McCabe v. British American Tobacco Australia Services Limited
McCabe v. British American Tobacco Australia Services Limited
NOTE: This text is derived from the PDF file at: http://www.ash.org.uk/html/conduct/pdfs/mccabejudgement.pdf.You may also download a Word document at http://www.globalink.org/tobacco/docs/litigation/200204mccabe-v-batas.doc
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IN THE SUPREME COURT OF VICTORIA
AT MELBOURNE
COMMON LAW DIVISION
MAJOR TORTS LIST
No. 8121 of 2001
ROLAH ANN McCABE
Plaintiff
v
BRITISH AMERICAN TOBACCO AUSTRALIA SERVICES LIMITED
Defendant
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JUDGE: Eames J
WHERE HELD: Melbourne
DATES OF HEARING: 24, 30-31 January, 1, 4-8, 11-13, 25-27 February, 1 March 2002
DATE OF JUDGMENT: 22 March 2002
CASE MAY BE CITED AS: McCabe v British American Tobacco.
MEDIUM NEUTRAL CITATION: [2002] VSC 73
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DISCOVERY - application to strike out defence - destruction of documents by defendant before proceedings issued and at a time when no other proceedings on foot - whether documents destroyed at a time when litigation was anticipated - purpose for the destruction of documents - whether failure to comply with orders for discovery - abuse of process - obligation of candour in discovery process - whether plaintiff denied a fair trial - defence struck out - R.S.C Orders 24.02, 24.05.
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APPEARANCES: Counsel / Solicitors
For the Plaintiff
Mr J. Rush QC,
Mr J. Forrest QC,
Mr J. Gordon
Slater and Gordon
For the Defendant Mr J. Ruskin QC,
Mr J. Middleton QC,
Mr D. Beach SC,
Mr S. O'Meara
Clayton Utz
VICTORIAN GOVERNMENT REPORTING SERVICE
1st Floor, 167 Queen Street, Melbourne SC:HB
9603 2404 !Undefined Book mark, I
Table of Contents
The 1985 Document Retention Policy.... 6
The 1990-1992 review of the Document Retention Policy....8
The Clayton Utz Strategy of 1990.... .. 13
The Advice of Allen Allen & Hemsley, 1990 .... 20
The Australian proceedings ....25
A Multitude of Lawyers.... 26
The Post-1992 Document Retention Policy.... 29
(A) The Record Managers' Training and Education Workbook ....30
(B) The Staff Handbook.... 32
The Scope of a Hold Order .... 34
A Strategy to Confine Plaintiffs to documents in the public Domain .... .. 35
Destroyed Documents Pre-1998.... 36
Creation of a Cremona Data Base.... .. 39
The Scope of the Cremona Data Base....41
1998: The Cancellation of the Hold Order and Implementation of the Document
Retention Policy.... 44
What Documents were Destroyed in March/April 1998? .... 55
Inadequate Discovery: The deficiencies of the Affidavit of Documents .... 57
(A) The categories identified for discovery .... 57
(B) The Affidavit of Documents .... 59
A Matter of Interpretation.... 63
Misleading conduct? - The pre-trial directions hearings .... 65
(A) The grounds of complaint .... 65
(B) The correspondence between the solicitors....66
(C) Was the destruction of documents properly disclosed in affidavits? ....67
(D) The Chalmers' affidavit of 6 December 2001 .... 68
(E) The Namey Affidavits of 10, 17 and 21 December 2001 .... 71
(F) The Namey Affidavit of Documents of 14 January 2002 .... 71
(G) The submissions of counsel .... . 79
Intention .... 87
Anticipated proceedings .... 90
Findings .... 93
Prejudice - Denial of a fair Trial....98
The Warehousing of documents.... ..109
The Law.... 114
What outcome for this application? .... 127
Conclusion and Orders ....132
€SC: i JUDGMENT McCabe v British American Tobacco
HIS HONOUR:
1 Counsel for the plaintiff have made application by summons dated 25 January 2002 for an order that the defendant's defence be struck out and for supplementary or alternative orders. The grounds on which the relief is sought were set out in writing and were supported by affidavit evidence of the same date from Mr Peter Gordon, of Slater & Gordon, solicitors for the plaintiff. Although the affidavit was initially objected to, on the basis that it contained opinion evidence, it has been accepted during argument as a rea sonable summary of the contentions advanced on behalf of the plaintiff as to the significance of the many exhibits which were attached to it.
2 The grounds for the application may be summarised as follows:
(i) The destruction of potentially relevant documents by the defendant, at a time when litigation was apprehended, has rendered it impossible for the plaintiff to have a fair trial;
(ii) The defendant, through counsel, solicitors and deponents to affidavits, has misled the court and the plaintiff as to the true situation concerning documents discoverable in the trial;
(iii) Failure, contrary to Rule 20.02 of the Rules of the Supreme Court to comply with an order of discovery made 6 December 2001;
(iv) Failure to agree to further discovery sought by the plaintiff by letter dated 4 January 2002;
(v) The conduct in items (i) to (iv) caused severe prejudice to the plaintiff;
(vi) The plaintiff relies on the material advanced in the affidavit of Mr Gordon.
3 The application raises novel points which are of significant public importance, and serious allegations of impropriety have been advanced in submissions before me.
4 The plaintiff commenced her claim by writ issued on 26 October 2001. The plaintiff claims compensatory, general and exemplary damages for personal injuries. The defendant has sought trial by jury. The plaintiff, who was born on 23 September, 1950 is seriously ill with lung cancer and has a life expectancy of, at best, months,
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possibly only weeks. On 9 November 2001, by consent, an order for a speedy trial was granted, and the case was allocated to me for pre-trial management. There have been numerous hearings of applications relating to interlocutory matters. In late December 2001 I fixed the date of trial as 18 February 2002. A range of pre-trial issues remained unresolved, in particular with respect to discovery and the admissibility of documents. I set down five days for hearing, commencing 30 January 2002, to resolve those issues. I made it clear to the parties that, so far as possible, I wanted to resolve issues concerning the admissibility of documents prior to the jury being empanelled.
5 On 24 January 2002 counsel for the plaintiff advised that they wished to make a new application in lieu of the applications which had been listed to be heard on 30 January 2002. I permitted the plaintiff to substitute the present strike-out application. Mr Gordon's affidavit annexed a number of documents which have apparently been located in depositories of documents in the USA. The defendant, responding by way of a number of affidavits, has exhibited and filed a range of documents in answer to the application, and I have heard the evidence of witnesses on the issues. The application extended over sixteen days and a substantial number of documents were exhibited. Having regard to the tendering by the defendant of two letters of advice from firms of solicitors I ruled that the defendant had waived privilege as to legal advice received by it from 1998 concerning the handling and destruction of documents. Pursuant to that Order many letters and memoranda of advice from several firms of solicitors became exhibits on the application.
6 The hearing of this application has been conducted in the unfortunate and urgent context of the plaintiff's terminal illness. That consideration caused me to raise with counsel the possibility that the trial should proceed to verdict, with resolution of the present application being considered, if it remained relevant to do so, after verdict was delivered. Counsel for the defendant supported that suggestion, but counsel for the plaintiff urged that I not adopt that course, contending that the plaintiff's prospects of a fair trial had been irretrievably damaged. Having heard submissions,
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I concluded that I should deal fully and immediately with this application.
However, as anticipated, it has become necessary to vacate the trial date. In the event that the plaintiff were to die before verdict then a successful verdict for damages for the benefit of the estate would not include general or exemplary damages and pecuniary loss damages would be significantly restricted.1 7 The plaintiff's statement of claim alleges that from her early teens (having commenced smoking at age 12) she became addicted to cigarettes manufactured by the defendant, and that as a result of that addiction and the properties of the cigarettes, she contracted lung cancer. The plaintiff alleges that the defendant, itself or through its predecessor and affiliated companies, knew that cigarettes were addictive and dangerous to health, and by its advertising targeted children to become consumers. The plaintiff alleges that the defendant, knowing the dangers of addiction and to health of consumers, took no reasonable steps to reduce or eliminate the risk of addicti on or the health risks, and ignored or publicly disparaged research results which indicated the dangers to health of smoking.
8 The defendant is the successor to W.D. & H.O. Wills (Australia) Limited (hereafter referred to as "Wills"), which was in existenc e between September 1958 and March 2000. Wills, in turn, was the successor to The British -Australasian Tobacco Company Limited which was in existence between 1950 and August 1958. In the course of these reasons I will refer to the "defendant" as encompassing the relevant manifestations of the defendant as at the time of events under discussion. Unless appropriate to do so, I will not differentiate as between those companies. The defendant company came into existence in September 1999 when Wills merged with Rothmans of Pall Mall (Australia) Limited.
9 From 1959 Wills had been a subsidiary of British Tobacco Company (Australia) Limited, which underwent several name changes, including AMATIL Limited and Coca-Cola Amatil Limited. In 1989 Wills and some other subsidiaries were
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1 See s. 29(2) Administration and Probate Act 1958. An exception to these limitations, but only with respect to dust-related conditions, was introduced by the insertion of sub section (2A) in 2000.
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separated from Coca Cola Amatil Limited, and were purchased by British-American Tobacco Company Limited (hereafter referred to as ŒBATCO'), which is based in England and remains the parent of the present defendant company.
10 In broad terms, the defence denies that the plaintiff's illness is causally related to cigarettes, asserting that the majority of smokers do not contract lung cancer. As to the plaintiff's allegation that the defendants' cigarettes were addictive, the defendant, whilst acknowledging that some persons may find it difficult to quit smoking, denies the allegation, and asserts that smoking is a behaviour of choice, and does not impair the ability of a smoker to assess the risks of smoking and to make an informed decision. As to the plaintiff's allegation that the defendant between 23 September 1950 and 1992 knew or ought to have known about the risk of lung cancer and the addictive effect of nicotine, the defendant joins issue and expressly pleads, by par 5(d) that:
"the defendant did not have any knowledge about the risk of lung cancer or any difficulty associated with quitting smoking which was not in the public domain."
11 The defendant pleads that from a time prior to 1962 the Australian community was informed that smoking could cause lung cancer, and other diseases, and that it could be difficult to quit smoking, and that there was extensive legislative regulation of tobacco advertising and health warnings - among other matters - and there was legislation prohibiting the sale of tobacco to minors. The defendant pleads that it had entered into agreements with governments relating to such matters, including tar and nicotine levels. The defence asserts that the plaintiff voluntarily assumed the known risks of contracting cancer, those risks having been the subject of warnings over many years.
12 It is clear that the plaintiff's case against the defendant will direct attention to the question of what was known to the defendant as to the risks of smoking, the addictive properties of cigarettes, the considerations and knowledge which bore upon the defendant's decisions as to the manufacturing process, and advertising
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campaigns concerning its products, and, in particular, its knowledge as to the consumption of cigarettes by children. It is also clear that contemporaneous and historical documents held by the defendant relating to scientific research, not only that held in the public domain but also research conducted by scientists acting on its behalf, on behalf of other tobacco producers, and also research conducted by outside agencies on behalf of the defendant or the tobacco industry, would be of very great importance to the plaintiff's case. Equally important might be any internal memoranda reflecting the defendant's response to such research and its knowledge and actions as to relevant issues.
13 It is the contention of the plaintiff, in this application, that the defendant and its predecessor, Wills, since 1985, have followed a strategy designed to deny to any litigant access to doc uments to which the litigant would have been entitled and which would be of importance to the outcome of such proceedings. It is contended that the strategy employed in Australia was devised and overseen by Australian, British and American lawyers employed by or engaged by the respective BAT companies in each country. The strategy was designed to confine any plaintiff's case to documents in the public domain and to destroy or hide the existence of documents of which the defendant had knowledge which were damaging to the defendant's interests but which were not in the public domain. The plaintiff contends that the strategy involved the destruction of thousands of documents and, so it was submitted, required that the fact of such destruction, and its extent, not be disclosed. In the event that the process and extent of destruction became public knowledge, the strategy envisaged that an innocent motive for its occurrence would be advanced, and be plausible, but the true and primary motive for the destruction would be denied. The strategy, so it was submitted, contemplated the inappropriate application of privilege to many documents which had not been destroyed and the establishment and location of data bases of documents, controlled by lawyers, for the purpose of litigation but contrived to not be in the possession, custody or power of the defendant for the purpose of discovery.
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14 It is submitted on behalf of the plaintiff that implementation of the strategy was accompanied by the misleading of the Court, and of the plaintiff's advisers, by correspondence tendered in court, by affidavits filed at court, and in submissions made to the Court. Counsel for the plaintiff submit that the plaintiff has suffered irremediable prejudice by the defendant's actions, for which the only remedy is that the defence should be struck out and the trial proceed as an assessment of damages.
15 The defendant denies each of these accusations, and, whilst admitting that many documents have been destroyed which may have been relevant to the plaintiff's case, contends that documents were destroyed at a time when no litigation was before the court or was anticipated. The defendant contends that it was perfectly lawful and proper for it to have destroyed those documents in those circumstances, and it did so in accordance with legal advice and pursuant to an appropriate document management policy, the purposes of which were both innocent and appropriate, and which had not been implemented for some eight years while proceedings were on foot. The defendant contends that the destruction of documents was by series only, no attempt being made to identify and preserve individual documents which might have been helpful to the company in the defence of any proceedings. The defendant contends that far from implementing the policy for purposes of harming the case of later litigants it retained a large volume of research and scientific reports which were more likely to be harmful to the cause of the defendant than to be favourable.
16 It is necessary to set out the history, development and influences on the defendant's Document Retention Policy in some detail.
THE 1985 DOCUMENT RETENTION POLICY
17 The litigation in this case is not the first of its kind in Australia. The evidence I have heard on this application shows that as early as 1985 the defendant anticipated what its Australian solicitors, Clayton Utz, said would be "a wave of litigation". In response to that threat vast resources were allocated to readying the defence of any such claims. Clayton Utz, as the defendant's solicitors, took steps to devise a legal strategy, and did so with very close assistance of lawyers from the United Kingdom
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and USA who had performed a similar advisory role for tobacco companies in those countries. From the outset, the vital importance of documents in any litigation, and the danger which discovery of documents posed for the defendant, were fully appreciated by senior employees and officers of the defendant, and by its lawyers.
18 In an affidavit sworn 29 January 2002, Malcolm Nicholson, Area Audit Services manager of the defendant and a member of the Records Review Team since 1993, deposed that since the early 1970s the defendant had some form of Document Retention Policy governing the disposal and storage of the multitude of documents generated within the organisation. In the 1970s, however, the only written document which set out the policy was, he believed, of about one or two pages in length. Mr Michael Harrison, a retired executive of the company, gave evidence before me and produced a one page set of instructions concerning documentation, which he said was consistent with the policy document which had been in existence from at least 1954. To that page were attached a number of pages dealing with the timetable for destruction of specific categories of documents. It is a very modest document in comparison to versions produced in 1985 and later.
19 I have no doubt that the Document Retention Policy which was put in place did have some quite legitimate management and administrative purposes and benefits, and the documents contained much material relevant to such functions. I am, however, entirely satisfied that the primary purpose of the development of the new policy in 1985 and subsequently was to provide a means of destroying damaging documents under the cover of an apparently innocent house-keeping arrangement. When regard is had to the background material relating to the origins of the new policy, and the critical role played by litigation lawyers in its development and implementation, it is clear that the post-1985 policy documents reflect the acute consciousness of their authors (and explain their attempts to disguise the fact) that the Document Retention Policy was primarily directed towards the risks of litigation.
20 In 1985 the defendant turned attention to the prospects of litigation in Australia, and to the potential for the defence of any such litigation to be prejudiced by the
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disclosure of embarrassing documents. The firm of Clayton Utz was engaged to advise the company as to that issue and on 30 December 1985 a written Document Retention Policy came into effect. Mr Eggleton of Clayton Utz, who gave evidence before me, denied that his firm had drafted that policy, and it seems that a draft was first written by one Mr R. N. Paton, the in -house solicitor for Amatil Limited, but there is no doubt that the draft was considered and approved by Clayton Utz prior to its implementation. The firm also gave advice as to other strategies, including the enhancement and expansion of claims of legal professional privilege, with the same objective of minimising the prospect of any plaintiff gaining the benefit of damaging documents. As I will shortly discuss, a solicitor, Andrew Foyle, from the English firm Lovell White Durrant, was engaged by BATCO for purposes of addressing policy on document handling. He produced a memorandum setting out the development of the Document Retention Policy, which expressed the clear understanding that it was Clayton Utz that was responsible for the critical terms of the policy formulation.
21 I have not been shown a document which is agreed to comprise the 1985 written policy, but in legal advice written by Brian Wilson, a partner of Clayton Utz, dated 29 March 1990 (to which I will shortly refer), he noted that at page one there were a series of statements inserted into the document which asserted innocent purposes for the destruction of documents, under broad headings of cost efficiency, litigation support and sabotage prevention.
THE 1990-1992 REVIEW OF THE DOCUMENT RETENTION POLICY
22 By 1990 the adequacy of the Document Retention Policy was being questioned by Wills. In a letter dated 23 March 1990 sent from F.T. Gulson, legal counsel and secretary of Wills, to Brian Wilson of Clayton Utz, Gulson said that it was opportune to review and amend the policy. He said that BATCO (i.e. the UK parent corporation) was conducting a similar review as to its own Document Retention Policy. Stating that he did so "in recognition of our close and direct association with BATCO", Gulson enclosed a memorandum written by Andrew Foyle, a solicitor
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with Lovell White Durrant, U.K. solicitors, acting for BATCO, whom Gulson said had been retained to advise generally on product liability litigation "and, in particular, in relation to the current Document Retention Policy". Gulson noted that Nick Cannar, legal counsel of BATCO, would soon be visiting Australia with respect to the policy review, and Gulson sought Wilson's advice as to specific questions which Foyle had raised in his memorandum.
23 Counsel for the plaintiff place great emphasis on the terms of the Foyle memorandum, and it requires careful consideration. I will highlight some passages from it. In the first place, Foyle was not in doubt as to the origins of the new policy.
He wrote:
"Wills' current document retention policy was introduced on the 30th December 1985 at a time when the tobacco companies in Australia anticipated the possibility of product liability litigation, although no case had actually been brought against any company. Clayton Utz had previously been instructed to take steps to prepare the Industry, and Wills in particular, for litigation. One of their first actions was to review the document retention policy of the Company, hence the new policy."
24 Foyle said that what was required from Clayton Utz was "a strategy for handling the documents issue in litigation", and he also posed a series of questions on which specific advice was required.
25 Foyle noted the American and Australian experience of the "enormous man hours" which discovery obligations caused any company involved in litigation. As I will later discuss, he made it clear that destruction of sensitive documents had already been taking place. Foyle wrote:
"Details of how the policy was implemented by the Research Department are given in the note of AWF's meeting (ie Foyle's) with Graham McGregor and Tas Wilson on 17 November 1989. The note also describes the type of research undertaken by Wills, the documents which they have received from BATCO and the information which their employees have about the BATCO research. A copy of that note is attached".
26 Foyle expressed the concern of BATCO that because Wills had had access to sensitive
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BATCO research documents, through a computer link to England, that might lead to the discovery of the BATCO documents in any Australian proceedings, and also documents of other Group companies. He expressed particular concern about "summaries of the Janus reports". No documents meeting that description have been produced in discovery in these proceedings. I do not know what they were or whether they would fall into any of the categories of discovery which I ordered.
27 Foyle identified a range of problems which he said the current policy posed. Among the problems were the following (the reference to "SRG" is to Wills' Scientific Research Group):
"(a) The wording of policy (coupled with timing of its introduction) might lead to the inference that the real purpose of the policy was to destroy sensitive smoking and health documents.
(b) Aspects of the implementation of the policy might support that inference, for example the immediate destruction of the unpublished enclosures to the SRG letters.
(c) The retention of a set of the BATCO research reports means that a plaintiff will have access to much sensitive BATCO research.
The information in the reports is enough to prompt searching questions about the underlying research policy and also questions about what follow up action was taken by BATCO in the light of the research results.
(d) The retention of the BATCO reports might encourage a plaintiff to seek discovery of BATCO's documents, either by asserting that Wills has control over documents in the possession of BATCO, or by using the Hague Convention. The research reports might enable a plaintiff to frame a Hague Convention request for documents with the requisite degree of specificity and/or to identify the BATCO employee from whom oral testimony is required.
(e) Wills access to the BATCO computer gives them the de facto right to details of results of BATCO's research. The summaries of the reports which are on the database are sufficiently informative to be of real interest to a plaintiff's lawyer.
(f) The knowledge that Wills' senior scientists have of BATCO research could rule them out as a witness at any trial in Australia."
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28 Before setting out the detailed questions on which Clayton Utz' advice was required, Foyle made the following observations:
"1. It is understood that the destruction of documents n ow or in the past by Wills contravenes no law or rule in Australia and that, in that sense, Wills can do what it likes with its documents.
Presumably, if a court disapproved strongly of the destruction of the documents, then it might draw adverse inferences from that fact.
2. It should be assumed that Wills' documents (what is in them and what has happened to them) will be a matter of great interest to a plaintiff's lawyer in a product liability action. How Wills responds to questions about its documents will require careful thought, especially because of the implications which the answers may have for the BAT group as a whole. It would be sensible, therefore, to assess the nature and extent of any problems which the current document retention policy may pose and to take appropriate remedial action now, rather than wait for the litigation to begin. Generally, what is needed is a strategy for handling the documents issue in litigation."
29 He asked:
"1. To what extent is there a risk that the destruction of documents in accordance with the 1985 retention policy will cause the Court to apply the adverse inference principle, taking into account:
(a) the wording of the policy,
(b) the circumstances prevailing at the time it was introduced (e.g. whether product liability actions had been threatened against Wills or the industry generally),
(c) the extent to which Wills will need to claim privilege for documents produced in 1985 and later, on the grounds that the documents were produced in contemplation of anticipated proceedings."
30 Foyle sought advice about the adverse inferences or other consequences or sanctions which might flow from Wills destroying documents under the 1985 policy. He expressed particular anxiety that the Document Retention Policy itself, and Clayton Utz' advice as to "whether certain types of documents should be retained or destroyed", might also be discovered. I will address that anxiety in a later section of these reasons.
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31 As to the special concern about BATCO research, Foyle wrote:
"(d) Might BATCO's documents be more at risk? For example might the Court order Wills to retrieve from BATCO copies of the BATCO documents destroyed by Wills."
32 Foyle then asked:
"3. Should changes be made to the way in which the policy is currently being applied, for example, in relation to the SRG documents?
4. What should be done about the copies of the BATCO research reports held by Wills? In this connection:
(a) Would the continued retention of these reports compromise Wills' position via a vis the destruction of its other documents?
This question should be answered on the basis of the information given in this memorandum on the content of the reports. If more information is needed it can be supplied by LWD. It would be undesirable for Clayton Utz to seek information from Wills about the reports.
(b) Is there any reason why Wills should not now destroy its copies of most of the reports, if the motive for doing so were that the information in the reports is not relevant to Wills' Current "research mission"?
(c) Would the termination, or the restriction, of Wills's access to the reports database on the BATCO computer cause any problems?
(d) Does the Caudwell threat affect the position?
5. Would implementation of the proposed new retention policy hinder or help Wills' position on the documents issue?"
33 The reference to "LWD" no doubt meant the firm Lovell White Durrant. I will discuss "the Caudwell threat" later.
34 Although he did not respond to every specific question posed by Foyle, Mr Wilson of Clayton Utz did suggest a strategy. The evidence before me demonstrates that the strategy then devised has been followed, with modifications and additions, since 1990, and was being followed at the time of the hearings before me.
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35 As may be seen, Foyle identified problems with the existing Document Retention Policy and sought advice as to a strategy which might be put in place with respect to sensitive documents. As Eggleton acknowledged in his evidence, sensitive documents were those which might assist a plaintiff's case or harm the defendants' case.
36 The "note" referred to in Foyle's memorandum (see par [25] above), has not been produced. It is obviously a document which would be of particular interest to the plaintiff, and would bear on the question whether the Affidavit of Documents adequately dealt with the question of documents which had been destroyed.
THE CLAYTON UTZ STRATEGY OF 1990
37 By letter dated 29 March 1990, under the signature of Brian Wilson, a partner of Clayton Utz, a response was given to the questions raised in the Foyle Memorandum. The advice had been primarily the product of legal research conducted by John Oxland, another partner of Clayton Utz, but it was Wilson who proposed the strategy.
38 Wilson wrote to Gulson, Legal Counsel and secretary for Wills, as follows:
DOCUMENT RETENTION POLICY
We refer to your letter dated 23 March, 1990 attaching a memorandum on the above topic by Andrew W. Foyle of Lovell White Durrant. In it you asked us to answer the specific questions raised in the memorandum and make any comments we deem appropriate. We now do so.
1. To what extent is there a risk that the destruction of documents in accordance with the 1985 retention policy will cause a Court to apply the adverse inference principle taking into account:
(a) the wording of the policy,
(b) the circumstances prevailing at the time it was introduced, and
(c) the extent to which Wills will need to claim privilege for documents produced in 1985 and later?
A risk as to the application of the adverse inference principle may be more shortly described as a risk of contempt of court. That risk was dealt with by the High Court of Australia in Lane v. Registrar of Supreme Court of New South Wales (1981) 35 ALR 322 as follows (at 332):
"It was submitted on behalf of the respondent that conduct otherwise lawful can amount to contempt of court if done with a particular intention.
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That is correct, but the intention must be to do something likely to interfere with the course of justice.
Thus it may be lawful for one man to advise another to take a holiday in Brazil, but the giving of the advice may constitute a contempt of court if the advice is given for the purpose of keeping the witness out of the way to avoid service of a subpoena.
An intention to interfere with the administration of justice is not necessary to constitute a contempt; the critical question is whether the act is likely to have that effect, but the intention with which the act was done is relevant and sometimes important" (emphasis added)2 .
Destr uction of documents is prima facie lawful, as Andrew Foyle himself indicated when he wrote at p 5 of his memorandum:
"It is understood that the destruction of documents now or in the past by Wills contravenes no law or rule in Australia and that, in that sense, Wills can do what it likes with its documents."
Destruction must, however, not conflict with statutory requirements as to the retention of certain documents for certain periods. Those statutory requirements were set out in our letter dated 13 December, 1985 to Mr R.N. Paton, the in- house solicitor for Amatil Limited. The letter itself was referred to in the 1985 retention policy statement: see page 2, criterion 6.
Destruction must also not fall foul of the law laid down in Lane's case above: Registrar of Supreme Court of New South Wales v. McPherson [1980] 1 NSWLR 688. Applying that law, there is no doubt that destruction per se is likely to have the effect of interfering with the administration of justice. This is subject, however, to the test of intention, and also to the fact that the High Court in Lane's case was dealing with a situation where litigation was in esse and not merely contemplated.
Wills' destruction of documents has not occurred during litigation in relation to which those document s might be relevant. If it had, that would be extremely strong evidence of an intention "to do something likely to interfere with the course of justice": Lane's case above.
The destruction has occurred, instead, in a situation where litigation has been, and still is, contemplated. But it can be said that it has not occurred only because of that fact and in order adversely to affect the litigation. This is where the wording of the 1985 retention policy statement becomes important. The following quotes from page 1 serve to explain the motivation for destruction:
--"to ensure that our previous good management practices are maintained"
--"to ensure that our document retention policy is maintained at the most efficient level"
--"indiscriminate and unnecessary retention of documents involves ever increasing and costly space requirements"
--"enormous man-hours and other overheads involved in sifting through superfluous documents in order to locate records actually required in ... litigation"
--"under our legal system documents may be required ... on short notice
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2 The emphasis was given by Wilson.
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under order for discovery or subpoena. Therefore the objective is to retain only necessary material"
--"the more unnecessary documents are retained the less control there is over secure storage of nece ssary records and hence the greater the potential risk of industrial sabotage."
The above quotes show the motivation for destruction to be threefold: cost efficiency, litigation support, and sabotage prevention. In our view, they are clear evidence of an intention which is the complete opposite of an intention "to do something likely to interfere with the course of justice". This positive intention cancels out the negative impression created by destruction per se.
We feel, therefore, that there is little, if any, risk of contempt of Court. We would be of the same opinion if we were asked to advise on the proposed BAT Industries' retention policy statement for research documents. That statement also clearly displays a positive intention to do something likely to support the course of justice, saying inter alia (at page 1):
"In all cases ... the policy [of destruction] should not be applied to research documents in respect of which and for so long as local lawyers advise that destruction of these documents is precluded".
2. What consequences or sanctions might result if the Court applied the adverse inference principle? For example:
(a) What unfavourable inferences of fact might the Court make against Wills?
The obvious unfavourable inference of fact would be that Wills had something to hide which could very well be detrimental to its chances of success in litigation brought against it. What that something was might then be inferred from the mere fact of destruction of documents.
Suppose, for example, that a Wills' research report showed a very strong association between passive smoking and lung cancer and the report was destroyed by Wills when sued by a person with lung cancer who claimed his/her disease was caused by passive smoking. It might be inferred from the fact that Wills had destroyed research reports that at least one of them tended to support the Plaintiff's case.
(b) Is there a risk that the Court could order the disclosure of documents which might otherwise be privileged (eg Clayton Utz's documents)?
There is. In dealing with the possible loss of legal professional privilege in his book Law of Evidence in Australia (Legal Books, 1987), Peter Gillies considered three leading cases and then wrote:
"Together these cases recognise that legal professional privilege will be lost where the public interest in the preservation of the fundamental processes of justice demands that the privilege give way. Such situations where the more general public interest outweighs the public interest in privileged communications between lawyer and client are potentially numerous, and cannot be specified in advance."
(c) Even if Clayton Utz's documents and work product are not at risk, is there a risk that they might be required to disclose information about the document retention policy in affidavit (such as an affidavit verifying Wills' discovery) or other evidence?
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Yes - except that an affidavit verifying discovery is sworn by a client and not the client's solicitor, who merely certifies that an explanation of the law's requirements for disclosure has been given to the client.
(d) Might BATCO's documents be more at risk? For example, might the Court order Wills to retrieve from BATCO copies of the BATCO documents destroyed by Wills?
Yes.
3. Should changes be made to the way in which the policy is currently being applied, for example in relation to the SRG documents?
We cannot answer this question definitively, as we do not know how the policy is currently being applied . We have not been provided with the details of implementation "given in the note of AWF's meeting with Graham McGregor and Tas Wilson on the 17th November, 1989": see Andrew Foyle's memorandum at page 1, paragraph 3.
However, if the policy is being applied in accordance with the "Suggested Criteria" on page 2 of the 1985 retention policy statement, then we would guess that no changes need be made.
4. What should be done about the copies of the BATCO research reports held by Wills?
We feel that they should be dealt with in the same way that the originals are to be dealt with under the proposed BAT Industries' retention policy statement for research documents.
(a) Would the continued retention of these reports compromise Wills' position vis-a-vis the destruction of its other documents?
If the continued retention of research reports tended to show that the destruction of Wills' other documents was carried out with the intention "to do something likely to interfere with the course of justice", then obviously the retention would compromise Wills' position. However, we find it difficult to imagine such a tendency arising.
(b) Is there any reason why Wills should not now destroy its copies of most of the reports, if the motive for doing so were that the information in the reports is not relevant to Wills' current "research mission"?
On balance, no - although it would be better if the motivation included litigation support in the sense discussed earlier.
(c) Would the termination, or restriction, of Wills' access to the reports database on the BATCO computer cause any problems?
We cannot see that any legal problems would be created. In fact, legal benefits would probably accrue. In this regard, we refer you to the Advice on Discovery and Privilege given by Mr John M. Stowe QC on 20 June, 1986, and especially to the following statement about material obtained from the computer database established by the Tobacco Institute of America (at page 21):
"Whatever the situation may be in the United States, it is my view that, if the suggested precautions are taken, the electronic material will not be subject to discovery by the Australian companies in relevant proceedings and that privilege will
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attach to all printouts obtained by the Australian Companies for the requisite purpose by the exercise of skill or selection."
(d) Does the Cauldwell threat affect the position?
We note Andrew Foyle's statement that, while a letter "threatening legal proceedings against Wills was received from a Mr Cauldwell in November, 1989", it is "not yet clear whether Cauldwell intends to take legal action against the company." We should say that, until litigation is actually instituted, there is little, if any, risk of contempt of court through destruction of documents. In this regard, we refer you back to our consideration of the first question posed in Andrew Foyle's memorandum.
5. Would implementation of the proposed new retention policy hinder or help Wills' position on the documents issue?
We are not sure what proposed new retention policy is being referred to. If it is that in the proposed BAT Industries' retention policy statement for research documents, then we can only think its implementation would help Wills' position on the documents issue.
6. What strategy should Wills adopt for handling such problems as there may be in relation to the documents issue?
We think that the strategy is sufficiently apparent from what we have said so far, especially in answer to the first question posed in Andrew Foyle's memorandum.
7. If the issue of research is important in a product liability action, how will Wills defend its record without its documents?
It will obviously have to rely on the testimony of witnesses.
Is it anticipated that a witness might be called to give evidence on the subject?
Yes.
If so, who would that witness be?
A witness with knowledge of Wills' research, and an expert witness capable of critically analysing what is said about that research.
Is there a satisfactory alternative to calling an employee who does not have extensive knowledge of group research?
The only alternative would be to call a number of employees whose testimony in the aggregate would show extensive knowledge of group research.
We shall be pleased to participate in any discussion about our answers and comments while Nick Cannar is in Australia, particularly because those answers and comments involve some degree of guess-work which could probably be cleared up in such a discussion.
Yours faithfully, CLAYTON UTZ Brian T. Wilson.
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39 Counsel for the defendant submitted to me that the advice contained in the letter was not only legally correct but was entirely appropriate. It was, I agree, carefully written. In my view, it reflects Wilson' understanding that sensitive documents had, indeed, already been destroyed, and that had occurred at a time when litigation was anticipated. The letter of advice is couched in terms which suggest that Wilson was very conscious of the fact that he could not guarantee that the Clayton Utz letter might not subsequently be disclosed. Whilst exercising caution for that reason, Wilson was telling Wills that the dire consequences could be avoided if they asserted innocent intention and employed statements of such innocent intention that he was now feeding to them, or had previously, by the terms employed in the policy documents. As the advice makes clear, Wills was given express warning that a programme for the destruction of documents relevant to anticipated litigation, even if no litigation was on foot, could be held to be an interference with the administration of justice, and thus be in contempt of court.
40 In my view, the reality of what was being advised is reflected by the enigmatic response given to Foyle's request for a strategy. Wilson answered: "We think that the strategy is sufficiently apparent from what we have said so far, especially in answer to the first question posed in Andrew Foyle's memorandum". Indeed, it was clear. The answer to the first question was contained in the passage from Lane's case which indicated that intention was of great importance. The advice was, in effect, get rid of the documents but claim an innocent intention. Foyle had suggested that the motive might be said to be that the documents were no longer required for the current "research mission". He highlighted those words, but Wilson suggested a better answer. Eggleton, the only Clayton Utz partner who gave evidence to me, said he did not understand what Foyle could have meant by "research mission", and I do not think it was a phrase which had any genuine meaning, in this context.
41 Any doubts as to what was the real message which Wilson was imparting to his client, on behalf of Clayton Utz, is dispelled by notes of a meeting which he attended soon after he wrote his letter and which notes he might have thought were never
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likely to see the light of day.
42 On 2 April 1990 a conference was held between Gulson of Wills, Cannar of BATCO, and both Wilson and Oxland of Clayton Utz. Oxland's notes of the meeting record that the discussion concerned the contents of the written advice dated 29 March 1990. Wilson is recorded as having proffered the following advice:
"Keep all research docs which became part of public domain and discover them.
As to other documents, get rid of them, and let other side rely on verbal evidence of people who used to handle such documents."
43 Another handwritten note made by Oxland - also apparently written at the 2 April 1990 meeting - noted the relationship between BATCO, Wills Holdings ("subsidiary") and WD & HO Wills (Aust) ("Wholly owned") and records an apparent decision, as follows:
"To shred all docs in Aust more than 5 yrs old (docs will still be available off-shore, though)".
44 Wilson did not give evidence before me. His absence was unexplained. Eggleton, who had been privy to the advice of 29 March 1990 but was not present for the conference of 2 April 1990, said that in preparation for giving evidence he had not spoken to Wilson about this advice. He agreed that if the note accurately reflected the oral advice which Wilson had given, then it was not proper advice for a solicitor to give a client. In their submissions counsel for the defendant have contended otherwise, it being submitted that a company is not acting unlawfully if it shreds documents, even if it did so to damage anticipated litigation, so long as no litigation was actually on foot. Mr Middleton, whilst not conceding any qualification to that absolute right, accepted that if the identity of a proposed litigant was known, and proceedings were about to commence, there might, arguably, be some impediment to the destruction of potentially relevant documents. As to that, I note that Wilson's oral advice was given at a time when a letter threatening action had been received.
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THE ADVICE OF ALLEN ALLEN & HEMSLEY, 1990
45 On 16 May 1990 Gulson, as legal counsel and secretary of Wills, wrote to Mr S.J. Walker of the solicitors Allen Allen & Hemsley seeking advice from that firm, also, as to the Document Retention Policy. He referred to "our meeting with Mr N.
B. Cannar, Senior Solicitor for BATCO , whilst he was in Australia". Gulson noted that at the meeting with Cannar a review of the retention policy was discussed and he observed that the Document Retention Policy "was developed by Clayton Utz for use by W.D. & H.O. Wills (Australia) Limited", when the company was a subsidiary of AMATIL. Gulson provided various documents to Walker, including a copy of the 1985 policy, a memo from Lovell White & Durrant as to the international and local implications of the policy, and also a copy of the proposed policy to be adopted by BATCO. Additionally, Gulson provided a copy of the advice on the same topic given by Clayton Utz on 29 March 1990.
46 Gulson then raised a number of issues relevant to advice. Counsel for the plaintiff submit that the issues raised by Gulson demonstrate the true purpose of the new policy, and also demonstrate the fact that the defendant had already destroyed BATCO documents and was anxious to cover up that fact. The passages to which counsel for the plaintiff referred sought advice on the following matters:
"1. The retention by Wills of BATCo's scientific reports could lead to a plaintiff seeking discovery of other BATCo reports which are not physically in Australia. The plaintiff could allege Wills has effective control over these other documents by virtue of the fact that Wills contributed to the funding of the research or alternatively by citing the Hague Convention. In the event of discovery being permitted, the documents could assist in identifying overseas persons able to give testimony in an Australian action. This risk will increase significantly if an Australian court were to order Wills to retrieve from BATCo copies of the BATCo documents previously destroyed by Wills pursuant to its own Document Retention Policy.
2 The potential and substantial problem that would face our major shareholder in the event that any discovery made in Australia of BATCo's research could be used by future plaintiffs in other jurisdictions especially the USA.
3 The retention by Wills on a selective basis of certain reports may
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highlight the fact that other documents have been destroyed and could well compromise the position of Wills with respect to the practice and operation of the Document Retention Policy.
4 Comments or observations that you may have in relation to the writer's letter and Clayton Utz's response of 29 March 1990.
5. Any other comments or observations that you may care to make on the Document Retention Policy or discovery."
47 Other notes reflect the fact that there was also concern about the computer link between Wills and the BATCO library in the UK. Both the UK and Australian companies (and also its USA affiliate) were anxious that discovery processes in Australia did not lead to the disclosure of research papers held by or received from the UK library. As a result of the concern the computer link with the UK was severed.
48 In its reply dated 9 July 1990, Allen Allen & Hemsley generally confirmed the advice given two months earlier by Wilson of Clayton Utz. The author, who appears to have been either Stephen Walker or Michael Rose, addressed Gulson's queries as to the position of Wills if "in any future litigation" an order for discovery was made.
The author of the advice first warned that any future litigation would require that Wills identified in a list of discovered documents any BATCO reports of which it previously had custody, and noted that documents were discoverable if they had been in the power of Wills. The letter of advice then proceeded (I omit some sections which do not have any bearing on issues before me):
1.2 Whether an Australian Court could order Wills to retrieve from BATCo copies of BATCo documents previously destroyed by Wills pursuant to its Document Retention Policy.
As noted above, Wills could be required to include, in its list of discovered documents, any relevant documents belonging to BATCo which had, at some previous time, been in its possession, but had subsequently been destroyed.
Part 23, Rule 10 of the Supreme Court Rules provides that the Court may order a party to produce for inspection documents that appear, from the list of discovered documents, to be in its Œpossession, custody or power.' Accordingly, an order for production will not require the production of documents no longer in the possessi on, custody or power of Wills at the time the order is made.
Although BATCo documents in England may not be the subject of an order for production for inspection, the fact that they have been identified in a list
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of documents may encourage plaintiffs in Australia to seek access to the documents through the use of Letters of Request.
49 After discussing whether discovery of BATCO reports in Australian proceedings could be used in proceedings elsewhere (and advising that it would be a misuse of discovery to do so, but could not be ruled out with respect to foreign proceedings) the writer advised:
3. Whether retention by Wills on a selective basis of certain reports would highlight the fact that other documents have been destroyed and compromise the position of Wills with respect to the practice and operation of its Document Retention Policy.
It is, in our view, important that any Document Retention Policy adopted by Wills should be applied consistently. Selective destruction of documents, in a manner inconsistent with the Document Retention Policy, might well lead to an inference that those documents contained material that was somehow damaging to Wills.
In addition, such destruction of documents might be considered a contempt of Court if the Court considered that it was likely to interfere with the course of justice. (Lane v Registrar of Supreme Court of New South Wales (1981) 35 ALR 322).
In our view, no such inference could reasonably be drawn from the routine and non- selective destruction of documents in a ma nner consistent with the Document Retention Policy.
This question is dealt with extensively by Clayton Utz in their letter of 29 March 1990 at paragraph 1, with which we agree.
4. Letter of Clayton Utz dated 29 March 1990
Clayton Utz have quoted from the Document Retention Policy and have concluded that the policy shows a three-fold motivation for the destruction of documents. Clayton Utz says that this motivation evinces a positive intention which cancels out any negative impression which may be created by the destruction of documents. On this basis, Clayton Utz says that Œthere is little, if any, risk of contempt of Court'.
Although we agree with Clayton Utz's comments relating to the interpretation of the policy, it does not necessarily follow that there is no risk of an adverse impression being created or of contempt being found. It should be remembered that an aggressive plaintiff, in an application for further discovery or in a hearing itself, could cross-examine Wills' witnesses about aspects of the policy. In such circumstances, the demeanour of witnesses and frankness of their answers will be most important. Any attempt by Wills' witnesses to deny an awareness of the fact that document destruction makes things difficult for plaintiffs may lead to those witnesses being disbelieved and adverse inferences being drawn.
50 In the next section (portion of which I omit), the writer discussed the law of privilege:
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4.2 Part 2(b) of Clayton Utz's letter
We agree with the comments made by Clayton Utz in Part 2(b) of their letter.
It is possible that a court could order the disclosure of Clayton Utz's documents and other documents which are assumed to be privileged, in circumstances other than those described by Clayton Utz. If a plaintiff were to be particularly aggressive in its attempts to gain access to documents in relation to which privilege has been claimed, it is possible that a court, after examining the documents concerned, could hold that documents which are assumed to be privileged, are not privileged.
51 The writer then discussed the risk of the Document Retention Policy, itself, being disclosed, a concern which had been reflected in the earlier advice of Clayton Utz, and which, in my opinion, continued to be a significant consideration in the conduct of the defence in the present litigation, including the discovery process:
4.3 Part 2(c) of Clayton Utz's letter
Clayton Utz's comments in Part 2(c) of their letter seems to assume that an Affidavit Verifying Discovery is the only affidavit relating to documents which would need to be sworn on behalf of Wills. This is not the case.
If a plaintiff were particularly aggressive in pursing access to Wills' documents, he or she could, by Notice of Motion, seek orders for further and better discovery. In some circumstances, Wills might choose to resist such an application, relying on evidence of the adequacy of its discovery. If such a course were adopted by Wills, it is possible that Wills' executives and/or Wills' legal advisers could be required to give evidence. Such evidence may involve disclosure of information about the Document Retention Policy.
Obviously, whether or not Wills would risk such disclosure will depend upon the circumstances of the case in which the issue arises.
52 The author added further com ments on the Clayton Utz advice, and warned that in cutting the computer link to the BATCO research library it should be made to appear that it had been the unilateral decision of BATCO, and did not arise because of the very concerns which actually motivated Wills to so act:
4.4 Part 3 of Clayton Utz's letter
We do not agree with Clayton Utz's assessment that no changes need to be made to the way in which the Document Retention Policy is applied. In our opinion, the policy could be improved by the incorporation of the suggestions contained in Part 5 of our letter.
4.5 Part 4 of Clayton Utz's letter
We agree with Clayton Utz's comments in Part 4 of their letter. We note that whatever policy is adopted in relation to BATCo research reports, it is essential that that policy be applied consistently.
In relation to Part 4(c) of the letter, we consider it important that the
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termination, or restriction, of Wills' access to the BATCo computer data base be built into the BATCo Document Retention Policy and not be referred to in the Wills Document Retention Policy.
It is possible that an adverse inference could be drawn if Wills decided to terminate or restrict its access to the BATCo computer data base. Although there are sound management reasons for introducing a Document Retention Policy in relation to hard-copy documents stored in Australia, it may be more difficult for Wills to establish sound reasons for the modification of access arrangements in circumstances where Wills does not have the responsibility for storage of the data base. Accordingly, termination or restriction of access must be the result of a unilateral decision by BATCo made solely by reference to its own management requirements.
53 The author then addressed some tactical disadvantages which might arise in a later trial if documents were destroyed. The author did not suggest that some of the difficulties might be overcome by adopting a process of "warehousing" documents, nor did the author address the much greater disadvantage which a plaintiff would experience in the conduct of a trial, if denied relevant research documents. The author wrote:
4.6 Part 7 of Clayton Utz's letter
If the issue of research becomes important in future legal proceedings, Wills may have to choose between:
-- settling the proceedings;
-- relying on BATCo reports brought to Australia and produced with the consent of BATCo;
-- relying on the oral evidence of Wills' and/or BATCo witnesses;
-- relying on the oral evidence of industry experts who may be able to comment on industry- wide research issues.
Obviously, each of the above courses of action has serious drawbacks for Wills and BATCo. Any action taken would depend entirely upon the nature of the proceedings concerned.
54 Finally, the author offered general advice as to the Document Retention Policy, making it clear that Allen Allen & Hemsley did not have the same knowledge of the policy, and of the documents held by Wills, as was held by Clayton Utz:
5. The Document Retention Policy
In our opinion, it is difficult to comment upon a Document Retention Policy without detailed knowledge of the corporate structure involved and the types of documents which exist or are likely to be produced. Whatever Document Retention Policy is adopted by Wills, it is important that:
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-- the policy is clear cut and requires as little subjective judgment as possible;
-- the policy is applied consistently;
-- compliance with the policy be audited to ensure consistent application;
-- the policy regulates the distribution, retention and destruction of documents which are prima facie privileged;
-- the policy applies to electronically-stored information;
-- care be taken to ensure that sensitive documents, which belong to a class of documents which would be destroyed, do not Œsurvive' because they are attached to, or contained in, documents belonging to another class of documents. For example, policy documents and correspondence (which under the BAT industries policy would be destroyed in one or two years) could Œsurvive' if they were attached to visit reports or minutes of specialist meetings which may be preserved for five years or more.
Should you wish to discuss any of the matters referred to above in greater detail, please contact either Jim Dwyer or Michael Rose of this office."
55 Neither Ms Chalmers of Mallesons nor Mr Eggleton of Clayton Utz, who gave evidence before me, were aware of the letter sent by Gulson, or of the reply from Allen Allen & Hemsley. Eggleton ventured that the references by Gulson to destroyed documents was merely hypothetical, but, in my opinion, it is clear that Gulson is addressing a real, not hypothetical, situation. Gulson was not called to give evidence before me.
56 The advice of Allen Allen & Hemsley was not produced until after all witnesses had completed their evidence in this case. It was not suggested, however, by any witness who was called, that the advice of Allen Allen & Hemsley played any significant role in decisions taken by Wills concerning document destruction.
THE AUSTRALIAN PROCEEDINGS
57 In November 1990 W.D. & H.O. Wills (hereafter referred to as ŒWills') which is the predecessor of the defendant was joined as third party in Supreme Court proceedings brought against CSR Limited by one Gallagher in Western Australia.
Gallagher claimed to have suffered chest disease as a result of inhaling asbestos. The third party proceedings raised the question whether cigarettes had caused or contributed to the plaintiff's condition.
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58 In 1991 proceedings against Wills were brought in the Supreme Court in New South Wales. The plaintiff was David Harrison, and the case was discontinued in March 1998.
59 In February 1996 proceedings were commenced in the Supreme Court in Victoria by Phyllis Cremona. Those proceedings were discontinued in March 1998.
60 Class action proceedings were brought in the Federal Court by Michael Nixon and others in 1999. Those proceedings were dismissed before trial, on procedural grounds, in about November 2000. As I have said, the present proceedings were commenced on 26 October 2001.
61 The Document Retention Policy pursuant to whic h documents were to be destroyed was suspended by virtue of a "Hold Order" which was imposed from time to time in recognition of the fact that proceedings had been issued against the defendant and either had or would lead to an order for discovery. Such a Hold Order was imposed on 23 November 1990 in response to the Gallagher litigation. Hold Orders were renewed thereafter, in response to each of the court proceedings to which I have referred. Hold Orders continued in place until March 1998.
A MULTITUDE OF LAWYERS
62 One outstanding feature of this case is the extent to which, after 1985, the terms of the Document Retention Policy, and the implementation of a program of destruction of documents, were the product of advice, decision and supervision by an army of litigation lawyers, from several countries, and being both retained private practitioners and in-house lawyers. The relationship between the defendant and its retained solicitors was so close that solicitors employed by private firms sometimes became employees of Wills and then continued to work alongside members of their former firm, and employees of one of the legal firms sometimes spent months working on the premises of Wills. Private practitioners and in-house lawyers travelled together to conferences of litigation lawyers, organised by companies in the BAT Group, to discuss litigation tactics.
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63 David Schechter, in-house counsel for BATUS, the USA affiliate, played a very significant role with respect to the Document Retention Policy. In 1990, after the Gallagher litigation commenced, Schechter visited Australia for the purpose of assisting Wills in its defence of the action. He conducted interviews with firms of solicitors to determine who should represent Wills, and selected Robinson Cox in Perth. David Eggleton, a partner in Clayton Utz, met Schechter at that time and deposed that Schechter also interviewed partners from Mallesons Stephens Jacques and played a part in the decision to appoint that firm in Sydney "to represent Wills in future product liability cases". Schechter returned to Australia from time to time, for such purposes as preparing a submission to legal aid authorities designed to prevent potential litigants obtaining legal aid.
64 Robyn Chalmers, a partner at Mallesons Stephen Jaques, was engaged by the defendant, Wills, to perform discovery for the Harrison case. She was told by Mary Weir, the in -house counsel for Wills (who was succeeded, later, by Cannar), that she should copy correspondence to Schechter and to Bob Northrip. Northrip was an American Attorney from the Kansas City firm Shook Hardy & Bacon, which specialised in tobacco litigation, and had represented Phillip Morris.
65 On 4 June 1991 Chalmers had a conference call with David Schechter and Bob Northrip. Her notes record that one or other of those two discussed the prospect of both the Gallagher and Harrison cases being dismissed, or going away, "so that documents can be gotten rid of". They sought Ms Chalmers' advice whether they could implement the document retention program if the Gallagher case was over and if Harrison had either gone away or else they concluded that it had no prospects.
66 Ms Chalmers noted, at the time, that it was said:
"If another case arises and those solicitors become aware that the documents have been destroyed while the Harrison case was on, but before the new case, can they complain about the destruction."
67 Ms Chalmers caused a lawyer in her office to conduct research on this question and in her instructions to the researcher queried whether such conduct would be in
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breach of director's duties, or would be grounds for exemplary damages. She queried too "ways of getting at head company's documents" and queried "conspiracy".
68 On 21 February 1992 Ms Chalmers was to discover that the question of document destruction had not gone away. In a multi-party phone hook up with Northrip, Andrew Foyle (the UK solicitor), Schechter and Stuart Charfon (a solicitor with BATCO), she recorded discussion under the heading "Dispose of Documents". She noted Northrip opening by saying that "Pro is you get rid of them", but the "con" was "plaintiff's firm may persuade courts to more readily allow discovery from BATCO or order Wills to get other documents or a sanction will be imposed". Her notes record that he added:
"Aust firms believe both of those will be very difficult. More likely course will say Wills acted improperly and sanction Wills. Greatest sanction would be deny a defence. Also sanctions against the solicitors involved."
69 Foyle responded that if the action was not settled or struck out "the solicitors would be in contempt of court if the docs were destroyed. Solicitors under an obligation to ensure clients preserve documents". Northrip saw the problem as being that the Harrison issues were so broad that a very wide range of documents were covered by its discovery and "can't destroy enough if it around" (sic). Schechter concluded that option one would be taken , namely to "try to strike out quickly but do not destroy the documents". Charfon concluded, too, that "On the advice we have we cannot destroy the documents. Very clear advice that documents cannot be destroyed".
70 Ms Chalmers told me that she had no doubt that the desire to get rid of documents expressed in those discussions had nothing to do with considerations of space and efficiency, but was related to the danger which the documents posed to the defence of future litigation. She considered, however, that the advice which she had tendered was proper, and had been followed by the client. I agr ee that she gave proper advice at that time. It is somewhat surprising that British and American lawyers might have been in any doubt as to what was proper in those circumstances.
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71 Eggleton, who said that he played no part in the document retention program, deposed that he saw Schechter four or five times in the next five years and on one occasion, between 1991 and 1995, when he saw Schechter in Australia, upon asking why he was in the country was told that he was here to assist in document issues. I am satisfied that Schechter played an important role in the modification of the policy after 1990.
72 Although Schechter accepted advice that documents could not be destroyed if proceedings were on foot, the clear inference from the notes as to his attitude at that time, was that once existing proceedings had been concluded the document destruction should proceed. No consideration as to whether further proceedings were anticipated had been considered, let alone been regarded as being a further impediment to such action. In my opinion, the record of those meetings is consistent with the conclusion that it was the actuality of proceedings being on foot that was accepted to be an impediment; anticipated proceedings were never seriously addressed. That reflects, in my opinion, the reality that at all times those who took the decisions about the implementation of the policy regarded future proceedings to be not merely likely, but to be a near certainty. It was that certainty which meant that any opportunity to destr oy documents which arose by virtue of the elimination of current proceedings was to be seized upon. Overwhelmingly, it was a policy designed by and implemented by lawyers, being driven by considerations relevant to future litigation.
THE POST-1992 DOCUMENT RETENTION POLICY
73 The Document Retention Policy was overseen by a group called the Records Review Team. Since 1993 the Records Review Team comprised the defendant's audit manager (Malcolm Nicholson), the tax manager, and a representative from the defendant's legal department. In 1998 Graham Maher was the solicitor who represented the defendant's in-house legal department on the Records Review Team.
74 After 1992 the Document Retention Policy was to be found in two documents, one being titled the "Records Managers Training and Education Workbook", and the
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other being titled "Staff Handbook". There is some uncertainty as to which documents were operative from 1992 to 1998, and I have seen several versions of the Staff Handbook. The terms used in the different versions are not always identical.
(A) The Record Managers' Training and Education Workbook
75 I will deal with the first of the two relevant documents which comprised the policy.
Mr Michael Harrison, the former, and now retired, company secretary, was appointed "Records Manager" in late 1991 or early 1992. He identified a lengthy document titled "Records Management Programme - Records Managers' Training and Education Workbook" which was dated March 1992 3 . In his affidavit Harrison said that this document was produced at a conference held in Kuala Lumpur in 1992 and was intended thereafter to be the statement of the Wills document management programme. Nicholson agreed that this document was the applicable Managers' training document as from that date.
76 The document noted the benefits which would flow from "getting people to think before they write or file records" and it was noted that among the benefits which would flow from having a disposal policy was that it would "reduce potential for legal and PR problems and costs". The document noted that fewer records being kept for shorter periods would reduce the potential for problems which would arise, or could arise, if poorly written company documents were made public in court or in the media. It was noted also that "it would also mean a significant reduction in the legal costs associated with a discovery exercise".
77 In a section titled "legal aspects" it was noted that records may have to be disclosed in a wide variety of cases, in several countries, and the expenditure of time in responding to discovery was said to be considerable, and the costs of such a process would be extremely high. Under a heading titled "Effect on a Law Suit" it was noted that -
"Documents which contain ambiguous or inflammatory remarks or statements which go beyond the expertise of the author can be taken
---
3 This document is Exhibit "MH1" to the affidavit of Harrison sworn 29 January 2002
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out of context and used to the advantage of the company's opponent in a law suit. The effects of losing a case may include not only the monetary cost of any award against the com pany but also, potentially, the cost in terms of damage to the company's reputation." 78 There then appeared a paragraph, paragraph G, page 8, which read as follows:
" Purpose of the records retention program . It should be emphasised that the retention of the records management program is aimed at ensuring that the company retains those records needed for business, legal, tax and audit reasons for the correct time period. That Program is not a way of ensuring destruction of 'damaging' records or retention of 'helpful' records. Records will be treated as series, in large blocks.
It is not the intention to 'spring clean' the files to remove or retain records on a selective basis. Any such action would prevent the Program from passing judicial scrutiny."
79 The Record Managers' Training and Education Workbook also addressed the question of the creation of new documents, and listed matters which managers should emphasise to staff. One topic appeared under the heading " How sensitive is the information that is to be communicated?" It read as follows (with emphases as shown):
"Whenever they are writing something people should always apply the mental copy rule . That is, they should imagine that the document will be copied to the local news media, to a competitor, to the Government or a potential plaintiff in a court case. They should then ask themselves whether they would still write the letter or memo and, if so, whether they would write it in the same way. Does the wording convey the message intended? Is it vague or ambiguous in any way?
It will soon become apparent that verbal communication is often the best way for sensitive information ".
80 There is nothing improper in advising a client against creating new documents which would be embarrassing to disclose in proceedings. 4
81 The March 1992 copy of the Managers' Training Workbook which Nicholson produced before me contained no appendices, but two appendices appear in the copy produced by Harrison. However, in the copy of the 1992 document which Harrison produced to the court, Appendix 1, which related to "Control of Stored
---
4 See Matthews & Malek "Discovery", 1992, at par. 11.06.
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Records", was a 1999 version, which has a noticeably different typeface and layout to the rest of the document. Harrison said there had been an earlier version. That was called for by counsel for the plaintiff but the defendant did not produce it.
82 Appendix 2 contained a paragraph warning that electronic records constituted a "blind spot" for many people, but that it must be understood that the destruction policy applied to electronic copies, too. The paragraph stated:
"There is no point in disposing of a paper record only to find that the same record is still being kept on a computer file or word processing disc, especially if you have a discovery order served on your Company by a court."
(B) The Staff Handbook
83 As to the second document comprising the policy, Harrison said that when he returned to Australia in June 1992 he created a Staff Handbook which was to complement the first document and which was thereafter modified from time to time 5 . He said that the Staff Handbook which was used after June 1992 (but later modified) was that exhibited behind Tab 31 to the affidavit of Mr Gordon of 25 January 2002, and Nicholson agreed that that Staff Handbook was in effect from 1993 to 1999. He also identified an earlier version dated May 1993 6 as being the document that had applied at that date.
84 Another version of the Staff Handbook was exhibited by Mr Gordon, of Slater & Gordon, behind tab 30 of Exhibit "PG5" of his affidavit. It bears no date. In that document, in a section titled " What benefits will be derived from the programme?", a number of identified benefits were identified, both for the records creation phase and the records destruction phase. For the records creation and filing phase, one of the benefits read as follows:
"Reduced potential for legal and PR problems
Reductions in the quantity of long term records and improvement in the quality of those produced will mean there is a lower risk that
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5 A copy of the 1992 Staff Handbook appears at Tab 31 of Exhibit PG5 to the affidavit of Peter Gordon of 25 January 2002
6 Exhibit "MNN1" to affidavit of Nicholson dated 29 January 2002
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records, which may have to be produced during a court case or which may fall into the hands of the press, will cause problems for the company."
85 For the records destruction phase the following appears:
" Reduced potential for legal and PR problems and costs
As in the creation phase of the Programme, few er records means less likelihood that problems could arise if documents have to be produced in a court case. It also means much reduced legal review costs if the Company becomes involved in a law suit." 86 The handbook which Harrison and Nicholson said was the operative one did not distinguish as between phases of the programme, and identified the following as one of the benefits:
" Reduction of legal and PR costs
Reductions in the quantity of long-term records and improvement in the quality of those produced will mean that less costs will be incurred to maintain and locate records for legal, corporate and media use."
87 Harrison deposed that the document produced by Gordon ("PG 5", at tab 30), which had different typeface to the other version, may have been an earlier draft, but he said it was not a version distributed to staff. Nicholson noted the absence of a date and footer and said he did not confirm that it was a statement of the defendant's policy.
88 Both versions of the Staff Handbook identified other benefits which would derive from the programme. Among the other listed benefits were improved communications, improved productivity, lower costs, better teamwork, floor space savings, equipment savings, office moves, storage costs savings, records elimination savings, personal time savings and benefits as to quality in the work place.
89 Counsel for the defendant noted that, at page 17, of Tab 30, under a heading "How to Dispose of Your Records" the direction was given that all records were to be disposed of by series, and no individual files were to be kept back from destruction when they formed part of a series due for destruction. That demonstrated, they
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submitted, that a culling was not taking place.
THE SCOPE OF A HOLD ORDER
90 A Hold Order was first put in place in 1990 and was renewed thereafter until 1998.
On 1 April 1996 the Hold Order was reissued in recognition of the fact that the Harrison and Cremona cases were proceeding. The Hold Order noted that all documents created prior to and following the issue of the Cremona proceedings on 14 February 1996 had to be retained. The Hold Order expressly identified the categories of documents which would be subject to such retention, and were not to be destroyed. The categories included the following:
--Documents relating to the smoking and health issue or the continuing public debate, including any information relating to allegations that smoking was connected with ill health or disease, allegations that smoking is addictive or habit forming, components of tobacco or cigarette products including flavouring and additives, smoking testing and analysis of the combustion process, smoking behaviour including information as to why people smoke or choose to quit.
--Marketing, including documents relating to packaging, advertising and product launches, information relating to government health warnings, published cigarette advertisements and promotional material from 1955 to November 1987, documents directly concerned with the intention of effectiveness of any advertising or promotions.
--Documents relating to public and government attitudes to smoking and health issues and action aimed at influencing those attitudes and documents relating to the relationship between Wills and the Australian Tobacco Research Foundation and the Tobacco Institute of Australia.
--The records in connection with smoking and health and marketing that had to be retained were to include correspondence, internal memoranda and meeting minutes, discussion papers, reports, surveys and statistical data, scientific or pharmaceutical materials, both published and unpublished, and documents
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including references to such material, books magazines and journals obtained from all sources, audio and video tapes, films and photographs, electronic data and computer print-outs, including floppy discs, computer backup discs and tapes. "No electronically stored information relating to Will's activities concerning the areas of smoking and health and marketing whether on floppy disc or otherwise is to be erased or dumped, regardless of age".
A STRATEGY TO CONFINE PLAINTIFFS TO DOCUMENTS IN THE PUBLIC DOMAIN
91 In a letter to Slater & Gordon on 6 November 2001 Mr Travers of Clayton Utz advanced what counsel for the plaintiff contend is the strategy which was to be adopted by the defendant in the trial, and which has been the reason for the destruction of documents. Mr Travers asserted that the information as to the harmful effects of smoking had only evolved gradually; he referred to research on the public record, making no mention of any internal research by Wills or its agents.
The same approach was adopted in the letter sent to legal aid authorities, whereby discussion of the case was confined to documents in the public domain.
92 In 1993 or early 1994 the defendant, after consultations with lawyers representing the American and English companies in the Group (including Schechter, who came to Australia for the purpose) wrote to Legal Aid authorities in Australia urging that legal aid not be granted to any applicant seeking to bring proceedings against the defendant. The letter noted that the plaintiffs would be unable to prove a case against the defendant and great cost would be needlessly incurred.
93 The letter asserted:
"It is usually alleged that the defendant was negligent in not supplying sufficient information at the particular time as to the risks allegedly involved in the use of the product, a negligence claim based on breach of duty through failure to warn. In each individual tobacco case this issue will involve extensive enquiry and discovery relating to the factual basis of the allegations extending over a period of several decades, the general state of scientific and technical knowledge at the relevant times and an assessment whether any warning was needed at a particular da te."
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94 Maher, Wills in-house counsel, who had a part in the letter's production, said that the defendant and its advisers were well aware of the importance of discovery in relation to issues going to a defendant's state of knowledge.
95 In the present case counsel for the defendant responded to the plaintiff's complaint that relevant documents have been destroyed, by submitting that many of the documents may be found in the public domain. That, of course, denies to the plaintiff the opportunity to see any ann otations or notations which might appear on the original documents which were held by the defendant. No notes, memoranda or other records of debate and discussion concerning public comment or scientific reports on health issues relevant to such proceedings have been discovered, either.
96 The opportunity to obtain copies of documents which the defendant once held but had destroyed is severely impeded by the fact that there is now no list of such documents. Not even the less than 200 documents which had been provided to the solicitors for Mrs Cremona seem to now be held by the defendant. By an agreement entered between the solicitors for the defendant and for Mrs Cremona, none of the discovered documents were able to be copied by counsel, and the one copy of them which had been supplied was required to be returned to the defendant's solicitors, and that copy of the documents was subject to the destruction process, as I shall later discuss.
DESTROYED DOCUMENTS PRE-1998
97 As noted earlier, the Foyle memorandum of March 1990 contained the following observations:
"3. Details of how the policy was implemented by the Research Department are given in the note of AWF's meeting with Graham McGregor and Tas Wilson an the 17th November 1989.
The note also describes the type of research undertaken by Wills, the documents which they have received from BATCO and the information which their employees have about the BATCO research. A copy of the note is attached."
98 The note was not produced before me by the defendant and was apparently not sent
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to Wilson. It would have been an important document for this application, as research conducted before 1990 would have been of particular significance to the plaintiff. Later in his memorandum Foyle added:
"5. For the purpose of this exercise it can be assumed that, over the years, Wills has received copies of most of the sensitive documents generated by BATCO but that most of these (with the exception of the research reports) will have been destroyed as a result of the new retention policy. It should also be assumed that a number of Wills employees have a detailed knowledge of the subjects to which many of the sensitive documents referred."
99 Later, again, Foyle noted that: "The terms of the retention policy and the manner in which it has been implemented might cause problems for Wills in a product liability action".
100 I do not accept that Foyle was discussing a merely hypothetical destruction of documents. Given Foyle's opening statement that the current policy was introduced at a time when litigation was anticipated, it is clear that relevant documents had been destroyed upon that anticipation. What those documents were is now not known or not disclosed.
101 Graham Maher, in -house solicitor with Wills, gave evidence of a range of relevant internal material which he said was destroyed under the policy. He said that what was kept from destruction in 1998 was BATCO research and development material and material generated both internally and externally of scientific significance.
102 In his evidence Maher agreed:
"Do you agree with this proposition: that a plaintiff will not be able to show as a consequence of the policy adopted by this defendant when such documents were destroyed? --- I cannot agree as a consequence of the policy, counsel, because documents may have gone years and years and years ago - but since the policy was implemented, I can agree with that.
When do you say the policy was implemented? --- I thought it was implemented in or about 1993/94.
By Mr Harrison? --- Yes. Or by the company to be more accurate but Mr Harrison was responsible for it."
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103 Michael Harrison, having been trained under Schechter in Kuala Lumpur in 1992, as to the Document Retention Policy, took the role of Records Manager that year. He ceased employment with the company in November 1993. Schechter had visited Australia on one or more occasions to oversee the implementation of the policy.
Implementation of the policy had to be reported to BATCO in the UK.
104 Harrison deposed that he worked extremely long hours in implem enting the policy, which he said did involve destruction of large quantities of documents. Destruction was by series, he said, and there was no selective culling. He considered that the terms of the current Hold Order were complied with, and that "all documents involving scientific research and R & D were retained, as well as marketing and advertising material and documents relating to tobacco formulations.
105 Notwithstanding the apparent certainty of that statement I am not persuaded that all documents now relevant would have avoided destruction. Mr Harrison, himself, did not perform the task of locating and destroying documents. There were teams of workers for that. He read few of the documents which were to be destroyed and the documents were not identified individually before destruction was done by series.
His own interest was to separate out documents of historical interest. He was not looking for documents of relevance to potential litigation, as he considered that the Hold Order should have addressed those. In a period of frantic activity I consider it very likely that some relevant documents were destroyed. In any event, no record was kept of what was destroyed.
106 Many known relevant documents are now missing. If those relevant scientific and research documents and relevant memos and correspondence which are now missing were not destroyed at the time of Mr Harrison's activity then they were destroyed previously or subsequently.
107 Further evidence of past destruction of relevant documents is to be found in Gulson's letter dated 16 May 1990 to Walker of Allen Allen & Hemsley. As earlier noted, he referred to "BATCO documents previously destroyed by Wills" and "the
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fact that other documents have been destroyed". It is plain that he was there refer ring to documents which would have been relevant to litigation.
108 My Order for Discovery dated 6 December 2001 required, by par 9, that the defendant make discovery of any document within the categories identified by my Order and which had been previously held by the defendant, but which had been destroyed or removed from the possession, custody or control of the defendant. The Order required that it be disclosed by affidavit what had become of any documents which were missing or destroyed. As I shall discuss, that was not done.
CREATION OF A CREMONA DATA BASE
109 As a junior solicitor employed by Robinson Cox in Perth, Graham Maher had been involved in the discovery process in the Gallagher litigation. He commenced employment with Mallesons in Sydney in February 1996, working under Ms Chalmers, to review documents which might become relevant in any future litigation. He said that litigation was then a "distinct possibility", but no proceedings were on foot. Together with others, he summarised documents and had them scanned.
110 The review was conducted, he said, "because at that time there had been a lot of publicity about - and particularly publicity about documents, which had been made public in the United States." The American documents to which he referred were research papers which had a bearing on questions of the state of knowledge held within the industry and the state of their own research. Over a period of some six months, when he conducted the review, he examined not just research papers but also minutes of meetings, notes, letters and general documents over a period which might have been earlier than 1960, but was certainly dating from the mid sixties.
111 In July 1996 Maher left Mallesons and commenced employment by Wills, in their legal section, working under Mr Cannar. From March 1997 he worked on the Cremona discovery process, alongside Mallesons employees.
112 For the Cremona litigation, where general discovery was required, the defendant
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identified some 30,000 documents as being possibly relevant in the proceeding. Of the 30,000 documents some 11,600 were found to be relevant or arguably relevant and were included in the Affidavit of Documents on discovery. Save for a very small minority of documents, all 30,000 documents were imaged on computer discs.
Not only were they stored on compact discs, all documents were indexed, and in most instances summarised, for the very purpose that they could be readily retrieved and searched if required. The process of discovery cost in the order of two million dollars.
113 Notwithstanding the huge volume of material provided in discovery, and the time-consuming nature of the task, only some 200 documents were requested by Mrs Cremona's solicitors. Given the disruption and cost of the exercise the defendant resolved to avoid needlessly repeating the exercise in future, according to Maher. However, the very limited call for documents also surprised the defendants' lawyers, and was, I have no doubt, cause for relief. There was considerable anxiety to limit the potential damage which documents could do, as evidenced by the demand that the plaintiff's lawyers in Cremona return all copies to the defendant.
114 Chalmers said that the 1996-97 review also entailed the lawyers rating each document on a scale of 1 to 5, according to how damaging each was likely to be to the company in any litigation, or how beneficial. A rating of 5 meant the document was a "knockout" blow against the company, and a rating of 1 meant it was a knockout in favour of the company. It seems to me that the process of reviewing so many documents must have given many employees or consultants with the defendant a very clear appreciation of the potential for damage which the documents created.
115 All record of the summaries and rating of the Cremona documents has now been destroyed, but as I will next discuss, a hard copy of a search of the data base in 1997 indicates just how effective the search program was and how extensive was the data base before its destruction. It makes for one basis of comparison between the discovery which the plaintiff has achieved in this case and that which might have
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been attained had the data base not been destroyed.
THE SCOPE OF THE CREMONA DATA BASE
116 Some indication of the scope of the data base may be gleaned from Exhibits P10 and P 14. In August 1995 Alex Kinross, a solicitor with Mallesons, who took charge of the review process, provided Cannar and Mary Weir (Exhibit P10), with a detailed protocol for the collation and analysis of documents for the purpose of discovery, in the face of what was said to then be the "very real" threat of class action proceedings, which had been threatened in media comments by a barrister. The categories of smoking and health topics to which documents were to be allocated were discussed, and very clear, and accurate, instructions were given as to the legal obligations of discovery. In particular, Kinross stressed the necessity to obtain and provide accurate information as to all steps taken to locate missing documents and as to the circumstances when they were last seen and had been lost or destroyed.
117 The issue of juvenile smoking was identified by Kinross as one topic on which any relevant document had to be discovered, and so too documents relating to possible suppression of research, termination of research, misleading advertising and so forth. Ms Chalmers was identified by Kinross in her memo as being one of the persons who could be approached with any queries by staff. The various locations of relevant Wills documents were identified, including the Library and Wills Technical Centre which, under Mr Tas Wilson, was said to have conducted scientific research over 35 years. The WTC was said to hold a library of BATCO reports and also reports from other affiliates. The starting point for what was to become the Cremona data base was said to be 23,000 documents on smoking and health held at the WTC.
118 The Kinross document, Exhibit 10, contains a brief description of the nature of smoking and health documents held by each department of Wills at August 1995.
Ms Chalmers suggested in her evidence that it might not have been a list of what was known to be present so much as what Kinross expected to be present, but it is not written with such a qualification. It notes, for example, that the marketing
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department held market research reports, market surveys, correspondence, smoking statistics, research reports and documents relating to "warnings". Documents in those categories, and in others that Kinross mentioned, would be arguably relevant to the cat egories of discovery in this case, in particular, as to par 6.3 of my Order. In this case the defence is taken that the plaintiff voluntarily incurred the risk of suffering lung cancer by smoking. It would be relevant to the plaintiff's case to establish, for example, that the defendant had conducted market research as to the effectiveness of advertising in inducing young people to smoke. No market research or advertising studies were discovered.
119 Kinross was not called as a witness before me. Her absence was unexplained, save for the suggestion that it was unnecessary to call more witnesses, having regard to the number of witnesses who were produced by the defendant. In my opinion, she would have been a person with a very good knowledge, much better than Maher and Chalmers, of what had in fact been held on the Cremona data base prior to the implementation of the destruction programme in 1998.
120 It is obvious that the Cremona data base was a very useful tool. Given that it also contained a rating of importance of the documents, and of their "knockout" capacity, a person in the position of Maher or Cannar could very quickly have identified the documents of most danger to the defendant in any litigation. This data base was destroyed in 1998, after Cremona concluded.
121 The end product of all this effort to collate and review documents may be seen in Exhibit P14, a document which Chalmers sent to Maher on 17 April 1997. The Cremona data base, as the data base had expanded to become and be known, was searched under a number of headings.7 The topic "Wills knowledge of risks of lung cancer" for the period 1962 to 1988 produced 949 documents. There is no question that that is a relevant issue in this trial, it was also an issue on which the plaintiff interrogated. It was not, however, one of the categories of documents for which
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7 It is not clear who performed the search, but it appears to have been a Mallesons employee, possibly Kinross.
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discovery was ordered.
122 However, on topics "Presence, qualities and effects of nicotine", and "Wills' knowledge of presence, qualities and effects of nicotine", for the period 1962 to 1987, a pool of 4654 documents were located in the data base and identified as relevant. A sub-category was the issue "Did Wills know that tobacco contained nicotine, and that the nicotine contained in the smoke from the cigarettes acted as an addictive, dependence-creating or strong habit forming substance between 1962 and 1987?"
The topic "Nicotine manipulation/content, 1962 to 1987 produced" a pool of 2430 documents.
123 Contrast that with the situation in the present case. One of the categories for discovery in this case was that stated in par 6.6: "All correspondence and other documents of or between the Defendant, Brown & Williamson and/or British American Tobacco between 1958 and 1968 relating to (a) Project Hippo, (b) research conducted by the Batelle Laboratories, (c) the pharmacological effect of nicotine on the human body, (d) the US Surgeon General." Not one document was discovered under any of those categories.
124 By way of explanation for the total failure to produce any documents under par 6.6, the defendant's counsel makes the following responses. First, they deny that par 6.6 refers to documents other than those actually authored by the defendant. I will discuss that later; it turns on the interpretation of the word "of", which the defendant interpreted in the most beneficial, albeit improbable, way. Secondly, it is contended that the time frame for discovery was more limited than the time frame in the 1997 search. The next explanation is that there may be documents under these categories in existence but they are held not under the possession, custody or power of the defendant, but of other persons. Finally, some of the documents may have been destroyed due to implementation of the Document Retention Policy in 1998.
Ms Chalmers said that while she believed that many of the documents in the Cremona pools, as listed in Exhibit P 14, would still exist, she could not say how many still existed, nor how many had been destroyed in 1998. She suggested that
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very few of the 4654 documents listed in 1997 relating to the qualities and effects of nicotine would have been discoverable under the "pharmacological effect of nicotine" category. I do not understand how Ms Chalmers could possibly know that to be so, and given the fact that not a single document was in fact discovered in that category the implication seems overwhelming that discovery has been fundamentally thwarted under this category by virtue of the 1998 destruction program.
125 The 1997 search under the category of "purpose and effect of Wills' advertising", for 1974 to 1988, produced 2387 documents. One category of discovery, under par 6.3, was "all documents relating to the advertising of the defendant's cigarettes of the brands "Capstan" and "Escort" between 1958 and 1992, whether or not such advertising also refers to other of the defendants' brands". No documents were produced under discovery in this category.
126 In my view, the interpretation adopted by the defendant by reference to the phrase "of the defendant" in par 6.6 of my Order, and its failure to seek clarification as to the correctness of that interpretation, demonstrates that the defendant is willing to adopt an exceptionally pedantic approach to its obligations of discovery, when that suits it interests - yet, as I shall show, when providing information to its opponent it has often chosen general words or vague phrases which mask its true meanings.
1998: THE CANCELLATION OF THE HOLD ORDER AND IMPLEMENTATION OF THE DOCUMENT RETENTION POLICY
127 On 8 April 1998 the Harrison proceedings were discontinued, upon the defendant's application. The notice of discontinuance had actually been signed on 5 March 1998.
The Cremona proceedings were discontinued, on the defendant's application, in March 1998.
128 Mal Nicholson reported to Nick Cannar, former in -house counsel for BATCO and at this time chief counsel for the defendant. Cannar said to Nicholson "now is a good opportunity to dispose of documents if we no longer need to keep them. That should be done outside the legal department". Cannar asked Nicholson to take the
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position of Records Manager and to be responsible for implementation of the policy.
On 9 March 1998 Nicholson, as Records Manager, gave a memo to all department managers and work group managers advising that with effect from 6 March 1998, and by the authority of the Chief Executive, Mr Stewart Watterton, the Hold Order of 1 April 1996 was revoked.
129 For the next three months Nicholson was engaged in the implentation process. The process did, in fact, involve lawyers, but they were lawyers from Mallesons, who reviewed all documents which had been collected for Cremona and Harrison, and once they confirmed that documents had passed the retention dates then they were destroyed. The actual task of destruction was performed by an external service provider. Nicholson said that Cannar did not supervise the destruction exercise.
Nicholson said that Mallesons reviewed a number of boxes of documents which had been returned to the company (from whence he did not know) after Cremona had concluded, and some of those documents were sent to the Technical Centre, and some to archives, but the balance was destroyed.
130 Nicholson had been with the company since 1967. He did not question the policy, and did not know that the Staff Handbook identified one of its functions as being to reduce the potential for legal and PR problems. Nicholson never met Chalmers, Eggleton or Schechter. Despite his title and role as Records Manager, (for three months), he was, I am quite satisfied, a minor player in the implementation of the policy.
131 In my opinion, it is perfectly plain that a window of opportunity was perceived by Cannar, and probably others, upon the completion of the Cremona and Harrison proceedings, there then being no proceedings on foot.
132 On 9 March 1998, before the destruction of the Cremona data base commenced, Maher, as corporate in -house counsel, wrote to Ms Chalmers, of Mallesons Stephen Jaques, seeking advice as to the entitlement of the defendant to revoke the Hold Order with respect to documents that had been collected pursuant to discovery in
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the Cremona litigation. Mallesons had been engaged for the purpose of undertaking the discovery exercise on behalf of Clayton Utz, who were the solicitors on the record.
133 Maher advised Chalmers that a Hold Order had been in place since November 1990 but had been revoked as from 6 March 1998. Revocation of the Hold Order, he said, "may not apply to 'external reports', being reports from other BATCO companies on research, development and related issues". He added that:
"Previous legal advice received some time ago was to the effect that there was no legal obligation on the company or its officers to retain documentation which may be related to issues arising in legal proceedings where no such proceedings were on foot, although a Court may draw adverse inferences from the destruction of such documents depending on the circumstances.
Whatever the strict legal position, in light of publicity given to document issues in other jurisdictions and the risk of adverse inferences being drawn by a court in the event of any future proceedings, I have recommended to the Committee, and the Committee has agreed, that, subject to your advice, we retain all 'external reports' irrespective of their date and all like reports created by the Company. The Committee has also agreed to recommend a change in the retention period applying to documents to the effect that both internal and external reports of 'fundamental and ongoing scientific significance' will be retained permanently, subject to annual review".
134 Maher annexed to his letter to Mallesons an earlier advice which had been obtained from Clayton Utz, dated 7 July 1992, and which had been directed to Mike Harrison, Company Secretary. That advice had dealt solely with statutory requirements as to document retention.
135 Maher, in his letter to Chalmers, then sought advice as to whether there was any legal obligation on the company to retain documents which "might possibly be relevant in legal proceedings where no such proceedings are in existence".
136 On 19 March 1998 Robyn Chalmers, a partner with Mallesons, responded to Maher's request for advice, and agreed that it was prudent that the Company's Records Management Review Committee had decided that all external reports and like
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reports were to be retained and also that both internal and external reports of "fundamental and ongoing scientific significance" were to be retained. She advised that original documents should be retained when they were of a legal nature.
137 Ms Chalmers advised:
"I confirm that there is no specific obligation of you to retain documents for the purposes of legal proceedings where no such proceedings have been commenced. You are entitled to destroy any documents subject to the legislative requirements but as you have been advised previously, the court may draw an adverse inference from the destruction of such documents, depending on the circumstances of the destruction. Moreover, you may be required to produce any copies retained where originals are destroyed or to give oral evidence regarding the nature and content of the original documents. Arguments in your defence where records have been destroyed would include compliance with the legislative retention periods and a necessity to maintain your archives within responsible limits, given the administrative and storage costs of keeping a large quantity of data".
138 Ms Chalmers advised that she would provide a member of the staff at Mallesons to identify and separate all documents which should be retained.
139 Even before receipt of the Chalmers advice, destruction of documents had commenced, but the destruction of the Cremona discovered documents commenced only after Maher had received the advice from Chalmers.
140 Maher was concerned about the proposal to rei nstate the Document Retention Policy and he discussed the proposal with his superior, Cannar. He warned Cannar that adverse inferences could be drawn and that the propriety of the company engaging in this process of destruction of documents, which would or might prejudice the case of any future plaintiff, could be a subject of comment by a court. He was concerned, too, about his own position as an officer of the Court, in participating in such a process. He proposed, and Cannar apparently agreed, the retention of the Research and Development reports, but otherwise agreed with Cannar's conclusion that the program should proceed. Maher assumed that Cannar would have reported to the CEO, Watterton.
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141 Maher also discussed Chalmers' legal advice with the members of the Records Management Review Committee, and gave them copies of Chalmers' advice. The Chalmers' written advice made no reference to any question of "anticipated" proceedings. She told me that she had in fact conferred with Cannar and Maher on 11 March 1998 and had expressly queried the purpose for the destruction and also whether there were any further proceedings anticipated. By oversight, she said, she omitted to include any advice about anticipated proceedings in her written advice.
142 Maher gave evidence before me prior to Ms Chalmers, and then returned to Dubai, where he is now employed by one of the companies in the BAT Group. In giving evidence in chief he was not asked about a meeting with Chalmers nor did he suggest that any meeting had occurred. He did not mention receiving any advice about anticipated proceedings or discussing that notion with Cannar or the committee.
143 Counsel for the plaintiff submitted that I should conclude that no such meeting took place and that I should reject Ms Chalmers' evidence concerning the meeting.
144 I do not consider that Ms Chalmers invented the meeting, but having regard to the fact that she had no note relating to it (apart from a diary entry) I do consider that her recollection of what was said between her self and Cannar and Maher may be incomplete, or unreliable to some degree.
145 The fact that Ms Chalmers now says that she made a point of inquiring as to the bona fides of the purpose of the proposed destruction and that she also raised, expressly, the question of anticipated proceedings suggests that she both then and now had some anxiety about what was proposed. I am not surprised if that was so.
What is clear is that whatever she said to Cannar and Maher, apparently neither the fact of the meeting nor any additional oral advice that she may have given made an impact on Maher. His recollection is that what was discussed with Cannar and his committee was merely the written advice: that advice was limited to discussion about proceedings that had commenced, and did not mention anticipated
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proceedings.
146 Ms Chalmers said that she was reassured as to the genuineness of the reasons for implementation of the policy by virtue of Maher's statement that all research material would be held back from destruction. That, she considered, meant that documents that may have been more harmful than helpful to the interests of the defendant were being preserved. Ms Chalmers, however, given her long involvement with the defendant and the discovery process, could have sought more evidence of the benevolence of that decision. It is now quite apparent that a great number of research documents held at the time of Cremona, of which the plaintiff sought discovery in this case, were destroyed in 1998, after she had delivered her written advice. As Maher appreciated, what would be destroyed (and was) included, at least, all internal documents reflecting discussion within the company about research, advertising, addiction and other critical issues. He knew at the time how important such material would have been to the case of a future plaintiff.
147 Ms Chalmers said it was not her function to cross examine employees of her client as to their motives for destruction and the scope of destruction. In my view, she was content to accept their answers without scrutiny. A solicitor advising a client about discovery is obliged only to take reasonable steps to ascertain the truth as to the client's instructions concerning documents, but must investigate further if he/she has reasonable grounds for suspecting that there are other documents which the client has not disclosed. A solicitor is entitled, on reasonable grounds, to believe his/ her client 8 . I do not consider that Ms Chalmers had reasonable grounds to be so satisfied, but I accept that she considered that she had, and in any event, she had been denied some important information by Clayton Utz (and by her client) about past destruction of documents, which would have made her more suspicious of her client's instructions.
148 Ms Chalmers said that at the time she did not consider that it was likely that further proceedings would be commenced, given that those to date had been unsuccessful,
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8 As to these propositions see Matthews & Malek, "Discovery", (1992), at pp 248- 249.
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and no proceedings had been commenced in the UK. Cannar and Maher asked her whether the fact that the defendant was a tobacco company meant that they should retain their records, and she told them that, while there was no case law on the point, it would be "commercially unrealistic" for the law to require that, since it would mean that a company could never destroy its documents. In her discussion as to "anticipated litigation" Ms Chalmers said that it was her understanding, as she told them, that for litigation to be anticipated there would have to be some identifiable piece of litigation that they had knowledge of, perhaps by means of a letter of demand. They said they had no such information.
149 In my view, even a modest degree of scepticism would have suggested that if it was appropriate that scientific documents be preserved, having regard to the possible prejudice to a future plaintiff, then it was important to know what would be lost.
The urgency with which the program was to be implemented reflected the expectation of further litigation, as did the maintenance of substantial teams of litigation lawyers.
150 Although Maher's decision to retain certain documents was to a significant degree predicated on the possibility of later criticism if proceedings were brought by a plaintiff, Ms Chalmers said that she did not turn her mind to the question of whether a pla intiff would suffer prejudice by implementation of the policy. In any event, she did not believe that a plaintiff would have been prejudiced, because all of the scientific research was being retained, unculled. That material she understood to be both internal and external research and development material of BATCO companies.
She said: "I had no reason to believe that they were doing this in any way to seek to harm a future plaintiff". She doubted that she owed a duty to "unidentified people making unidentified claims", and suggested that it would have been negligent to have given her clients advice other than that she did. She considered that what they told her they proposed to do was both legally correct and eminently fair, but doubted whether fairness was a relevant consideration which they or she had to address. Ms Chalmers did not enquire whether there had been culling of the
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scientific documents in the past. She was unaware, for example, of the letter sent to Allen Allen & Hemsley on 16 May 1990 by Mr Gulson, legal counsel and company secretary of Wills, which strongly suggested that such culling had occurred in the past, pursuant to the Document Retention Policy.
151 Maher, and certainly Cannar, would have known perfectly well (having regard to earli er advice) that innocent motives had to be asserted by the company. Cannar knew that Chalmers would be placed in an embarrassing position if dishonourable motives (and recognition of the high probability of further proceedings) were admitted. Having regard to her discussions with Schechter and Northrip in 1991 and 1992 Ms Chalmers might have had good reason not to probe too deeply the question of motivation for the proposed destruction. She had no doubt that the intentions that Schechter and Northrip had expressed in 1991 and 1992 were related to impeding the prospects of any plaintiff by destroying damaging documents. Ms Chalmers told me, however, that they had accepted her advice not to so act.
Furthermore, she considered that the change in approach fr om about 1995 - when efforts were commenced to identify, analyse and place all documents on a data base - demonstrated a reversal of that earlier contemplated approach.
152 As to his own position as an officer of the Court, Maher told me that had there been a problem then Chalmers would have raised it in her advice. In my view, Maher was relying on the legal advice from Chalmers to provide his defence if the destruction was later criticised, and Chalmers, in turn, was relying on not being told anything that would embarrass her in giving advice. Although there was a sense of urgency in disposing of documents upon the lifting of the Hold Order, the documents in Cremona were not destroyed until Maher received the advice from Chalmers, then discussed it with his committee and got his direction from Cannar.
153 Maher told me that at the time of this destruction of documents no dispute had arisen with any person likely to become a litigant, but he agreed that "the possibility of litigation was certainly there". It was a difficult decision for him to take to destroy the documents. At first blush, he thought that the purpose of the proposed
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implementation of the policy might have been the deliberate destruction of harmful evidence but, he said, having regard to the decision to retain the research papers, and the involvement of Harrison, whom he respected, he decided that he should accept that there were justifiable commercial reasons for the implementation of the policy.
154 Maher said that he did not cull the research doc uments which were preserved, although he could not say whether they had already been culled before they reached this point. There was a sense of urgency. Maher said that the department managers were told they had to confirm compliance with the policy by 15 April 1998.
155 Maher said that he discussed with Cannar the fact that in addition to research documents the internal responses to research would also be highly relevant to any plaintiff's action. They agreed that if the policy was to be implemented, however, it would not be appropriate to extract such documents from the material, because they were destroying by series, and there was not a series which identified such documents.
156 The decision was really that of Cannar, rather than Maher. Maher said that Cannar accepted that people might look askance at the company, and that had to be weighed against the fact that the policy had not been implemented for eight years. Maher said he assumed that Cannar had weighed those considerations. He was instructed by Cannar that the policy was to be implemented.
157 I am satisfied that Maher appreciated that the implemen