the ‘inter se’ rule is a better description).

[68] Land Title Act, s 185(1)(a).

[69] For further detail see Chapter 12, [12.30]. See also Williams v Turner [2008] 1 QdR 296; [2008] QSC 327.

[70] I do not determine whether this is the case as the plaintiff has not endeavoured to identify how the pleading is said to support an “in personam” claim other in a very general way.

[71] [1938] HCA 34; (1938) 60 CLR 336.

[72] (1893) 6 R. 67, H.L.

[73] PCS [9].

[74] PCS [71].

[75] PCS [72].

[76] DCS [123].

[77] DCS [124].

[78] DCS [125(i)].

[79] DCS [126].

[80] DCS [127].

[81] DCS [128].

[82] DCS [129].

[83] PCS [105]; DCS [160].

[84] T 1-55, lines 19-25.

[85] T 1-56, lines 34-35.

[86] T 1-56, lines 36-38.

[87] T 1-56, lines 39-40.

[88] T 1-56, line 44.

[89] T 1-56, lines 46-47 and T 1-57, lines 1-4.

[90] T 1-57, lines 1-4.

[91] T 1-57, lines 36-44.

[92] T 1-57, lines 45-46.

[93] T 1-58, line 7.

[94] T 1-58, lines 9-10.

[95] T 1-60, lines 20-22.

[96] T 1-61, lines 14-18.

[97] T 1-61, lines 37-43.

[98] T 10-57, lines 34-35.

[99] T 10-57, lines 38-40.

[100] T 10-58, lines 1-8.

[101] T 10-59, line 38 to T 10-60, line 2.

[102] T 10-60, lines 4-10.

[103] T 10-60, lines 13-16.

[104] T 10-60, lines 46-47 to T 10-61, lines 1-2.

[105] T 10-61, lines 18-31.

[106] T 10-61, lines 31-34.

[107] T 10-64, lines 4-6.

[108] T 10-64, lines 8-13.

[109] T 10-64, lines 17-26.

[110] T 10-64, lines 36-43.

[111] T 10-65, lines 3-9.

[112] T 10-65, lines 14-24.

[113] T 10-65, lines 26-28.

[114] T 10-65, lines 30-31.

[115] T 10-65, lines 33-38.

[116] T 10-65, lines 42-46.

[117] T 10-66, lines 3-9.

[118] T 10-66, lines 13-26.

[119] T 10-66, lines 21-26.

[120] T 10-66, lines 28-32.

[121] T 10-66, lines 31-32.

[122] T 10-67, lines 11-13.

[123] T 10-67, lines 13-16.

[124] T 10-67, lines 15-17.

[125] T 10-67, lines 19-24.

[126] T 11-61, lines 15-27.

[127] T 10-67, lines 8-9.

[128] T 10-67, lines 28-35.

[129] T 10-67, lines 37-38.

[130] T 10-67, lines 40-45.

[131] T 10-68, lines 9-12.

[132] T 10-68, lines 14-16.

[133] T 10-68, lines 16-24.

[134] T 10-68, lines 24-30.

[135] T 10-68, lines 31-33.

[136] T 10-68, lines 35-40.

[137] T 10-68, lines 42-47; T 10-69, lines 1-19.

[138] T 10-69, lines 22-37.

[139] T 11-59, lines 41-47.

[140] T 11-60, lines 4-10.

[141] T 11-14, lines 20-43.

[142] T 11-14, line 20 to T 11-16, line 15.

[143] T 11-57, lines 35-37.

[144] T 11-58, lines 32-45.

[145] T 11-60, line 40 to T 11-61, lines 1-4.

[146] T 11-16, lines 16-21.

[147] T 11-16, lines 40-41.

[148] T 11-17, lines 18-19.

[149] T 11-17, lines 21-46.

[150] T 11-61, lines 3-27.

[151] T 11-61, lines 22-23.

[152] T 11-61, lines 25-27.

[153] T 11-61, line 29 to T 11-62, line 5.

[154] T 11-62, lines 10-40.

[155] T 12-5, lines 34-40.

[156] T 12-6, lines 1-5.

[157] T 12-6, lines 18-40.

[158] T 12-8, lines 25-36.

[159] T 12-8, lines 21-23.

[160] T 12-6, lines 45-46.

[161] T 12-8, lines 44-46.

[162] T 12-9, lines 7-13.

[163] T 12-9, lines 18-21.

[164] T 12-9, lines 42-46. It is noted that the second defendant was present for the first conversation and overheard it, but was not a party to it.

[165] T 12-9, lines 35-36.

[166] T 12-10, lines 16-17.

[167] T 12-10, lines 8-9.

[168] T 12-10, lines 33-34.

[169] T 12-10, lines 40-46.

[170] T 12-11, lines 4-6.

[171] T 12-11, lines 4-6.

[172] T 12-11, lines 15-16.

[173] T 12-11, lines 18-21.

[174] T 12-11, lines 23-28.

[175] T 12-11, lines 30-38.

[176] T 12-11, lines 40-44.

[177] T 12-11, line 44.

[178] T 12-11, lines 46-47.

[179] T 12-12, lines 1-2.

[180] T 12-12, lines 4-18.

[181] T 12-12, lines 20-23.

[182] T 12-12, lines 24-25.

[183] T 12-12, lines 25-27.

[184] T 12-12, lines 29-36.

[185] T 12-12, lines 36-37.

[186] T 12-12, lines 39-43.

[187] T 12-22, lines 14-45.

[188] T 12-23, lines 1-4.

[189] T 12-22, lines 1-10.

[190] T 12-43, lines 10-17.

[191] T 12-43, lines 23-27.

[192] T 12-43, lines 36-39.

[193] T 12-43, lines 44-46.

[194] T 12-44, lines 1-10.

[195] T 12-45, lines 1-10.

[196] T 12-45, lines 25-28.

[197] T 12-45, lines 34-35.

[198] T 12-45, lines 41-43.

[199] T 12-18, lines 10-14.

[200] T 12-18, lines 23-25.

[201] T 12-42, lines 20-26.

[202] T 12-42, lines 25-27.

[203] T 12-42, lines 20-38.

[204] T 12-44, lines 32-37; although Margo Powell’s evidence does not support this: see T 4-83, line 30.

[205] T 12-44, lines 39-45.

[206] T 12-46, lines 40-46.

[207] T 12-47, lines 1-12.

[208] T 12-51, lines 1-13.

[209] T 12-51, lines 15-24

[210] T 12-51, lines 40-41

[211] T 12-51, lines 43-45.

[212] T 1-55, lines 19-25.

[213] T 1-55, lines 27-41.

[214] T 1-56, lines 1-7.

[215] T 1-56, lines 29-37.

[216] T 1-56, line 42.

[217] T 1-56, lines 14-23.

[218] T 1-87, lines 17-23.

[219] T 1-55, lines 31-32.

[220] T 1-56, lines 4-5.

[221] T 1-56, lines 22-23.

[222] T 1-56, lines 31-32.

[223] T 1-56, lines 35-44.

[224] T 1-56, lines 46-47 to T 1-57, lines 1-4.

[225] T 1-87, lines 31-35.

[226] T 1-87, lines 43-45.

[227] T 1-100, lines 43-45.

[228] T 1-53, lines 1-18.

[229] T 3-78, lines 25-32.

[230] T 12-74, lines 30-45 and T 12.76, lines 30-37.

[231] T 12-77, line 43 to T 12-78 line 4.

[232] T 12-75, line 36 and following.

[233] T 12-75, lines 43-45.

[234] T 12-74, lines 41-45.

[235] T 12-75, lines 16-23.

[236] T 12-75, lines 25-34.

[237] T 12-75, lines 36-41

[238] T 12-76, lines 10-18.

[239] T 12-76, lines 1-8.

[240] T 7-88, lines 17-23.

[241] See testimony of first defendant at T 10-63, line 40 to T 10-64, line 6.

[242] T 7-101, lines 40-47.

[243] T 8-11, lines 10-29.

[244] T 5-19, lines 18-23.

[245] T 5-19, lines 27-33.

[246] See evidence discussed below.

[247] Exhibit 2, CB Volume 8 page 3829-3830.

[248] T 10-72, lines 20-29.

[249] See also T 10-72 to T 10-78.

[250] Exhibit 2, CB Volume 8 page 3831.

[251] Exhibit 2, CB Volume 1 page 569.

[252] T 3-14, lines 40-44 and T 3-17, lines 9-13.

[253] Exhibit 2, CB Volume 7 page 3445.

[254] Exhibit 2, CB Volume 7 page 3458.

[255] Cross-examination of the plaintiff at T 2-16, lines 26-38.

[256] Exhibit 2, CB Volume 7 pages 3471-3473.

[257] Exhibit 2, CB Volume 7 page 3481.

[258] Exhibit 2, CB Volume 7 page 3482.

[259] Exhibit 2, CB Volume 2 page 1028.

[260] T 1-86, lines 9-27.

[261] Exhibit 2, CB Volume 7 page 3334.

[262] 2ADCC [10(a)(i)]; 5ARD [10(a)].

[263] T 1-86, lines 31-44.

[264] Exhibit 2, CB Volume 8 page 3832.

[265] T 10-88, –lines 13-48.

[266] See T 10-88, lines 25-48.

[267] T 2-69 to T 2-70.

[268] T 2-69, lines 20-30.

[269] Exhibit 2, CB Volume 2 page 862B.

[270] Exhibit 2, CB Volume 2 page 862D.

[271] T 3-19, lines 21-23.

[272] T 3-20, lines 34-37.

[273] Exhibit 2, CB Volume 8 pages 3727-3728.

[274] T 3-22, lines 5-20.

[275] T 1-74, lines 35-45.

[276] T 1-75, lines 3-5.

[277] T 1-75, lines 28-34; Exhibit 2, CB Volume 8 pages 3620 and 3629.

[278] T 2-82, lines 28-46.

[279] T 2-86, line 25.

[280] T 2-86, lines 27-29.

[281] T 15-29, lines 35-45.

[282] T 1-57.

[283] Paragraph 55 of the summary of opening of the plaintiff.

[284] T 3-10, lines 26-47. The evidence establishes that the previous house on the Harbut Street Property was demolished between 27 and 29 March 2007.

[285] T 3-11, lines 1-16.

[286] T 1-57, line 36 to T 1-58, line 5.

[287] T 1-101, line 28 to T 1-103, line 2 and T 2-14, lines 45-50; T 2-15, lines 1-10 and T 2-24, lines 20-26.

[288] Excluding any submissions in respect of an “in personam” claim.

[289] PCS [11].

[290] PCS [12].

[291] PCS [137].

[292] Exhibit 2, CB Volume 5 page 2407.

[293] See [17] 2ADCC.

[294] Exhibit 2, CB Volume 7 page 3335 to 3336.

[295] Exhibit 2, CB Volume 1 pages 460 and 478, Volume 2, pages 599, 607-609. See also T 3-27, line 26 to T 3-31, line 29; T 4-7, lines 20-30.

[296] Exhibit 2, CB Volume 1 page 468.

[297] T 12-49, lines 1-10.

[298] T 12-49, lines 12-15.

[299] T 12-49, line 17.

[300] T 12-49, lines 19-23.

[301] T 12-49, lines 25-31.

[302] T 12-50, lines 1-11.

[303] T15-31 line 13 to 24.

[304] DCS [216].

[305] DCS [217].

[306] DCS [218].

[307] DCS [219]; see also T 11-86, lines 8-12.

[308] T 11-86, lines 8-12.

[309] T 12-28, lines 7-19.

[310] T 3-82, lines 22-27.

[311] T 12-60, lines 32-45.

[312] DCS [223].

[313] DCS [224].

[314] T 11-87, lines 6-40 in the evidence of the first defendant; see also DCS [225].

[315] T 10-96, lines 26-44; see also DCS [226].

[316] DCS [226]; [227].

[317] DCS [228].

[318] DCS [229].

[319] See also DCS [230].

[320] Exhibit 2, CB Volume 8 pages 3829-3830.

[321] DCS [237].

[322] DCS [239]; [240]; see also, for example, T 1-47, lines 20-25.

[323] Arranging a valuation of the Harbut Street Property from SLR Valuations of $525,000; the existing dwelling being demolished between 27 March 2007 and 29 March 2007; commencement of construction of the new dwelling in approximately September 2007; the defendants paying the rates, sewerage and water charges from 8 May 2007. The further agreement in May 2007 for the Harbut Street Property to be transferred to the defendants prior to them incurring the costs of construction of the new dwelling.

[324] The plaintiff registered the Colin Trouton Power of Attorney on or about 21 May 2007 at the Gold Coast to give effect to the Harbut Street Agreement and the transfer of the Harbut Street Property.

[325] The second defendant prepared a draft Form 1 Transfer in order to give effect to the agreement to transfer.

[326] The first defendant and the plaintiff made an arrangement for the plaintiff and Mr Colin Trouton to visit the defendants’ home on 3 and 4 June to sign the Form 1 Transfer.

[327] The telephone conversation between the first defendant and the plaintiff on 18 June 2007 regarding arrangements for the Form 1 Transfer to be signed in front of a Justice of the Peace in Brisbane on 19 June 2007. The further telephone conversation between the first defendant and the plaintiff on 19 June 2007 agreeing to meet at Garden City shopping centre to meet with a Justice of the Peace. The execution of the Form 1 Transfer on 19 June 2007 before a Justice of the Peace and the surrounding circumstances. Payments made by the defendants to or at the request of the plaintiff, including expenses of Scaasi as per Schedule 2. The payments would be treated as part payments of the purchase price. When the plaintiff stopped making payments in respect of the RAMS facilities secured by a mortgage against the Harbut Street Property, the defendants made payments against those facilities as per Schedule 3.

[328] T 11-86, lines 8-12; T 12-28, lines 7-19; and T 3-82, lines 22-27.

[329] See T 12-60, lines 32-45.

[330] T 12-61, lines 9-25; T 11-26, lines 5- 12; and T 11-26, line 38 to T 11-27, line 2.

[331] PCS [150].

[332] Exhibit 40 at page 3.

[333] PCS [155]-[159].

[334] PCS [143].

[335] PCS [144].

[336] PCS [146].

[337] PCS [147].

[338] PCS [148(b)].

[339] PCS [148(c)].

[340] PCS [148(d)].

[341] PCS [148(e)].

[342] PCS [168].

[343] PCS [173]-[174].

[344] PCS [180]-[187].

[345] Gibbons v Wright [1954] HCA 17; (1954) 91 CLR 423 at 439 per Dixon CJ, Kitto and Taylor JJ.

[346] PCS [244]-[245].

[347] PCS [247]

[348] At [21] 2ADCC.

[349] Exhibit 2, CB Volume 5, pages 2248-2251.

[350] Exhibit 2, CB Volume 5 pages 2320-2323; Volume 3 pages 1551-1552.

[351] Exhibit 2, CB Volume 5 pages 2330-2370.

[352] Exhibit 2, CB Volume 7 pages 3563-3564; Volume 3 pages 1930-1936.

[353] Exhibit 2, CB Volume 5 pages 2371-2406.

[354] Exhibit 2, CB Volume 5 pages 2407-2409.

[355] Exhibit 2, CB Volume 3 pages1952.

[356] Exhibit 2, CB Volume 2 pages 883-954.

[357] Exhibit 2, CB Volume 5 pages 2450-2460.

[358] Exhibit 2, CB Volume 5 pages 2450-2460.

[359] T 15-32, lines 4-8.

[360] T 15-32, lines 28-32.

[361] Butler v Fairclough [1917] HCA 9; (1971) 23 CLR 78 at 90 per Griffith CJ and 97 per Isaacs J (with whom Barton J agreed); Young v Hoger [2001] QCA 453 at [11] per McMurdo P, Davies JA and Holmes J. In Butler, Isaacs J followed and applied as settled law the oft cited seminal decision on the meaning of “fraud” of the Privy Council in Assets Company Limited v Rohi [1905] UKLawRpAC 11; (1905) AC 176 at 210. Butler has been followed and applied by the Queensland Court of Appeal, see for example, Young v Hoger [2001] QCA 453 at [11] and Assets Company has been followed and applied by the Queensland Supreme Court, see for example, Hilton v Gray [2007] QSC 401 at [46] citing the analysis of Assets Company by Hayne JA in Pyramid Building Society (in liq) v Scorpion Hotels Pty Ltd [1998] 1 VR 188, 192 -194 and Royalene Pty Ltd v Registrar of Titles [2008] QSC 64 at [40].

[362] DCS [9].

[363] DCS [10]; Corin v Paton (1990) 169 CLR 540 at 575 per Deane J.

[364] DCS [11].

[365] DCS [12].

[366] Bank of South Australia Limited v Ferguson [1998] HCA 12; (1998) 192 CLR 248 at 258, [19] per Brennan CJ, Gaudron, McHugh, Gummow and Kirby JJ.

[367] DCS [15]; Cassegrain v Gerard Cassegrain & Co Pty Ltd (2015) 254 CLR 425 at 443 [55] per French CJ, Hayne, Bell and Gageler JJ.

[368] Assets Company Limited v Roihi [1905] UKLawRpAC 11; (1905) AC 176 at 210. See also Butler v Fairclough [1917] HCA 9; (1971) 23 CLR 78 at 90 per Griffith CJ and 97 per Isaacs J.

[369] DCS [20].

[370] DCS [21].

[371] ‘Fraud against the Registrar – An Unnecessary, Unhelpful and Perhaps, No longer Relevant Complication in the Law on Fraud under the Torrens System’ [2014] MonashULawRw 32; (2014) 40(3) Monash University Law Review 821 at 827.

[372] PCS [38]-[39].

[373] PCS [39].

[374] PCS [40].

[375] Royalene Pty Ltd v Registrar of Titles [2008] QSC 64.

[376] [1905] UKLawRpAC 11; [1905] AC 176.

[377] [1988] HCA 16; (1988) 164 CLR 604 at 614 per Mason CJ and Dawson J; at 631-632 per Wilson and Toohey JJ.

[378] At 614 per Mason CJ and Dawson J.

[379] (2007) 230 CLR 89 at 169 [192].

[380] PCS [44].

[381] PCS [45]. See Assets Company Limited v Mere Roihi [1905] UKLawRpAC 11; [1905] AC 176 and Bahr v Nicolay (No 2) [1988] HCA 16; (1988) 164 CLR 604.

[382] See for example Waimiha Sawmilling Company Limited (in liq) v Waione Timber Co Ltd [1926] AC 101.

[383] [1905] UKLawRpAC 11; [1905] AC 176.

[384] [1988] HCA 16; (1988) 164 CLR 604 at 615 per Mason CJ and Dawson J.

[385] If the plaintiff’s reliance on this authority in part is in support of its submission that the exception under s 184(3)(a) is open to it on the pleading, in light of my ruling above, this is not the case. To the extent that it is relevant to [2] of the Further and Better Particulars, it is open for the plaintiff to rely on this authority.

[386] [1926] AC 101 at 106-107.

[387] At 106-107.

[388] See Pyramid Building Society (in liq) v Scorpion Hotels Pty Ltd [1998] 1 VR 188; Macquarie Bank Ltd v Sixty-Fourth Throne Pty Ltd [1998] 3 VR 133; Young v Hoger [2001] QCA 453.

[389] [2004] 2 QdR 438; [2004] QCA 89.

[390] DRCS [35].

[391] [1984] VicRp 40; [1984] VR 483.

[392] At 498.

[393] [1995] VicRp 23; [1995] 1 VR 318.

[394] See McDonald, McCrimmon, Wallace and Weir, Real Property Law in Queensland, 3rd ed, Law Book Co. 2010, Sydney at pp. 318 to 320, citing Davis v Williams (2003) 11 BRP 21,313 at 21,318.

[395] It is only this amount from schedule 2 which the plaintiff accepts as allegedly made to or at the direction of the plaintiff.

[396] See separate discussion below.

[397] See email dated 14 December 2007 at 5:54pm.

[398] ARD [4(g)]; [4(h)].

[399] ARD [4(h)].

[400] ARD [5].

[401] ARD [6].

[402] ARD [6(b)].

[403] ARD [6(b)(iii)].

[404] ARD [8]; [9].

[405] This is slightly different to the amount in question 4 of Annexure A Summary of Issues prepared on behalf of the plaintiff.

[406] T 9-22, lines 30-34.

[407] T 9-22, line 40.

[408] 2ADCC [8].

[409] This seems to envisage that Mr Colin Trouton’s component of the release was to be dealt with.

[410] DCS [267]-[269].

[411] 2ADCC [90].

[412] PCS [219].

[413] PCS [220]; [222].

[414] PCS [191].

[415] PCS [192].


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