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Clements v Racing Victoria Limited (Occupational and Business Regulation) [2010] VCAT 1144 (30 July 2010)
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Clements v Racing Victoria Limited (Occupational and Business Regulation) [2010] VCAT 1144 (30 July 2010)
Last Updated: 9 August 2010
VICTORIAN CIVIL AND ADMINISTRATIVE TRIBUNAL
ADMINISTRATIVE DIVISION
OCCUPATIONAL AND BUSINESS REGULATION
LIST
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VCAT REFERENCE NO. B69/2010
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CATCHWORDS
|
Application for Review – decision of the Racing Appeals and
Disciplinary Board – Racing Act 1958 – s 83OH(1) –
Rules of Racing – application of AR8 to unlicensed persons – source
of Stewards’ powers is contractual
and those powers do not extend to
persons who have not agreed to be bound by the Rules – Tribunal declined
to follow Stephen v Naylor – regulatory ‘gap’ can be
addressed by the legislature – Board’s finding and penalty set
aside.
|
|
|
|
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|
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BEFORE
|
President Justice I Ross; Senior Sessional Member J.
Nixon and Senior Member E. Riegler
|
HEARING TYPE
|
|
DATE OF HEARING
|
|
DATE OF ORDER
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|
CITATION
|
Clements v Racing Victoria Limited (Occupational and Business Regulation)
[2010] VCAT 1144
|
ORDER
- We
find that Mr Clements was not subject to the Rules of Racing for the purpose of
hearing a charge that he breached AR175(p).
- We
order that:
- 2.1 the
Board’s finding that Mr Clements was guilty of a breach of AR175(p) be set
aside; and
- 2.2 the penalty
imposed on Mr Clements by the Board be set aside.
Justice I. Ross, President
|
APPEARANCES:
|
|
|
Mr Michael Croucher, counsel
|
For Respondent
|
Dr C. Pannam and M. Stirling,
counsel
|
REASONS
Background
- On
13 January 2010 a Stewards Panel was convened to enquire into the performance of
the horse Finishing Card in the Progress Signs Super Vobis Handicap at
Mornington on 8 January 2010. On that occasion the horse was ridden by licensed
jockey
Danny Nikolic.
- The
Stewards’ enquiry subsequently expanded to cover some 21 rides of Mr
Nikolic between 3 October 2009 and 11 February 2010
and has focussed on alleged
associations and regular communications between Mr Nikolic and several other
persons who regularly bet
on the Betfair betting exchange. It was alleged that
following communications between Mr Nikolic and these associates, the associates
backed several of Mr Nikolic’s mounts to lose. In essence the
Stewards’ enquiry was about whether Mr Nikolic had conveyed
information to
his associates (one of whom is said to be Mr Clements, the Applicant in these
review proceedings) about the prospects
of his mounts and these associates then
bet on those mounts to lose.
- Mr
Nikolic was charged with various breaches of the Australian Rules of Racing (the
‘Rules’ or ‘AR’). Those
charges were heard by the
Racing Appeals and Disciplinary Board (‘the Board’) between 21-23
June 2010 and the Board’s
decision was handed down on 29 June 2010.
- Mr
Nikolic pleaded guilty to one breach of AR 175(j) (improper or insulting
behaviour towards an official) and four breaches of AR
91 (leaving the
jockey’s room without permission). He pleaded not guilty to four other
charges, being: two breaches of AR
175(a) (‘dishonest, corrupt,
fraudulent, improper or dishonourable action or practice in connection with
racing’) and
two breaches of AR 175A (‘conduct prejudicial to the
image, or interests, or welfare of racing’). The charges under
AR 175(a)
and AR 175A were put in the alternative.
- The
essence of the charges against Mr Nikolic were that he had informed his
associates, either directly or indirectly, of what he
thought of the chances of
his mounts in several races. The Board was not satisfied that Mr Nikolic had
communicated with the associates
in the manner contended by the Stewards and
dismissed the charges.
- The
matters with which we are presently concerned arise out of the Stewards’
enquiry into Mr Nikolic.
- By
letter dated 12 February 2010 Racing Victoria Limited (‘RVL’)
directed Mr Clements to provide his telephone records
(mobile and landline) for
the period 1 September 2009 to 31 January 2010.
- It
was said that the telephone records requested related to matters currently the
subject of an enquiry into Mr Nikolic.
- The
direction was purportedly made pursuant to Rule 8(b), which
says:
“AR8 To assist in the control of racing, Stewards
shall be appointed according to the Rules of the respective Principal Racing
Authorities,
with the following powers:
... (b) To require and obtain production and take possession of any
mobile phones, computers, electronic devices, books, documents and records,
including any telephone or financial records relating to any
meeting or inquiry.” [emphasis added]
- Mr
Clements did not produce the records re quested, asserting that RVL had no legal
basis to demand the production of the records
and relied on a concern for his
privacy and the privacy of others.
- On
26 February 2010 Mr Clements was charged with a breach of AR 175(p) which
provides that the Stewards may penalise:
‘(p) Any person who
fails or refuses to comply with any order, direction or requirement of the
Stewards or any official.’
- The
alleged breach was said to relate to Mr Clements’ failure to comply with
the Stewards’ direction to produce his telephone
records for
inspection.
- The
charge was subsequently heard by the Board. On 5 March the Board determined
that the Rules applied to Mr Clements and on 24 March
found the charge proved
and ordered that Mr Clements be ‘warned off’ indefinitely. The
reasons for the Board’s
decision were published on 29 March 2010 and the
order took effect on 6 April 2010.
- An
order that a person be ‘warned off’ has the same effect as
disqualification.[1] As
a consequence of the Board’s order Mr Clements is prohibited from, among
other things, entering any racecourse or training
track owned, operated or
controlled by any racing club in
Australia.[2] Further,
AR182A provides that bookmakers ‘shall not bet by telephone or otherwise
with a disqualified person’. Not
surprisingly being ‘warned
off’ has been described as ‘racing death’ as it brings with it
the clear implication
that the individual concerned is unfit to associate with
those engaged in
racing.[3]
- Mr
Clements then filed an application in the Victorian Civil and Administrative
Tribunal (‘the Tribunal’) seeking a review
of the Board’s
decision.
- The
central issue in these proceedings is whether AR8 applies to persons who have
not consented (either expressly or impliedly) to
be bound by the Rules.
- We
propose to deal briefly with the Board’s decision before turning to these
review proceedings and the submissions advanced.
The Board Proceedings
- On
5 March 2010 the Board determined that the Rules applied to Mr Clements and in
its reasons for decision of 24 March 2010 the Board
dealt with the charge that
Mr Clements had breached AR 175(p). The relevant parts of those reasons
state:
“In deciding to disobey the direction Mr Clements is
not simply failing to cooperate but has adopted a course of action in deliberate
defiance of the Rules. The Board regards this conduct as a serious offence
under the Rules and one likely to at least frustrate
the progress of the
enquiry. In so doing it is to be denounced.
It is acknowledged that in the initial stages of the enquiry Mr Clements did
provide some information to Stewards, see Tab 5, letter
from Mr McHenry to
Minter Ellison dated 18 February 2010.
However, in so far as the failure to comply with the direction may be said to
be a mitigating factor on the question of penalty, in
that it was based
primarily on legal advice given to Mr Clements as an unlicensed person, that
factor has now evaporated.
After the Board held that Mr Clements was subject to the Rules of Racing and
the extended period for compliance had expired, Mr Clements’
continuing
refusal to comply occurred in circumstances where Mr Clements well understood
the consequences of his action.
Mr Clements personal circumstances as submitted by Mr McHenry have been
considered. Any hardship as a result of the penalty the Board
has decided to
impose on Mr Clements is counterbalanced by the fact, as stated above, that the
position he now finds himself in is
one of his own making.
Having regard to all the circumstances, the decision of the Board is to
‘warn off’ Mr Clements indefinitely, to take effect
from the
6th day of April 2010, that is seven days from the date
of delivery of these Reasons for Decision.”
The Review
- Section
83 OH(1) of the Racing Act 1958 provides that a person whose
interests are affected by a decision made by a Racing Appeals and Disciplinary
Board may apply to the
Tribunal for review of that decision. Time limits apply
to applications for review.
- Mr
Clements is a person whose interests were affected by the decision subject to
review and the review application was made within
the 28 day time period
specified in s 83 OI.
- The
Tribunal’s functions in reviewing a decision of the Board are not
appellate. On review the Tribunal stands in the shoes
of the original decision
maker and must determine the correct decision on the material before it. The
review is conducted without
any presumption as to the correctness or otherwise
of the decision subject to review. The Tribunal is not confined to the material
upon which the original decision was made and may receive evidence or material
which was not before the original decision
maker.[4]
- The
proceeding before the Tribunal sought to review three aspects of the
Board’s decision:
- ➢ the
finding that Mr Clements was subject to the Rules for the purpose of hearing the
charge;
- ➢ the
finding that the charge was proven; and
- ➢ the
Board’s decision to ‘warn off’ Mr Clements
indefinitely.
- For
reasons which will become apparent it is only necessary to deal with the first
of these issues.
Is Mr Clements subject to Rule AR8?
- The
Board’s reasons for finding that the Rules applied to Mr Clements are set
out in the following extract from the proceedings
of 5 March
2010:
‘Many persons who frequent racecourses, although they
have not given any express undertaking to do so, are bound by the Rules
of
Racing and may become subject to the disciplinary powers exercised by persons
controlling the racecourses which races are being
held. The courts have
established as a matter of general principle that persons who in one way or
another take part in racing are
prima facie bound by the rules.
Given that betting is an integral part of racing and a number of the rules
regulate betting, people who are engaged in betting would
generally be regarded
as taking part in racing. Interviews with stewards established that Mr Clements
is a professional punter,
betting on thoroughbred horse racing in Victoria and
to a lesser extent, interstate. Mr Clements bets on his own account and
“for
a few mates”; transcript of 3 February 2010, page 7.
The Board is satisfied that Mr Clements, by his actions as outlined in
paragraph 5 of the written submissions on behalf of the stewards,
brings himself
within the purview of the rules. In saying that, we adopt the principle
established in [Stephen v Naylor] and subsequent
cases. Consequently, the Board
finds that the rules relevantly apply to Mr Clements.’
- Paragraph
five of the Stewards’ written submissions, referred to by the Board in the
above extract, says:
Mr. Clements is not a licensed person under the
Rules. However the evidence which he has given to the Stewards in relation to
these
matters during the course of interviews on 3rd
and 23rd February 2010 establish the following:
(a) He is a professional punter betting on the results of thoroughbred horse
races in Victoria and elsewhere in Australia.
(b) He frequently attends race meetings in Victoria and accepts that he is one
of the leading men in the betting ring (T 3/2/2010
p 20).
(c) He is a friend of a licensed jockey, D. Nikolic, and frequently discusses
the horses to be ridden by the jockey in particular
races. Between mid December
2009 and mid January 2010 there were at least 17 telephone calls (T 3/2/2010 pp
4, 6 and 23/2/2010 p
10). Generally these discussions took place over a period
of “six months or so” (T 23/2/2010 p 12).
(d) He places bets with Betfair which allow him to lay (ie. bet against) horses
winning or being placed in races (T 3/2/2010 p 4).
(e) Over a period between at least November 2009 and February 2010 he placed the
following successful bets with Betfair that the
horses ridden by D. Nikolic
would lose in circumstances where he risked some $105,000 to win some $25,000 (T
23/2/2010 p 2). Further
he accepted that these bets were outside the normal
parameters of his betting. The bets were:
13/11/2009 Midnight
Wine to lose $20,000
18/12/2009 Budding Amazing to lose $9,000
8/1/2010 Folichonne to lose $24,000
13/1/2010 Ruby Slippers to lose $26,000 or $27,000
10/2/2010 Prizim to lose $15,000
11/2/2010 Retrieve to lose $4,000
Manuka to lose $6,500
(The detail is at T 23/2/2010 pp 4-7 and 9)
(f) On 3/1/2010 he risked $50,000 that Baby Boom, trained by Nikolic’s
brother, would not win a race at the Sunshine Coast
whereas his normal exposure
in relation to bets on Queensland races was $1-2,000 (T 3/2/2010 pp 8-19 and
24-5 and T 23/2/2010 pp
7-8 and 18-21).
(g) At p 11 of T 23/2/2010 the following
appears:
“CHAIRMAN: And we’ve got ---
MR CLEMENTS: That would be very unusual, I would think.
CHAIRMAN: --- seven or eight races here with betting activities outside your
normal parameters with a consistent pattern of contact
between yourself and Dan
Nikolic.
MR CLEMENTS: Right.
CHAIRMAN: It obviously raises the stewards’ concerns as to whether you
had some start.
MR CLEMENTS: Yea, well, that’s not the case.
CHAIRMAN: It’s not the case?
MR CLEMENTS: No.”
(h) At p 12 of T 23/2/2010 the following
appears:
“CHAIRMAN: How long has Danny Nikolic been
contacting you?
MR CLEMENTS: How long?
CHAIRMAN: Yes, for what period of time?
MR CLEMENTS: I’m not too sure. I don’t know however long.
I’m not sure.
CHAIRMAN: Is it a month or a year or six years?
MR CLEMENTS: Probably six months or so maybe, yeah, maybe more.”
(i) At p 17 of T 23/2/2010 the following appears:
CHAIRMAN: so
the fact that Danny Nikolic speaks to you quite frequently and you’ve
managed to lay a number of horses significantly
that are all ridden by him is
pure coincidence, is it?
- Conceptually
the Stewards and the Board are to be regarded as domestic tribunals. Insofar as
their disciplinary powers are concerned
they are akin to the committee of a
club.[5]
- Domestic
tribunals do not exercise statutory power and have been described as “the
bodies or committees in whom authority is
vested in professional or trade or
sporting organisations, in various social groups or clubs or in various guilds
or trade
unions”.[6]
- The
disciplinary powers of domestic tribunals derive from the law of contract. Such
tribunals have power to discipline any person
who expressly or impliedly agrees
to be bound by the rules, (either in writing or by custom and practice) by which
the tribunal operates.
- The
case of Meyers v
Casey[7] illustrates
the contractual nature of such disciplinary powers. Meyers had been
disqualified for 12 months by the stipendiary stewards
for ‘suspicious
practices’ in connection with the running of a horse he owned, called
Blackpool, in a race at Moonee Valley on 4 December 1912. Meyers
appealed to the committee of the Victoria Racing Club (‘the VRC’)
who dismissed the appeal and confirmed the stewards’ decision.
- In
the High Court Meyers claimed, among other things, a declaration that the
stewards and the VRC had no power to disqualify him for
‘suspicious
practices’ in connection with the running of Blackpool. The Court
held that the relevant rule (rule 19(d)) gave the stewards power to disqualify a
horse in the running of which suspicious
practices had been proved, but granted
no power to punish any person for that offence. But that was not the end of the
matter.
By majority (per Barton ACJ, Isaacs and Rich JJ; Powers J dissenting)
the Court held that as Meyers had elected to appeal to the
VRC against his
disqualification he gave the VRC power to decide whether to quash or set aside
or confirm the stewards’ decision.
The VRC decided to confirm the
stewards decision and by rule 33(i) the committee’s decision was final.
It is apparent from a review of the judgments that the Court’s decision
was based
on the fact that Meyers had contracted to abide by the Rules by
entering his horse in the race concerned.
- In
his judgment Barton AJA said:
‘The first observation that I
have to make as to the Rules of Racing, by which the plaintiff, in entering his
horse, contracted
to abide ...
This is the case, not of a constitution, but of a contract. It is not be
thought of that under rules like these, of contractual effect,
there was an
intention to exclude an appeal against an actual decision involving an excess or
defect of jurisdiction ...
... if the stipendiary stewards disqualify a person -- eg. the owner -- for
conduct on his part for which they have authority to disqualify
only a horse and
not a person, the larger question of jurisdiction is raised, the person
complaining has been dealt with beyond the
terms of his contract, and it does
not preclude him from seeking his redress in the Courts, unless it can be shown
either that the
defect of authority has been condoned, or that the question is
covered by the decision of the domestic tribunal on
appeal.’[8]
- Isaacs
J (with whom Rich J agreed) observed:
‘Then we come to the
Rules of Racing, which we have to regard in this case as it has been shaped, and
conducted, as a valid
and binding contract between the parties. Meyers ... must
be taken to have agreed with the club that, in consideration of being
allowed to
enter his horse in the race, he would be bound to abide by the stipulations
contained in the Rules ...
In favour of carrying out this evident intention of the parties, in making
their consensual bargain (for it is not a law, and the
appellant is only bound
because he so chooses) ...
... here the whole jurisdiction, great or small, depends entirely on consent,
and can be given at the will of the
parties.[9]
- The
matter before us is quite different from the circumstances in Meyers v
Casey. Mr Clements did not agree to be bound by the Rules, either
expressly or by implication, and RVL did not contend
otherwise.[10] Nor
was it said that the Racing Act 1958 gives the Rules statutory
force.[11] Nor did Mr
Clements submit to the jurisdiction of the Board such that he impliedly agreed
to be bound by their
finding.[12]
- The
Rules are made by a private entity – the Australian Racing Board - a
company limited by guarantee (AR1 and AR208). The
Rules provide that RVL may
make ‘Local Rules’ (‘LR’) which are regarded as Rules of
Racing within RVL’s
territorial authority. The Stewards are appointed by
RVL under LR7A and the Board is established under LR6A.
- Absent
an agreement to be bound or the application of statutory force how is it said
that AR8(b) applies to Mr Clements?
- Mr
Clements is not a licensed person within the meaning of the Rules (ie. he is not
a jockey: AR81 and LR36A-36B; or a trainer; AR7(III)(b)
and LR 35A) nor is he a
registered stable employee (LR 39A-39B). He is a member of the public, albeit
one that derives income from
racing. In the vernacular, Mr Clements is a
professional punter.
- RVL
submitted that the Rules extended to unlicensed persons who have acted so as to
bring their actions ‘within the purview
of the Rules’. In support
of this contention RVL relied on the terms of AR2 and LR3 and the judgment of
the Privy Council
in Stephen v
Naylor.[13]
- AR2
and LR3 state, in essence, that any person who takes part in any matter coming
within the Rules consents to be bound by them.
But the mere assertion of
jurisdiction does not confer it. RVL submitted that Stephen v Naylor
provided authority for the application of the Rules to Mr
Clements.
- Stephen
was the Chairman of the Australian Jockey Club (‘AJC’) and Naylor
was a professional punter. Naylor was questioned
by the Stewards about whether
he was the true owner of Movoco, a horse which had been ‘pulled
up’ in a race in circumstances where the jockey and lessee of the horse
were disqualified.
Before the NSW courts it was held that the disqualification
could not stand because Naylor was not subject to the Rules of Racing,
in
that:
- he had not
agreed to be bound by the Rules;
- he was not
estopped by his conduct from asserting that he was not bound; and
- he had not
consented to submit to the jurisdiction of the AJC
committee.[14]
- On
appeal the Privy Council reversed the decision of the NSW Full Court, saying it
was not a question of whether Naylor consented
to any adjudication or submitted
to any jurisdiction. Lord Roche (delivering the judgment of the Privy Council)
said:
“His [ie. Naylor’s] contention was that he was not
subject to the Rules of Racing and that they were ineffective to bring
about his
disqualification and therefore his exclusion from the course. It is this
contention which has found favour with Long Innes J. and the majority of
the Full Court. They held that the respondent had not submitted to the
jurisdiction of the Committee acting
under the Rules ... The question then is
what is a disqualified person. The dictionary to which reference is to be made,
as everyone
knew, is the Rules of Racing. The meaning there given is clear and
includes one in the respondent’s case. It is not a question
whether he
consented to any adjudication or submitted to any jurisdiction. The Club
properly undertook to regulate racing within
its territorial limits and properly
announced the rules by which it would regulate it and properly also to satisfy
the claims of
justice gave an opportunity to anyone whose conduct called for
enquiry in connection with racing within those limits to attend and
proffer
explanations. Disqualification is a well know and a legitimate and indeed a
necessary safeguard to be adopted to secure
the absence from the race course of
persons who have been found guilty of conduct gravely detrimental to the
interests of racing.
The exercise of such a jurisdiction may as to some matters
and things such as licensing , arise out of consent, but in others such
as the
present, it seems no more to depend upon consent than does the disqualification
of a horse. A horse is disqualified because
improper things are done with it.
The respondent was disqualified because he impeded by lying the course of a
necessary and proper enquiry and he has to suffer not
because he consented to be
bound by the rules, but because he permitted himself so to act as to bring this
actions within their
purview.”[15]
[emphasis added]
- On
the basis of this extract RVL contended that the critical test for jurisdiction
was whether a person has, by his or her actions,
brought themselves within the
purview of the Rules. It was submitted that this test has been consistently
adopted by courts and
tribunals since Stephen v
Naylor.[16]
- In
the extract quoted the Privy Council effectively treated the Rules as if they
had statutory force such that they applied to anybody
who came within their
terms. No authority is cited in support of this proposition.
- Australian
courts are no longer bound by decisions of the Privy Council, but that is not to
say that such decisions are to be lightly
disregarded.[17]
- The
jurisdiction of the Stewards and the Board to impose a penalty on Mr Clements
must rest on a proper legal basis. The power to
impose a penalty for failing to
comply with a direction of the Stewards is predicated on the proposition that
AR8 applies to Mr Clements.
As Lewis and Taylor put
it:
“Jurisdiction over both the person and the subject matter
is required for a governing body to exercise its disciplinary function
... there
must be a relationship between the governing body and the person or club that
allows the lawful and practical enforcement
of that jurisdiction: if there is
in fact no basis on which the person or club can be constrained, a claim to
jurisdiction is hollow.
In short, there must be some reciprocity in relation to
jurisdiction as between the person or club and the governing
body.”[18]
- We
propose to approach the question of jurisdiction in this case by first examining
what courts have said about the legal basis of
the authority of domestic
tribunals. We then consider the submissions advanced on behalf of RVL in this
case and the authorities
upon which it relied, before considering the terms of
the rule said to have been breached and determining the question of
jurisdiction.
- The
courts have consistently refused to use certiorari in relation to decisions of
domestic tribunals and in so doing have emphasised
that the authority of such
tribunals is contractual. As Lord Parker CJ said in R v Criminal Injuries
Compensation Board; Ex parte
Lain:[19]
“Private
or domestic tribunals have always been outside the scope of certiorari since
their authority is derived solely from
contract, that is, from the agreement of
the parties
concerned.”[20]
- Lain’s
case has been cited with approval by courts in
England[21] and
Australia[22] and
reflects the present state of the law in
Victoria.[23]
- The
general proposition espoused in Lain’s case has also been applied
to racing in Australia. In Harper v Racing Penalties Appeal Tribunal of
Western
Australia[24] the
Supreme Court of Western Australia (per Malcolm CJ, Kennedy, Franklyn, Anderson
and Owen JJ) determined that the Rules of Trotting
were intended to have
consensual or contractual force and did not form part of the statute law of that
state.[25] The
legislative position in WA has altered since these cases were
decided.[26]
- For
completeness we note that in a case sometime after Stephen v Naylor the
Privy Council made reference to the fact that the disciplinary powers of racing
bodies rest on consensus. In Calvin v
Carr[27] an owner
challenged a disciplinary ruling by the Australian Jockey Club. After referring
to the relevant rules and provisions of
the Australian Jockey Club Act
1873 their Lordships said:
“Although these rules and
statutory provisions contain a good deal of repetition and circularity it is
clear that they provide
a comprehensive scheme or code for the administration of
racing and for the exercise of discipline through domestic bodies whose
jurisdiction, though reinforced by statute, is founded on consensual acceptance
by those engaged in the various activities connected
with horse
racing.”[28]
- A
necessary corollary to the contractual source of the Stewards’ powers is
that those powers do not extend to individuals who
do not agree (either
expressly or by implication) to be bound by the Rules. This was succinctly
stated by Denning LJ (as he then
was) put it in Lee v The Showmen’s
Guild of Great
Britain:[29]
“The
jurisdiction of a domestic tribunal ...must be founded on a contract, express or
implied. Outside the regular courts of
this country, no set of men can sit in
judgment on their fellows except so far as Parliament authori[z]es it or the
parties agree
to
it.”[30]
- This
general proposition has also been held to apply to racing tribunals. As Sir
Thomas Bingham MR observed in R v Disciplinary Committee of the Jockey Club,
Ex parte Aga
Khan:[31]
“The
Jockey Club cannot, of course, impose contractual conditions on those who do not
seek any licence or permit from it and
therefore do not enter into any contract
with it. This is a class which includes members of the general public
...”[32]
- Dr
Pannam, counsel for RVL, submitted that Stephen v Naylor was
‘clearly correct’ because ‘otherwise you’d have a clear
gap in the operation of the rules. You’d
have people not being subject to
the rules of racing, even though their actions are intricately bound up with
them’.[33]
- We
do not doubt the importance to the general public of the disciplinary functions
exercised by the Stewards and the Board. But the
fact that the stewards’
investigatory powers may provide a public benefit by protecting the integrity of
racing does not alter
the fact that their powers are contractual.
- As
Lawton LJ said in Law v National Greyhound Racing Club
Limited:[34]
“A
stewards’ inquiry under the defendants’ Rules of Racing concerned
only those who voluntarily submitted themselves
to the stewards’
jurisdiction. There was no public element in the jurisdiction itself. Its
exercise, however, could have
consequences from which the public benefited, as,
for example by the stamping out of malpractices, and from which individuals
might
have their rights restricted by, for example, being prevented from
employing a trainer whose licence had been suspended. Consequences
affecting
the public generally can flow from the decisions of many domestic tribunals ...
the courts have always refused to use the
orders of certiorari to review the
decisions of domestic
tribunals.”[35]
- Similarly,
in D’Souza v Royal Australian and New Zealand College of Psychiatrists
and ors[36] Ashley
J (as he then was) held that a decision of the College to deny the plaintiff
fellowship was not amenable to judicial review
despite the public consequences
of such a
decision.[37]
- It
seems to us that the ‘gap’ identified by Dr Pannam can be remedied
by legislative amendment to give the Rules statutory
force.
- Dr
Pannam also submitted that the test posited in Stephen v Naylor has
subsequently been adopted by courts and tribunals and reference was made to five
particular cases. We do not find this submission
particularly persuasive for
two reasons.
- The
first is that it is hardly surprising that in Caddigan v
Grigg[38]
Barrowclough CJ followed Stephen v Naylor: the facts were relevantly
indistinguishable and at that time his Honour was bound by decisions of the
Privy Council.[39] In
Jacobson v
Steele[40] Gobbo J
was similarly bound.
- The
second reason is that an analysis of the other cases referred to reveals an
alternative jurisdictional basis for the actions of
the relevant disciplinary
body:
- In the matter
of Dr Tim
Roberts[41] the
Thoroughbred Racing Board Act 1996 gave the Rules of Racing
statutory recognition and empowered the Board and the Stewards to give effect to
those Rules;
- In the matter
of the Queensland Principal Club and Kooralbyn Picnic Race
Day[42] the
Racing and Betting Act 1980 ‘specifically acknowledges the
force and effect of the Rules of Racing’; and
- Zucal v
Harper[43] the
person concerned was a licensed trainer and hence bound by the
Rules.
- We
also note that Stephen v Naylor was not followed by the Full Court of the
Supreme Court of British Guiana in Demerara Turf Club and Anor v
Phang. [44] In
that case the Demerara Turf Club (the ‘Turf Club’) had ‘warned
off’ Phang, a person who was a partner
in a business which operated pool
betting on races run in British Guiana. Phang was not a member of the Turf Club
and there was
no contractual relationship between him and the club.
- Phang
filed a writ against the Turf Club claiming, among other things, that the
decision to warn him off was null and void, and sought
damages for libel. An
interlocutory injunction was granted at first instance restraining the Turf Club
from publishing any statement
that Phang had been ‘warned off’ until
the determination of his action. The Turf Club appealed to the Full Court.
- One
of the issues on appeal was whether there was a serious issue to be tried as to
the Turf Club’s right to exercise jurisdiction
over Phang. The Full Court
determined that issue in favour of Phang:
“... it appears to
us that there are serious questions, and many of them, to be tried between the
parties and that the grant
of an interlocutory injunction by the trial judge
was, in all the circumstances, a proper exercise of his discretion in the light
of the issues which are to be tried ... as to the reasonable probability that
the plaintiff may be entitled to relief, we feel there
is much merit in the
contention that upon an interpretation of the rules which the appellants invoke
to justify their action, it
does not clearly appear that the respondent falls
within any of the groups of persons subject to the control of the Turf Club
...
Whether the respondent is a person who is subject to the control of the Turf
Club and therefore amenable to discipline under its rules,
or whether he is not
such a person, it does seem to us that he has shown in his application for an
interlocutory order of injunction
a reasonable probability that he may be
entitled to relief at the
trial.[45]
- We
now turn to the rule said to have been breached.
- Mr
Clements was found guilty of breaching AR175(p) in that he failed to comply with
a direction of the Stewards that he provide his
telephone records relating to a
five month period between September 2009 and January 2010. The direction in
question was made pursuant
to AR8 which confers very broad investigatory powers
upon the Stewards (see paragraph 7 of this decision).
- The
standard or usual approach to statutory construction is informed by the common
law presumption that fundamental rights and freedoms
cannot be abrogated without
‘a clear expression of an unmistakable and unambiguous
intention’.[46]
This involves favouring an interpretation which produces the least infringement
on common law rights. In R v Secretary of State for the Home Department; Ex
parte Pierson,[47]
Lord Steyn described this approach as ‘the principle of
legality’.[48]
- The
right to privacy and to protection from trespass are protected by this common
law doctrine. In Coco v
R[49] the High
Court held that the Invasion of Privacy Act 1971 (Qld), which
authorised the use of listening devices in certain circumstances, did not confer
a right on a judge to authorise entry
onto premises for the purpose of
installing and maintaining a listening device, where to do so would otherwise
constitute a
trespass.[50]
- In
Electrolux Home Products Pty Ltd v Australian Workers’
Union[51] Gleeson
CJ explained the rationale for the principle in these
terms:
“The joint judgment in Coco went on to identify
as the rationale for the presumption against modification or abrogation of
fundamental rights an assumption that
it is highly improbable that Parliament
would “overthrow fundamental principles, infringe rights, or depart from
the general
system of law” without expressing its intention with
“irresistible clearness”. In R v Home Secretary; Ex parte
Pierson, Lord Steyn described the presumption as an aspect of the principle
of legality which governs the relations between Parliament, the
executive and
the courts. The presumption is not merely a common sense guide to what a
Parliament in a liberal democracy is likely
to have intended; it is a working
hypothesis, the existence of which is known both to Parliament and the courts,
upon which statutory
language will be interpreted. The hypothesis is an aspect
of the rule of
law.”[52]
- AR8
is a broad, invasive power. It empowers the Stewards to require a person to
hand over any ‘mobile phones, computers, electronic
devices, books,
documents and records ... relating to any meeting or inquiry’.
Courts have been slow to imply the existence of such an invasive
power.[53] Nor is it
to the point that rules such as AR8 are for the public benefit, to keep the
sport of racing untarnished. As Fraser J
observed in Demerara Turf Club and
Others v Phang:
“Such absolute power when attributed to
institutions which are popular may also have to be accorded to the institutions
which
are disliked and the implications might encourage grave forebodings in the
minds of those who cherish individual freedom and are
wedded to the idea that no
man ought to be made to suffer loss or damage by an arbitrary assumption of
jurisdiction
...”[54]
- It
seems to us that the principle of legality applies with equal force to the
interpretation of rules of domestic tribunals. Just
as domestic tribunals are
subject to the rules of natural justice – an aspect of the rule of law
– so too should their
rules be construed by reference to the principle of
legality. Any doubt in interpretation should be resolved in favour of the
person
said to be subject to the rules.
- Such
an approach applies to both the language of the relevant rule and to the class
of persons it purports to cover.
- The
application of the principle of legality in the context of this case supports a
conclusion that the powers in AR8 do not extend
to persons who have not agreed
to be bound by the Rules. It would be contrary to this principle to extend the
application of the
Rules to persons who have not agreed to be bound by the Rules
but have, by their actions, brought themselves ‘within the purview
of the
Rules’. Such a test is simply too vague and imprecise to provide a proper
basis for the conferral of coercive power.
- In
conclusion, and contrary to the decision of the Board, we have decided that Mr
Clements was not subject to AR8. The source of
the Stewards’ powers under
that rule is contractual and those powers do not extend to persons who have not
agreed (either expressly
or by implication) to be bound by the Rules. The
contractual nature of the powers of a domestic tribunal (such as the Stewards
and
the Board) is clearly supported by authority in both England and Australia
and our conclusion is also consistent with the principle
of legality.
- To
the extent that Stephen v Naylor stands for a broader proposition –
that rules such as AR8 apply to persons who, by their actions, bring themselves
within the
purview of the Rules – we respectfully decline to follow that
decision.
- We
acknowledge the public importance of the disciplinary functions exercised by the
Stewards and the Board in protecting the integrity
of racing. But such a public
benefit does not alter the contractual source of their powers. To the extent
that our decision creates
a regulatory gap, it can be addressed by the
legislature.
- As
Mr Clements was not subject to AR8 it necessarily follows that the Board had no
jurisdiction to record a finding that he breached
AR175(p) and nor did the Board
have jurisdiction to impose a penalty. We will order that the finding and
penalty be set aside.
[1] Australian
Rules of Racing Rule 183( the ‘Rules’ or ‘AR’).
[2]
AR182
[3] Demerara
Turf Club and Anor v Phang (1961) 3 WIR 454, 461 (Fraser J).
[4] See s 51 of the
Victorian Civil and Administrative Tribunal Act 1998 (Vic), Davidson v
Victorian Institute of Teaching [2006] VSCA 193; (2006) 25 VAR 186. In some circumstances it
will be appropriate for the Tribunal to take the findings and determination of
the Board into account and
to give them some weight: Van Lan Ha v Pharmacy
Board of Victoria [2002] VSC 322; (2002) 18 VAR
465.
[5] See
Meyers v Casey [1913] HCA 50; (1913) 17 CLR 90, 99 (Barton
ACJ).
[6] J. Morris,
‘The Courts and Domestic Tribunals’ (1953) 69 LQR 318-333, 321.
[7] [1913] HCA 50; (1913) 17 CLR
90.
[8] Ibid 97, 98
and 101.
[9] Ibid
109, 111 and
119.
[10]
Transcript of Proceedings, Clements v Racing Victoria Limited (Victorian
Civil and Administrative Tribunal, Ross J, Judge Nixon and Senior Member
Riegler, 25 June 2010) (‘Tn’) p 17, lines
8-12.
[11] Tn p 20,
lines 12-16. Section 49 of the Racing Act 1958 provides that
Harness Racing Victoria may make rules and, by s 45(1)(g) of the Racing
Act 1958, may ‘fine or otherwise punish any club or person
offending against the rules’. Similar provisions operate with respect
to
greyhound racing (ss 77 and 82 of the Racing Act 1958). But there
are no comparable provisions in relation to thoroughbred horse
racing.
[12] Cf
Davis v Carew – Pole and others [1956] 1 WLR 833; Byrne v
Kinematograph Renters Society [1958] 1 WLR 762, 783 (Harman
J).
[13] [1937] NSWStRp 2; (1937) 37
SR (NSW) 127, 140 (Lord Roche).
[14] Naylor v
Stephen [1934] NSWStRp 20; (1934) 34 SR (NSW) 231, 232 (Long Innes J); [1934] NSWStRp 61; (1934) 35 SR (NSW) 71,
71 (Davidson and Maxwell JJ, Harvey CJ in Eq. dissenting).
[15] [1937] NSWStRp 2; (1937) 37 SR
(NSW) 127, 139-140 (Lord Roche).
[16] See
Caddigan v Grigg [1958] NZLR 708, 711-712 (Barrowclough CJ); In the
matter of Dr Tim Roberts [1998] (Thoroughbred Racing Board NSW, presided
over by the late Federal Court Judge Peter Hely, 22 April 1988) [22] - [23];
In the matter of the Queensland Principal Club; In the matter of the
Kooralbyn Picnic Race Day (Unreported, Supreme Court of Queensland, Williams
J, 14 January 1999, 29 January 1999) [32] - [35]; Zucal v Harper [2005]
WASCA 76 (Unreported, Steytler P, 15 April 2005)
[43].
[17]
Australia Acts (Request) Act 1985
(Vic): sch 1, s 11; Hawkins v
Clayton & ors t/as Clayton Utz & Co. (1986) 5 NSWLR 109, 136-137 (Mc
Hugh JA).
[18] A
Lewis and J Taylor (eds), Sport: Law and Practice,
(2nd ed, 2008)
[A2.10].
[19]
[1967] 2 QB
864.
[20] Ibid
882.
[21] R v
British Broadcasting Corporation, Ex parte Lavelle [1983] 1 WLR 23; Law v
National Greyhound Racing Club Limited [1983] EWCA Civ 6; [1983] 1 WLR 1302; R v
Disciplinary Committee of the Jockey Club, Ex parte Aga Khan [1992] EWCA Civ 7; [1993] 1 WLR
909.
[22] R v
Wadley, Ex parte Burton [1976] Qd R 286; R v Wilson, Ex parte
Robinson [1982] Qd R 642; Whitehead v Griffith University [2002] QSC 153; [2003] 1 Qd
R 220.
[23]
D’Souza v Royal Australian and New Zealand College of Psychiatrists
(2004) 12 VR 42, 58 (Ashley J); see also Australian Football League and
ors v Carlton Football Club Ltd [1998] 2 VR
546.
[24] (1995) 12
WAR 337.
[25] See
also: Maynard v Racing Penalties Appeal Tribunal of Western Australia
(1994) 11 WAR
1.
[26] See the
Racing and Wagering Western Australia Act 2003 esp. s 45 and Zucal v
Harper [2005] WASCA
76.
[27] [1979] UKPC 1; [1980] AC
574.
[28] Ibid 589
(Lord Wilberforce, Viscount Dilhorne, Lord Hailsham of St. Marylebone, Lord
Keith of Kinkle and Lord Scarman).
[29] [1952] 2 QB
329. See also Denning LJ in Abbott v Sullivan [1952] 1 KB 189, 197-198.
While his Lordship dissented in that case the Court was in agreement as to the
proposition that the jurisdiction of a
domestic tribunal must be founded on
contract: see 194 (Evershed MR) and 209-210 (Morris LJ).
[30] Ibid
341.
[31] [1992] EWCA Civ 7; [1993] 1
WLR 909.
[32] Ibid
915.
[33] Tn p18,
lines 15-19.
[34]
[1983] EWCA Civ 6; [1983] 1 WLR 1302, see also Fox and Slade
LJJ.
[35] Ibid
1307.
[36] [2005] VSC 161; (2005)
12 VR 42.
[37] Ibid
[116].
[38] [1958]
NZLR 708.
[39]
Appeals from New Zealand courts to the Privy Council were abolished in 2003 with
the passage of the Supreme Court Act 2003 (NZ).
[40] (Unreported,
Supreme Court of Victoria, Gobbo J, 12 February 1982).
[41] [1998]
(Thoroughbred Racing Board NSW, presided over by the late Federal Court Judge
Peter Hely, 22 April 1988), see also [24]-[27]
of the Board’s
decision.
[42]
(Unreported, Supreme Court of Queensland, Williams J, 14 January 1999, 29
January 1999) [26], see also
[24]-[35].
[43]
[2005] WASCA
76.
[44] (1961) 3
WIR 454. Also see D. Lloyd, ‘Natural Justice and the ‘Warned
Off’ Bookmaker’ (1968) 26 MLR 412.
[45] Demerara
Turf Club and Anor v Phang (1961) 3 WIR 456, 475 (Fraser J on behalf of the
Full Court).
[46]
Coco v R [1994] HCA 15; (1994) 179 CLR 427, 437 (Mason CJ,
Brennan, Gaudron and McHugh
JJ).
[47] [1997] UKHL 37; [1998] AC
539.
[48] See also
RJE v Secretary to the Department of Justice [2008] VSCA 265; (2008) 21 VR
526.
[49] [1994] HCA 15; (1994)
179 CLR 427, esp 436 – 437 (Mason CJ, Brennan, Gaudron and McHugh
JJ).
[50]
Similarly, In Morris v Beardmore [1981] AC 446 the House of Lords refused
to read general language in the Road Traffic Act 1972 (UK) as
being sufficient to authorise the police to enter the home of a person involved
in an accident and require that person to
submit to a breath test. Lord Scarman
said, at 465: “The appeal turns on the respect which Parliament must be
understood,
even in its desire to stamp out drunken driving, to pay to the
fundamental right of privacy in one’s own home, which has for
centuries
been recognised by the common
law”.
[51]
[2004] HCA 40; (2004) 221 CLR 309.
[52] Ibid 329 [21].
See also R v Secretary of State for the Home Department, Ex parte Simms
[1999] UKHL 33; [2000] 2 AC 115, 131 (Lord Hoffmann); cited with approval by Gleeson CJ in
Plaintiff 5157/2002 v The Commonwealth (2003) 211 CLR 476, 492 [30];
Kirby J in Daniels Corporation International Pty Ltd v ACCC [2002] HCA 49; [2002] 213
CLR 543, 582 and Vickery J in Nolan v MBF Investments Pty Ltd [2009] VSC
244 (Unreported, Vickery J, 18 June 2009)
[182].
[53] Egan
v Willis [1998] HCA 71; (1998) 195 CLR 424, 468-469 (McHugh J).
[54] (1961) 3 WIR
454 , 473.
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