In 2002, the Australian federal government
commissioned the Ipp report on negligence.
Against that background, this paper considers how litigiousness could be
restricted. It discusses the role of
the courts in limiting litigation and the role that the predictability of the
outcome of litigation plays in doing that.
It considers some aspects of recent developments in the law of negligence
and suggests four frameworks within which further developments may be
considered: incremental development,
unifying principle, intuitive or popular response, or recognition of separate,
competing values.
'Restricting Litigiousness' is a title for a paper that carries with it
a lot of baggage. 'Litigiousness'
suggests an eagerness to go to law or even a fondness for the process. Its resonances can be heard in the 17th
century example given in the definition of 'litigiousness' in the Oxford English Dictionary. In 1668, Sir William Davenant, said by some
to be the natural son of Shakespeare
wrote
'Farewell the happiness of the Nation when the populousness of the City argues
the litigiousness of the Country'.
Those resonances become louder when there is reference, as there has
been in Australia, in recent months and years, to a 'litigation explosion' and
to 'awards of excessive damages'.
These rhetorical devices, for that is all they are, must be looked at
with some care. What is meant when it
is said that there has been a 'litigation explosion'? Plainly it suggests that something untoward has happened, but
what exactly is it that causes concern about what has happened. When it is said that 'excessive' damages
have been awarded, against what standard are the damages awarded being judged? Is it said that some error of legal
principle has been made? Is it said
that, although proper legal principles have been applied, the cost is too heavy
for some other reason. What is that
reason? Or is the statement a
deliberate use of the advertiser's unstated comparison and to be understood as
a reference to 37% more protein, or less fat, or fewer cavities? More protein than what? Less fat than what? 'Excessive' by what measure?
In 2002 there was much debate in Australia about limiting one particular
kind of litigation claims for damages for negligently inflicted personal
injury. The Federal Government
appointed a panel of eminent persons to conduct a 'principles-based review of
the law of negligence' and that panel made its final report towards the end of
2002. Legislation has been proposed, or passed, in
several States which is legislation evidently intended to limit litigation of
the kind described.
Much of the debate to which I have referred took place in connection
with discussion of the cost of insuring against liabilities of this kind. The media spoke of a 'public liability
insurance crisis'. This discussion of
insurance questions took place against the background of the financial collapse
of a large Australian insurance group the HIH group of companies and public
debate about how such an event could occur.
Further, it was often couched in terms which referred to 'excessive
damages'. Excessive damages were said
to be both a cause of the 'insurance crisis' and a concern for those who may be
exposed to such claims.
Sometimes, those participating in the debate sought to look across the
Pacific Ocean towards the United States, and draw comparisons with some well
publicised civil litigation in that country.
There was, therefore, some reference to questions about class actions
and to contingency fees. All too often
however those comparisons, when they were drawn, did not direct attention to
relevant differences, or do much more than hint at the nature of the evils said
to be revealed by the comparison. If
comparisons are to be made with experiences in other jurisdictions it is
important to recognise relevant differences.
Only then is the comparison useful.
All aspects of the debates that I have identified generated political
controversy. Lawyers, and organisations
of lawyers, made their contributions to the debates. All this being so, why should a judge now
venture upon this subject of 'Restricting Litigiousness'? Is this not a matter now for the legislative
branch rather than the judicial branch?
There are many aspects of the debate which are matters for the
legislative branch. They include both
questions of policy and questions about how a chosen policy is to be
effected. Whether some rights of action
should be curtailed or abolished is, in the end, a matter to be determined by
the legislature. If some rights of
action are to be curtailed, it will be for the legislature to choose how that
is to be effected. It would be wholly
wrong for me to venture into that territory and I will not do so. But there are some issues of legal principle
to which reference should be made. It
is to those that I intend to direct my attention and to do so by particular
reference to some questions that arise in connection with actions for negligence.
Before doing that it is as well to state some obvious and well‑accepted
propositions about why we should want to restrict litigiousness. Restricting litigiousness, or at least
limiting the amount of contested litigation, must be one of the fundamental
aims of any developed legal system.
Anyone who has had direct experience of litigation knows all too well
the costs that it exacts from the participants. Those costs are not limited to time and money. The costs in time and money are real and
obvious, but the emotional cost of litigation for those who participate in it
is often equally pressing. Very few
relish the experience of litigation.
Few show or maintain an eagerness to go to law or a fondness for the
process. Often, the pendency of
litigation affects other activities. If
a business is sued, it may have to provide against the possibility of loss and
what is provided cannot be applied to other purposes. Pending litigation can therefore limit entirely unrelated
activities.
The costs of litigation are not borne by only the immediate participants
in the process. The provision of a
system of courts for the resolution of disputes between citizens, and between
citizens and the State, is a fundamental obligation of the government of any
society. The public enforcement of
laws, ultimately by the application of the power of the State must, therefore,
be effected by a State-organised justice system. In turn that requires the provision of judges, support staff,
courtrooms and all the other apparatus of a modern court system. That is expensive. It is a cost that falls on society as a whole, and society,
rightly, expects that the justice system will be conducted as efficiently as
possible.
Further, the burden of awards of damages will usually be borne, directly
or indirectly, by some part or parts of the wider society. The burden of awards is reflected in the
level of insurance premiums paid by all who are insured against certain kinds
of risk. The burden of awards is often
directly or indirectly passed on to consumers in the prices charged for goods
or services provided. These burdens can
be very large. It is for all these
reasons that I say that limiting litigation must be a fundamental aim of any
developed legal system. But saying that
the burden of awards of damages is 'too large' or 'excessive', presupposes that
some useful comparison is being made and that an 'acceptable' level of cost not
only can be but has been identified.
I emphasise the need for efficiency in the justice system in order to
draw attention to two quite different ways in which a proposal to restrict
litigiousness might be effected.
Litigation in aid of enforcing particular kinds of rights might be
limited by modifying, even abolishing, the right concerned. But that is not the only way to restrict the
amount of litigation that particular kinds of claim may generate. Litigation of a particular kind, at least
contested litigation of that kind, will also be reduced if the outcome of the
litigation is readily predictable and quickly obtained. The more predictable the outcome of
litigation, and the more efficient the processes by which that outcome can be
obtained, the more likely it is that rational and informed participants in the
process will compromise their dispute on terms that give effect to the
predicted outcome without resort to the courts, or at least without pursuing
the case to judgment.
Many aspects of court procedure must be understood in this light. General rules that the losing party pays
some or all of the costs of the successful party, court rules about offers of
compromise, statutory provisions for damages by way of interest, all find their
rationale in promoting the compromise of civil litigation. The close attention that has been given,
over at least the last 10 or 15 years, to improving the way in which civil
litigation is conducted in the courts is underpinned by the evident necessity
of making the judicial system more efficient.
These procedural changes are important tools for restricting
litigiousness. I do not seek to
diminish the importance that should be attached to them if I say no more about
them in this paper.
Of course, it is necessary to recognise that the uncertainties of
litigation cannot be eliminated entirely.
To be able to predict the outcome of a dispute about a factual matter it
is necessary to know what evidence each party will have available. Even if that is known, it is often difficult
to predict what evidence will prove to be more credible than evidence to the
contrary effect. Many of the recent
developments in civil procedure have been directed to preventing trial by
ambush and reducing the unpredictability to which I refer. As I say, the importance of this work should
not be underestimated. But for present
purposes I want to direct attention to considerations affecting the
predictability of decisions about applicable legal principle. It is convenient to do that by focusing on
negligence but the points to be made must be understood as having more general
application both to other fields of private law and in areas of public law as
well.
It may be thought that this is not a subject that bears directly upon
matters of recent controversy. After
all, are not the principles governing recovery of damages for negligently
inflicted personal injury reasonably well established? If there has been uncertainty about the
outcome of such litigation, has not that uncertainty stemmed from the
difficulty of predicting the outcome of a dispute about what happened, rather
than a difficulty about predicting the legal consequences that follow from the
facts once they are found?
The number of cases concerning claims for damages for negligently
inflicted personal injury which have come before the High Court of Australia
over the last 5 to 10 years suggests that the principles to be applied have
been undergoing some change. The index
to volumes 185 to 206 of the Commonwealth Law Reports, for the years 1995-2001,
lists 12 cases, under the heading 'Negligence', in which claims for damages for
negligently inflicted personal injury had been made. They have included cases about causation Chappel v Hart
and Rosenberg v Percival. More than half, however, have been cases
about duty of care Northern
Sandblasting Pty Ltd v Harris,
Romeo v Conservation Commission (NT),
Crimmins v Stevedoring Industry Finance
Committee, Agar v Hyde,
Jones v Bartlett,
Modbury Triangle Shopping Centre Pty Ltd
v Anzil as well as
the highways case, Brodie v Singleton
Shire Council. Since that index was published there have
been the decisions of the Court in the nervous shock cases Tame v New South Wales; Annetts v Australian
Stations Pty Ltd. The number of cases in the Court about duty
of care suggests that applicable principles continue to evolve.
Continued evolution of principle in a common law system is inevitable
and desirable. It is inevitable and
desirable because law reflects the society in which it operates and society
continues to change and develop. The
process of development of the common law has often been examined
and is a process which, I think, is well understood by those who have examined
the subject. But not all public debate
reflects an appreciation of the limits that are inherent in it. Nearly 50 years ago, Lord Radcliffe
described the common
law as 'a body of law which develops in process of time in response to the
developments of the society in which it rules'. As Gummow J pointed out in Wik Peoples v Queensland,
this suggests 'improvement by consensus ... continuity rather than
rupture'. But, as Gummow J went on
to say,
'Movement also may plainly be perceptible, and there may be an explicit change
of direction, where, in the perception of appellate courts, a previously
understood principle of the common law has become ill adapted to modern circumstances.' Sometimes, then, there will be perceptible
movements in the common law and there will be definite points at which the move
is significant. That is not to say,
however, that the judges are unconstrained in developing the common law. As Gaudron and McHugh JJ said in Breen v Williams:
'Advances in the common law must
begin from a baseline of accepted principle and proceed by conventional methods
of legal reasoning. Judges have no
authority to invent legal doctrine that distorts or does not extend or modify
accepted legal rules and principles.
Any changes in legal doctrine, brought about by judicial creativity,
must "fit" within the body of accepted rules and principles. The judges of Australia cannot, so to speak,
"make it up" as they go along.
It is a serious constitutional mistake to think that the common law
courts have authority "to provide a solvent"
for every social, political or economic problem. The role of the common law courts is a far more modest one.
In a democratic society, changes in
the law that cannot logically or analogically be related to existing common
rules and principles are the province of the legislature. From time to time it is necessary for the
common law courts to re‑formulate existing legal rules and principles to
take account of changing social conditions.
Less frequently, the courts may even reject the continuing operation of
an established rule or principle. But
such steps can be taken only when it can be seen that the "new" rule
or principle that has been created has been derived logically or analogically
from other legal principles, rules and institutions.'
These considerations have particular relevance in relation to the law of
negligence. Conventionally, the modern
law of negligence is traced to Lord Atkins' biblical allusion in Donoghue v Stevenson. For the last 70 years, common lawyers around
the world have sought to translate that biblical allusion, 'who is my
neighbour?', into principles of law sufficiently certain to make the operation
of the law workable and predictable. In
the last half of the 20th century the tort of negligence dominated the work of
the civil courts and its imperial march continues, in some cases now
supplemented by resort to statutes dealing with misleading or deceptive conduct. So effective has the march of negligence
been, however, that many lawyers tend to see all forms of damage as potentially
compensable through an action for negligence.
Some have become so mesmerised by this tort, that events which plainly
give rise to other causes of action are forced into a mould of negligence. No doubt there are many reasons why this is
so. I do not seek to explore them.
The elements of a cause of action for negligence duty, breach, damage
are elements which can be stated at a high level of abstraction. Did the plaintiff suffer damage as a result
of a breach of a duty to take reasonable care which was a duty which the
defendant owed to protect others against unreasonable risks? At each level of that inquiry, reference is
made to foreseeability and what it is reasonable to foresee. A duty of care is owed to those whom it is
reasonably foreseeable may suffer injury if reasonable care is not taken. What is reasonable care must be assessed by
asking whether a reasonable person would foresee that that person's conduct
involved a risk of injury to the plaintiff or to a class of persons including
the plaintiff. Risks which are not 'far‑fetched or
fanciful' are held to be real and therefore foreseeable. The damage for which the defendant is to be
held liable is damage that is not too remote and since The Wagon Mound
that too has been limited by reasonable foreseeability.
In hindsight there are few consequences which cannot be said to have
been reasonably foreseeable. It is,
after all, a very bold conclusion to say that something that has actually
happened could not have been foreseen as a possible outcome of the chain of
events which evidence demonstrates occurred. If an external observer directs attention
only to questions of reasonable foreseeability, and the general propositions
about duty, breach and damage are taken as the premises for argument, there
appear to be few limits to the availability of an action for negligence. It is only when the problem is examined more
carefully that the truth in Fleming's observations that 'it is misleading to
speak of a tort of negligence' and that '[n]egligence is a basis of liability
rather than a single nominate tort'
becomes apparent. Only then is it
apparent that much of the focus of the courts, over many years, has been on
limiting or control devices. For
present purposes, however, I want to focus not on the detail of these control
devices, but on one deep‑seated difficulty in the development of the law
of negligence which is a difficulty to which too little attention has sometimes
been paid. It is a difficulty which may
well be thought to lie beneath all of the control devices upon which the courts
have focused in recent years.
The difficulty to which I refer is that courts in Australia have not yet
succeeded in identifying a single principle unifying the development of the law
relating to negligence. The joint
reasons of the Court in Sullivan v Moody
pointed out that:
'As Professor Fleming said,
"no one has ever succeeded in capturing in any precise formula" a
comprehensive test for determining whether there exists, between two parties, a
relationship sufficiently proximate to give rise to a duty of care of the kind
necessary for actionable negligence.
The formula is not "proximity". Notwithstanding the centrality of that concept, for more than a
century, in this area of discourse, and despite some later decisions in this
Court in this area of discourse, and despite some later decisions in this Court
which emphasised that centrality,
it gives little practical guidance in determining whether a duty of care exists
in cases that are not analogous to cases in which a duty has been established. It expresses the nature of what is in issue,
and in that respect gives focus to the inquiry, but as an explanation of a
process of reasoning leading to a conclusion its utility is limited.'
Scholars have expressed the same view:
Professor Stapleton has said,
'There is no "test" for the duty of care. There can be no "duty test" given what it is that
judges do under the cloak of this analytical label.' Rather, Professor Stapleton suggests that some of the attempts
that have been made to develop tests or principles have served only to hide the
bases on which particular conclusions are reached. As she says:
'What is needed is the unmasking of
whatever specific factors in each individual case weighed with judges in their
determination of duty. ... Judgment should focus explicitly on why this
plaintiff is proximate, why the relationship was special, why reliance was
reasonable, and so on.'
In some common law jurisdictions,
but not in Australia,
the dominant approach to determining the existence of a duty of care in
negligence is now said to be whether it is 'fair just and reasonable' to find
that such a duty exists. Often, both in
Australia and elsewhere, reference is made to 'policy' considerations in
determining whether a duty of care should be found to exist. All too often, however, what makes a
particular conclusion 'fair just and reasonable' or what 'policy'
considerations are taken into account is not made perspicuously clear. Rather, a conclusion is asserted,
unaccompanied by an explicit dissection of the reasons that support it or the
'policies' to which effect is thus given.
As McHugh J pointed out in Perre
v Apand Pty Ltd:
'[A]ttractive as concepts of fairness and
justice may be in appellate courts, in law reform commissions, in the academy
and among legislators, in many cases they are of little use, if they are of any
use at all, to the practitioners and trial judges who must apply the law to
concrete facts arising from real life activities.'
Concepts of fairness and justice may be illuminated a little by
references to such notions as 'assumption of responsibility'
but labels like 'distributive justice'
or 'corrective justice'
do not readily reveal their content.
What recent debates about restricting litigiousness may serve to
demonstrate is that there may be no common agreement about the purposes that
are to be fulfilled by the law of negligence or about how the balance between
conflicting aspects of those purposes is to be struck. If there is agreement, it appears not to be
reflected in judicial or academic writing and it is certainly not reflected in
public debate.
Lord Atkins' resort to biblical analogy reveals that there appears to be
a moral dimension to the law of negligence.
Professor Stoljar described negligence as law's most patent experiment
in 'applied morality'. Negligence is an action based on fault. Has the law strayed too far from generally
accepted notions of fault? Some recent
legislation appears to
proceed from the premise that the rules have become too lax. If we accept that the action is properly
based in fault, it is inevitable that there are some persons who will suffer
injury and who will not be entitled to compensation because their injury is not
caused by the fault of another. It
seems that not all would see that as an acceptable conclusion.
No less importantly, if the action is based in fault, what role is duty
of care to play? Why should recovery
from those who were at fault be limited to only those to whom a duty is held to
have been owed? Why is the remedy not
available in any and every case in which a person suffers damage as a result of
another's failure to take reasonable care?
On an altogether different tack, if negligence is intended to foster
better loss distribution, why do the courts shut their eyes to whether parties
are insured? What role should fault
play in distributing the losses sustained by persons who were injured and, as a
result of their injury, by society at large?
Why should society bear the consequences of some injuries and not
others?
I am not to be taken as suggesting any particular answer to any of these
questions. I am, however, intending to
emphasise the need to consider the questions.
At least some are questions for legislators not lawyers. But lawyers must also look to some of these
questions because they affect the way in which legal principle should develop.
In that connection, it may be useful to identify the frameworks within
which such consideration might be given.
I will refer to four, but there may well be other ways in which the
problems can be examined. The first
approach is well known to the common law.
It focuses on incremental development by analogical reasoning. Frequent reference has been made to this
approach in connection with the law of negligence. Over recent years, much of the focus of
developments in the law of negligence has been related to various control
devices intended to limit those who may recover (e.g., 'proximity'), the
circumstances in which a plaintiff may recover (e.g., various aspects of the
nervous shock rules) or the persons against whom action may be brought (e.g.,
the highway rule). Incremental
development may be thought to offer a means by which principle can
develop. It may be said, however, that
incremental development presupposes the existence of some set of underlying
principles which will inform particular decisions about taking steps along a
path. If the latter view is right,
incrementalism does not develop principles; it presupposes their existence.
The second framework gives chief place to the identification of unifying
principles. But if those principles are
stated at the level of generality in which propositions about duty, breach and
damage are commonly stated, and if reasonable foreseeability is the chief
criterion being applied at each stage of inquiry, the imposition of other
control devices may be said to lack logical coherence. If the guiding principle is whether persons
and consequences were reasonably foreseeable, what justification is there for
imposing some further limitation restricting the application of that principle?
The third framework, which as I have said has been adopted in the United
Kingdom but rejected in Australia, is to ask what is 'fair just and
reasonable'. As I have already sought
to point out, 'fair just and reasonable' is a statement of conclusion not a
statement of the considerations that lead to the conclusion. It may indicate that the response is
intuitive rather than reasoned or that the response depends upon estimates of
the weight of public opinion. To put the matter another way, a losing
party draws little comfort from being told that the outcome is 'fair just and
reasonable' unless the considerations that have led to that conclusion have
been identified. Similarly, to say that
courts need to make a policy decision does no more than state the existence of
a problem; it gives no guidance on how to resolve it.
The last framework I offer assumes that there is no single unifying
principle that will inform the law of negligence. It assumes that those suffering injury as a result of careless
conduct will recover damages in some but not all circumstances. If that approach (an approach by category of
liability) is adopted it will be necessary to identify why some cases are
singled out for different treatment from others in which careless conduct has
caused damage. It assumes that there
are several considerations that bear on the ultimate question. If there are, they must be identified. If they are identified, it is likely,
probably inevitable, that they pull in opposite directions. If that is so, how is the conflict to be
resolved? Why is it to be resolved in
one sense rather than the other?
It is only if questions of this kind are asked and answered that the
difficulties we now confront will be resolved.
Only then will 'litigiousness' be 'restricted'. Further, only if we ask and answer questions
of this kind can the courts decide whether 'a previously understood principle
of the common law has become ill adapted to modern circumstances'
or whether it is necessary 'to re‑formulate existing legal rules and
principles to take account of changing social conditions'.
The steps I have identified are therefore important to the proper
development of the common law. Their
identification is no less important, some would say it is even more important,
for maintaining a proper balance between the legislative and judicial
functions.
Subject to applicable constitutional restraints, it will be the
legislatures of Australia which ultimately determine the course that is to be
taken in restricting litigiousness. It
will be for the parliaments to say what kinds of litigation are to be
restricted and how that restriction is to be effected. That is not to deny the importance of the
roles of the courts in promoting efficient and predictable disposition of
litigation. But if those legislatures
choose to modify, or even abolish, legal rights of a kind which those
legislatures consider give rise to too much litigation or litigation which is
costing too much, that, subject to applicable constitutional restraints, will
be a matter for them. If the debate
about such proposals is to be conducted rationally, it is of the first
importance not only that the reasoning which underpins particular legal
conclusions should be there for all to see and examine but also that beneath
the polemical rhetoric there can be seen to be a defined set of policy
objectives.
© The Hon. Justice Kenneth Hayne, AC 2003. These materials are subject to
copyright. No part may be reproduced,
adapted or communicated without the written consent of the copyright owner
except as permitted under applicable copyright law.