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High Court of New Zealand Decisions |
Last Updated: 21 April 2015
IN THE HIGH COURT OF NEW ZEALAND CHRISTCHURCH REGISTRY
CIV-2013-409-1332 [2015] NZHC 204
BETWEEN
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D J AND J JARDEN
Plaintiffs
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AND
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THE EARTHQUAKE COMMISSION First Defendant
LUMLEY GENERAL INSURANCE (NZ) LIMITED
Second Defendant
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Hearing:
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18 February 2015
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Counsel:
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G D R Shand with A J D Ferguson for Plaintiffs
J Knight with N Bruce-Smith for First Defendant
A C Challis with K Rowe for Second Defendant
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Judgment:
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18 February 2015
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JUDGMENT OF THE HON JUSTICE KÓS (Pre-trial
applications)
[1] This judgment deals with three pre-trial issues. The case is
rostered for trial before me starting next Monday, 22
February 2015.
The three pre-trial issues concern the admissibility of evidence of two
plaintiffs’ witnesses, an application
that I recuse myself and an
application by the defendants for further particular discovery.
[2] This morning a memorandum was filed indicating that the plaintiffs and EQC
have now settled. Leave to discontinue has been sought. I will deal with
that in due course after hearing from counsel for
Lumley.
JARDEN v THE EARTHQUAKE COMMISSION & ANOR [2015] NZHC 204 [18 February 2015]
Admissibility issues
[3] On 20 January 2015 the defendants gave notice under r 9.11(2) that
there was an admissibility issue concerning two witness
statements exchanged by
the plaintiffs. Those are the statements of John Johnstone and Adrian
Cowie.
John Johnstone
[4] Three objections are taken to Mr Johnstone’s
evidence.
(a) First, that he is not an “expert” for the purposes of ss 4,
23 and 25 of
the Evidence Act 2006.
(b) That if Mr Johnstone is an expert, the Court is unlikely to obtain
“substantial help” from his opinions in ascertaining
facts of
consequence to the determination of the proceeding. That is an objection based
on s 25(1) of the Evidence Act 2006.
(c) That Mr Johnstone’s witness statement does not comply
with the Code of Conduct set out sch 4 of the High Court
Rules: fails to state
his qualifications or experience, that the issues he is addressing are within
his area of expertise, the facts
and assumptions his opinions are based on,
and details regarding material relied on to inform his opinion. The
statement
was thereby non-compliant with r 9.43, and by reason of that provision
and s 26 of the Evidence Act 2006 cannot be led.
[5] I will deal at once with the third objection. Mr Johnstone has prepared a supplementary witness statement. In it he sets out his qualifications and experience, states that the issues addressed in his statement are within his areas of expertise and sets out a series of factual observations on which his opinions are based. It does not, however, meet cl 3(f) of the Code which requires the witness to “specify any literature or other material used or relied on in support of the opinions expressed”. Mr Johnstone merely says at [2] of his statement that he has “read documents about
the house”. That is not compliant. However, if that omission is
corrected, the third objection will not stand.
[6] I turn now to the first objection. That is, that Mr Johnstone is not an expert for the purposes of ss 4, 23 and 25 of the Act. As the definition of “expert” in s 4 makes clear, the relevant specialised knowledge or skill may be based on experience rather than formal training or study.1 In this case Mr Johnstone deposes to no formal qualifications of relevance.2 Instead, he refers to his experience as an insurance broker between 1987 and 2009, and as a contract loss adjuster from 2010 to 2012.
He now describes himself as a “claims investigator”. In his
evidence he refers to “my general knowledge of construction,
mining and
engineering”. However, while general knowledge may form part of the
corpus of knowledge of an expert, it cannot
make a person holding that general
knowledge an expert in those areas. I accept however that Mr Johnstone has
expertise in loss
adjustment and claims investigation. Those are overlapping
vocations. To that extent, Mr Johnstone qualifies as an
“expert”
under the Act. I do not accept that Mr Johnstone
has demonstrated expertise beyond those disciplines, for instance in
construction and remediation of damaged buildings.
[7] I turn now to the second objection. To ascertain how Mr
Johnstone’s evidence might assist, if at all,
the issues for trial are
important. In Wylie J’s minute of 24 July 2014 the Judge recorded the
agreed issues for trial:
Fact:
(a) What is the nature and extent of the damage to the
plaintiffs’ residential building that is the direct result of
the
earthquakes in September 2010 and February 2011? In particular:
(i) whether the physical damage to the residential building that is the direct result of the earthquakes is able to be repaired or whether the building was rendered uneconomic to repair so that it was necessary
to rebuild (that is, a total loss); and
1 Shepherd v R [2011] NZCA 666, [2012] 2 NZLR 609 at [26].
2 He has qualifications as a psychiatric nurse.
(ii) if the residential building is a total loss, which earthquake event
caused the residential building to be a total loss.
(b) What reinstatement work is required to restore the residential
building to the standard required by the EQC Act and/or
the written policy of
insurance by which the second defendant insured the plaintiffs’
building?
(c) Subject to any right(s) the defendant(s) may have to carry out
reinstatement work rather than make payment, what is the
cost of repairing the
natural disaster damage, or alternatively, rebuilding the property if repair is
not economic?
Legal:
The following issues of law relate solely to EQC:
(d) Is EQC in breach of any of its insurance settlement obligations under
the
EQC Act in the respects pleaded?
(e) What relief (if any) are the plaintiffs entitled to from EQC? The following issues of law relate solely to Lumley:
(f) Is Lumley in breach of any of its insurance settlement obligations
under the policy of insurance?
(g) What relief (if any) are the plaintiffs entitled to from
Lumley?
[8] Mr Johnstone’s evidence, as I read it, is calculated to
respond to Issues (a)(i) and (a)(ii). This morning Mr
Ferguson confirmed
that those are the issues Mr Johnstone’s evidence addresses. In
essence his core conclusions are,
based on his observations:
(a) The frame of the house has suffered “frame racking” and “lost significant bracing”.
(b) The brick veneer cladding of the house has dislodged (and must be
removed and reinstated – including to enable the
house framing to be
checked for alignment).
(c) Gib linings have detached.
(d) The roofing has dislocated and flexed.
(e) The floor slab has been compromised, so that
professional engineering input is required.
[9] The plaintiffs are perfectly entitled to call Mr Johnstone to
describe apparent physical defects in the house. I accept
that is within his
available expertise as a loss adjuster and claims investigator. Mr
Johnstone’s evidence, as described,
does not provide me with substantial
help as to whether the damage identified is the direct result of the September
2010 and February
2011 earthquakes. It does not help me identify what must be
done to repair or rebuild the house to the standard required by the
EQC Act and
policy of insurance. It does not help me identify which earthquake event caused
the house to be a total loss (if indeed
it is a total loss). In fairness to Mr
Johnstone, however, his evidence is not intended to assist me in these
respects.
[10] In these circumstances I accept that Mr Johnstone may give evidence.
But he may not give the following evidence:
(a) The conclusion offered at [8] that the factual observations made
mean the house has suffered frame racking and lost significant
bracing.
(b) The conclusion at [16] that the house frame has flexed
and lost bracing.
(c) The conclusion at [16](2) that the cladding must be removed and reinstated.
Adrian Cowie
[11] Mr Cowie is a registered professional surveyor and licensed
cadastral surveyor. The defendants in their notice
accept that he is qualified
to give expert surveying evidence. But they say his brief provides comments and
conclusions that exceed
his study, training and experience as a surveyor. A
table is attached to the defendants’ memorandum setting out the particular
observations that they object to. A subsequent memorandum retracted one of the
objections made.
[12] The plaintiffs have provided a response on a paragraph-by-paragraph
basis. They have also provided a copy of Mr Cowie’s
curriculum vitae.
Amongst other things it indicates he is a member of the New Zealand
Society of Earthquake Engineering.
It is apparent from Mr Cowie’s CV
that his expertise and experience goes beyond simply measurement and spatial
science. He
has experience as a design consultant. He has designed pavements,
roading, sewerage and storm water laterals, and building floor
levels and
slabs. I accept that in his 28 years as a survey practitioner, Mr
Cowie would have developed a degree
of expertise (through experience) of
damage, causation and remediation. This has been significantly enhanced in the
work he
has done since September 2011 undertaking significant assignments in
relation to survey assessment of damaged buildings in Christchurch.
It is
apparent from his CV that he has undertaken much work of this kind
in conjunction with structural engineers.
While it is not immediately apparent
that that knowledge would be of the same order as that of a structural engineer
he will have
knowledge based on experience, going beyond his formal training and
qualifications, entitling him to give expert evidence on earthquake
damage
evaluation. The exact extent of his expertise and its relevance in the present
case is a matter requiring careful evaluation
at trial. That limits the extent
to which this Court should pre- emptively exclude his evidence on such
matters.
[13] I bear in mind that the jurisdiction to rule evidence inadmissible
in advance
of trial is to be exercised sparingly, and only where a witness’s
evidence has strayed
beyond the bounds of what is permissible.3 The
issue here is whether there are any
3 Parihoa Farms Ltd v Rodney District Council [2010] NZHC 630; (2010) 20 PRNZ 8 (HC); MacDonald v Tower
Insurance Ltd [2014] NZHC 2876 at [20].
sections of Mr Cowie’s evidence which patently exceed his available
expertise to
such an extent that pre-emptive exclusion may now be directed.
[14] In reviewing the passages to which objection is taken, I note that
many of them are based on Mr Cowie’s collaborative
experience as a
surveyor involved in earthquake damage investigation alongside structural
engineers. He is in most respects appropriately
careful in expressing his own
opinion. It is often expressed tentatively, noting the possibility of damage,
and indicating the need
for further analysis.
[15] Proceeding on this basis, there are only very limited respects in
which I am prepared pre-emptively to exclude the evidence
of Mr Cowie. They are
as follows:
(a) Cook Costello repair methodology recommendations, paragraph 4: I
accept the objection made by the defendants that this
paragraph concerns the
interpretation of the insurance policy, and is not an appropriate matter for Mr
Cowie to express a view on.
(b) Cook Costello repair methodology recommendations,
paragraph
8d(a): Again I accept this paragraph deals with policy wording
interpretation and is inappropriate in the evidence of an expert
surveyor.
(c) Opus report, paragraph 7.11: By consent this paragraph may
be
deleted from Mr Cowie’s evidence.
(d) Conclusion/recommendations for further investigation, paragraph
2-5: The opening sentence of this paragraph purports to
assess what is required
in terms of the insurance policy and EQC Act. Again, this is not an appropriate
matter for Mr Cowie to give
evidence on.
[16] With those exceptions the balance of Mr Cowie’s evidence may
be tendered
in evidence at trial. As I have already said, what weight is placed on the passages
objected to in light of such evidence as the defendants may call (and cross-
examination of Mr Cowie) remains to be seen at trial.
Recusal
[17] On 22 January 2015 the plaintiffs filed a memorandum which stated at
[8]:
The plaintiffs this week became aware that Justice Kos is the trial Judge.
The plaintiffs intend to address the court on this issue
shortly.
[18] At a telephone conference on 10 February 2015 that rather delphic
indication was enlarged upon. Mr Ferguson foreshadowed
an application that I
recuse myself as trial Judge. Given the imminence of trial, I gave directions
for the filing of a formal
application, a right of response and an opportunity
for parties to be heard. The application was filed on 13 February 2015 and
written
submissions in support were filed by the plaintiffs on 17 February 2015.
The defendants neither oppose nor consent to the application,
and abide the
Court’s decision.
[19] The essential ground given in the written submissions for recusal
is:
That a fair minded lay observer might reasonably apprehend that Kós J
might not bring an impartial mind to the resolution of
the question he is being
asked to decide by reason of his previous negative oral comments in Court
conferences and in Court minutes
about John Johnstone, Brian Staples and
documents produced by them and/or by Earthquake Services and
Staples-Can.
Two affidavits have been filed by Messrs Morris and Child, solicitors in the
firm acting for the plaintiffs who regularly appear in
the Earthquake
List.
[20] To a very substantial degree, those affidavits are verbatim
repetitions of affidavits sworn by Messrs Morris and
Child in a similar
application made in November 2014 that Wylie J recuse himself from hearing a
significant interlocutory application
in a case called Pearce v Tower
Insurance.4
[21] After hearing counsel this morning, I dismissed the application for
recusal. It is not appropriate that I give other than
brief reasons for my
doing so:
4 Pearce v Tower Insurance [2014] NZHC 2849.
(a) My reasons for dismissing the application are in all respects
identical to those given by Wylie J in [29] to [57] of his
decision.5
(b) Although the affidavit evidence refers to critical
observations regarding material sourced by Mr Staples and
others associated with
him, made in the course of case management in the Canterbury Earthquake List, no
evidence is being given by
Mr Staples or employees of Mr Staples in this
case.
(c) Mr Childs’ affidavit refers to the absence of any recollection by him of criticism of the “independence, impartiality or admissibility” of reports prepared by EQC, insurers, their employees and agents. However, with the exception I think of Mr Betts, and for the reasons given in the judgment of Matthews AJ in Deminico Trustee Ltd v Tower Insurance Ltd,6 neither Wylie J nor I have tended to question any report (whether for plaintiff or defendant) for want of independence of the author. In the case of Mr Betts, the question in
Deminico concerned disclosure of his interests. Mr Betts is not
giving evidence in this case. It is a reality of the Canterbury Earthquake
List
that fully independent experts are difficult to obtain. So long as
witnesses conform to the Code of Conduct for Expert
Witnesses set out in sch 4
of the High Court Rules, their independence is a matter going to weight rather
than admissibility.
(d) Reports by Mr Johnstone (and, indeed, by other experts) have been the subject of comment by Canterbury Earthquake List Judges. The context is important, however. All three Judges (that is, Miller, Wylie and Kós JJ) have consistently required, as a condition of the fast-track process in the List, that there is early exchange of expert reports, followed by conferral. A template for conferral has been developed and is widely used in the List. As soon as the conferral of experts has
occurred, there is a second conference at which cases are set down
for
6 Deminico Trustee Ltd v Tower Insurance Ltd [2014] NZHC 2657.
trial. The plaintiffs are then required to exchange their evidence
within six weeks of the second conference. For that reason,
and for that reason
alone, the List Judges have been emphasised to parties the importance of
“putting their best foot forward”
in the exchange of reports, and in
the conferral process. There simply will not be time, in almost all cases, to
change horses (experts)
after the conferral process. This is of particularly
acute importance to plaintiffs, because in almost all instances, and on almost
all issues, they bear the onus of proof. As a result, List Judges have made it
their business to review the reports that are provided
to the Court in
accordance with the pre-Issues Conference disclosure requirement. And then to
comment upon their adequacy for the
purposes of determining directions for
further reporting, and the timing of conferral, in anticipation of setting-down.
If the exhortation
to provide further or better reports has been uncomfortable
for some plaintiffs (or perhaps their counsel), one might perhaps
have
thought the only real cause for complaint would be from defendants facing better
quality reports for the plaintiffs.
(e) Finally, I need to deal with one point made by Mr Shand in
his submissions suggesting that I may have “personally
chose to hear the
application (sic)”. Presumably he means the trial. A similar
suggestion was made in Pearce.7 The short point, however,
is that both Brown J and I have been allocated a number of Christchurch trials
this year in order to assist
with the hearing work flow faced in the
Christchurch High Court. Which trials we sit on is determined by the Roster
Manager. Not
by the Judges.
[22] There being no sufficient grounds for recusal, and nothing to justify
departure from the earlier analysis of this Court in Pearce, the
application must be dismissed.
7 See at [57] of the judgment.
Discovery
[23] On 16 February 2015 the defendants filed an interlocutory
application for further and better discovery by the plaintiffs.
The
application incorporates a challenge to a claim to litigation privilege made by
Mr Jarden in his affidavit of documents. Three
categories of documents are
involved.
[24] First, there are the litigation privilege claims. At the moment the
documents are simply described as emails between certain
persons. A claim
to “litigation privilege” simpliciter is made. Section 56(2) of
the Evidence Act 2006 provides
for four different bases for litigation
privilege, and in some instances (but not others) it is not clear here which
applies. In
addition some of the documents in respect of which privilege is
claimed were written in 2012, whereas the present proceedings were
brought only
in July 2013. As the commentary to McGechan on Procedure, paragraph
8.16.05 makes clear, the basis for claim of privilege in relation to documents
listed in the second schedule
must be sufficiently described. Mr
Ferguson is to review the bases for privilege claimed, and the description of
documents,
and provide more detail in a memorandum, provision for which I make
in timetable directions to follow.
[25] Secondly, there are some recordings of conversations between Mr
Jarden and EQC representatives. Mr Jarden says in his affidavit
of documents
that these have been deleted. However, in an email dated 30 July 2012
he advised EQC that “Mr Brian
Staples of EQE now has a copy of this file
including the recording”. Mr Ferguson is to ascertain whether copies of
recordings
(or transcripts thereof) are held by Mr Staples. He has acted
previously as agent for Mr Jarden in these proceedings.
[26] Thirdly, there are documents said by the plaintiffs to be missing from Part 1 of the affidavit of documents. These are detailed in paragraphs 10 to 12 of an affidavit sworn by Mr Holt, dated 16 February 2015. It is accepted that exchanges between the Jardens and Mr Staples (and closely associated entities) that relate to the state of the Jardens’ house, or what is required to repair it, are relevant, and must be discovered. Mr Ferguson is to address this also in his memorandum.
Directions
[27] The following directions were made at the hearing on 18 February
2015:
(a) Mr Ferguson is to file his memorandum addressing the three areas of documentary controversy just discussed, by 5.00 pm, Wednesday
18 February 2015.
(b) Ms Challis, if she wishes to challenge Mr Ferguson’s response, is
to file a memorandum by 11.00 am, Thursday 19 February 2015.
(c) There will be a further telephone conference at 4.00 pm, Thursday
19 February 2015.
[28] In the event that the challenge to privilege is maintained, and to
the extent that I am satisfied that a sufficient case
has been made for review,
Associate Judge Osborne will review the documents on Friday morning. I do not
consider it appropriate
that the trial Judge do that exercise.
[29] The telephone conference on 19 February 2015 will also deal
with any remaining pre-trial
arrangements.
Stephen Kós J
Solicitors:
Grant Shand, Christchurch for Plaintiffs
Chapman Tripp, Wellington for First Defendant
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