Laws1061 Torts Full Detailed Notes Exam Template 93 Pages Including All Cases and Exam Template at The End of The Document HD 90 Trimester 2 2019
Laws1061 Torts Full Detailed Notes Exam Template 93 Pages Including All Cases and Exam Template at The End of The Document HD 90 Trimester 2 2019
Laws1061 Torts Full Detailed Notes Exam Template 93 Pages Including All Cases and Exam Template at The End of The Document HD 90 Trimester 2 2019
LAWS1061 – TORTS
Table of Contents
Class 1 – Introduction – Role and Function of Tort Law ...................................................... 2
Class 2 – Nuisance ............................................................................................................. 4
Class 3 – Negligence – the General Duty of Care ................................................................ 9
Class 4 – Duty – Mental Injury ......................................................................................... 13
Class 5 – Duty of care – Pure Economic Loss ..................................................................... 17
Class 6 – Occupiers liability ............................................................................................. 22
Class 7 – Critique of Tort law ........................................................................................... 25
Class 8 – Duty – Public Authorities ................................................................................... 29
Class 9 – Breach of Duty – Standard of Care ..................................................................... 33
Class 10 – Breach of Duty – Reasonable Foreseeability and Calculus of Negligence .......... 38
Class 11 – Causation ........................................................................................................ 44
Class 12 – Causation – Novus Actus Interveniens ............................................................. 50
Class 13 – Causation – Remoteness and Loss of Chance ................................................... 53
Class 14 – Defences ......................................................................................................... 58
Class 15 – Breach of Statutory Duty ................................................................................. 62
Class 16 – Concurrent Liability and Vicarious Liability ...................................................... 65
Class 17 – Concurrent Liability and Non-Delegable Duty .................................................. 68
Class 18 – Damages ......................................................................................................... 70
Class 19 – Torts (Law) Revision ........................................................................................ 75
Class 20 – Theory for Essay .............................................................................................. 77
EXAM! – TEMPLATE FOR ALL PROBLEM QUESTIONS ........................................................ 81
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(Chapter 1 – p3-21)
Introduction to Tort Law
[1.05] Overview
- The law of torts concerns the obligations of persons living in a crowded society to respect
the safety, property, and personality of their neighbours, both as an a priori matter [that is,
a matter of cause and effect] and as a duty to compensate for wrongfully caused harm, ex
post [after the fact]
- Tort law involves questions of how people should treat one another and the rules of proper
behaviour that society imposes on each citizen for avoiding improper harm to others, and
for determining when compensation for harm is due
- Tort is about wrongs, with tort law aimed to fix wrongs
- Tort is about injury
*Protection of a range of interests e.g. personal or bodily integrity, reputation, property, privacy
Compensatory Function
- Function of tort law is seen by many to be compensation for people who are injured by a
wrong – either to person or property
- Damages must also be paid in a lump sum – Lim Poh Choo v Camden and Islington health
Area Authority – “there is really only one certainty: the future will prove the award to be
either too high or too low”
- Limitation of compensation
o Lump sums problematic due to poor management
o Large sums can run out because of the difficulty in predicting the future
o In the absence of fault, no compensation will be available – e.g. person injured at
home will not receive whereas if person injured the exact same way at work they
will be compensated
- For negligence, causation is needed in order for the wrongdoer to pay for the harm
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Class 2 – Nuisance
(Chapter 16 –p763-787;793-798)
Introduction
- The two nuisance torts are Public nuisance & Private nuisance
- Public nuisance: interference with those interests that are shared by the public, that is,
public rights
o “an unlawful act or omission...which...endangers the lives, safety, health, property
or comfort of the public or by which the public are obstructed in the exercise or
enjoyment of any right common to all.” (Kent v Johnson (1973) 21 FLR 177 at 203-4.)
- Private nuisance: nuisance to the private rights of an individual, specifically those concerning
her/his use and enjoyment of land
- Both public and private nuisance may be affected by the CLA
- Where a nuisance is negligently created, or if it involves the intentional infliction of personal
injury according to the relevant legislation, the CLA may apply to the action.
- Otherwise, the common law will continue to apply
Public Nuisance
[16.10] Introduction
- To establish prima facie case of public nuisance, a private individual will have to prove
1. Title to sue (standing)
2. That the interference is with a public right
3. The defendant’s interference is substantial and unreasonable
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- Public nuisance has been described as a nuisance which is so widespread in its range or so
indiscriminate in its effect that it would not be reasonable to expect one person to take
proceedings on his own responsibility to stop it, but that it should be taken on the
responsibility of the community at large – Lord Denning in Attorney-General v PYA Quarries
Ltd
- The extent to which the public is affected is a central consideration in determining whether
the defendants act interferes with a public right
- R v Clifford [1980] 1 NSW 314
o Facts: Prisoners climbed and stood on roof of jail for 14 hours
o Outcome: Not a public nuisance as no evidence of drawing a crowd or noise or
interactions with neighbors
o Ratio: in order for an action to be a public nuisance, must actually disturb a public
right
Private Nuisance
[16.45] Introduction
- Tort concerned with property rights
- Protects a person’s right to the use and enjoyment of their land
o Enjoyment means ordinary use of the land
o Often a matter between neighbors
o Offers protection from tangible intangible interferences
- To establish
1. Title to sue
2. Defendant had requisite knowledge of the nuisance
3. Nuisance was a substantial or unreasonable interference with the plaintiffs right to
enjoyment on their land
- Can be a single incident or a continuing course of conduct
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Defences
Remedies
[16.170] Damages
- Test of remoteness
o as far as assessment of damages is concerned a defendant will, upon the basis of the
test of remoteness of damage, only be liable for that kind of damage which was
reasonably foreseeable
o foreseeability rule of remoteness is a factor negating the idea that nuisance is a
strict liability tort
o consequently, if the defendant creates a nuisance and causes material damage to
plaintiff property, the defendant will not be liable if the damage could not have
been reasonably foreseen
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[16.200] Injunction
- An injunction is an order
- interlocutory injunction
o Used prior to trial to restrain the nuisance until the matter is finally determined
o Awarded where there is a “serious question to be tried” and that it is, on the
“balance of convenience”, proper to retrain the defendant until that question is
determined at trial
- Permanent injunction
o Providing plaintiff is successful, court may grant permanent injunction
o Court must be satisfied that nuisance exists, that it is a substantial interference and
that it is likely to recur or continue
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[7.05] Introduction
- Negligence denotes a defined tort with three clearly outlined elements compromising the
cause of action
o The defendant must have owed the plaintiff a duty of care (test for reasonable
foreseeability)
o That duty must have been breached
o That breach must have caused damage to the plaintiff
- Duty of case – Important and complex element of the tort of negligence
- Although the CLAs have changed the tort of negligence in many ways, they have had
relatively little effect on the duty of care itself...in the absence of an understanding of the
common law approach, the legislation is incomprehensible
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them to reach the ultimate consumer in the form in which they left him with no reasonable
possibility of intermediate examination, and with the knowledge that the absence of
reasonable care in the preparation or putting up of the products will result in an injury to the
consumer’s life or property, owes a duty to the consumer to take that reasonable care.”
Reasonable Foreseeability
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1965. Her husband worked for Seltsman Pty Ltd. The scientific information available
between 1962 and 1965 did not reveal the connection between dust and
mesothelioma.
o Negligent act by Seltsam, however Mrs Bale seen as an unforeseeable plaintiff as
the consequence at the time was not reasonably foreseeable
o Dissent found that the respondent ought to have known about the effects of
asbestos
o In 2009 – NSW Court of Appeal confirmed that duty of care can arise out of this
situation
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Psychiatric Harm
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o Both Mr. and Mrs. Annetts claimed damages for nervous shock
- Both cases did not turn upon control mechanisms of sudden shock – Mrs. Tame’s illness
didn’t result from anything that could cause her a shock and Annetts information about
death of son was done over span of time, thus not one direct “shock”
Annetts Case
- “There was a relationship between the applicants and the respondent sufficient, in
combination with reasonable foreseeability of harm, to give rise to a duty of care, though
the applicants did not directly witness their son’s death, and suffer sudden shock in
consequence”
- Control Mechanisms (also called salient factors)
o *** court decided that these are unsound and are not accepted
o 1. Requirement that liability for psychiatric harm be assessed by reference to a
hypothetical person of “normal fortitude”
o 2. Requirement that the psychiatric injury be caused by “sudden shock”
o 3. Requirement that plaintiff “directly perceived” a distressing phenomenon or its
“immediate aftermath”
- Psychiatric Harm – requirement that the plaintiff suffer a recognisable mental injury
o “questions of reasonable foreseeability are not purely factual. Expert evidence
about the foreseeability of psychiatric harm is not decisive. Such evidence cannot
usurp the judgement that is required of the decision maker”
- Normal Fortitude
o The concept of normal fortitude is "imprecise and artificial" and is therefore not a
pre-condition
o "The imprecision in the concept renders it inappropriate as an absolute bar to
recovery"
o It is thus not a pre-condition
- Sudden Shock
o The condition of sudden shock is "not a settled requirement of the common law in
Australia".
o "As a growing body of criticism has pointed out, individuals may sustain recognisable
psychiatric illnesses without any particular 'sudden shock'...the pragmatic
justifications for the rule are unconvincing..."
§ Firstly, it is ridiculous to say that a plaintiff who has suffered mental harm as
a result of a series of prolonged incidents should not be entitled to damages
§ Also, the whole concept of an event which induces 'sudden shock' is illusory
- it can be attributed to any of the events in the cases of prolonged mental
suffering. In this case for example, the plaintiff could always just say that the
sudden shock was sustained when she first heard about the disappearance
of her son
§ "The requirement to establish 'sudden shock' should not be accepted as a
pre-condition for recovery in cases of negligently inflicted psychiatric harm."
- Requirement that a plaintiff “directly perceived” a distressing phenomenon and its
“immediate aftermath”
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o Did the Plaintiff satisfy the requirement posed by s30 (2)(a) of the Civil Liability Act
2002 (NSW) - did the plaintiff witness, at the scene, the victim being killed, injured
or put in peril?
o Do the words of s30(1) mean that the mental harm needs to be connected with a
specific person?
- Reasoning
o The Defendant erred when he assumed that the 'event' causing the shock ended
when the crash ended. Here, witnessing the horrific scenes that immediately
followed still caused shock
o The Plaintiff is required to have seen the victims "Being killed, injured or put in
peril". Even if all the deaths were instantaneous at the time of the crash, victims
continued to be injured and in peril when the Plaintiff arrived
o "In such a case as the present, where there were many victims, s 30(2) does not
require that a relationship be identified between an alleged psychiatric injury...and
what happened to a particular victim
- Outcome
o Court decided that defendant’s argument failed and thus plaintiff won
o State Rail's submission that neither Mr Wicks nor Mr Sheehan witnessed, at the
scene, a victim or victims being killed, injured or put in peril should thus be rejected
o Plaintiff definitely witnessed the victims 'in peril'
Normal Fortitude
- If one is unduly sensitive à not a person of normal fortitude
- Court must foresee that if a certain act occurs, that it is foreseeable that a person of normal
fortitude will develop a psychiatric injury
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Further Introduction
- Pure economic loss can be caused by:
o Words à Negligent words e.g. Hedley Byrne v Heller Acts
o Omissions (negligent failure to act) à E.g. Perre
- “No magical formula to apply in any given case. The answer depends on broad principles and
an understanding of policy factors. Even when the tests are met, liability may be denied on
policy grounds.” (Prof Todd NZ)
Caltex Oil (Australia) Pty Ltd v The Dredge “Willemstad” 1976 136 CLR 529
- Perre frequently refers to Caltex
- Facts
o In botany bay, the defendants dredge severed a pipeline in which ran Caltex’s Oil à
Pipeline is owned by a third party à The dredge knew of the pipeline and that
Caltex oil ran through it à Caltex did not claim for the property damage to the
pipeline à Caltex argued that it incurred pure economic loss because it could no
longer use the pipeline and had to run oil by truck around the bay
- Stephen J – “The need is for some control mechanism based upon notions of
proximity...guidance in the determination of the requisite degree of proximity will be
derived from the broad principle which underlies liability in negligence.”
- Salient Factors/Features
o 1) D’s knowledge that the property damaged (pipelines) was likely to be productive
of economic loss
o 2) D’s knowledge of pipelines, their position and use, from charts à “These two
factors lead to the conclusion that Caltex was within the reasonable contemplation
of the Ds as a person likely to suffer economic loss if the pipelines were cut.”
o 3) Infliction of damage by the D to the property of a third party, AOR, as a result of
conduct in breach of a duty of care owed to that third party.
o 4) The nature of the detriment suffered by the P – loss of use of pipeline
o 5) The nature of the damages claimed, which reflect the loss of use
- “These factors demonstrate a close degree of proximity between the D’s conduct in
severing the pipelines and the economic loss which Caltex suffered when its chosen means
of supplying its terminal with products was interrupted by the injury to the pipelines. ...all
these characteristics combine to constitute a relationship of sufficient proximity to give rise
to a duty of care owed to Caltex for breach of which it may recover its purely economic
loss.”
- Outcome: “I would, for the foregoing reasons, conclude that the economic loss suffered by
Caltex is such as to be recoverable...”
- Held:
o D’s liable for extra costs incurred, Close proximity of parties was important to
reasoning, Also, important that Ds knew of risk to Caltex as specific Individual – thus,
no fear of liability of indeterminate class. Loss was foreseeable.
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Overview
- Tort recognises that occupiers of land owe a duty of care to people who legally enter their
land:
o “That an occupier of land owes a duty of care to a person lawfully upon the land is
not in doubt.” (Modbury Triangle per Gleeson CJ, see SVW p.239).
- Who is an occupier?
o In negligence: a person who owns, or is on, and controls the relevant land. E.g.
tenant
o E.g. anyone who is exercising control on the land
such as business people.
- Control is important
o The control exercised over the land is the source of the duty
- Was the harm foreseeable?
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o This decision is authority for the view that the duty of care owed by an occupier of
land to entrants to that land does not extend to taking steps to prevent criminal
conduct by third parties which would cause physical injury to a lawful entrant in
circumstances where the occupier is unable to control the conduct of the assailants.
Legal Tests
- The ‘legal tests’ in relation to duty between an occupier of premises and visitors on the
premises, after these two cases, appear to be:
o 1. The D must be an occupier.
§ “Control test” = the D must have control, or immediate right to exercise
control, over the premises such that they can prevent injury to visitors.
o 2. Liability is in respect of “premises”.
§ Land and immovable structures on land including bridges, lifts, escalators,
flagpoles, wharves and diving towers.
§ Movable structures such as ladders, scaffolding, ships and cars
o 3. Liability is to “any person on the premises” who is part of a reasonably
foreseeable class of persons who might suffer injury.
o 4. Danger can arise out of the static condition of the premises and out of activities
conducted on the land
o 5. An occupier owes a duty of care in relation to the acts of third parties if further
tests are satisfied:
§ They have “control” over the actions of the third party.
§ There is a “reasonable reliance” by the P à reliant on the owner to control
the situation
§ There is an assumption of responsibility by the occupier for the class of
persons the P comes within.
• No duty of care
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Main Concepts
- Causation
- Balance between plaintiff and defendant
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§ Compensation for pecuniary loss treats equals unequally (all people are
created equal but damages vary according to personal wealth),
compensation for intangible harm treats unequals equally (all human
experience is unique but damages for intangible harms reduce them to the
common currency of money).
§ Non-pecuniary damage dehumanises the response, substituting money for
compassion, arousing jealousy instead of sympathy, and treating experience
and love as commodities.
* Even through NZ are not compensated as much money as AUS, it is closer to guaranteed
David Fisher
- “Other striking contrasts between New Zealand and the United States appear in social
welfare and insurance programs. We discovered one of them when a friend suffered an
injury in an athletic event. To our amazement, she was compensated by the government.”
- ACC is “more fair than the American tort system” which “brings large settlements to a few
people...while most victims of accidents get nothing.”
- “New Zealanders are appalled by the American system of tort law. Americans in turn are
astonished by New Zealand’s system of public accident compensation. They believe that if
people are paid for having accidents, they will have more of them. New Zealanders reply
that their system is rarely abused. Whatever, the truth may be, it is clear that the American
and New Zealand systems were grounded in different ethical principles. The American
system rests on an idea of individual freedom. The NZ system is based on an idea of
fairness.”
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More Theory
- “There were only minor misgivings aired by personal injury lawyers and I think that’s
because:
o NZ is a country with a very strong egalitarian ethic. The social conscience in NZ is
strong and supported by the vast majority of citizens, even capitalists. The personal
injury litigation model was O.K. for those who could afford it but not for many who
could not. That was very unfair and contrary to NZ's sense of social justice
o 2) We recognised that the personal injury system, and litigation, promoted conflict,
not resolution, ruined relationships and was mainly of benefit only to lawyers.”
o 3) Most thinking observers considered the ACC legislation ground breaking and very
worthwhile. Unlike some legislation, it made sense
o 4) And the personal injury lawyers understood that although they would lose quite a
lot of work and revenue, new legislation always results in new legal work, and
eventually a lot of it! So it has proved with the ACC issues!”
ACC Legislation
- S3 - “The purpose of this Act is to enhance the public good and reinforce the social contract
represented by the first accident compensation scheme by providing for a fair and
sustainable scheme for managing personal injury that has, as its overriding goals, minimising
both the overall incidence of injury in the community, and the impact of injury on the
community (including economic, social, and personal costs).....”
- Eligibility for ACC cover
o Must be seen as a “personal injury” or death
o Most physical injury is covered
o Mental Injury is covered if
§ It is a result of a physical injury
§ Caused by certain criminal acts
§ Work related mental Trauma
- Entitlements
o Rehabilitation
o Compensation (first week)
o Weekly compensation
o Lump sums
o funeral grants, survivors’ grants, weekly compensation for the spouse or partner,
children and other dependants of a deceased claimant, and child care payments.
- Not covered by ACC
o Illness
o Stress, hurt feelings, loss of enjoyment or other emotional issues (these may be
covered if these are the direct result of a physical injury or sexual abuse)
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- Duty of care – special parties – special rules exist for some parties E.g. public authorities
- What are public or statutory authorities and what is their purpose?
o Bodies “entrusted by statute with functions to be performed in the public interest or
for public purposes” (Mason J, Sutherland Shire Council v Heyman)
History
- Sutherland Shire Council
o Seminal case in AU on liability of public authorities in negligence
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o Pure economic loss – reduced house value caused by council’s failure to inspect the
foundations of the property
o Policy/operation distinction – way of conceptualising when the courts could and
could not impose a duty
o If policy, courts would not impose a duty.
o If operational (carrying out a policy), courts may impose a duty
- Later AU cases followed Sutherland
o Note: “doctrine of general reliance”
o e.g. Pyrenees Shire Council v Day (1998)
§ Majority emphasised “fictional” nature of doctrine of reliance
§ Gummow J rejected general reliance and preferred the RF + salient factors
approach
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- Scope of duty: “Where a risk is obvious to a person exercising reasonable care for his or her
own safety, the notion that the occupier must warn the entrant about that risk is neither
reasonable nor just.”
- “There was no breach of the respondent’s duty of care in failing to erect a barrier at the cliff
edge.”
- Comparison with Nagle case (p236SVW)- public authority owed a duty to a swimmer who
dived in to pool, hit head on rock and became a quadriplegic. The public authority promoted
the venue for swimming and had a statutory duty to manage it for the benefit of the public
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Feminist Critique
- Legal feminist scholars argue that the idea of reasonable person is a “legal fiction “due to its
subjective nature even through it is an objective test
- The “man of ordinary prudence” originated in the early 19th C in Vaughan v Menlove.
- “...although it is also true that the reasonable man is not devoid of all characteristics which
make him human: age, special skills and, in some instances, disability may all find their way
into the fiction which the courts invoke. However, by and large, neither the personal
characteristics nor the particular weaknesses of the D are considered when evaluating the
behaviour...”
- “...some judges and commentators...conclude that the reasonable man is no more than a
convenient legal fiction disguising the application of subjective judicial preferences and
value judgments. He is merely one of a range of legal devices which operate to ‘obscure the
policy content of judicial decision making’.” (p450 SVW).
- Rabidue v Osceola 1986 US
o Plaintiff sued employer for sexual discrimination and harassment in the workplace
o Not a negligent action
o Keith J (Dissenting) raises questions about the determination of the standard of care
o “Nor do I agree with the majority holding that a court considering hostile workplace
environment claims should adopt the perspective of the reasonable person’s
reaction to a similar environment...In my view, the reasonable person perspective
fails to account for the wide divergence between most women’s views of
appropriate sexual conduct and those of men...the relevant inquiry at hand is what
the reasonable woman would find offensive, not society, which at one point also
condoned slavery. I conclude that sexual posters and anti-female language can
seriously affect the psychological wellbeing of the reasonable woman and interfere
with her ability to perform her job.”
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o Kitto J: “...boys of twelve may behave as boys of twelve; and that, sometimes, is a
risk indeed.” (p458 SVW).
o Mezies J: “...if a child’s conduct is to be judged by a child’s standards, presumably
there should also be special standards of care applicable to other classes of persons
having less capacity than the ordinary reasonably prudent man – e.g. the mentally
defective or the senile...” (p458 SVW)
- Conclusion à Standard of care for children are lowered
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- "It is, and must be, accepted that a learner driver owes all other road users a duty of care
that requires the learner to meet the same standard of care as any other driver on the
road."
- "to describe the relevant comparator as a "licensed driver" diverts attention from the
central inquiry: what would a reasonable driver do? Being authorised by the applicable law
to drive unsupervised on a public road is neither a necessary nor a sufficient characteristic of
the reasonable driver. Holding or not holding the relevant licence is irrelevant to the
description or application of the relevant standard of care."
- Concept of knowledge à this was not found as relevant as distinguished from cook as
usually the other person would now they are a learner driver and other road users would
also know this (due to L plates) à continued to be objective with ruling
o Knowledge should go to contributory negligence thus not relevant
- Outcome and Conclusion
o Learners are still held to the same reasonable person test
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CLA s5B(1)
- (1) A person is not negligent in failing to take precautions against a risk of harm unless:
o (a) the risk was foreseeable (that is, it is a risk of which the person knew or ought to
have known), and
o (b) the risk was not insignificant, and
o (c) in the circumstances, a reasonable person in the person’s position would have
taken those precautions.
- Test of the legislation is slightly more demanding than the test of the common law (shirt) à
not fanciful or far fetched
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instant case is a question on which minds may well differ, as indeed they have done.
It is not a question which a judge is necessarily better equipped to answer than a
layman.” (per Mason J at p395 SVW)
CLA Impact
- Consider s5B(1)(b): “A person is not negligent in failing to take precautions against a risk of
harm unless: (b) the risk was not insignificant...”
- How, if at all, does this change the common law test of RF?
- Answer
o “The requirement in the legislation that the risk be ‘not insignificant’ was intended
to be a more stringent test than the common law position expressed in Shirt, but
not as stringent as ‘significant’ (Ipp Report). In some cases, it has been treated as
being little different from ‘not fanciful or far-fetched’. For example, in Drinkwater v
Howarth Basten JA stated ‘ s 5B is not concerned with how a risk came about. If the
P was clearly at risk, then it cannot be said that the risk was insignificant. It was a
clear risk.’ In Shaw v Thomas, it was said that ‘the requirement in s5B(1)(b) that the
risk be ‘not insignificant’ imposes a more demanding standard [than the Shirt test]
but in my view not by very much’.” (p396 SVW).
o Pursuant to the CLA, “a foreseeable risk is a risk of which the D either knew or ought
to have know.” Note the latter uses the objective standard of the reasonable
person.
o E.g. an employer’s knowledge of risk and a P’s vulnerability may be relevant (Paris v
Stepney Borough Council).
o Do not be misled by the s5B heading “duty” because s5B is actually about breach.
Doubleday v Kelly
- Facts
o A little girl was staying at her friend's house.
o She put on roller skates and then jumped on the trampoline, injuring herself.
o It was an early hour of the morning, and the children were unsupervised.
o A warning was given to the children the night before not to use the trampoline.
- Judgement
o “The actual events as they happened are not the circumstances to which
consideration of foreseeability of risk of injury is applied; what is to be considered is
foresight in more general terms of inquiry”
o In this case, the risk alleged was that if the child was unsupervised, she would use
the trampoline in a hazardous way and might injure herself.
o This risk was perfectly foreseeable.
o Measures taken by the defendant (warned the children not to use the trampoline)
fell below the required standard of care.
- Quotes
o “There was a foreseeable risk of injury if the respondent were to use the trampoline
at all without adult supervision. The fact that the respondent wore roller skates
when she got on the trampoline is a bizarre complexity but not an important one;
the risk that was foreseeable was that the child would not use the trampoline is a
competent way and would injure herself by falling off, and that risk was realised.”
(per Bryson JA at p395-6 SVW).
o “An obvious and effective means of preventing small children from using the
trampoline without supervision was to turn it over so that the jumping surface is on
the ground and to fold the legs up.” (Bryson JA, p396 SVW).
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CLA s5B(2)
- In determining whether a reasonable person would have taken precautions against a risk of
harm, the court is to consider the following (amongst other relevant things):
o (a) the probability that the harm would occur if care were not taken,
o (b) the likely seriousness of the harm,
o (c) the burden of taking precautions to avoid the risk of harm,
o (d) the social utility of the activity that creates the risk of harm.
- “There is judicial authority that the NSW provision does not alter the common law “(RTA v
Refrigerated Roadways Pty Ltd [2009] NSWCA 263).
- But it is not clear whether the way the factors are set out in the CLA may have an
unintended impact on the weighting of particular matters.
- List is not exhaustive (“amongst other relevant things” s5B(2), CLA)
- There is no formula or rule for deciding the weight to be given to each consideration, which
will vary from case to case.
- The question is always what the reasonable person in the circumstances would do in
response
- ** In exam à don’t bring in other factors just use these 4
- ** there is no magical weighting à need to decipher
- ** “this is not a value neutral exercise” à start with this to explain that there is no
magical weighting
FOR EXAM
- Explain the CLA section
- Mention all 4 cases below and why they must be used
- Explain that there is no magical weighting à “this is not a value neutral exercise”
- Go into using the factors to figure out the answer
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o Thus, the prior proceedings adjudged that there was great probability because a lot
of people used to jump off the bridge.
o However, probability is about probability of the injury - that means that the fact that
people jumped regularly and only one got injured meant that the risk was
improbable (or less probable at the least) if anything.
o Also, the misidentification of the risk caused the courts to ascribe greater control to
the RTA than it had – In fact it had no control over the Plaintiff jumping, or the water
levels underneath.
o Court found that the Probability of harm was low
o Quotes
§ “An obligation to exercise reasonable care must be contrasted with an
obligation to prevent harm occurring to others. The former, not the latter, is
the requirement of the law.” (per Gummow J, at p409 SVW).
§ “...the question of whether reasonable care was exercised is to be adjudged
prospectively and not be retrospectively asking whether the D’s actions
could have prevented the P’s injury. ...their Honours erred by focusing in
retrospect on the failure of the RTA to prevent Mr Dederer’s dive, as
opposed to asking what, in prospect, the exercise of reasonable care would
require in response to a foreseeable risk of injury.” (per Gummow J, p.411
SVW).
- FOR EXAM à must go back before the incident happened to see if its foreseeable that the
risk of harm could eventuate
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Class 11 – Causation
Causation Introduction
- Causation à Causation is the essential link between breach and harm
- The plaintiff always bears the onus of proving, on the balance of probabilities, any fact
relevant to the issue of causation à Strong v Woolworths
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o Neild J: “the plaintiff...failed [because]...had all care been taken, still the deceased
must have died.”
o Even if the doctor would have treated the patient, he would of died anyway à thus
no causation
- Cf NZ ACC med injury causation case about the lawyer with a pre-existing heart condition
o First heart attack he got compensation, but not for the second one as he had a pre-
existing heart condition since the first one
- There are issues with the “but for” test. For example:
o 1) Multiple causes and exposure to risk
§ E.g. a person with lung cancer. The cancer may have been caused by
smoking and/or exposure to asbestos (Amaca)
§ An additional problem arises if the P worked for more than one employer
and was exposed at all workplaces e.g. Amaca v Ellis – the P was exposed to
asbestos fibres at two workplaces.
o 2) Multiple defendants
o 3) Supervening causes and loss of chance
§ E.g. an employee slips at work and injures his back. He receives medical
treatment for the injury. That treatment reveals that he had a pre-existing
back injury. Should his employer be liable for the supervening cause (the
pre-existing back injury) that would have shorted the employee’s ability to
work anyway? Or should the employer only be liable for the slip at work?
§ If someone has a pre-existing injury à becomes an issue as defendant can
blame the issue on the plaintiff
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o In such cases, a value judgment of common sense is needed to supplement the but
for test"
o With regards to an intervening act - an act cannot be considered an intervening act
(which breaks causation) if that act was also the result of the original tortfeasor's
negligence.
§ "As a matter of both logic and common sense, it makes no sense to regard
the negligence of the plaintiff or a third party as a superseding cause or
novus actus interveniens when the defendant's wrongful conduct has
generated the very risk of injury resulting from the negligence of the
plaintiff or a third party and that injury occurs in the ordinary course of
things"
o In conclusion, the causation test is divided into two subcategories:
§ Fact: the 'but-for' test
§ Law: further public policy considerations and value judgements.
o McHugh J argues that the ‘but for’ test should be the “exclusive test for causation”
§ The “but for” test should be seen as the test of legal causation à Any other
rule limiting responsibility for damage caused by a wrongful act or omission
should be recognised as a policy-based rule concerned with remoteness of
damage and not causation
Amaca v Booth
- John Booth, a retired motor mechanic, suffers from malignant pleural
- mesothelioma.
- In July 2008, he sued Amaca in the Dust Diseases Tribunal in NSW
- Booth claimed exposure to asbestos fibres in breach of each appellant’s duty of care caused
his mesothelioma.
- In the HCA, the appellants led epidemiological evidence disputing link between exposure to
asbestos and risk of mesothelioma
- Ultimately they needed to apply s5D rather than completely rely on expert evidence
-
Amaca v Ellis
- Facts
oMr Cotton died of lung cancer. He was a smoker and it was well established that
smoking can cause lung cancer. He consumed between 15 and 20 cigarettes per day
for about 26 years. He was exposed to respirable asbestos fibres in the course of
two successive employments, first with the Engineering Water Supply of the State of
South Australia and later by Millennium. His exposure to asbestos when working for
the State was from asbestos cement pipes manufactured by Amaca.
- Judgement
o Court held the appropriate analysis was to consider whether the individual breach of
duty was, in itself, causative of the damage
o On the question of causation, the High Court held that it is insufficient to show that
the inhalation of asbestos fibres merely increased the risk (or 'may have' caused) the
cancer. Rather it is necessary to show that the asbestos exposure was actually a
cause of the lung cancer in the individual bringing the claim.
o That is a matter of fact which requires proof on the balance of probabilities that it
was more probable than not that the negligence of each defendant was a cause of,
in this case, Mr Cotton's cancer
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o It is clear from the judgment that an epidemiological conclusion that asbestos had a
23% chance of having been involved in the development of the lung cancer does not
'tip' the balance of probabilities
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o “In the present case, in contrast, the but for test of factual causation was not
established. It was not shown to be more probable than not that, but for the
absence of security personnel (whether at the door or even on the floor of the
restaurant), the shootings would not have taken place. That is, the absence of
security personnel at Adeels Palace on the night the plaintiffs were shot was not a
necessary condition of their being shot. Because the absence of security personnel
was not a necessary condition of the occurrence of harm to either plaintiff, s5D(1)
was not satisfied.”
o “The submission that the plaintiff’s injuries in these cases were caused by the failure
of Adeels Palace to take steps that might have made their occurrence less likely,
should be rejected.” (p505 SVW)
- 5D and expectational cases à does not say what an expectational case looks like à then
use Adells to try and argue whether you think on the facts that it’s an expectational case
à when the but for test fails due to multiple defendant or multiple circumstances you can
render it an expectational case à USE THE COMMON LAW AND THIS CASE
- Facts don’t have to be identical à just need multiple circumstances
Strong v Woolworths
- Facts
o Kathryn Strong (‘the plaintiff’), who was disabled and required the use of crutches,
was injured when the tip of her crutch came into contact with a chip lying on the
floor of an area occupied by Woolworths (‘the sidewalk area’)
o D he plaintiff appealed to the High Court after Woolworths won the first one
- Negligent act or omission
o The negligent act was failing to clean the chip by Woolworths and not having a
cleaning process in place
- Judgement
o The HCA applied the but for test
o The majority considered that the appeal ultimately turned on the correctness of the
Court of Appeal’s conclusion that "it was not open to infer that the chip had been on
the ground long enough for it to have been detected and removed by… an adequate
cleaning system".
o “But for” having a cleaning system, the chip would not have been on the floor
o Woolworths argued that it was necessary for the plaintiff to adduce evidence to
prove that it was more probable than not that the chip had remained on the floor
for a long enough time that, had Woolworths implemented a proper system of
cleaning, the chip would have been detected and removed
o The High Court rejected this argument and said that the plaintiff’s onus of proof
could be satisfied by considering the "probabilities in circumstances in which the
evidence did not establish when the chip was deposited". That is, the appellant could
satisfy the onus by showing that, on balance, the probabilities favoured a conclusion
that the chip had been on the floor for a greater length of time than the 15 or 20
minutes before the plaintiff fell.
o On that basis, a majority of the High Court allowed the appeal and reinstated the
plaintiff’s judgment obtained at first instance
- Quotes
o “Woolworths’ negligence lay in its failure to employ a system for the periodic
inspection and cleaning of the sidewalk sales area.” (p509 SVW)
o “The policy considerations that inform the judgment of whether legal responsibility
should attach to the defendant’s conduct are the subject of the discrete ‘scope of
liability’ inquiry. In a case such as the present, the scope of liability determination
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presents little difficulty. If the appellant can prove factual causation, it is not in
contention that it is appropriate that the scope of Woolworths’ liability extend to
the harm that she suffered.” (p507 SVW).
o “Section 5D(2) makes special provision for cases in which factual causation cannot
be established on a but for analysis. The provision permits a finding of causation in
exceptional cases, notwithstanding that the D’s negligence cannot be established
as a necessary condition of the occurrence of harm. ...Negligent conduct that
materially contributes to the P’s harm but which cannot be shown to have been a
necessary condition of its occurrence may, in accordance with established
principles, be accepted as establishing factual causation, subject to the normative
considerations to which s5D(2) requires attention to be directed.” (p508 SVW)
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o “[Chapman] insists that the fact that Hearse’s later act was wrongful operated to
break the chain of causation between his negligence and Dr Cherry’s death.” (p511
SVW) à chapman argument of novus
o “On principle, it is impossible to exclude from the realm of reasonable foresight
subsequent intervening acts merely on the ground that those acts, when examined,
are found to be wrongful.” (p511 SVW)
o “There can, we think, be no doubt that Dr Cherry’s presence in the roadway was,
immediately, the result of Chapman’s negligent driving and if any support for this
conclusion should be thought to be necessary ample can found in the analogous so-
called ‘rescue cases’....the risk of injury from passing traffic was real and substantial
and not, as would have been the case if the accident had happened in broad
daylight, remote and fanciful. ...we have no doubt that Chapman’s negligence must
be regarded as a cause of Dr Cherry’s death and since...some casualty of that
character was within the realm of reasonable foreseeability the judgment against
Chapman should stand.” (p511 SVW)
Haber v Walker
- Negligence of the defendant caused severe physical and mental injuries to plaintiff's
husband – Later on, the plaintiff's husband killed himself.
- Plaintiff argued that the negligence of the defendant caused the subsequent suicide and
thus her harm as a result – thus the novus was the suicide itself – the legal issue on these
facts is whether the suicide acted as a novus
- The court found that in this case, the suicide cannot be considered as a voluntary act since
it was a result of the negligence
o Thus, no intervening act and the defendant is liable.
o "the intervening occurrence, if it is to be sufficient to sever the connexion, must
ordinarily be either-
§ (a) human action that is properly to be regarded as voluntary, or
§ (b) a casually independent event the conjunction of which with the wrongful
act or omission is by ordinary standards so extremely unlikely as to be
termed a coincidence"
- Quotes
o The negligent driver argued in part that the suicide represented a novus actus, that
is, it was a voluntary act that severed the chain of causation between the death and
the driver’s negligence.” (p512 SVW)
o “The court held that since the deceased’s suicide was not voluntary there was no
novus actus...” (p513 SVW)
o “The High Court in Chapman lays down that ‘the term ‘reasonably foreseeable’ is
not, in itself, a test of causation’, but ‘marks the limits beyond which a wrongdoer
will not be held responsible for damage resulting from the wrongful act’. ...an
intervening negligent act of a third person will not break a chain of causation if the
original wrongdoer should have realized that a third person might so act.” (p512
SVW)
o “The intervening occurrence, if it is to be sufficient to sever the connexion, must
ordinarily be either – (a) human action that is properly to be regarded as voluntary,
OR (b) a causally independent event the conjunction of which with the wrongful act
or omission is by ordinary standards so extremely unlikely as to be termed a
coincidence.” (p513 SVW)
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Mahony v Kruschich
- Facts
o This case concerned a plaintiff who was injured by the negligence of the defendant.
He then sought medical assistance which was also negligent, and further aggravated
his injuries.
o The defendant sought to limit his damages by saying that the negligence of the
doctor constituted an intervening act.
o Argued that the medical treatment is the novus
- Judgement
o The court held that negligent medical treatment does not constitute an intervening
act.
o Further harm through bad medical treatment is a reasonably foreseeable
consequence of the original tortfeasor’s negligence and does not break the chain of
causation.
o However, the court also held that in cases where the treatment is 'inexcusably bad'
or really inappropriate, then it will constitute an intervening act.
- Quotes
o “When an injury is exacerbated by medical treatment, however, the exacerbation
may easily be regarded as a foreseeable consequence for which the first tortfeasor is
liable. Provided the P acts reasonably in seeking or accepting the treatment,
negligence in the administration of the treatment need not be regarded as a novus
actus which relieves the first tortfeasor of liability for the P’s subsequent condition.”
(p514 SVW).
o “However, in the ordinary case where efficient medical services are available to an
injured P, the original injury does not carry the risk of medical treatment or advice
that is ‘inexcusably bad’...’extravagant from the point of view of med practice’. In
such a case, it is proper to regard the exacerbation of a P’s condition as resulting
solely from the grossly negligent medical treatment or advice, and the fact that
the P acted reasonably in seeking and accepting the treatment or in following the
advice will not make the original tortfeasor liable for that exacerbation.” (p514
SVW).
- Does the subsequent negligence (e.g. medical malpractice) absolve the defendant from
liability even though the defendant caused accident that necessitated treatment?
o If the treatment is inexcusably bad, it will constitute as an intervening act
- Concept when you have an injury which is initially caused by someone else, then someone
gets treatment and the treatment is not sufficient – the inexcusable bad treatment will
constitute as an intervening act
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Remoteness
- Remoteness involves “judgement” and is “heavily influenced by policy”
- It marks the boundary beyond which it would be unjust to hold the defendant liable
o E.g. s5D(4) CLA “for the purpose of determining scope of liability, the court should
consider… whether or not and why responsibility for harm should be imposed”
- The CLA refers to “scope of liability” which includes remoteness of damages issues
o S5D(1)(b) – “appropriate”
o S5d(4) – “whether or not and why”
- Reminder – problem Q shorthand for this
o s5D(1)(b) CLA “appropriate” + s5D(4) CLA “whether or not and why”
- This does not alter the common law, although it requires policy considerations to be more
clearly articulated
- The former test was in Polemis à direct consequences
- Now - the test of remoteness = foreseeability test/reasonable foreseeability of damage
(Wagon Mound)
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o Plaintiff argued that he fire and the damage to the wharf was a direct consequence
of the Defendant's negligence
- Judgement
o The test of direct consequence should not be the test for remoteness anymore "For
it does not seem consonant with current ideas of justice or morality that for an act
of negligence, however slight or venial, which results in some trivial foreseeable
damage the actor should be liable for all consequences however unforeseeable and
however grave, so long as they can be said to be 'direct.'"
o "It is a principle of civil liability...that a man must be considered to be responsible
for the probable consequences of his act. To demand more of him is too harsh a
rule."
o Foreseeability becomes the test for remoteness, and the Defendant could not
have reasonably foreseen that the oil would catch alight.
o Thus, the Defendant is not liable for the damages, because they are too remote
- Wagon Mound (No 2)
o Same facts of Wagon Mound No 1, except the Plaintiff is now the owner of the ship
parked at the wharf affected. The ship suffered damage as a result of the fire.
o Judgment
§ In the last case, the court determined that the fire was not foreseeable at
all, but in this case, there is evidence that the engineers of the Defendant
should have foreseen a risk, although an unlikely one.
§ So how is reasonable foreseeability defined - is an unlikely risk too remote?
§ Bolton v Stone, distinguished between cases where the possibility of the risk
was so far-fetched that no reasonable man would have done anything to
cases in which the risk is material.
§ This means that harm is reasonably foreseeable if it isn't "thought to be
physically impossible or because the possibility of its happening would have
been regarded as so fantastic or farfetched that no reasonable man would
have paid any attention to it impossible."
§ In this case, the risk was more than far-fetched, it should have been
foreseeable that measures should be taken against oil dripping into the
water in large quantities.
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o 10-year-old child hit his head on bus stop pole and got rare psychological condition
o Argued that illness was because parents stressed out
o “The rule of the “eggshell skull cases” should not be confined to the physical or
constitutional characteristics of the particular individual. When a defendant takes a
plaintiff as he finds him, he does not take him as a naked human being divorced from
his environment. Clearly enough taking the plaintiff as you find him involves taking
him in at least his social and earning capacity setting...I think that the defendant
must take the plaintiff with all his weaknesses, beliefs and reactions as well as his
capacities and attributes, physical, social and economic...Justice to the defendant is
fulfilled by the requirement that the plaintiff must belong to the class of persons
whom the defendant can reasonably foresee may be injured by his carelessness and
by the requirement of a causal connection between the negligence and the plaintiff’s
condition...”
- Kavanagh
o “the respondent’s psychiatric injuries were foreseeable, and the award of general
damages should have taken them into account….so long as psychiatric injury is itself
regarded as a foreseeable consequence of the physical injury inflicted on the
respondent...”
o “The principle that a tortfeasor takes the victim as he or she is found is not absolute
and unqualified. However, I see no reason why the appellant should not take the
respondent in the family and cultural setting that she lived. Equality before the law
puts a heavy onus on the person who would argue that the ‘unusual’ reaction of an
injured P should be disregarded because a minority religious or cultural situation
may not have been foreseeable.”
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suffering harm (given the breach which has occurred) against those that would have existed
(if the breach is hypothesised away)”. (Chappel v Hart)
- Anything that was previously thought as loss of chance will now be discussed in damages
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Class 14 – Defences
Introduction to Defences
- Forms of Defences
o 1. Contributory negligence
o 2. Voluntary assumption of risk
o 3. Statutory defence
§ Dangerous recreational activity
o 4. Illegality
§ Plaintiffs who are injured while in breach of the criminal law may be denied
redress in whole or in part
- Plaintiff who sues in negligence bears onus of proof
- Success is dependent upon whether the defendant can raise a defence
- Defence – ‘“a rule that prevents liability from arising even if all of the elements of the tort in
which the P sues are present or that reduces a successful P’s entitlement to damages”
- Defendant pleads and establishes defences
o Burden is balance of probabilities
- CLA has ‘Significantly amended the operation of the common law defences’ and ‘introduced
new statutory defences’
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Contributory Negligence
- Contributory negligence occurs when the plaintiff's own negligence contributed to its own
injuries
- Whilst contributory negligence used to be a complete defence to negligence, it now only
reduces the damages recoverable by the plaintiff.
- Used to be a complete defence, however this has been changed by the law Reform
(Miscellaneous Provisions) Act (NSW) à now there is apportionment
- First Test
o Objective standard: how much care would the reasonable person in the P’s position
have taken and did the P take less care?
o No dispensation is made if the P was incapable of achieving the standard of the
reasonable person.
o However, P’s age may be considered. (Doubleday v Kelly; McHale v Watson; Smith v
Zhang).
o Smith v Zhang: P was 83 year old with limited sight Court said that even such Ps
should first look before trying to cross the road.
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Introduction
- The tort of breach of statutory duty is not part of negligence
- Breach of statutory duty is a separate, independent tort
- Note that it is frequently argued alongside a negligence claim.
- A torts action for damages may be available for breach of a duty imposed by statute.
- Actions for breach of statutory duty have been common for duties involving workers’ safety,
but exceptional in other areas.
- E.g. the first successful modern action for breach of statutory duty was by an employee for
breach of a statutory duty to fence dangerous machinery: Groves v Wimborne [1898] 2 QB
402.
Elements
- There are 6 elements that must be satisfied before the action is complete.
- The elements are primarily based on statutory interpretation.
- Note that my organisation of the elements is different from the textbook (p731). That is
deliberate. My aim is to ensure that students do not miss any steps.
o 1. The statute must confer on the plaintiff a right to sue (rather than merely impose
a public law duty).
o 2. The plaintiff must be a member of class of persons protected by the statute.
o 3. The statute must be directed at preventing the kind of harm suffered by the
plaintiff.
o 4. The statutory duty must have been imposed on the defendant.
o 5. The statute must be breached – Strict liability imposed.
o 6. The breach must cause the P’s injury.
Step 1: THE STATUTE MUST CONFER ON THE PLAINTIFF A RIGHT TO SUE (RATHER THAN MERELY
IMPOSE A PUBLIC LAW DUTY).
- The requirement is satisfied if the statute expressly states that there is a private right to sue.
- However, in most instances the statute is silent. That makes our job as lawyers particularly
fun!
- What are the various presumptions that have developed by which the court may determine
that there is, or is not, a legislative intention to create a private action?
o 1. The statute contains no penalty for breach
o 2. Must be a penalty imposed by the statute
o 3. Must be some kind of adequate alternative remedy
o 4. A duty for the benefit of a limited class
- EXAMPLE – Cutler v Wandsworth Stadium Ltd [1949] 1 All ER 544
o H An operator of a licensed dog racing track (D) failed to provide a bookmaker (P)
space at the track to carry on business. The P argued that the D had breached the
Betting and Lotteries Act 1934 (UK). “The occupier of a track shall take such steps as
necessary to secure that... there is available space for bookmakers on the track...”
Substantial penalties were imposed by the Act.
o Was the intent of the legislature to provide a private right to sue?
§ Statute is talking about the bookmakers
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Step 2: THE PLAINTIFF MUST BE A MEMBER OF CLASS OF PERSONS PROTECTED BY THE STATUTE.
- Pask v Owen [1987] 2 Qd 421
- EXAMPLE: The defendants gave their 15-year-old son an airgun and ammunition. They knew
their son allowed the plaintiff, a 13-year-old school friend, to handle the gun and
ammunition. The plaintiff shot himself in the eye with the gun and argued the defendants
had breached the Firearms and Offensive Weapons Act 1979 (Qld) “A person shall not
knowingly supply any firearm or ammunition to or for the use of a prevented person.”
- Is the school friend a member of the class of persons protected by statute?
o
Step 3: THE STATUTE MUST BE DIRECTED AT PREVENTING THE KIND OF HARM SUFFERED BY THE
PLAINTIFF.
- Mummery v Irvings (1956) 98 CLR 99
- The P entered the D’s sawmill to buy timber. The D was operating a power-driven circular
saw. There was no guard attached to the saw. A piece of wood flew from the saw and hit the
P in the face causing him severe injuries. The P claimed that the D had breached the
Factories and Shops Act 1928 which stated, “every occupier of a factory shall provide guards
for all dangerous parts of the factory.”
- Is the statute directed at preventing the kind of harm suffered by the P?
o No the statutory language did not include prts that were indirectly dangerous
Step 4: THE STATUTORY DUTY MUST HAVE BEEN IMPOSED ON THE DEFENDANT
- Cubillo v Commonwealth (2000) 103 FCR 1.
- Aboriginal children removed from their families (Stolen Generation) sued the
Commonwealth in tort of breach of statutory duty. They argued the Commonwealth had
breached a statutory duty placed on government officials “personally and by virtue of their
office”.
- Was the statutory duty placed on the defendant by the statute?
o No duty
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Introduction
- Concurrent liability cases are cases where:
o More than one person is liable in tort for the plaintiff’s damages
o It is not possible to attribute separately identifiable harm to each wrongdoer à all
defendants are liable to the plaintiff for the same damage
- Where concurrent liability exists, the plaintiff can choose to sue one or more o the
defendants in a single action or series of actions
- There are restrictions on the recovery of damages and costs in subsequent actions à Law
Reform (Miscellaneous Provisions) Act 1946 (NSW) s5(1)(a)(b)
Vicarious Liability
- Typical case of vicarious liability is an employer’s liability for a tort committed by an
employee within the course of employment
o E.g. employer’s liability for an employee’s tortious conduct during course of
employment
- There are three relationships in law sufficient to general vicarious liability
o Employer/employee – this is the focus
o Principle/agent
o Between partners
- How does this relate to personal responsibility?
o As an employer tends to reap the benefits of a business, they should hold a higher
liability and risk for this
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Hollis v Vabu
- Facts
o The Plaintiff [Hollis] was a cyclist who got hit by an unidentified person, who was
working for the Defendant [Vabu] name on it.
o The status of such couriers in the Defendant's organisation was undefined - it is
unclear whether they were contractors or employees.
- It is important to distinguish whether the relationship between the courier and vabu is one
of employer/employee or employer/independent contractor because this will determine is
vicarious liability must be considered
o "It has long been accepted, as a general rule, that an employer is vicariously liable
for the tortious acts of an employee but that a principal is not liable for the tortious
acts of an independent contractor."
- Control Test
o The court moved away from the control test and towards a more comprehensive
analysis and balancing of several factors à sufficient relationship test
§ The job allocated to the worker involves a low level of skill.
§ The worker has little control over how he may do his job, the hours of his
job or the conditions.
§ The worker is presented to the general public as a part of the defendant's
organisation (for example, uniform).
§ It seems as though the Defendant should be deterred from carelessness
through the imposition vicarious liability.
§ The worker's payment scheme or holiday schemes are managed by the
Defendant.
§ The worker's equipment is provided and maintained by the Defendant.
§ The job performed by the worker is a main job of the Defendant and not
some supplementary side task.
- Factors for designating the courier as an employee
o Refusal to give holidays means that the workers are not independent.
o Presented to the public as workers of the Defendant - uniforms with the Defendant's
name
o Defendant superintended the workers' payments
o Workers didn't perform an 'added' or corollary part of the business of the Defendant
- they did the main purpose
- Factors against designating the courier as an employee
o Little control over how they perform and work hours
- Outcome
o Relationship was found to be employer and employee à Vabu was vicariously liable
for the consequences of the courier’s negligent performance of his work
Independent Contractors
- Principle is not vicariously liable for the wrongdoing of an independent contracts à Sweeny
v Boylan Nominees
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§ This means that a defendant may be vicariously liable even if the tortfeasor
acted in a way which was expressly forbidden by the defendant
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Introduction
- A non-delegable duty is a duty of care owed towards a group of people which cannot be
assigned to someone else
- This means that when one owes a non-delegable duty towards another, he has a duty not
only to take reasonable care himself, but ensure that others take reasonable care (since he
cannot discharge his duty by 'delegating' or transferring it to others)
- As a result, a defendant who owes a non-delegable duty will be liable for the wrongdoing of
others even if they are independent contractors
- In order for a defendant to owe a non-delegable duty, the following requirements must be
satisfied
o 1. Control/responsibility - the defendant must have had some control over the
plaintiff or the plaintiff's property.
o 2. Vulnerability - the defendant must have been unable to protect himself and was
forced to rely on the defendant to ensure that care had been taken
- In non-delegable duty à the liability is not direct (personal duty)
In what day does this duty impose a higher standard of care than other categories of duty
- “...depending upon the magnitude of the danger, the standard of ‘reasonable care’ may
involve a ‘degree of diligence so stringent as to amount practically to a guarantee of safety.
...The dangerousness of the substance or activity involved in such circumstances will
heighten the degree of care which is reasonable.” (Burnie Port Authority v General Jones)
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CLA s5Q
- Liability is to be determined “as if the liability were the vicarious liability of the defendant for
the negligence of the person in connection with the performance of the work or task.”
- This means that a defendant subject to a non-delegable duty can be liable for independent
contractors delegated to carry out that duty subject to the “course of employment”
requirement
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Class 18 – Damages
Damages Introduction
- Damages are a monetary remedy arising from a civil wrong – compensation
- Do not confuse with damage (harm, injury)
- Compensation is the reparation of a civil wrong by the provision of a sum of money awarded
by a court.
- “A plaintiff who has been injured by the negligence of the defendant should be awarded
such a sum of money as will, as nearly as possible, put him in the position as if he had not
sustained injuries.” - Todorovic v Waller à THIS IS USED IN THE EXAM AT BEGINNING OF
DAMAGES
Types of Damage
- 4 types of damages that may be awarded in a tort action
o Nominal
§ Small sums awarded in recognition of the plaintiff’s rights
§ Cannot be awarded in negligence because gist of action
o Compensatory
o Aggravated
o Exemplary/punitive
- Exemplary and aggravated damages are excluded where the CLA applies e.g. motor vehicle
accidents, s81A Motor Accidents Act 1988 NSW
Economic Damage
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§ At the time of the accident, she was 20 years old and had an extremely
bright future ahead of her
§ She was awarded $300,000 and it decreased to $270,547
Non-Economic
- There are three ‘heads; of non-economic loss
o Pain and suffering
o Loss of amenities
o Loss of expectations of life
- Skelton v Collins – leading authority on allowable items in the determination of general
damages
o Pain and suffering – Skelton
CLA s16
- Attempts to provide a systematic method for the determination of damages for non-
economic loss.
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- Sets out a maximum amount that may be awarded for non-economic loss.
- The maximum amount is adjusted in accordance with changes in the average weekly total
earnings for all employees in NSW (s17 CLA) - $635,000 for 2018
- Imposes a threshold (15%) precluding recovery in cases of minor injury.
- Provides a scale limiting the recovery of damages for non-economic loss for less serious
injuries
- Provides a table and step-by-step approach.
CLA s17A
- Enables a court to have regard to other decisions of the same or other courts to determine
the appropriate award
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- “A wide measure of discretion has always existed in fixing damages for non-economic loss.
All that this legislation does is to require that the damages under this head be fixed in
harmony with the fact that Parliament has determined that a maximum will be laid down,
varied from time to time and reserved for ‘a most extreme case.” – Southgate
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Impecunious Defendants
- The judgment creditor may get the judgment satisfied if the judgment debtor has money
and/or assets
- If so, the usual procedure is to seal the judgment and demand payment
- Ultimately, the creditor may enforce judgment via filing a bankruptcy petition
- “You can’t get blood out of a stone.”
- “Deep pockets”.
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§ “I find that the reasonable person in the position of the second defendant
would have taken the precaution of temporarily pausing the game while the
plaintiff was close to the action…” (para 76).
o Causation
§ B See from para 79 –
§ “I find that the negligence of the second defendant was a necessary
condition of the occurrence of the harm. Further, I find that it is appropriate
for the scope of the second defendant’s liability to extend to the harm so
caused. The second defendant was the master of the situation. It was his
failure to take reasonable precautions which caused the plaintiff’s injury.”
(para 84-5).
o Inherent Risk
§ E.g. dumped by wave while body surfing
§ On the facts, there was not an inherent risk (see paras 91 - ).
o Obvious Risk
§ (See paras 93 - )
§ On the facts, there was not an obvious risk within the meaning of the Act.
o Contributory Negligence
§ (see from para 98 - )
§ “I find that there was no contributory negligence on the part of the
plaintiff.” (para 101)
o Damages
§ Non-economic loss (from para 147 - )
§ “Damages for non-economic loss are governed by s 16 of the Act. Those
damages have to be assessed as a percentage of ‘a most extreme case’…”
(para 147).
§ “The D submitted that the damages should be assessed at 30% of a most
extreme case. I reject this submission…” (para 148).
§ “The plaintiff submitted that non-economic loss should be assessed at 70%
of a most extreme case. …that is far too high.” (para 149).
§ “…the objective assessment of Dr Steiner was that she has a 24%
impairment of her visual system. This percentage does not translate to a
percentage of a most extreme case, but it is a matter I take into account.”
(para 150).
§ “That [not being an elite gymnast] has been a great disappointment to the
plaintiff and that disappointment is ongoing.” (para 153.
§ Disappointment (pain and suffering/non-economic) vs the income she
would have earned but for the injury (future loss of earnings).
§ “Taking all those matters into account I assess the plaintiff at 55% of a most
extreme case.” (para 154).
§ Future out of pocket expenses - “Future loss of earning capacity is difficult
to assess in the present case. …The court has to do the best it can to
provide compensation which is adequate to the plaintiff and fair to the
defendant, based on the limited evidence available.” (para 170).
§
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- Should fault be a core principle in torts? Should a no-fault approach be used to address
‘tortious’ wrongs and injuries?
- What can the theoretical and empirical data tell us about the utility of ‘fault’, ‘causation’,
and plaintiffs’ and defendants’ experiences of torts and its alternatives
- Should AU adopt an administrative no-fault scheme
Defendants perspective
- Is it fair to impose tort liability on those whose momentary carelessness happened to result
in massive losses for others?
- Is causation an effective fair basis for differential liability
Plaintiffs perspective
- How fair is torts for inured people
- Does torts fulfil its primary purpose to provide compensation to injured people
Society Perspective
- Is torts a ‘good’ (fair and just) system for society
Theory
- ‘Fault’ – responsibility for harm
- Cause’ – have an effect
- Causation occupies a prominent role in several theories about tort liability
- It is far and just to hold the wrongdoer/tortfeasor accountable when s/he ‘caused the harm
o It was the tortfeasors ‘fault’
o The tortfeasor must be responsible for the harm if s/he caused it
Law
- Tort law requires the injured plaintiff to prove that someone else caused the harm
- In the absence of fault, no compensation will be available
Empirical Evidence
- Greatest burden of injuries is around falling but through the torts system we are not able to
do anything
- Medical error is also a huge burden of injuries
- NZ Data
o 4th highest cause of death is ‘complications of medical and surgical car’
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Proving Causation
Multiple causes
- Medical cases often pose difficult issues of causation
- E.g. Asbestos exposure causes where the epidemiological evidence about causation is
important
- Amaca v Ellis
o HC considered the problem of how to assess causation when there are multiple
factors present that are known to cause the type of injury suffered
o Demonstrates that proving that something could have caused the plaintiffs injury is
not the same as proving that it did cause the injury
Multiple Defendants
- “Tort law is an exercise in applied ethics” (Peter Cane p5 SVW)
- Are there any questions before we move to an example of a philosophical critique of fault
and causation
- How should the legal system respond to injury
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Plaintiffs Perspective
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Alternatives to Torts
- ACC
o
- Waldron’s Defence of No-Fault
o
- Administrative Compensation Schemes in Torts Jurisdictions – USA
o All of these are no-fault
§ Workers compensation
§ Black Lung Benefits Program
§ September 11 Victim Compensation Fund
§ Vaccine injury compensation funds
• Childhood smallpox
• Pandemic/bioterrorism countermeasures
§ Florida and Virginia Birth-related neurological injury compensation
programs
- Administrative Compensation Schemes in Torts – AUS
o NSW – Motor accidents (Lifetime Care and Support) Act 2006
§ Limited no-fault scheme for those catastrophic injury in traffic accidents
o VIC and NT – motor accident compensation scheme is no fault
- Reform in AUS
o National Disability Insurance Scheme (NDIS)
§ Passed through parliament in 2013
§ Insurance covers for all Australians in the event of a significant disability
§ Government funded, like Medicare
o National Injury Insurance Scheme (NIIS)
§ Separate state-based scheme
§ Nationally consistent, no-fault lifetime care and support to people newly
affected by catastrophic injury from accidents including
• Motor vehical
• Workplace
• Medical
• “general “accidents
• Criminal accidents
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BREACH
1. Introduce Case
[Plaintiff]v [Defendant]
2. ISSUE: Identify the wrong and what risk did the wrong create – be very specific
- The issue is whether the wrong in this instance, which is ………. has breached the duty of care in
which [defendant] owed [plaintiff]
- The risk created by this wrong is …… (higher potential of an accident occurring?) ………..., which
can cause (physical and/or mental) injury
3. Standard of Care
- Per Imbree v McNeilly, the standard of care of the [plaintiff] is one of a reasonable person.
- However, the standard or care may be modified due to the attributes of the plaintiff.
IF NOT MODIFIED
Learners
- Interpreting the facts, it is clear that the plaintiff is a learner, as …………..
- However, as per Imbree v McNeilly, Learners are still held to the same reasonable person test
and the standard of care will not be modified
IF MODIFIED
Children
- Interpreting the facts, it is clear that the plaintiff is a child as ……………
- However, as per McHale v Watson, the standard of care for children is modified into a lower
standard of care, as children are not seen to have understood and awareness as an adult
- Thus, the plaintiff will be not be held to a reasonable person’s standard of care when the court is
determining whether a breach of duty has occurred.
Professionals
- Interpreting the facts, it is clear that the plaintiff is a professional as ………
- However, as per Rogers v Whittaker, the standard of care is modified for professionals through
the modified Bolam principle, stating that “'the standard of reasonable care and skill required is
that of the ordinary skilled person exercising and professing to have that special skill'.
- Thus, the plaintiff will be held to a higher standard of care than the reasonable person.
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- S5o and s5P of the CLA will only be utilised if the standard of care applied is one of a
professional.
- IF NOT A PROFESSIONAL – Hence, as the plaintiff is not a professional, these sections will not
apply.
In regard to s5o:
- A professional will not be held liable in breaching a duty through a professional service if the
professional acted in a manner which is widely accepted in Australia as a competent professional
practice
- However, as per the modified bolam principle, the court will determine whether this widely
accepted practice is irrational or not
- Interpreting the facts, the professional service of ……………..:
o Will be seen as widely accepted as ………….., thus the plaintiff may be able to utilise
this section.
o Will not be seen as widely accepted as ……………, thus the plaintiff may not be able to
utilise this section.
In regard to s5P:
- USE IF A WARNING IS RELEVENT IN THE FACT
- The disclosure of information is treated differently to treatment, as there is a duty to warn of a
material risk regardless of any 'widely accepted practice', whereby a risk is material if the patient
would attach significance to it or express concern.
- Thus, Rogers and Whittaker must be applied
- Applying this to the facts ……………..
- Therefore, it is evident that [plaintiff] will be (will not be) protected under this section
The court must now considers CLA s5B(1) in determining whether [Plaintiff] has breached his/her
duty.
Reasonable Foreseeability
- In order to determine if the risk of injury is reasonably foreseeable as per s5B(1)(a), we apply
Wyong Shire Council v Shirt, assessing whether or not “the risk is not one that is far-fetched or
fanciful”
- Applying this test to the facts,
o The risk is reasonably foreseeable as ………….
o The risk is not reasonably foreseeable as ………….
Not Insignificant
- In order to determine if the risk is not insignificant as per s5B(1)(b), we must assess whether the
negligent wrong carries a high probability of the harm occurring
- Applying this test to the facts,
o The risk is not insignificant as ………..
o The risk is insignificant as ………..
Calculus of Negligence
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- In determining whether a reasonable person would have taken precautions against a risk of
harm as per s5B(1)(c), the court is to consider the factors listed in s5B(2):
- This is not a value neutral exercise and there is no set weighting for these factors
Social Utility
- As per E v Australian Red Cross Society, one will not be found in breach of a duty of care if the
court decides that the risk of harm does not outweigh the social utility.
- Interpreting the facts, it is evident that
o The risk of harm does (not) outweigh the social utility, as ………
- Hence, a reasonable person would not be found (would be found) to breach there duty of care
on the basis of s5B(2)(d)
6. Overall Conclusion
Thus, it is likely (unlikely) for the court to conclude that [plaintiff] has breached his/her duty of care
on the basis of……..
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CAUSATION
Factual Causation
As per s5D(1)(a), the court must first attempt to apply the “but for” test in order to establish factual
causation.
In the case at hand, the court is able to establish that “but for” the …….[incident that occurred], the
….[injury/harm] would not have occurred
Thus, the court must continue to determine whether causation is established, by ensuring there is
no novus actus and examining the remoteness and scope of the incident.
However, as there are (multiple potential causes for the injury OR an intervening act), particularly:
………, this is rendered an exceptional case and the court must apply s5D(2) and determine whether
or not and why responsibility for the harm should be imposed on [defendant] (March). In
determining s5D(2), the court will apply Adeels Palace
In order to determine whether there is a novus, the court must determine whether:
1. There is a reasonably foreseeable event in the situation of risk created by the defendant, or
2. There is a voluntary human act, or
3. There is a casually independent event unconnected with the negligence
The issue is whether the event of ……….. is reasonably foreseeable in the situation created by the
defendant
Applying Chapman v Hearse, an intervening act does NOT break the chain of causation, as long as
the intervening act was a reasonably foreseeable result of the original act.
** if third party – further, if the act involves a third party, an intervening negligent act of a third
person does NOT break a chain of causation if the original wrongdoer should have realised that a
third person might act so
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** if medical case – further, if the case involves medical practice, the court must apply Mahony v
Kruschich, stating that, Further harm through bad medical treatment is a reasonably foreseeable
consequence of the original tortfeasor’s negligence and does not break the chain of
causation. However, the court also held that in cases where the treatment is 'inexcusably bad' or
really inappropriate, then it will constitute an intervening act.
Thus, the court is likely to conclude that the act of …………… is (is not) a reasonably foreseeable event
The issue is whether the event/s of ………. constitutes as a voluntary human act that breaks the chain
of causation
Applying Haber v Walker, The harm is classified as within the scope of liability if the Plaintiff’s
conduct (voluntary human act) was a reasonable or forced response to initial harm, it was therefore
‘caused by the defendant’s initial act of wrongdoing’.
Therefore, it is evident that there is (is not) a voluntary human act that breaks the chain of causation
Further applying Haber, the court must examine whether the act of ………… can be classified as a
casually independent event unconnected with the negligence.
If within scope of liability – thus, we must apply Haber as it is evident that there is no casually
independent event connected, and thus the defendant will be held liable
If not within the scope of liability – thus, we must apply McKew v Holland Hannen and Cubitts, as
the act of …………… can be classified as unreasonable lack of care for their own safety
As per CLA s5D(1)(b), the court must examine the remoteness and scope of liability in order to
conclude that the defendant caused the harm.
To do this, the court must observe the reasonable foreseeability of the damage by applying Wagon
Mound No.1, stating that A defendant is liable for all the harm that they have caused, provided it is
damage of a kind that is reasonably foreseeable as a consequence of the breach, even if the full
extent of the harm was not reasonably foreseeable.
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The harm is classified as within the scope of liability if It is not ‘too remote’ in the sense that it is
harm of a kind that is reasonably foreseeable, even if it occurred in an unforeseeable way.
1. Kind of Injury
2. Manner of Occurrence
- As per Hughes v Lord Advocate, just as long as there was some broad scope of injury
possible, doesn’t matter how specifically it came about, with all that matters being that the
damage just needs to be actualised.
3. Extent of Damage
As per Dulieu v White & Sons, A wrongdoer must take their victim as they find them, referring to the
Egg-shell skull rule.
If the plaintiff already has a pre-existing injury, the defendant can’t say they are not liable because
the plaintiff was already susceptible to the injury.
Thus, as even though there is a pre-existing injury, we must apply Nader and Kavanagh and reject
this as a reason for the injury.
The final step is to examine CLA s5D(1)(b) and s5D(4), as the court must come to a conclusion on
whether or not a why the harm should be imposed on the negligent party, which is a normative
question.
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DEFENCES
Contributory Negligence
The court must consider whether the plaintiffs’ actions of ………… can be deemed as contributing
aspects to the plaintiff’s own injury of ……….
As per s5R, the court must determine whether the plaintiff failed to take care of their own safety. To
assess this, the court considers s5R regarding to determine whether the plaintiff failed to take
precautions against the risk of harm, using the reasonable persons test. This is an objective standard
test with no dispensation is made if the P was incapable of achieving the standard of the reasonable
person.
To determine this, [plaintiff’s] age may be considered as the standard of care of a reasonable person
can be influenced by age (Doubleday v Kelly)
Thus, it is evident that [plaintiff] breached/has not breached her personal duty of care …..
2. Causal Link
As per Froom v Butcher, the plaintiff’s contributory negligence will be irrelevant unless it is causally
related to their injury. Thus, the court will must decipher whether the actions of …………….. are
directly a cause of the injury of …………The court must determine the causal link to the damage, not
the accident occurring?
3. Apportionment
If a breach of self-duty and a causal connection are satisfied, contributory negligence is found and
the court will apportion damage according to relative faults.
To do this, the court must consider:
- How far the plaintiff departed from the standard of care of a reasonable person
(Pennington)
- The relative importance of the parties’ act in causing the harm (Podrebersek)
It is evident that [plaintiff] (only slightly/drastically) departed from the standard of care of a
reasonable person as ………[FACT].
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CA s5S
- The court must also consider s5S as the court may determine a reduction of 100% if the
court thinks it just and equitable to do so, with the result that the claim for damages is
defeated
- Applying this to the facts, …………..
4. Conclusion
In conclusion, it is evident that contributory negligence does (does not) apply to the case at hand
IF IT DOES: - thus, the court is likely to apply a 70/30 or 80/20 proportion in the case at hand.
In order to constitute the defence of voluntary assumption of risk, the court must consider whether:
- The plaintiff had knowledge of the risk, and
- The plaintiff voluntarily made the choice to undertake this risk
1. Knowledge of risk
To determine this, the court considers s5G, whereby it must be deciphered whether the risk can be
deemed as obvious or not, as if it is seen as an obvious risk the court presumes the plaintiff aware of
the risk of harm, unless the plaintiff proves on the balance of probabilities that they were not aware
of the risk. An obvious risk is defined by s5F as a risk that “would have been obvious to a reasonable
person in the position of that person”
NON-OBVIOUS - Doubleday v Kelly – Falling off a trampoline while wearing roller skates was held to
be a non-obvious risk, from the perspective of a 7-year-old child
OBVIOUS – Dederer – Diving off a bridge into water 9 metres below in circumstances where a ‘no
diving’ sign is positioned nearby was held to be an obvious risk, from the perspective of a 14-year-
old boy
** If non-obvious risk
- However, If the risk is deemed as not obvious, voluntary assumption of risk is still available
as a defence If it is proven that the plaintiff knew about and consented to the specific risk at
hand
2. Voluntary Action
If knowledge of the risk is determined, the court must assess whether there was a voluntary action,
as a plaintiff who was constrained by circumstances from making a free choice will not be regarded
as acting voluntarily (Joyce)
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Insurance Commissioner v Joyce à - Plaintiff got into a car when he knew that the defendant was
drunk à An individual who accepts a lift with an obviously drunk person cannot make a claim as
they consented to the risk of injury (expressly or impliedly)
For the statutory defence of dangerous recreational activity to be satisfied, the court must consider:
- Whether a recreational activity was taken place, and
- Whether the recreational activity involves a significant risk, and
- Whether there is the materialisation of the obvious risk while engaging in the activity
1. Recreational Activity
2. Significant Risk
The court must establish whether the recreational activity involves a significant risk, referring to a
risk that is "somewhere between a trivial risk and a risk likely to materialise.” (Fallas)
3. Obvious Risk
An obvious risk is defined by s5F as a risk that “would have been obvious to a reasonable person in
the position of that person”. As per s5L, there will be no liability for harm suffered from obvious risks
within dangerous recreational activities.
The court must consider common law in order to determine if the obvious risk materliased
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Fallas
- Fallas accidently shot friend whilst hunting kangaroos by spotlight
- risk was not materialised – defence did not apply and Fallas was found negligent
Falvo
Vreman
- BMX bike riding where it was found that performing jumps on a BMX bike at a skate park
was a dangerous recreational activity and the risk of the wheel slipping on landing on a
painted concrete surface was an obvious one
VICRIOUS LIABILITY
1. Issue:
The issue is whether [company] will be held vicariously liable for the actions of [defendant], which
include …………..
2. Set up structure
In order to determine whether [Company] is vicariously liable, the court must assess whether:
- 1. The relationship is that of an employer and employee, and
- 2. Whether the wrongdoing was committed in the course of employment, and
- 3. Whether the tort caused the injury
3. Relationship
As per Sweeny v Boylan Nominees, [Company} is not vicariously liable for the wrongdoing of an
independent contracts. In order to assess whether the relationship between [defendant] and
[company] is one of an employer and employee, we must apply Hollis v Vabu and use the modified
control test, referring to the right of an employer to control an employee.
4. Course of Employment
To establish whether the wrongdoing occurred during the course of employment, the court will
apply New South Wales v Lepore, stating that an act is within the scope of employment if it is
authorised (expressed or implied), or sufficiently close to what is authorised, by the defendant.
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**Thus, it is evident that the tort was (was not) committed during the course of employment
**Thus, as the defendant was “acting on a frolic of her own” (Zakka v Elias), the tort was not
committed during the course of employment
5. Causation
As established above, it is evident that there is (there is not) a causal link between the defendant’s
actions and the injury suffered by the plaintiff
- IF VICARIOUS: therefore, as the tortfeasor has been deemed as an employee, and the tort was
found the be committed in the course of employment, it is highly likely that [will be found
vicariously liable]
- IF NOT: therefore, as the tortfeasor was not deemed an employee/the tort was not committed
in the course of employment/the tort did not cause the injury – it is highly unlikely for
[company] to be found as vicariously liable
DAMAGES
If the court is to find that [defendant] has breached his/her duty, that [defendants’] actions were the
cause of the harm and that the plaintiff is unable to rely on an defences, the court will thus examine
the damages appropriate to this case.
As per Todorovic v Waller, “A plaintiff who has been injured by the negligence of the defendant
should be awarded such a sum of money as will, as nearly as possible, put him in the position as if he
had not sustained injuries.”
Compensation is also done using a once and for all lump sum payment method.
Economic Damages
1. ‘Actual’ loss
The court must first examine the actual loss of wages which occurs up to the time of trial and which
can be more of less precisely ascertained prior to examining future loss (Graham v Baker 1961)
As per Murphy v Stone Wallwork, “The assessment of damages for the future is necessarily
compounded of prophecy and calculation”.
The first step in assessing this is to examine CLA s13(1), stating that the court must decide on the
basis of the “claimants’ most likely future circumstances but for the injury”, which is to be multiple
by the years until retirement.
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Further, as per Wynn, calculation of future economic loss must take account the various possibilities
which might otherwise have affected earning capacity." With a 15% discount generally appropriate
subject to adjustment to take account of the plaintiff’s particular circumstance.
Moreover, the court must minus the lost years ‘cost of living’ where [plaintiff] couldn’t do certain
activities because of the injury, such as …………
Also, the court must plus or minus any other contingencies it sees necessary (Promotion,
unemployment, marriage, maternity leave, sickness, industrial action)
However, as per CLA s12(2), no more than 3x the average weekly NSW wage must be used to
compensate [Plaintiff].
3. Medical Expenses
The court must continue by deciding what constitutes reasonable medical expenses by using a cost v
benefit analysis (Sharman v Evans) (hospital v in home care)
In regard to the facts, it is evident that a cost benefit analysis must be used to evaluate the
possibilities of …………….
Hence, as it is evident that reasonable medical express include ………… and exclude ………, the court is
able to conclude what compensation is reasonable for these medical expenses.
4. Gratuitous Carer
Furthermore, the court must consider CLA s15 in order to determine whether compensation is
appropriate for a gratuitous carer, which in this case is [Name]. I order to be compensated for a
gratuitous carer, all 4 subsections must be proven.
CLA s15(1) states that the service is provided by another person without cost
- This is evident in the case as ……..
- This is not evident in the case as ………
CLA s15(2) stats that there must be a reasonable need for the carer on the basis of the injury, as the
carer would not be provided ‘but for’ the injury
- This is evident in the case as ……..
- This is not evident in the case as ………
CLA s15(3) states that Care must be provided for more than 6 hours per week and more than 6
months
- This is evident in the case as ……..
- This is not evident in the case as ………
CLA s15(4) states that if the services that are provided for more than 40 hours a week, the damages
that may be awarded for the care must not exceed the average weekly market rate of employment.
However, as per s15(5) if provided for less than 40 hours per week, the amount of those damages
must not exceed the amount calculated at an hourly rate of one-fortieth of the amount determined
in accordance with subsection (4).
- It is evident in the case that ………
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5. Discount Rate
Additionally, according to s14, a discount rate will be applied if the compensation is to include
compensation for any future loss of any kind.
- if prescribed, the court will use the discount rate provided
- If not prescribed the court will use a 5% discount rate
Non-Economic Damages
Realisation of the loss à does the person realise what’s going on and how much they are really
impacted
- Skelton v Collins – unconscious = no damages for non-economic loss regarding pain and
suffering
- Redding v Manly Surf Lifesaving club – disappointment is ongoing as her dream was destroyed
à damages regarding pain and suffering
2. Loss of Amenities
Loss of Amenities refers to the “deprivation of the ability to participate in normal activities and thus
to enjoy life to the full and to take advantage of the opportunities that otherwise it might offer.”
(Teubner v Humble).
In assessing damages for loss of amenities of life, the court assesses both the conscious awareness
of the loss as well as the objective deprivation of the opportunity to enjoy the normal experiences
and amenities of life.
Described as “consolation for the mental anguish suffered during the shortened lifespan or as a
means by which the P may attempt to obtain fulfilment in lieu of that which has been denied.
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