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Lai Yoke Ngan & Anor v Chin Teck Kwee & Anor
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[1997] 2 ML} Lai Yoke Ngan v Chin Teck Kwee 565
Lai Yoke Ngan & Anor v Chin Teck Kwee & Anor
FEDERAL COURT (KUALA LUMPUR) — CIVIL APPEAL NOS 02-669
AND 670 OF 1993
ANUAR CJ (MALAYA), MOHD AZMI FCJ AND GOPAL SRI RAM JCA
2 AND 5 MAY 1996
Civil Procedure — Judgment — Default judgment — Striking out — Claim for
specific relief — Plaintiffs did not serve statement of claim after service of writ —
Defendant did not enter appearance — Judgment in default of appearance entered —
Non-compliance with O 13 r 6(1) — Whether plaintiff relieved from delivering his
statement of claim — Whether default judgment was merely irregular or a nullity —
Whether defendant ought to be allowed to appear upon the motion for judgment to argue
that discretion ought not be exercised in plaintiffs’ favour — Whether default judgment
ought to be set aside — Rules of the High Court 1980 O 13 r 6(1) & O2r1())
Civil Procedure — Damages — Assessment of damages — Absence of judgment
granting damages — Whether judgment for the assessment of damages ought 10 be set
aside
Civil Procedure — Estoppel — Against the defendants for contesting the action —
Whether the defendants had by their conduct led the plaintiffs to believe that the action
will not be defended — Whether the plaintiffs were guilty of unconscionable conduct and
this had the effect of releasing the defendants from any estoppel — Whether the defendant
can now challenge the default judgment entered against them
Civil Procedure — Pleadings — Striking out writ — Whether writ ought to be struck
out — Rules of the High Court 1980 O 18 r 19
The appellants (‘the plaintiffs’) caused to be issued a writ against the
respondents (‘the defendants’) on which there was indorsed a claim
for several declarations and injunctions; there was also a claim for
damages. The plaintiffs subsequently moved ex parte for several
interim injunctions and the learned judge granted the interim relief
sought with a direction that the application be heard inter partes on
a fixed date. On 28 November 1991, when the summons was called
on for hearing, counsel for the plaintiffs informed the learned judge
that the first defendant’s solicitor had advised the first defendant not
to defend the action and that neither he nor his client would be
appearing at the hearing of the summons. The plaintiffs’ counsel
then moved the court for an order that the interim injunction be
made absolute against both the defendants. He also applied for an
order requiring the registrar to assess damages and the learned judge
granted the same.
Subsequently on 2 December 1991, the plaintiffs’ solicitors filed
a certificate of non-appearance, and entered a form of judgment in
default in which all the relief claimed in the indorsement to the writ
was granted (‘the judgment in default’).
On 28 January 1992, the defendants purported to enter
appearance. Thereafter on 31 January 1992, the defendants took out
a summons by which they sought to set aside only so much of the
order as directed on assessment of damages.566
Malayan Law Journal [1997] 2 MLJ
This was followed by a second summons dated 1 April 1992, by
which the defendants applied to have the writ struck out on the
ground that the indorsement upon it did not disclose any cause of
action. Subsequently, upon hearing both the summonses, the learned
judge set aside the whole of the judgment in default and he also
struck out the writ. The plaintiffs appealed against the orders, ie
setting aside the judgment in default (‘the first appeal’) and striking
out of the writ (‘the second appeal’). The plaintiffs argued, inter alia:
Gi) the learned judge was wrong in setting aside the whole of the
judgment, when the summons before him sought to set aside only so
much of the judgment that directed the assessment of damages; and
(i) it was not open to the defendants, having encouraged the plaintiffs
to believe that the action would not be contested, to challenge a
judgment entered in the proceedings, however irregular that judgment
might be. The defendants submitted that the judgment in default
was a nullity and therefore, the appearance entered on 28 January
1992 was good.
Held, dismissing the first appeal and allowing the second appeal:
(1) (Per Mohd Azmi FCJ) The discretion available to the court to
cure irregularities under O 2 r 1(1) of the Rules of the High
Court 1980 (‘the RHC’) read together with ss 69(4) and 101 of
the Courts of Judicature Act 1964 should only be undertaken by
the court in the absence of prejudice. Thus defects affecting
merits or the jurisdiction of the court ought not to be cured in
the exercise of the discretionary power.
On the facts, it was clear that the judgment in default (the
subject matter of the first appeal) was irregular for non-compliance
with the RHC — in particular Q 13 r 6(1) — by failing to serve
a statement of claim on the defendants. On this ground alone,
the entire judgment in default ought to be set aside. There can be
no dispute that the procedural irregularity in the failure to serve
the statement of claim on the defendants before the judgment in
default was entered, just as the order to assess damages in the
absence of judgment granting damages, had prejudiced the defendants
and therefore beyond curability (see p 575D-G); Nicholls v Nicholls
[1997] The Times, 21 January; 147 NL] 61 followed.
(Per Gopal Sri Ram JCA) A judgment in default of appearance
entered by a plaintiff or, for that matter, a counterclaiming
defendant, in breach of the terms of O 13 r 6(1) of the RHC may
be set aside ex debito justitae. In this case, there was no doubt
that the judgment in default obtained was fundamentally flawed.
Although a court may grant leave to enter judgment in disregard
of the provisions of O 131 6(1) to prevent a defendant from
abusing the court’s process by resorting to that rule, there was no
room to apply that principle in the present case.
‘The philosophy underlying O 13 r 6(1) of the RHC is that
specific relief is, by its very nature, discretionary. A defendant
@[1997] 2 ML} Lai Yoke Ngan v Chin Teck Kwee 567
(3)
@
may well decide not to defend an action in which such relief is
claimed in the honest belief that he has no defence upon question
of liability. But that does not relieve the plaintiff from delivering
his statement of claim and satisfying the court, upon a motion for
judgment, that the case is a fit one for the grant of specific relief.
‘Therefore, a defendant who has failed to enter an appearance
to an action for specific relief is not precluded from contending
at the hearing of the motion for judgment that the particular case
is one in which discretion should be exercised against the plaintiff
and that specific relief ought to be denied him. Order 13 r 6(1)
exists to preserve the discretion of the court in actions for specific
relief despite the non-appearance of a defendant. To deprive a
defendant of the right of appearing upon the motion for judgment
and arguing that discretion ought to be exercised in a plaintiff's
favour constitutes a breach of a substantive right forming part
and parcel of the doctrine of procedural fairness to which he is
entitled. And the entry of a form of judgment in default in a case
to which O 13 r 6(1) applies has the effect of withholding, from
a defendant, without the court’s sanction, the procedural fairness
to which he is entitled (see pp 581E-F, I and 582B-G); Lam
Kong Co Lid v Thong Guan & Co (Pte) Ltd [1985] 2 MLJ 429
followed; Stewart Chartering Ltd v C & O Managements SA & Ors
[1980] 1 AI ER 718 and Jer West Ltd & Anor v Haddican & Ors
[1992] 1 WLR 487 distinguished.
(Per Gopal Sri Ram JCA) This was a case in which the plaintiffs
had absolutely no right whatsoever to obtain an order for the
assessment of damages as there was no judgment for damages
against the defendants on 28 November 1991. It is elementary
law that there can be no assessment of damages in the absence of
a judgment granting damages. Such a judgment did not come
until 2 December 1991. The judgment for the assessment of
damages was found in a judgment in which was flawed in other
respects. The learned judge was therefore perfectly entitled, in
the interests of justice, to take cognizance of the breach of
O 13 r 6(1) and to set aside the whole of the offending judgment
(see pp 582I and 583A-B).
(Per Gopal Sri Ram JCA) In the context of litigation, the
doctrine of estoppel usually arises where a party to an action has.
at least two alternatives and mutually exclusive courses open to
him if by words or conduct he elects to pursue one of them and
thereby leads his opponent to believe that he has abandoned the
other; he may, if the circumstances so warrant, be precluded
from later changing course. The plaintiffs in this case were guilty
of unconscionable conduct and this had the effect of releasing
the defendants from any estoppel that might have held them in
its grip. Once thus released, the parties were placed on an equal
footing viz-a-viz the litigation. Thereafter, it was open to the
defendants to pursue any and all courses made available to them568
Malayan Law Journal [1997] 2 ML}
by adjectival law to rid themselves of the offending judgment.
Therefore, the learned judge was correct in setting aside the
whole of the judgment in default obtained by the plaintiffs on
2 December 1991 (see pp 583D and 586H-D).
(5) (Per Gopal Sri Ram JCA) There is no dearth of authority
dealing with the approach that a court should take when exercising
its summary jurisdiction under O 18 r 19. The unanimous view
is that the summary power ought not to be invoked save in a
plain and obvious case. An examination of the record provided
demonstrated that this was not such a case. There were several
issues of law that required mature consideration. And there were
several issues of fact that were capable of resolution only after
taking viva voce evidence. There was therefore no justification
for striking out the writ in this case (see p 588G-1; Bandar Builder
Sdn Bhd & Ors v United Malayan Banking Bhd [1993] 3 MLJ 36
followed.
Obiter:
(Per Gopal Sri Ram JCA) Orders and judgments made or entered
by such a court, in private litigation, in the exercise of its coercive
power upon the default of a party to a suit, even when made or
entered in breach of a rule of court or of practice, are merely irregular.
‘They are not nullities. Any proceedings commenced, or any order or
judgment obtained, in breach of a rule of court is always subject to
the curative power of the court available under O 2 r 1 of the RHC.
‘The proper approach is for a court to accept that a breach of a
rule of court renders the particular proceeding irregular with a power
in the court to excuse the non-compliance. That power is to be
exercised judicially having regard to the substantial merits of a case
and having particular regard to the interests of justice. Ultimately, it
is the objective perception of a court as to where the justice in a
particular case lies that determines whether the irregularity should be
cured. Therefore, it was not open to the defendants in this case to
treat themselves as not being bound by the default judgment of
2 December 1991 (see pp 578B-G and 579A); Metroinvest Ansalt v
Commercial Union Assurance Co Lid [1985] 2 All ER 318 followed.
[Bahasa Malaysia summary
Perayu-perayu (‘plaintif-plainti?) menyebabkan suatu writ dikeluarkan
tethadap penentang-penentang (‘defendan-defendan’) di mana
tuntutan untuk beberapa perisytiharan dan injunksi diindorskan;
terdapat juga satu tuntutan untuk ganti rugi. Plaintif-plaintif selanjutnya
memohon secara ex parte untuk beberapa injunksi interim dan hakim
yang arif memberikan relief interim yang dipohon dengan arahan
supaya permohonan didengar secara inter partes pada tarikh yang
ditetapkan. Pada 28 November 1991, apabila saman dipanggil untuk
pembicaraan, peguam plaintif-plaintif memberitahu hakim yang arif
bahawa peguamcara defendan pertama telah menasihati defendan[1997] 2 MLJ Lai Yoke Ngan v Chin Teck Kwee 569
pertama supaya tidak membela tindakan itu dan bahawa baik beliau
sendiri mahupun Kliennya tidak akan hadir di pembicaraan saman.
Peguam plaintif-plaintif kemudiannya memohon kepada mahkamah
untuk satu perintah bahawa injunksi interim dijadikan mutlak terhadap
kedua-dua defendan. Beliau juga memohon untuk satu perintah
yang menghendaki pendaftar menaksir ganti rugi dan hakim yang
arif membenarkan permohonan ini.
Berikutnya pada 2 Disember 1991, peguamcara plaintif-plaintif
memfailkan satu sijil ketidakhadiran, dan memasukkan borang
penghakiman ingkar dalam mana kesemua relief yang dituntut dalam
pengindorsan kepada writ diberikan (‘penghakiman ingkar’).
Pada 28 Januari 1992, defendan-defendan kononnya memasukkan
kehadiran. Selepas ini pada 31 Januari 1992, defendan-defendan
telah mengambil saman yang meminta supaya bahagian perintah
seperti yang diarahkan atas taksiran ganti rugi diketepikan.
Ini disusuli oleh saman yang kedua bertarikh 1 April 1992, di
mana defendan-defendan memohon agar writ dibatalkan atas alasan
bahawa pengindorsan padanya tidak mendedahkan sebarang kausa
tindakan. Berikutnya, selepas mendengar kedua-dua saman, hakim
yang arif mengetepikan keseluruhan penghakiman ingkar dan beliau
juga membatalkan writ. Plaintif-plaintif merayu terhadap perintah-
perintah, iaitu mengetepikan penghakiman ingkar (“rayuan pertama’)
dan membatalkan writ (‘rayuan kedua’). Plaintif-plaintif berhujah,
antara lain: (i) hakim yang arif adalah salah dalam mengetepikan
keseluruhan penghakiman apabila saman di hadapannya hanya
memohon agar bahagian penghakiman yang mengarah taksiran ganti
rugi diketepikan; dan (ii) ia tidak terbuka kepada defendan-defendan,
selepas menggalakkan plaintif-plaintif mempercayai bahawa tindakan
itu tidak akan ditentang, untuk mencabar suatu penghakiman yang
dimasukkan dalam prosiding, walau bagaimana luar aturan pun
penghakiman itu, Defendan-defendan berhujah bahawa penghakiman
ingkar adalah suatu pembatalan dan dengan itu, kehadiran yang
dimasukkan pada 28 Januari 1992 adalah elok.
Diputuskan, menolak rayuan pertama dan membenarkan rayuan
kedua:
(1) (Oleh Mohd Azmi HMP) Budi bicara yang boleh digunakan
oleh mahkamah bagi membetulkan luar aturan di bawah A 2
k 1(1) Kaedah-Kaedah Mahkamah Tinggi 1980 ((KMT”) dibaca
bersama dengan ss 69(4) dan 101 Akta Mahkamah Kehakiman
1964 hanya patut dijalankan oleh mahkamah dalam ketiadaan
prasangka. Justeru itu kecacatan yang menjejaskan merit atau
bidang kuasa mahkamah tidak patut dibetulkan dalam
pelaksanaan kuasa budi bicara.
Atas fakta-fakta, adalah jelas bahawa penghakiman ingkar
(perkara subjek rayuan pertama) adalah luar aturan atas
ketidakpatuhan KMT, khususnya A 13 k 6(1), kerana gagal
menyampaikan pernyataan tuntatan kepada defendan-defendan.Malayan Law Journal [1997] 2 ML
Atas alasan ini sahaja, keseluruhan penghakiman ingkar patut
diketepikan. Tidak boleh dipertikaikan bahawa luar aturan secara
prosedur dalam kegagalan menyampaikan pernyataan tuntutan
kepada defendan-defendan sebelum penghakiman ingkar
dimasukkan, seperti mana dengan perintah untuk menaksir ganti
rugi dalam ketiadaan penghakiman yang memberikan ganti rugi,
telah memudaratkan defendan-defendan dan dengan itu ia tidak
dapat dibetulkan (lihat ms 575D-G); Nicholls v Nicholls [1997]
The Times, 21 Januari; 147 NLJ 61 diikut.
(2) (Oleh Gopal Sri Ram HMR) Penghakiman ingkar kehadiran
yang dimasukkan oleh plaintif, atau defendan yang menuntut
balas, yang melanggar terma A 13 k 6(1) KMT boleh diketepikan
secara ex debito justitae. Dalam kes ini, tiada keraguan bahawa
penghakiman ingkar yang diperolehi adalah cacat pada dasarnya.
Walaupun mahkamah boleh memberikan kebenaran untuk
memasukkan penghakiman tanpa mengendahkan peruntukan
A 13 k 6(1) bagi menghalang defendan daripada menyalahgunakan
proses mahkamah dengan menggunakan kaedah itu, tiada ruang
untuk memakai prinsip tersebut dalam kes ini.
Falsafah di bawah A 13 k 6(1) KMT ialah bahawa relief
spesifik adalah, atas sifamya sendiri, berdasarkan budi bicara.
Seseorang defendan mungkin tidak akan membela sesuatu tindakan
dalam mana relief sedemikian dituntut dalam kepercayaan jujur
bahawa dia tidak mempunyai sebarang pembelaan atas persoalan
liabiliti. Tetapi itu tidak melepaskan plaintif daripada
menyampaikan pernyataan tuntutannya dan memuaskan
mahkamah, pada suatu usul untuk penghakiman, bahawa kes itu
adalah kes di mana relief spesifik wajar diberikan.
Maka, defendan yang telah gagal memasukkan kehadiran
kepada tindakan untuk relief spesifik tidak dihalang daripada
menghujahkan di pembicaraan usul untuk penghakiman bahawa
kes berkenaan adalah suatu kes di mana budi bicara harus
dilaksanakan terhadap plaintif dan bahawa relief spesifik harus
dinafikan kepadanya. Aturan 13 k 6(1) wujud bagi mengekalkan.
budi bicara dalam tindakan untuk relief spesifik meskipun
defendan tidak hadir. Melucutkan hak defendan untuk hadir di
usul untuk penghakiman dan menghujahkan bahawa budi bicara
patut dilaksanakan memihak kepada plaintif merupakan suatu
kemungkiran hak substantif yang membentuk sebahagian daripada
doktrin keadilan prosedur yang dia berhak dapat. Dan kemasukan
borang penghakiman ingkar dalam kes kepada mana A 13 k 6(1)
terpakai mempunyai kesan menahan keadilan prosedur seorang
defendan berhak mendapat tanpa kebenaran mahkamah (lihat
ms 581E-F, I dan 582B-G); Lam Kong Co Ltd v Thong Guan &
Co (Pte) Ltd [1985] 2 ML] 429 diikut; Stewart Chartering Lid v
C & O Managements SA & Ors [1980] 1 All ER 718 dan Jer West
Lid & Anor v Haddican & Ors [1992] 1 WLR 487 dibeza.[1997] 2 MLJ Lai Yoke Ngan v Chin Teck Kwee sm
(3) (Oleh Gopal Sri Ram HMR) Ini merupakan suatu kes dalam
mana plaintif-plaintif tidak mempunyai apa-apa hak sama sekali
untuk mendapatkan perintah taksiran oleh kerana tiada
penghakiman untuk ganti rugi terhadap defendan-defendan pada
28 November 1991. Adalah undang-undang asas bahawa tidak
boleh terdapat taksiran ganti rugi dalam ketiadaan penghakiman
yang memberikan ganti rugi. Tiada penghakiman demikian
sehingga 2 Disember 1991. Penghakiman untuk taksiran ganti
rugi didapati dalam penghakiman yang tidak elok dalam beberapa
segi. Oleh itu, hakim yang arif memang berhak, dalam kepentingan
keadilan, untuk mengambil perhatian tentang kemungkiran
A 13 k 6(1) dan untuk mengetepikan kesemua penghakiman yang
silap (lihat ms 582I dan 583A-B).
(4) (Oleh Gopal Sri Ram HMR) Dalam konteks litigasi, doktrin
estopel biasanya timbul di mana sesuatu pihak kepada tindakan
mempunyai sekurang-kurangnya dua alternatif dan cara saling
eksklusif yang terbuka kepadanya jika dengan perkataan atau
tingkahlaku dia memilih untuk menggunakan salah satu dan
dengan itu membuat penentangnya mempercayai bahawa dia
telah meninggalkan yang lagi satu; dia boleh, jika keadaan
memerlukan begitu, dihalang daripada menukar haluan
kemudiannya. Plaintif-plaintif dalam kes ini bersalah atas kelakuan
yang tidak berpatutan dan ini mempunyai kesan membebaskan
defendan-defendan daripada sebarang estopel yang mungkin telah
mengawal mereka. Sebaik sahaja dilepaskan, pihak-pihak
diletakkan dalam kedudukan yang sama berhubung dengan
litigasi. Selepas itu, ia terbuka kepada defendan-defendan untuk
menggunakan mana-mana dan kesemua cara yang disediakan
oleh undang-undang adjektif bagi melepaskan diri daripada
penghakiman yang silap itu. Maka, hakim yang arif adalah betul
dalam mengetepikan keseluruhan penghakiman ingkar yang
didapatkan oleh plaintif-plaintif pada 2 Disember 1991 (lihat
ms 583D dan 586H-D). .
(5) (Oleh Gopal Sri Ram HMR) Tiada kekurangan autoriti yang
membincangkan pendekatan yang harus diambil oleh sebuah
mahkamah ketika melaksanakan bidang kuasa terus di bawah A 18
k 19. Pandangan sebulat suara adalah bahawa kuasa terus tidak
patut digunakan kecuali dalam kes yang jelas dan nyata. Pemeriksaan
rekod yang disediakan menunjukkan bahawa ini bukanlah kes
sedemikian. Terdapat beberapa isu undang-undang yang
memerlukan pertimbangan serius. Dan terdapat beberapa isu
fakta yang boleh diselesaikan hanya selepas mengambil keterangan
viva voce. Dengan itu, tiada justifikasi untuk membatalkan writ
dalam kes ini (lihat ms 588G-D; Bandar Builder Sdn Bhd & Ors v
United Malayan Banking Bhd [1993] 3 MLJ 36 diikut.
Obiter:
(Oleh Gopal Sri Ram HMR) Perintah dan penghakiman yang
dibuat atau dimasukkan oleh mahkamah begitu, dalam litigasi572
Malayan Law Journal [1997] 2 MLJ
persendirian, dalam pelaksanaan kuasa memaksanya atas keingkaran
suatu pihak kepada sesuatu guaman, jikapun dibuat atau dimasukkan
melanggar kaedah mahkamah atau amalan, adalah semata-mata luar
aturan, Mereka bukanlah pembatalan. Apa-apa prosiding yang
dimulakan, atau apa-apa perintah atau penghakiman yang diperolehi
yang memungkir kaedah mahkamah adalah selalu tertakluk kepada
kuasa kuratif mahkamah yang boleh didapati di bawah A 2k 1 KMT.
Pendekatan yang betul adalah untuk mahkamah menerima
bahawa suatu kemungkiran kaedah mahkamah menyebabkan
prosiding berkenaan luar aturan dengan kuasa dalam mahkamah
untuk memaafkan ketidakpatuhan. Kuasa itu harus dilaksanakan
secara adil dengan mengambil kira sebahagian besar merit sesuatu
kes dan dengan menitikberatkan kepentingan keadilan. Pada asasnya,
ia merupakan tanggapan objektif sesebuah mahkamah di mana
terletaknya keadilan sesuatu kes tertentu yang menentukan sama ada
luar aturan harus dibetulkan. Oleh yang demikian, ia tidak terbuka
kepada defendan-defendan dalam kes ini untuk menganggap diri
mereka sebagai tidak diikat oleh penghakiman ingkar bertarikh
2 Disember 1991 (lihat ms 578B-G dan 579A); Metroinvest Ansalt v
Commercial Union Assurance Co Lid [1985] 2 All ER 318 diikut.]
Notes
For cases on judgment in default, see 2 Mallal’s Digest (4th Ed,
1994 Reissue) paras 1849-1868.
For cases on damages, see 2 Mallal’s Digest (4th Ed, 1994 Reissue)
paras 1097-1103.
For cases on estoppel, see 2 Mallal’s Digest (4th Ed, 1994 Reissue)
paras 1208-1245.
For cases on striking out a writ, see 2 Mallal’s Digest (4th Ed,
1994 Reissue) paras 2749-2753.
Cases referred to :
Bandar Builder Sdn Bhd & Ors v United Malayan Banking Bhd (1993]
3 MLJ 36 (folld)
Boustead Trading (1985) Sdn Bhd v Arab-Malaysian Merchant Bank
Bhd [1995] 3 MLJ 331 (refd)
Bramblevale Lid, Re {1970] Ch 128 (refd)
Evans v Bardlam [1937] AC 473 (refd)
Fira Development Sdn Bhd » Goldwin Sdn Bhd 1989] 1 ML] 40 (cefd)
Jet West Ltd & Anor v Haddican & Ors [1992] 1 WLR 487 (distd)
‘Lam Kong Co Lid v Thong Guan & Co (Pre) Ltd [1985] 2 MLJ 429
(folld)
Langdale & Anor v Danby [1982] 1 WLR 1123 (refd)
Lim Hean Pin v Thean Seng Co Sdn Bhd [1992] 2 ML] 10 (ref)
Meng Leong Development Pre Lid v Jip Hong Trading Co Pre Lid [1985]
1 MIJ 7 (refd)
Merroinvest Ansalt & Ors v Commercial Union Assurance Co Lid [1985]
2 All ER 318 (fold)Lai Yoke Ngan v Chin Teck Kwee
[1997] 2 ML} (Mohd Azmi FCJ) 573
Nicholls v Nicholls [1997] The Times, 21 January; 147 NLJ 61 (folld)
Norwich Pharmacal Co & Ors v Customs and Excise commissioners
[1974] AC 133 (refd)
Stewart Chartering Lid » C & O Managements SA & Ors [1980]
1 AN ER 718 (distd)
Wee Choo Keong » MBf Holdings Bhd & Anor [1993] 2 MLJ 217 (refd)
Legislation referred to
Administration of Justice Act 1960 s 13(3)
Rules of the High Court 1980 O 2r 1(1), 0 1318, O 29 r 1(2B)
Rules of the Supreme Court O 59 r 10(3) [Eng]
Appeal from: Civil Suit No 22-153 of 1991 (High Court, Seremban)
CV Das (Pretam Singh with him) (Stanley Ponniah Ng & Soo) for the
appellants.
Lim Kem Thuan (Lim Kem Thuan & Co) for the respondents.
5 May 1997
Mohd Azmi FCJ: On 22 April 1996, this court had unanimously dismissed
the plaintiffs’ first appeal against an order of the High Court at Seremban
dated 23 October 1993 which had set aside a judgment in default of
appearance obtained by them against the defendants on 2 December 1991
(FCCA 02-669-1993) but had allowed their second appeal (FCCA 02-
670-1993) against another order made in the same proceedings for the
striking out of their entire writ under O 18 r 19 of the Rules of the High
Court 1980 (‘the RHC’) in addition to the setting aside of the default
judgment.
‘The subject matter in these appeals concerned a family dispute over
the ownership and management of a sawmill in Tampin, which the plaintiffs,
as administrators of the estate of Chin Sam Seong @ Chan Sam Seong,
claimed to be part of the deceased’s estate, and therefore unlawfully
managed by the defendants. The plaintiffs had filed on 9 November 1991
a writ of summons against the defendants without a statement of claim,
but with the prayers for declaratory reliefs, injunction and damages
endorsed. Apart from the default judgment, there was also an order made
to assess damages although there was no existing order granting damages
to the plaintiffs.
‘The principle of setting aside a default judgment under O 13 r 8 has
been well established and needs no detailed repetition. What is important
to observe is that a default judgment is not a judgment on the merits.
Accordingly, when such judgment is obtained irregularly, such irregularity
would be a sufficient ground by itself for setting it aside. But where the
default judgment has been obtained regularly, in order to succeed, the
defendant must file an affidavit of merits, ie the defendant must disclose
by affidavit evidence that prima facie he has a defence on the merits. Put
in another way, the affidavit must disclose that he has an arguable or574 ‘Malayan Law Journal [1997] 2 MLJ
triable issue on the merits (see Evans v Bartlam [1937] AC 473). The
following judgment of Lee Hun Hoe CJ in Fira Development Sdn Bhd v
Goldwin Sdn Bhd [1989] 1 MLJ 40 at p 41 is also instructive:
Where judgment is entered on the failure of a defendant to take any of the
procedural steps laid down under the Rules of the High Court 1980, the
court has an absolute discretion to set aside the judgment, if necessary, on
terms and allow the case to be heard on the merits. Lord Atkin stated clearly
the principles in which the court should act in Evans v Bartlam [1937] AC
473 in these words:
“.. The principle obviously is that unless and until the court has
pronounced a judgment upon the merits or by consent, it is to have the
power to revoke the expression of its coercive power where that has
only been obtained by a failure to follow any of the rules of procedure.”
In the instant case, the learned judge did not consider the judgment to be
irregular. The Mallal’s Supreme Court Practice (2nd Ed) (Vol 1) at p 84
explains the position where the judgment is regular thus:
‘The discretion will only be exercised if the affidavit supporting the
application to set aside discloses facts showing a defence on the merits;
or for some very sufficient reason: Bank Bumiputra Malaysia Bhd v
Majlis Amanah Ra’ayat [1979] 1 ML] 23; Farden v Richter (1889)
23 QBD 124.”
A defence on the merits means merely raising only an arguable or triable
issue, eg contributory negligence in a running down case in White » Weston
[1968] 2 QB 647. A judgment in default is not a judgment on the merits:
L Oppenheim & Co v Mahomed Haneef [1922] 1 AC 482.
Although under O 2 r 1(1) of the Rules of the High Court 1980, non-
compliance with the rules of procedure is to be regarded as mere irregularity
and not a nullity, the court, like any other discretionary powers, must
exercise its discretion to cure such procedural irregularity on correct
principle. The proper approach that should be adopted on curability
should be on the basis of the principle laid down recently by Lord Woolf MR
in Nicholls v Nicholls [1997} The Times, 21 January; 147 NLJ 61 on the
exercise of the discretion conferred by the English RSC O 59 r 10(3) and
s 13(3) of the Administration of Justice Act 1960:
T have cited extensively from the previous authorities to indicate that they
show no common pattern of approach. The later cases do however make it
clear that it is now recognized that O 59 r 10(3) and s 13(3) of the 1960 Act
do give a court the power to rectify procedural defects both in the procedure
leading up to the making of the committal order and after a committal order
has been made. Like any other discretion, the discretion provided by the
statutory provisions, must be exercised in a way which in all the circumstances
best reflects the requirements of justice. In determining this, the court must
not only take into account the interests of the contemnor but also the
interests of the other parties and the interests of upholding the reputation of
civil justice in general. Today, it is no longer appropriate to regard an order
for committal as being no more than a form of execution available to
another party against an alleged contemnor.
‘The court itself has a very substantial interest in seeing that its orders are
upheld. If committal orders are to be set aside on purely technical groundLai Yoke Ngan v Chin Teck Kwee
[1997] 2 MLJ (Mohd Azmi FC) 575
which have nothing to do with the justice of the case, then this has the effect
of undermining the system of justice and the credibility of the court orders.
While the procedural requirements in relation to applications to commit
and committal orders are there to be obeyed and to protect the contemnor,
if there is non-compliance with the requirements which does not prejudice
the contemnor, to set aside the order purely on the grounds of technicality
is contrary to the interests of justice. As long as the order made by the judge
was a valid order, the approach of this court will be to uphold the order in
the absence of any prejudice or injustice to the contemnor as a consequence
of doing so.
In the future therefore it should not be necessary to revisit the authorities
prior to the decision in M v P Butler and Butler. It should be tecognized that
© 591 10 and s 13(3) of the 1960 Act give the court a discretion which they
are required to exercise. To decline to exercise that discretion because of a
technical error in the notice of application to commit or the committal order
itself, in the absence of any prejudice, is to derogate from that discretion.
On the basis of the above principle, the discretion available to this court to.
cure irregularities under O 2 r 1(1) of the RHC read together with s 69(4)
of the Courts of Judicature Act 1964 [the equivalent of the English O 59
r 10(3)] and as well as s 101 of the same Act which allows this court to
discount ‘any error, defect or irregularity whether in the decision or
otherwise, not affecting the merits or the jurisdiction of the court’, should
only be undertaken by the court in the absence of prejudice. Thus defects
affecting merits or the jurisdiction of the court ought not to be cured, in
the exercise of the discretionary power.
Applying the above principle to the facts of these appeals, it is clear
that the default judgment (the subject matter of the first appeal) is irregular
for non-compliance with the RHC, in particular O 13 r 6(1), by failing to
serve a statement of claim on the defendants. On this ground alone, the
learned judge was correct in setting aside the entire default judgment.
There can be no dispute that the procedural irregularity in the failure to
serve the statement of claim on the defendants before the default judgment
was entered, just as the order to assess damages in the absence of judgment
granting damages, had prejudiced the defendants and therefore beyond
curability.
In my view, in dismissing the first appeal, there is no real necessity in
castigating counsel for the appellants for entering appearance without
leave about two months after the default judgment was entered. The
question of leave under O 12 r 5(a) was not an issue and never argued in
the High Court. It was raised for the first time in this court, and counsel
for the appellants had unwittingly in answer to questions by the court said
the judgment of 2 December 1991 was a nullity which could not be so in
view of the provisions in O 2r 1 of the RHC. But a judgment or order may
of course be a nullity in a very limited number of cases, for instance where
there is lack of jurisdiction as envisaged by s 101 of the Courts of Judicature
Act 1964, not because of any defects in the rules of procedure, but because
the court itself has acted in excess or without jurisdiction. Further, the
disappearance of the distinction between nullity and irregularity of judgment
or order relates only to O 2r 1(1) of the RHC, and not for non-compliance376 Malayan Law Journal [1997] 2 MLJ
with the provisions of any other law including the Constitution. In any
event, the very fact that the application to set aside was made by the
appellants indicated that they could not seriously claim that they were
never at any time bound by the default judgment.
On the second appeal I have had the advantage of reading the
judgment in draft of my learned brother Gopal Sri Ram JCA, and I agree
entirely with his reasons for allowing the appeal against the unjustified
striking out of the appellants’ writ, purely because of the setting aside of
the default judgment. I fully agree that the striking out order was completely
against all principles governing O 18 r 19 of the RHC. The writ as well as
the order of injunction against the respondents should accordingly be
reinstated.
2 May 1997
Gopal Sri Ram JCA: These two appeals arise from two orders made in
the same suit filed in the Seremban High Court. The appellants in both
appeals were the plaintiffs in the original action, while the respondents
were the defendants. For convenience, I will refer to the parties
according to the title assigned to them respectively in the court below.
Appeal No 669/93 (which we will throughout this judgment refer to as
‘the first appeal’) is in respect of the order of the learned judge setting
aside the judgment in default obtained by the plaintiffs. Appeal No 670/93
(‘the second appeal’) is directed against the order of the learned judge
striking out the plaintiffs writ in the suit.
‘These appeals were heard on 22 April 1996. At the conclusion of the
arguments, the first appeal was dismissed, but the second was allowed.
‘The background to these appeals is as follows.
‘The plaintiffs are the executors of the will of Chin Sam Seong @
Chan Sam Seong, deceased (‘the deceased’). The first plaintiff is the
widow of the deceased; the second plaintiff is the eldest son.
‘The defendants are the beneficiaries of the deceased’s estate. They
are also the children of the deceased and the first plaintiff.
One of the assets of the deceased’s estate is a sawmill. It is called
‘Tampin Sawmill’. The plaintiffs have the conduct of the business of the
sawmill.
In consequence of an incident that is alleged to have occurred at the
sawmill on 4 November 1991, the plaintiffs, on 9 November 1991, caused
to be issued a writ against the defendants on which there was indorsed a
claim for several declarations and injunctions. In substance, the declaratory
relief was aimed at establishing the plaintiffs’ right to conduct the business
of the sawmill without interference. The injunctive relief was directed at
restraining the defendants from interfering with the business of the sawmill
and to prevent the first defendant from holding out that he was the
licensee of Tampin Sawmill. There was also a claim for damages.
On the date the writ was issued, the plaintiffs moved ex parte for
several interim injunctions the effect of which was to restrain the defendantsLai Yoke Ngan v Chin Teck Kwee
[1997] 2 MLJ (Gopal Sri Ram JCA) S77
from interfering with the business of the sawmill. The learned judicial
commissioner who entertained the plaintiffs’ ex parte summons granted
the interim relief sought, but only until 16 November 1991, with a direction
that the application be heard inter partes on that date.
When the matter came on for hearing on the return date, the first
defendant appeared and applied for an adjournment to enable him to
appoint counsel. The learned judicial commissioner granted this request,
adjourned the inter partes hearing of the summons to 28 November 1991,
and extended the injunction to that date.
On 28 November 1991, when the summons was called on for hearing,
counsel for the plaintiffs informed the learned judicial commissioner of a
telephone conversation that he had with the first defendant’s solicitor on
the afternoon of the preceding day. During that conversation, counsel for
the plaintiffs had been told by the solicitor in question that he (the
solicitor) had advised the first defendant not to defend and that neither he
nor his client would be appearing at the hearing of the summons. Plaintiffs’
counsel then moved the court for an order that the interim injunction be
made absolute against both defendants. He also applied for an order
requiring the registrar to assess damages. No appearance to the writ having
been entered to the writ, counsel undertook to file a certificate of non-
appearance.
After being so informed by counsel, the learned judicial commissioner
made an order in terms of the plaintiffs’ summons and directed an
assessment of damages. The order extracted from the registry of the High
Court contains the injunctions and the also a minute directing the
assessment of damages. How the latter order could have been made in the
absence of a judgment awarding the plaintiff damages is a matter of pure
amazement.
On 2 December 1991, the plaintiffs’ solicitors filed a certificate of
non-appearance, and on the same day, entered a form of judgment in
default in which all the relief claimed in the indorsement to the writ was
granted.
On 28 January 1992, that is to say, some two months after the last
proceedings before the judicial commissioner, the defendants purported to
enter appearance. I use the expression ‘purported’ advisedly, because
judgment had already been entered against the defendants by that date.
Now, although a defendant to an action has, under the terms of
O 121 4(a), eight days in which to enter appearance, he may, because of
the operation of O 12 r 5(1), enter an appearance at any time before
judgment is entered against him. He may enter an appearance after judgment
only upon obtaining leave of the court.
In the present case, judgment having been entered against them on
2 December 1991, the defendants required leave of court before they were
entitled to appear in form. Needless to say, no such application was ever
made. But the point does not seem to have attracted anyone’s attention.
‘When it was raised with counsel for the defendants before this court, his
response was that the default judgment of 2 December 1991 was a nullity,578 Malayan Law Journal [1997] 2 ML}
and, for that reason, there was no judgment against his clients, so that the
appearance entered on 28 January 1992, was good.
I will, in due course, deal with the regularity of the judgment entered
against the defendants. But, for the moment, I would deal with the fallacy
in the view expressed by counsel. It must be borne in mind that the default
judgment in question is merely irregular and not a nullity. Orders and
judgments made or entered by such a court, in private law litigation, in the
exercise of its coercive power upon the default of a party to a suit, even
when made or entered in breach of a rule of court or of practice, are merely
irregular. They are not nullities. And it is quite wrong to describe them as
such.
Any proceeding commenced, or any order or judgment obtained, in
breach ofa rule of court is always subject to the curative power of the court
available under O 2 r 1 of the Rules of the High Court 1980 (‘the RHC’).
Whether a particular proceeding should be cured is, of course, a matter of
discretion for the court whose assistance is prayed in aid to effect the cure.
It is wrong to assume that the court is obliged in every case to overlook the
breach of a rule of court. For that would mean that a litigant may honour
the Rules of the High Court more by breach rather than by observance.
This is certainly not the law.
‘The proper approach is for a court to accept that a breach of a rule
of court renders the particular proceeding irregular with a power in the
court to excuse the non-compliance. That power, as in all matters calling
for curial discretion, is to be exercised judicially having regard to the
substantial merits of a case and having particular regard to the interests of
justice. Thus, for example, to say that a judgment entered for too much is
automatically bad or is automatically curable is to take an extreme position
that is unsustainable in law. Such a judgment may be set aside if to cure it
by amendment would do greater injustice to the particular defendant. On
the other hand, such a judgment may be cured by amendment if not to do
thus would result in greater injustice to the plaintiff. Ultimately, it is the
objective perception of a court as to where the justice in a particular case
lies that determines whether the irregularity should be cured. If the court
decides the particular case to be unfit for the exercise of the curative
power, then it may set aside the judgment, order or other proceeding.
In my judgment, the correct position is that stated by Cumming-
Bruce LJ in Metroinvest Ansalt & Ors 0 Commercial Union Assurance Co Led
[1985] 2 All ER 318 at p 323:
‘As I construe O 2 r 1, from the moment a step in proceedings is tainted by
irregularity through failure to comply with the rules, the irregular step or
document remains irregular inter partes until the matter has been brought
before the court and the court has decided in which way to exercise the
jurisdiction conferred by O 2 r 1(2). Order 2 r 2 does not restrict the power
of the court in the sense of restricting its jurisdiction, and does not have the
effect of suspending the irregularity until the application under O 2 r 2 is
made. The purpose and effect of O 2 r 2 is to prescribe the procedure if and
when an opposite party decides to apply so that the court on recognizing the
irregularity, may exercise its powers under r 1(2) by taking the action of
Killing or curing the irregular proceeding.Lai Yoke Ngan v Chin Teck Kwee
[1997] 2 ML (Gopal Sri Ram JCA) 579
For these reasons, it was therefore not open to the defendants in the
present case to treat themselves as not being bound by the default judgment
of 2 December 1991.
I have made these observations in relation to the conduct of the
proceedings in the court below because a reading of the record provided
has left me with the inescapable conclusion that steps appear to have been
taken in complete breach of the express provisions of the RHC, with not
so much as a word of protest from anyone. Indeed, for the purposes of this
case, solicitors having the carriage of the proceedings on both sides appear
to have produced their own version of the rules of court and ignored the
authoritative provisions.
Counsel and solicitors should need no reminder that rules of court
exist to be complied with by obedience and not by breach. Whilst a
particular departure from a rule of court may have to be examined on its
own merits, there ought not to be, as was in this case, a wholesale
disregard of them.
Returning to the mainstream, on 31 January 1992, the defendants
took out a summons by which they sought to set aside only so much of the
order as directed an assessment of damages. This was followed by a
second summons dated 1 April 1992, by which they applied to have the
writ struck out on the ground that the indorsement upon it did not disclose
any cause of action, Both summonses came up for hearing before the
learned judge in chambers on 23 July 1992. After hearing arguments, he
dismissed both applications, but granted an application for further argument
upon them in court. When the summonses came on for further argument
in court on 12 August 1992, counsel asked to put in written submissions
and the learned judge acceded to this request.
The learned judge delivered his decision on 28 October 1993, He
reversed the order he had earlier made in chambers and set aside the whole
of the judgment in default dated 2 December 1991. He also struck out the
writ. Consequently, the injunctions obtained by the plaintiffs on
9 November 1991, and confirmed by the learned judicial commissioner on
28 November 1991, fell to the ground.
The first question I propose to deal with is whether the learned judge
was right in setting aside the judgment in default of appearance in toto.
Encik Das who appeared for the plaintiffs before this court, but not
in the court below, advanced two main reasons in support of his argument
that the learned judge was wrong in setting aside the judgment in default.
I will outline these in rum.
First, all that the leamed judge had before him was a summons to set
aside only the order directing the assessment of damages. There was never
any challenge by the defendants to so much of the judgment which
decreed specific relief. He ought therefore to have confined himself to the
terms of the application before him and, as he was in agreement with the
defendants’ arguments, he should have set aside only that portion of the
order to assess damages, He went too far in setting aside the default
judgment in its entirety. Those then are the first set of arguments.580 Malayan Law Journal [1997] 2 ML}
The second main submission is based upon the doctrine of estoppel.
The defendants had by their conduct led the plaintiffs to believe that the
action will not be defended. The contents of the telephone conversation
which the defendants’ solicitors had with the plaintiffs’ solicitor on 27
‘November 1991, and which was related by the latter to the learned judicial
commissioner the following day, accompanied by the defendants’ failure
to enter a form of appearance, constitutes material sufficient to support an
estoppel. To this may be added the fact that the plaintiffs, encouraged by
the defendants’ conduct proceeded to enter judgment in default. Having
thus conducted themselves, it was not open for the defendants now to
challenge the default judgment. So much then for the second submission
of counsel.
I will now express my views upon each of the foregoing submissions.
Taking the first argument, it is beyond dispute that the plaintiffs, by
the indorsement to the writ, principally claimed specific relief. The claim
for general damages was a mere adjunct to the main relief. The defendants
admittedly did not enter an appearance to the writ. But did that entitle the
plaintiffs to enter judgment in default in the form in which they did? The
answer to that question must, I think, be derived from the relevant rule of
court that governs a case such as the present. It is common ground that
that rule is O 13 r 6(1). It reads as follows:
6 (1) Where a writ is indorsed with a claim of a description not mentioned
in rr 1 to 4, then, if any defendant fails to enter an appearance, the
plaintiff may, after the time limited for appearing and upon filing an
affidavit proving due service of the writ on that defendant and, where
the statement of claim was not indorsed on or served with the writ,
upon serving a statement of claim on him, proceed with the action as.
if that defendant had entered an appearance.
‘The wording of the rule makes it plain that, in the present case, the
plaintiffs were clearly not entitled to enter judgment in the form in which
they did. Since the conditions precedent prescribed by O 13 r 6(1) were
absent, the judgment entered against the defendants was irregular and was
therefore liable to be set aside. I say ‘liable’, because, as earlier observed,
there is power in the court to permit a judgment to stand albeit that it was
obtained in breach of a rule of court or of practice.
In the present case, its necessary to see the purpose of the rule in breach
of which judgment was entered. If the requirements of O 13 r 6(1) are a mere
technicality, as was contended by En Das, then the judge ought to have
properly disregarded the breach and permitted the judgment to stand. However,
I find that both principle and authority are against counsel.
As for authority, I need go no further than the decision of the
Supreme Court in Lam Kong Co Ltd v Thong Guan & Co (Pre) Lid [1985]
2 ML] 429. That was a case which concerned O 13 r 12 of the Rules of the
Supreme Court 1957, which, in substance, is not dissimilar to O 13 r 6(1).
‘The plaintiff in that case had, in its specially indorsed writ, claimed
specific performance of a contract for the sale of certain lands and for
ancillary relief. The defendant failed to enter an appearance. The plaintiffLai Yoke Ngan v Chin Teck Kwee
[1997] 2 MLJ (Gopal Sri Ram JCA) 581
then entered a judgment form, inter alia, for the delivery up of the titles to
the lands in question as well as valid and registrable transfers in respect of
those titles. An application by the defendant to have the default judgment
set aside was dismissed at first instance. The defendant then appealed to
the Supreme Court which allowed the appeal.
Abdul Hamid CJ (Malaya) — later Chief Justice of Malaysia — when
delivering the judgment of the Supreme Court, after setting out the proper
steps that ought to be taken in a case to which O 13 r 12 applies, said (at
p 431):
Its to be observed that the effect of the rule was to disentitle the respondents
from entering default judgment on a writ specially indorsed for specific
performance, They were to proceed in the manner provided by the Rules
and that was to set down the action on motion for judgment. It was only on
the further step being taken that it was open for the court or judge to
consider giving judgment as upon the claim the court or judge should
consider the respondents to be entitled. At that point of time, therefore,
judgment in default was not only given in breach of r 12 but had resulted in
a failure to comply with r 11 of O 27. In the circumstances, we are
constrained to hold that the breach and the non-compliance were not
merely irregularities but fundamental defects. The fundamental defect as
not, in our view, curable as the effect of the breach and non-compliance was to
defeat the right of the other party to the action. (Emphasis added.)
‘The proposition that is to be gathered from the decision in Lam Kong is
this. A judgment in default of appearance entered by a plaintiff, or, for that
matter, a counterclaiming defendant, in breach of the terms of O 13 r 6(1);
may be set aside ex debito justitae. And on an application of the proposition
to the facts of the instant appeal, there is no doubt whatsoever that the
judgment in default obtained in the present case was fundamentally flawed.
Encik Das, however, argued that it is not every judgment in default
entered in breach of the provisions of O 13 r 6(1) that may be said to be
fundamentally defective. He said that a court should uphold such a judgment
in cases where to countenance an application to have it set aside would
amount to an abuse of the court’s process. In support of this submission,
counsel cited the judgment of Robert Goff J (later Lord Goff of Chievely)
in Stewart Charcering Lid v C & O Managements SA & Ors [1980] 1 AI ER
718 which was approved and applied by the English Court of Appeal in Jet
West Ltd & Anor v Haddican & Ors [1992] 1 WLR 487. I would observe
that both cases were concerned with the issue of a Mareva injunction in aid
of a judgment, I would also observe that in Stewart Chartering, the English
Court granted leave to enter judgment in default despite the terms of
© 13 6(1) in order to prevent an abuse of its process, and after the chief
clerk in the judgment room had declined to accept a default judgment
form in the ordinary way.
While I agree with counsel that 2 court may grant leave to enter
judgment in disregard of the provisions of O 13 r 6(1) to prevent a
defendant from abusing the court’s process by resorting to that rule, I find
no room to apply that principle in the present case. Plainly stated, there
was no leave obtained from the judicial commissioner to enter judgment582 Malayan Law Journal [1997] 2 MLy
for the several heads of specific relief. Further, for reasons that will appear
clear in a moment, this is not a case where the defendants were seeking to
abuse the court’s process by resorting to the rule presently under
consideration. If anything, it was the plaintiffs who abused the court’s
process by securing an order to assess damages without the benefit of a
judgment in their favour.
The philosophy underlying O 13 r 6(1) is that specific relief is, by its
very nature, discretionary. A defendant may well decide not to defend an
action in which such relief is claimed in the honest belief that he has no
defence upon the question of liability. But that does not relieve the
plaintiff from delivering his statement of claim and satisfying the court,
upon a motion for judgment, that the case is a fit one for the grant of
specific relief.
Cases may occur where the defendant may have infringed a plaintiff's
right: yet the plaintiff may be denied declaratory relief upon settled principles
governing the exercise of discretion, eg that he has an adequate alternative
remedy which he has not resorted to. A defendant who has failed to enter
an appearance to an action for specific relief is not precluded from appearing
in person or by counsel at the hearing of the motion for judgment for the
purpose of contending that the particular case is one in which discretion
should be exercised against the plaintiff and that specific relief ought to be
denied him.
When viewed in this fashion, it is not difficult to see why O 13 r 6(1)
is worded in the way in which it appears. The rule exists to preserve the
discretion of the court in actions for specific relief despite the non-
appearance of a defendant. It is not a mere technicality, as suggested by
counsel, but has to do with policy considerations that have evolved through
the exercise of jurisdiction by a court of equity. To deprive a defendant
the right of appearing upon the motion for judgment and arguing that
discretion ought not to be exercised in a plaintiff's favour is a serious
matter. It constitutes the breach of a substantive right forming part and
parcel of the doctrine of procedural fairness. And the entry of a form of
judgment in default in a case to which O 13 r 6(1) applies has the effect of
withholding, from a defendant, without the court’s sanction, the procedural
fairness to which he is entitled.
‘The next question that arises is whether the learned judge was right
in reversing the order he made in chambers and in setting aside the whole
of the judgment, when the summons before him sought to set aside only
so much of the judgment that directed the assessment of damages. I think
that he was.
This is a case in which the plaintiffs had absolutely no right whatsoever
to obtain an order for the assessment of damages. There was, as earlier
observed, no judgment for damages against the defendants on 28 November
1991. It is elementary law that there can be no assessment of damages in
the absence of a judgment granting damages. Such a judgment did not
come until 2 December 1991. So, here is a case where the cart had been
squarely placed before the horse. The judgment for the assessment ofLai Yoke Ngan v Chin Teck Kwee
[1997] 2 MLJ (Gopal Sri Ram JCA) 583
damages was found in a judgment in which was flawed in other respects.
The learned judge was therefore perfectly entitled, in the interests of
justice, to take cognizance of the breach of O 13 r 6(1) and to set aside the
whole of the offending judgment. The authority of a court to act suo motu
to set aside a judgment entered pursuant to its coercive power must, no
doubt, be exercised with caution. But itis there to be exercised in appropriate
cases; and I am satisfied that the case at hand was indeed a proper case.
I now turn to consider the argument mounted upon the doctrine of
estoppel. The answer to the complaint made by counsel lies in appreciating
the true nature of the doctrine. As observed by Mohd Azmi FC] during
argument, the doctrine is essentially equitable in nature. It is a rule by
which justice is done according to the facts and circumstances of a particular
case and its operation depends much upon the conduct of the parties. It is
therefore extremely flexible in its application because it moulds itself to fit
a particular fact pattern. Accordingly, the categories of cases to which the
doctrine applies are not closed.
In the context of litigation, it usually arises where a party to an action
has at least two alternative and mutually exclusive courses open to him. If
by words or conduct he elects to pursue one of them and thereby leads his
opponent to believe that he has abandoned the other, he may, if the
circumstances so warrant, be precluded from later changing course.
Decisions upon the application of the doctrine to litigation are but mere
illustrations of the broader proposition. Indeed, this is true of all cases
where the doctrine has been applied to other spheres of human activity.
For present purposes, it is sufficient to draw from two such examples.
In Meng Leong Development Pre Led v Jip Hong Trading Co Pre Lid
[1985] 1 MLJ 7, the doctrine was applied to the following circumstances.
‘The plaintiff, after having lodged a caveat, brought an action for specific
performance of a contract for the sale of land. At first instance, he failed
to obtain specific relief. He was, however, awarded damages for breach of
contract. The defendant appealed to the Court of Appeal of Singapore for
a reduction in the size of the award. It was open to the plaintiff to cross-
appeal, but he chose not do so. Instead, he elected to pursue with execution
of the award of damages. The defendant was able to obtain the plaintiff's
agreement to withhold execution only upon securing the judgment sum in
the hands of a banker upon fixed deposit. At the hearing of the appeal, the
plaintiff requested for and obtained leave to cross-appeal against the
refusal of specific performance.
The Court of Appeal, unaware of the arrangement that had been
arrived at between the parties on the question of a stay, granted the leave
sought, dismissed the defendant’s appeal and allowed the plaintiff's cross-
appeal. Upon the defendant’s further appeal to the Privy Council, the
Board allowed the appeal and restored the order of the trial judge. The
Board held that the plaintiff, by his conduct in calling for the damages
awarded to him, had demonstrated that it was not pursuing its claim for
specific performance. He was accordingly estopped from doing so before
the Court of Appeal.584 Malayan Law Journal [1997] 2 ML
The majority judgment of the Judicial Committee was delivered by
Lord Templeman who said (at p 11):
In Spencer Bower and Turner ‘The Law relating to Estoppel by Representation’
(3rd Ed, 1977), para 310 summarizes the doctrine of election as applied to
the law of estoppel in these terms:
‘Where A, dealing with B, is confronted with two alternative and
mutually exclusive courses of action in relation to such dealing, between
which he may make his election, and A so conducts himself as reasonably
to induce B to believe that he is intending definitely to adopt the one
course, and definitely to reject or relinquish the other, and B in such
belief alters his position to his detriment, A is precluded, as against B,
from afterwards resorting to the course which he has thus deliberately
declared his intention of rejecting. It is of the essence of election that
the party electing shall be “confronted” with two mutually exclusive
courses of action between which he must, in fairness to the other party,
make his choice.”
In the present case, the purchaser could not take the damages and obtain
specific performance. By demanding and accepting the deposit of the
damages, the purchaser chose to adopt the order of the trial judge and
relinquished the right to appeal for that order to be set aside and for specific
performance to be substituted. The vendor altered its position to its detriment
by raising and paying $297,500 on 12 November 1981. The vendor has
been deprived of that sum ever since. After the judgment of AP Rajah J, the
purchaser was indeed confronted with two alternative and mutually exclusive
courses of action, namely to enforce the award of damages or to seek to
persuade the Court of Appeal to set aside the award of damages and to
substitute the remedy of specific performance.
By procuring the payment of the damages of $297,500, the purchaser
accepted the judge’s order. If the purchaser had served a notice of appeal
seeking specific performance or had informed the vendor that the purchaser
intended to seek an order for specific performance from the Court of
Appeal, the vendor would have been able to refuse to place the damages on
deposit and would have been entitled to renew and to succeed in an
application for a stay of execution with regard to the damages pending the
hearing of the purchaser’s appeal seeking specific performance.
Paragraph 322 of the cited work by Spencer Bower and Turner relating to
election in the conduct of litigation is in these terms:
“Where a litigant has taken the benefit, in whole or in part, of a decision
in his favour, he is precluded from setting up in any subsequent
proceedings between the same parties, by way of appeal or otherwise,
that such decision was erroneous, or, though correct as to the part
which was in his favour, was wrongly decided as to the residue.”
Mr Nugee submitted that this statement is not justified by authority but it
appears to be good law and good sense. Here the purchaser, by obtaining
the deposit of the damages of $297,500, took the benefit of the decision in
its favour made by AP Rajah J and thereby precluded the purchaser from
arguing that his decision was erroneous.
The second authority is Langdale & Anor » Danby [1982] 1 WLR 1123,
which concerned an application for summary judgment decreeing specific
performance, At the hearing of the summons before the judge at firstLai Yoke Ngan v Chin Teck Kwee
[1997] 2 MLJ (Gopal Sri Ram JCA) 585
instance, the defendant expressly admitted that no impropriety was alleged
against the first plaintiff, who was a solicitor. The judge entered summary
judgment. On appeal, the English Court of Appeal admitted further evidence
which in effect amounted to a withdrawal of the admission made before
the judge. The Court of Appeal, having expressed its satisfaction that there
was no material before the judge to merit a trial, held that there were
triable issues upon the fresh evidence admitted before them. Leave to
defend was accordingly given. The plaintiffs appealed to the House of
Lords which allowed the appeal and restored the decree of specific
performance granted by the judge.
In a speech in which the other members of the House concurred,
Lord Bridge of Harwich said (at p 1135):
My Lords, with all respect, I cannot agree with any of the reasons suggested
for holding that the conduct of Mr Danby’s case before Oliver J and, in
particular, the admission that no impropriety was attributed to Mr Langdale
did not estop Mr Danby from alleging, nearly two years later, that the
judgment of Oliver J could be reversed on grounds which were not taken
before Oliver J and which directly accused Mr Langdale of improper conduct
as a solicitor. In this context, I confess I simply do not understand the
distinctions sought to be drawn by Dunn LJ between the conduct of the
case before Oliver J and Mr Danby’s subsequent delaying tactics or between
the grant of leave to appeal out of time and the decision of the appeal itself,
or that drawn by Fox L] between matter going to costs and matter going to
substance.
As I see it, the direct result of the conduct of Mr Danby’s case before
Oliver J was to permit the Langdales to obtain summary judgment. They
then spent nearly two years in time and a great deal of money in costs in the
course of enforcing that judgment. True it is that part, but part only, of the
costs so incurred could be and were set off against the balance of the
purchase price of the cottage due to Mr Danby, probably Mr Danby’s only
significant resource. But now, if the Court of Appeal judgment were to
stand, the Langdales would face a full scale trial against a legally aided
defendant in which, though they succeeded, they would have little prospect
of recovering any of their costs. Looking at this history in a common sense
way, it seems to me beyond argument that the Langdales will have acted to
their detriment, on the faith of the conduct of Mr Danby’s case which
enabled them to obtain summary judgment, by spending large sums to
enforce that judgment, if they are now denied the benefit of it by allowing
‘Mr Danby to set up a case which conflicts radically with the case presented
on his behalf before Oliver J. Independently of any other ground I would,
therefore, hold Mr Danby estopped from arguing the case on which he
succeeded in the Court of Appeal
With one qualification that I shall state in a moment, the passages above-
quoted (from the opinion of Lord Templeman in Meng Leong, and the
speech of Lord Bridge in Langdale) reflect the consequences that flow
upon an application of the doctrine of estoppel to the conduct of
litigation. The qualification I make is this. The approach to the doctrine of
estoppel, in particular to the requirement of there having to be ‘a detriment’,
has, by the flow of authority that has come after the decisions in Langdale
and Meng Leong, including the decision of this court in Boustead Trading586 Malayan Law Journal [1997] 2 MLJ
(1985) Sdn Bhd v Arab-Malaysian Merchant Bank Bhd [1995] 3 MLJ 331, A
been re-stated in broader terms to accurately reflect the true nature of the
doctrine.
Accordingly, the global question which a court must ask itself is this:
is it just and equitable that the particular litigant (against whom the
estoppel is raised) should succeed, given the totality of the facts and B
circumstances of the case? If the answer to that question is in the affirmative,
estoppel does not bite: if the answer is in the negative, then it does.
In the present case it was argued that it is not open to the defendants;
they having encouraged the plaintiffs to believe that the action will not be
contested; to challenge any judgment entered in the proceedings, however
irregular that judgment may be. But this submission overlooks two matters
of vital importance.
First, as was observed by the Chief Judge of Malaya during argument,
it does not appear sufficiently clear whether the defendants were content
in not opposing the particular summons for the interlocutory injunction ory
whether they were throwing up their hands in abject submission to the
whole action. In the absence of that level of clarity which the law demands
in cases of estoppel, it is difficult to see how the doctrine could operate
against the defendants in the present case.
Second, the plaintiffs, in order to be able to argue that it would be
inequitable to permit the defendants to retreat from the position earlier
adopted, must demonstrate that they themselves have acted equitably.
For, he who comes to equity must come with clean hands; and the
plaintiffs’ conduct, when objectively viewed, does not meet the test housed
in this maxim of equity.
At most, the plaintiffs were, when they appeared before the judicial F
commissioner on 28 November 1991, entitled to a confirmation of the
injunction. However, they went on to obtain an order directing the senior
assistant registrar to assess damages. If it offended their conscience, as it
ought to have done, it was open for them to approach the court and to
have the offending part of the order expunged. But they did not do so.
Indeed, they went so far as to resist the defendants’ application to set aside
the order directing assessment, thereby evincing an intention to assert the
correctness of their actings.
The plaintiffs were, therefore, guilty of unconscionable conduct and
this had the effect of releasing the defendants from any estoppel that may
have held them in its grip. Once thus released, the parties were placed on
an equal footing viz-a-viz the litigation. Thereafter, it was open to the
defendants to pursue any and all courses made available to them by
adjectival law to rid themselves of the offending judgment.
In my opinion, the learned judge was, for the reasons given, quite
correct in setting aside the whole of the judgment in default obtained by I
the plaintiffs on 2 December 1991. Since the arguments raised in support
of the first appeal did not merit a response from counsel for the defendants,
he was not invited to make any.Lai Yoke Ngan v Chin Teck Kwee
[1997] 2 MLJ (Gopal Sri Ram JCA) 587
With that, I now turn to the second appeal directed against the order
of the learned judge striking out the plaintiffs’ writ on the ground that it
failed to disclose a cause of action. The primary argument advanced by the
defendants in support of their application; an argument which found
favour with the learned judge; was the plaintiffs’ failure to deliver a
statement of claim after service of the writ.
The rule of court relied upon by the defendants in support of this
argument is O 18 r 1 of the RHC, which reads as follows:
1 Unless the Court gives leave to the contrary or a statement of claim is
indorsed on the writ, the plaintiff must serve a statement of claim on
the defendant or, if there are two or more defendants, on each defendant,
and must do so either when the writ, or notice of the writ, is served on
that defendant or at any time after service of the writ or notice but
before the expiration of 14 days after that defendant enters an
appearance.
On a proper construction of this rule, a plaintiff, may serve his statement
of claim with his writ and certainly not later than 14 days after a defendant
has entered an appearance.
In the present case, neither defendant entered an appearance until
after judgment had been signed. The rule upon which the defendants’
primary argument is based has therefore no application to the facts that
exist here. That should indeed be the short answer to submissions of
counsel for the defendants. However, he went on to argue that the
indorsement was rightly struck out under O 18 r 19 because it did not
disclose any reasonable cause of action.
The point taken by En Lim Kem Thuan for the defendants is
sufficiently met by the decision in Lim Hean Pin v Thean Seng Co Sdn Bhd
[1992] 2 MLJ 10. It is an authority that I prefer to those cited by counsel.
There, Edgar Joseph Jr J (now FCJ) was faced with an indorsement in a
writ which read as follows (at p 26E-I):
‘The plaintiff brings this action for himself and for and on behalf of all the
other shareholders of the first defendant other than the defendants herein
who are also shareholders of the first defendant in this action. The plaintiff
claims for:
(@ a declaration that the act of refusal by the second to seventh defendants
in objecting (to) the proxy [form] lodged by the plaintiff at the first
defendant’s 42nd annual general meeting is (was) wrongful in law and
is (was) an abuse of their powers as directors;
(i) declaration that the annual general meeting of the first defendant
held on 21 January 1991 is (was) null and void and all resolutions
passed thereto (should) be set aside accordingly;
(ii) an injunction against the first to seventh defendants from implementing
and/or exercising their powers to effect the resolutions passed at the
42nd annual general meeting of the first defendant held on 21 January
1991 or any adjournment thereof
(iv) a declaration that the extraordinary general meeting scheduled for
31 January 1991 and the resolution intended to be passed thereat to588 Malayan Law Journal 11997] 2 MLJ
amend art 56 of the articles of association of the first defendant is
(was) an abuse of the powers of the fourth and fifth defendants as
directors of the first defendant company and is (was) not for the
benefit of the first defendant company and is (was) a fraud on the
minority shareholders of the first defendant company;
(v) an injunction against the first to seventh defendants whether by
themselves, their servants or agents from proceeding with or holding
the extraordinary general meeting of the first defendant scheduled on
31 January 1991 and from in any manner altering or amending the
articles of association of the first defendant company;
(vi) damages for breach of duties;
(vii) interest on damages;
(viii) costs; and
(ix) such further or other reliefs.
Addressing an argument that the foregoing indorsement did not disclose a
cause of action and ought therefore to be struck out, his Lordship said (at
p 27A-B):
In my view, paras (i) and (iv) of the endorsement in the amended writ of
summons did disclose a cause of action. In any event, the lengthy affidavit
of the plaintiff affirmed on 28 January 1991 (encl 5) filed in support of the
amended ex parte summons-in-chambers (encl 4) pursuant to which I had
granted the injunctions had identified a legal right sufficient to give rise to
a justiciable cause of action (see Utusan Melayu (Malaysia) Bad & Anor v
Chan Tse Yuen [1989] 1 MLJ 185). This ground therefore failed.
In the present case, the declarations contain a statement of facts that
adequately identify a cause of action. As executors of the deceased, the
plaintiffs were entitled — indeed were duty bound — to protect the assets
of his estate. That they were executors and that their management of the
‘Tampin Sawmill had been interfered with and that there may be continued
interference appears quite sufficiently from the declarations and injunctive
relief sought in the indorsement and from the affidavit filed in support of
the summons for the ex parte injunctions.
There is no dearth of authority dealing with the approach that a court
should take when exercising its summary jurisdiction under O 18 r 19.
The unanimous view is that the summary power ought not to be invoked
save in a plain and obvious case: see Bandar Builder Sdn Bhd & Ors v
United Malayan Banking Bhd [1993] 3 ML] 36, per Mohd Dzaiddin SCJ
(now FC).
An examination of the record provided demonstrates that this is not
such a case. There are several issues of law that require mature consideration.
And there are several issues of fact that are capable of resolution only after
taking viva voce evidence.
Having given this matter careful consideration, I am convinced that
the learned judge was quite wrong in striking out the writ in this case.
There was simply no justification for doing so.
Accordingly, the second appeal was allowed, the judge’s order was
set aside and the writ restored to file. It was also ordered that the injunctionsLai Yoke Ngan v Chin Teck Kwee
{1997] 2 ML} (Gopal Sri Ram JCA) 589
which had fallen in consequence be reinstated. The plaintiffs were awarded
the costs of the appeal, and the deposit paid into court by them was
ordered to be refunded to them. The plaintiffs were also granted leave to
serve their statement of claim within two weeks from the date of the order
made herein.
As for the first appeal, this was dismissed with costs. All orders made
by the judge were affirmed. The defendants were awarded the costs of the
appeal. The deposit paid into court by the plaintiffs was ordered to be paid
out to the defendants to account of their taxed costs.
First appeal dismissed; second appeal allowed.
Reported by Wong Rhen Yen