Footnotes:
1 The common law rules can also be regarded as including the jurisdictional rules contained in other parts of the CPR, such as CPR 62.5 on arbitration and CPR 63.14 on intellectual property.
English law also contains some separate statutory regimes for jurisdiction for defined subject matters. See eg Carriage of Goods by Road Act 1965, Sch 1, incorporating the Convention on the Contract for the International Carriage of Goods by Road (CMR Convention), which has its own jurisdiction regime in Article 21. These separate regimes are not explored in this work.
2 In matters concerning an exclusive jurisdiction clause which falls within the scope of the Hague Convention on Choice of Court, jurisdiction will exist under the Convention on top of and outside the ‘common law’ rules. Where jurisdiction exists under the Hague Convention, service can be effected without permission under 6.33(2B). So long as the Brussels–Lugano regime continues to apply, Hague Convention jurisdiction will in most cases apply in parallel to jurisdiction under Article 25 of the Brussels I Recast (see Ch 16, para 16.10) and will often be of little practical import. But if Brexit leads to the ending of European jurisdictional co-operation, and (as is anticipated) the UK’s accession to the Hague Convention then takes effect (see Ch 16, para 16.05), the role of the Hague Convention will be much more significant. It will become the primary jurisdictional basis for claims under jurisdictional clauses (within its material scope). Its operation alongside the common law rules in that situation is discussed at paras 18.40–18.41 of this chapter.
3 Subject to Articles 18(1), 21(2), 24, and 25 of the Brussels I Recast, and the effect of the Hague Convention of the Choice of Court.
4 On the Hague Convention, see n 2 and paras 18.40 and 18.41 of this chapter, and Ch 16, paras 16.05, 16.10.
In addition, in the event of a no-deal Brexit, as matters stand, the no-deal provisions contained in Civil Jurisdiction and Judgments (Amendment) (EU Exit) Regulations 2019, SI 2019 No 479 will transfer into English law the essential effect of the protective employment and consumer regimes contained in the Brussels Recast, by Regulation 26 adding new sections 15A–15E of the Civil Jurisdiction and Judgments Act 1982. We do not seek to address the effect of those possible provisions in this chapter.
5 Dresser UK v Falcongate Freight Management [1992] QB 502 (CA) 518H, 523A–D; Masri v Consolidated Contractors (No 4) [2010] 1 AC 90 (HL) [32]–[39].
6 The traditional position is that all service of originating process out of the jurisdiction requires statutory authority, because under the common law the monarch’s writ only runs within England and Wales: Siskina v Distos Compania Naviera (The Siskina) [1979] AC 210 (HL) 254F–255C; Masri v Consolidated Contractors (No 4) [2010] 1 AC 90 (HL) [32]. The point is also expressly reconfirmed in CPR 6.6(1) in respect of claim forms.
7 Companies Act 2006, s 1139.
9 Under CPR 6.3(1)(b)–(d), and 6.9, or under Companies Act 2006, s 1139.
14 Colt Industries v Sarlie [1966] 1 WLR 440; Maharanee of Baroda v Wildenstein [1972] 2 QB 283 (CA) 291, 294, 298; Adams v Cape Industries [1990] Ch 433 (CA) 518–19.
15 SSL International v TTK LIG [2012] 1 WLR 1842 (CA) [61].
18 Field v Bennett (1886) 56 LJQB 89; Kyrgyz Republic Ministry of Transport Department of Civil Aviation v Finrep [2006] 2 CLC 402 [43]; Honda Motor v Neesam [2007] EWHC 581 [29]–[37]; Koza v Akcil [2018] EWHC 384 [23]–[25].
19 Spiliada Maritime v Cansulex [1987] AC 460 (HL).
20 Case C-281/02, Owusu v Jackson [2005] ECR I–1383.
21 For the distinction between ‘single forum’ and ‘alternative forum’ cases, see Ch 5, para 5.02.
22 See eg Joint Stock Asset Management Co Ingosstrakh-Investments v BNP Paribas [2012] 1 Lloyds Rep 649 (CA) [80]–[82]. See also Donohue v Armco [1999] 2 Lloyds Rep 649 [63]–[69]; Youell v Kara Mara Shipping [2000] 2 Lloyds Rep 102 [72]–[75]; Navigation Maritime Bulgare v Rustal Trading (The Ivan Zagubanski) [2002] 1 Lloyds Rep 106 [52(11)], [101].
23 Leaving aside the case where a defendant has given as an address for service the address of a lawyer in Scotland, Northern Ireland, or the European Economic Area (EEA): CPR 6.7(2) and (3), in which case he can be served as if he was within the jurisdiction. However, in the event of a no deal Brexit the ability to serve on an EEA lawyer will be removed by the current no-deal statutory instruments: Civil Procedure Rules 1998 (Amendment) (EU Exit) Regulations 2019.
24 The ‘common law’ rules on service out of the jurisdiction, once considered of sufficient importance to require direct primary legislation in the Common Law Procedure Act 1852, have come down in the world. Having spent an intermediary century as Rules of Court (first Order XI and Order 11 of the Rules of the Supreme Court, and then CPR 6.20), they are now framed by CPR 6.36 and 6.37, but contained in PD 6B para 3.1. The constitutional implications of permitting the court’s extraterritorial jurisdiction to be regulated by a mere practice direction appear not to have been taken seriously. Compared to this, it is a minor complaint that for the practising litigator, ‘Practice Direction 6B, paragraph 3.1(3)’ is distinctly unwieldy to pronounce. See also the hostility to this change expressed by A Dickinson, ‘Restrained No More? Service out of the Jurisdiction in the 21st Century’ [2010] LMCLQ 1, 12–13.
26 Seaconsar Far East v Bank Markazi Jomhouri Islami Iran [1994] 1 AC 438 (HL) 456G–H, 457B established the ‘serious issue to be tried’ test under the RSC. Under the CPR, the different wording of rule 6.37(1)(b) requires that the claimant’s evidence confirms that each of his heads of claim has ‘reasonable prospects of success’. The courts have held that the tests mean the same thing, and are in effect the same as the merits threshold for summary judgment: BAS Capital Finding v Medfinco [2004] 1 Lloyds Rep 652 [151]–[153]; Altimo Holdings and Investment v Kyrgyz Mobil [2012] 1 WLR 1804 (PC) [71]; Al-Sanea v Saad Investments [2012] EWCA Civ 313 [29]; Fujifilm Kyowa Kirin Biologics v Abbvie Biotechnology [2017] RPC 7 [86].
27 Spiliada Maritime Corporation v Cansulex [1987] AC 460 (HL) 464H–465A, 480G–481A; Altimo Holdings and Investment v Kyrgyz Mobil [2012] 1 WLR 1804 (PC) [71]; CPR 6.37(3) (using the language of ‘the proper place to bring the claim’).
30 Mercedes Benz v Leiduck [1996] AC 284 (PC), 302C–E, where it was held that it was not possible to serve a writ claiming a freezing injunction under the Hong Kong equivalent of RSC Ord 11, because such an injunction was not designed to ascertain substantive rights but was ‘proceedings which are merely peripheral’. This was a development of the jurisdictional doctrine articulated in Siskina v Distos Compania Naviera (The Siskina) [1979] AC 210 (HL) 256G–H, where Lord Diplock had held that to come within the then RSC Ord 11 r 1 (i) (later RSC Ord 11 r 1(2), the predecessor of PD 6B para 3.1(2) as it now is):
31 Cool Carriers v HSBC Bank USA [2001] 2 Lloyds Rep 22, 29–30 (interpleader summons not within CPR 6.20 (as it then was), the predecessor of what is now CPR 6.36). The correctness of Cool Carriers was accepted, obiter, apparently without argument to the contrary, and without consideration of the full implications, in Eastern Trading Engineering v Vijay Construction (Proprietary) [2018] EWHC 1539 [36].
32 The rigidity of the jurisdictional doctrine of The Siskina, even as modernized in Mercedes Benz v Leiduck, has received considerable criticism: see, in particular, the dissenting speech of Lord Nicholls in Mercedes Benz v Leiduck [1996] AC 284 (PC) 312–14. The House of Lords abolished the equally criticized substantive doctrine of The Siskina in Fourie v Le Roux [2007] 1 WLR 320 (HL), and so the auguries for the jurisdictional doctrine of The Siskina are perhaps poor. See Krohn v Varna Shipyard (No 2) [1998] ILPr 614 (Royal Court of Jersey) [10]–[11], refusing to follow the jurisdictional doctrine of The Siskina.
Further, it is arguable that Mercedes Benz v Leiduck is inapplicable under the CPR, whose wording is different to the RSC. CPR 6.36 provides that the claim form may be served out of the jurisdiction ‘in any proceedings’ covered by the common law rules of jurisdiction if the grounds set out in para 3.1 of PD 6B apply, and there is no verbal reason why a claim for a final anti-suit injunction should not fall within this, even if it is not based on any underlying substantive right. In addition, CPR 6.2(c) makes clear that applications for interim injunctions, if sought before the commencement of substantive proceedings, can be fitted within CPR 6.36 and para 3.1 of PD 6B. In Masri v Consolidated Contractors (No 3) [2009] QB 503 (CA) [59], the Court of Appeal assumed that applications for interim anti-suit injunctions could if necessary be fitted within the heads of CPR 6.20, whose wording was in this respect similarly structured to the current rules (by virtue of the definitional effect of CPR 6.18, which had a similar effect to CPR 6.2(c)), and did so even though they were proceeding on the basis that there was no underlying cause of action for an interim alternative forum anti-suit injunction.
In Cruz City 1 Mauritius Holdings v Unitech [2015] 1 Lloyds Rep 191 [79]–[80] Males J proceeded obiter on the basis that the doctrine in Mercedes-Benz v Leiduck ‘generally’ represented the position, subject to any contrary indication in the terms of particular gateways. But the point was not central, and the contrary appears not to have been argued.
33 Amoco (UK) Exploration v British American Offshore [1999] 2 Lloyds Rep 772, 780–81.
34 It appears that the scope for founding non-contractual anti-suit injunctions on tortious rights is limited: see Ch 3, para 3.10; Ch 4, paras 4.26–4.40.
35 The Court of Appeal has accepted that claims for final anti-suit injunctions do enforce substantive legal or equitable rights in ‘single forum’ cases, but not in ‘alternative forum’ cases: Masri v Consolidated Contractors (No 3) [2009] QB 503 (CA) [44], [46], [52]. However, that distinction is open to some doubt. It is possible that a legal or equitable right should be viewed as underpinning final claims for ‘alternative forum’ anti-suit injunctions as well (Ch 3, section B, ‘A Legal or Equitable Right?’) although that conclusion would bring with it problems in terms of choice of law (see Ch 4, section B, ‘Applicable Law’). It is also arguable that non-contractual anti-suit injunctions should not be seen as enforcing underlying substantive rights at all, whether in single or alternative forum cases. If the price of overcoming the supposed jurisdictional lacuna identified in Amoco were the inference of a substantive legal or equitable right in alternative forum cases as well, it is a price that would probably be paid: see Ch 3, para 3.27. The appropriate solution is likely to be one that will reconcile the competing tensions to conclude that non-contractual anti-suit injunctions can be fitted within the heads of PD 6B para 3.1, while not posing unnecessary problems in terms of choice of law. In any event, it is possible that in certain circumstances particular types of non-contractual anti-suit injunction may be founded on specific equitable or tortious rights: see Ch 3, paras 3.10–3.11; Ch 4, paras 4.30–4.31, 4.39.
36 See Ch 3, paras 3.09–3.31. In Mercedes Benz v Leiduck [1996] AC 284 (PC) 302E, 302F–H, the contrast with which Lord Mustill was concerned was between proceedings for ‘substantial relief’, which could be begun by claim form, and ‘incidental’ or ‘peripheral’ claims, which could only be brought by application notice in the context of other substantive proceedings. Within that framework, it is submitted that final anti-suit injunctions based on vexation and oppression fall on the ‘substantial’ side of the line, even if there is no underlying equitable right, and thus can fall within CPR 6.36 and PD 6B, para 3.1 on any basis. It can be noted that in Lord Nicholls’ dissent, he observed that a writ could be issued claiming a ‘vexation’ anti-suit injunction alone, and by implication that this could be served out of the jurisdiction (see 310G); and this was not a matter on which he viewed himself as dissenting. The only express comment that Lord Mustill, speaking for the majority, made on anti-suit injunctions was to note that they were ‘sui generis’: at 301C. In Masri v Consolidated Contractors (No 3) [2009] QB 503 (CA) [51], Lawrence Collins LJ treated Lord Nicholls’ speech as stating the law in this respect, and it is consistent with his reasoning that even final anti-suit injunctions based on vexation and oppression are capable of fitting within CPR 6.36 and para 3.1 of PD 6B, provided that they can be brought within a relevant head of jurisdiction: see [55]–[56], [59].
37 See Ch 3, para 3.25. For example, a claim form claiming a final injunction for an anti-suit injunction to restrain vexation, in contrast to an application for a freezing injunction, can ground judgment in default. The inability of a freezing injunction to ground judgment in default was viewed as a telling reason why a writ claiming a freezing injunction alone was not sufficiently ‘substantive’ to be served out of the jurisdiction in Mercedes Benz v Leiduck [1996] AC 284 (PC) 301F–H, 302A–F.
38 For examples of vexation- and oppression-based injunctions being served out of the jurisdiction under para 3.1 of PD 6B see OT Africa Line v Magic Sportswear [2005] 1 Lloyds Rep 252 [29] (not appealed on this point), where Langley J himself permitted service out of the jurisdiction under what is now para 3.1(3) of PD 6B, although the injunction claimant had no direct contractual claim against the insurers (without commenting on his prior decision in Amoco); Albon v Naza Motor Trading [2007] 2 Lloyds Rep 420 [19]–[20] (albeit that the finding that what is now para 3.1(6) of PD 6B applied is controversial for other reasons); Joint Stock Asset Management Co Ingosstrakh-Investments v BNP Paribas [2012] 1 Lloyds Rep 649 (CA) [2], [69]–[78] (again permitting service out of the jurisdiction of an anti-suit injunction based on vexation under PD 6B para 3.1(3)); Shipowners’ Mutual Protection & Indemnity Association (Luxembourg) v Containerships Denizcilik Nakliyat ve Tikaret (The Yusuf Cepnioglu) [2015] 1 Lloyds Rep 567 [40]–[47] (applying PD 6B para 3.1(6) to an injunction viewed as based on vexation); Talos Capital v JSC Investment Holdings XIV [2014] EWHC 3977 [58]; Fujifilm Kyowa Kirin Biologics v Abbvie Biotechnology [2017] RPC 7.
For examples of cases where it was considered, or assumed, that if a head of para 3.1 of PD 6B applied on its terms, a vexation- or oppression-based injunction could be served out of the jurisdiction under such a head, see Donohue v Armco [1999] 2 Lloyds Rep 649 (Aikens J) [62]–[65] (although NB the comments of the Court of Appeal in that case, addressed below); Youell v Kara Mara Shipping [2000] 2 Lloyds Rep 102 (Aikens J) [44]–[46]; Navig8 Pte v Al-Riyadh Co for Vegetable Oil Industry (The Lucky Lady) [2013] 2 Lloyds Rep 104 [14].
On the other hand, in Donohue v Armco [2000] 1 Lloyds Rep 579 (CA) (reversed [2002] 1 Lloyds Rep 425 (HL) without comment on this issue), Brooke LJ, in the minority, treated Langley J’s judgment in Amoco as being the law (at [90]), in an obiter dictum made apparently without argument to the contrary (Sedley LJ did not comment on the point; and Stuart-Smith LJ referred to Amoco neutrally without approving of the proposition in issue here: at [52]).
In Masri v Consolidated Contractors (No 3) [2009] QB 503 (CA) [55], Lawrence Collins LJ referred obiter to Langley’s decision in Amoco as suggesting that in the situation of a single forum injunction, a separate cause of action ‘may have to be established’ (emphasis added). But in Masri Lawrence Collins LJ was dealing with what he had held to be an interim, not a final injunction, over which he considered the court had jurisdiction independent of what was then CPR 6.20 (now CPR 6.36 and PD 6B para 3.1), and so he did not need to consider whether the restrictions imposed by Amoco on the jurisdiction to serve claims for final injunctions out of the jurisdiction were appropriate. He was also proceeding on the basis that there could be an underlying substantive cause of action for an anti-suit injunction in single forum cases: see at [57]. At [59] of the judgment he seemed to assume that anti-suit injunctions could be fitted within the heads of jurisdiction in what was then CPR 6.20. He should not, therefore, be taken as adopting the Amoco doctrine that non-contractual anti-suit injunctions cannot be fitted within PD 6B para 3.1. Consequently, it is submitted that the comments in Donohue and Masri do not solidify Amoco as the law.
40 Shipowners’ Mutual Protection & Indemnity Association (Luxembourg) v Containerships Denizcilik Nakliyat ve Tikaret (The Yusuf Cepnioglu) [2015] 1 Lloyds Rep 567 [40]–[61], following Schiffahrtsgesellschaft Detlev von Appen v Voest Alpine Intertrading (The Jay Bola) [1997] 2 Lloyds Rep 279 (CA) 286–288; Youell v Kara Mara Shipping [2000] 2 Lloyds Rep 102 [47]–[51], [57], [63]–[69]. The issues arising are discussed at paras 18.48–18.49.
41 Unless Article 25 of the Recast or the Hague Convention apply, in which case the proceedings can and should be served out of the jurisdiction without permission under CPR 6.33; see paras 18.40–18.41, 18.45–18.46.
43 Star Reefers v JFC Group [2010] EWHC 3003 [28], [2012] 1 Lloyds Rep 376 (CA) [42].
44 Masri v Consolidated Contractors (No 3) [2009] QB 503 (CA) [26].
46 Masri v Consolidated Contractors (No 3) [2009] QB 503 (CA) [58]–[59], [66], [76], 96]–[97]; Glencore International v Metro Trading International (No 3) [2002] 2 CLC 1090 (CA) [59]–[60]; The Eras Eil Actions [1995] 1 Lloyds Rep 64, 73–74; Ch 3, para 3.33; Ch 13, paras 13.08 and 13.27.
47 See Masri v Consolidated Contractors (No 3) [2009] QB 503 (CA), where Lawrence Collins LJ also observed that it would only be in a very rare case where the English court would have jurisdiction to grant a single forum injunction against a non-English party (at [56]).
48 Fujifilm Kyowa Kirin Biologics v Abbvie Biotechnology [2017] RPC 7 [116]–[121].
49 See OT Africa Line v Magic Sportswear [2005] 1 Lloyds Rep 252, [20] (in relation to choice of law). No attempt was made in that case to argue that an anti-suit injunction to restrain the pursuit of proceedings abroad fell within PD 6B para 3.1(2).
50 Amoco (UK) Exploration v British American Offshore [1999] 2 Lloyds Rep 772, 778.
52 See in other contexts GAF v Amchem Products [1975] 1 Lloyds Rep 601, 606; Innovia v Frito-Lay [2012] RPC 24 [114]–[120]; Conductive Inkjet Technology v Uni-Pixel Displays [2014] FSR 22 [61]; Unlockd v Google Ireland [2018] EWHC 1363 [45].
53 In Golden Endurance Shipping v RMA Watanya (The Golden Endurance) [2015] 1 Lloyds Rep 266 [25], it was the unchallenged position of the injunction defendant that PD 6B para 3.1(2) could not apply.
In Ust-Kamenogorsk Hydropower Plant JSC v AES Ust-Kamenogorsk Hydropower Plant LLP [2013] 1 WLR 1889 (SC) [51] Lord Mance observed in passing that ‘leave was in fact obtained under CPR PD 6B, paragraph 3.1(2)’, as well as under CPR 62.5(1)(b) and (c). However, this appears to be a typographical error. Leaving aside 62.5(1)(b) and (c), leave had in fact been granted without notice (and upheld by Burton J) under CPR PD 6B para 3.1(20), not 3.1(2): see [2010] 2 Lloyds Rep 493 [24].
(In any event, it seems that Burton J was wrong to uphold service under para 3.1(20), as the Court of Appeal had explained in [2012] 1 WLR 920 (CA) [192], [207], and [126]. Lord Mance’s comment does not amount to authority to the contrary; see paras 18.64–18.71).
54 As occurred without challenge to the applicability of the gateway in Fujifilm Kyowa Kirin Biologics v Abbvie Biotechnology [2017] RPC 7 [13], [116]–[121].
55 However, this does not mean that, if D1 is abroad, permission to serve out of the jurisdiction on D1 must have already been obtained before permission is sought in respect of D2. It is sufficient if it is clear that permission to serve out on D1 will be obtained. See Joint Stock Asset Management Company Ingosstrakh-Investments v BNP Paribas Lloyds Rep 649 (CA) [69]–[78]. Thus, the law on this point is no longer as reflected in Amoco (UK) Exploration v British American Offshore [1999] 2 Lloyds Rep 772, 779.
56 Donohue v Armco [1999] 2 Lloyds Rep 649, [62]; Altimo Holdings and Investment Ltd v Kyrgyz Mobil [2012] 1 WLR 1804 (PC) [87].
57 See eg OT Africa Line v Magic Sportswear Corp [2005] 1 Lloyds Rep 252 [29]; Joint Stock Asset Management Co Ingosstrakh-Investments v BNP Paribas [2012] 1 Lloyds Rep 61 (Blair J) [50]–[55] (‘Where the allegation is that parties are acting in concert, one party will usually be a necessary or a proper party to the claim against the other party’), upheld [2012] 1 Lloyds Rep 649 (CA) [69]–[78]; see also Talos Capital v JSC Investment Holdings XIV Limited [2014] EWHC 3977 [58].
58 Massey v Heynes (1888) 21 QBD 330 (CA) 334; Arab Monetary Fund v Hashim (No 4) [1992] 1 WLR 553, 557, affirmed [1992] 1 WLR 1176 (CA); Altimo Holdings and Investment Ltd v Kyrgyz Mobil [2012] 1 WLR 1804 (PC) [73]; see also Cruz City 1 Mauritius Holdings v Unitech [2015] 1 Lloyds Rep 191 [68]–[81].
59 CPR Part 20 covers ‘Counterclaims and other additional claims’.
60 Compare the wording of CPR 6.20(3A) in the immediately preceding version of the rules which permitted service where ‘The claim is an additional claim and the person to be served is a necessary and proper party to the claim against the Part 20 claimant.’
61 In CH Offshore Limited v PDV Marina SA [2015] EWHC 595 [41]–[58], the application of ‘necessary and proper party’ was assessed only by reference to the action as a whole (including existing inter-defendant third party claims), and not by reference solely to whether the new defendant was a necessary and property party to the additional claim against itself.
62 Goldstone v Goldstone [2011] EWCA Civ 39 [61]; applied in CH Offshore Limited v PDV Marina SA [2015] EWHC 595 [36].
65 New PD 6B 3.1(4A) was introduced following the report of the Chancery Working Group dated 12 June 2015, which explained at para 13:
Its purpose is to enable claims against the same defendant which have a close factual relationship to be tried together in this jurisdiction, even if the further claim would not by itself satisfy any of the relevant gateways. There is a risk that this extension might be considered exorbitant, but we think the risk is outweighed by the practical advantages of enabling closely related claims against the same defendant to be tried together.
In Eurasia Sports v Aguad, [2018] EWCA Civ 1742 [63]–[64], Longmore LJ commented that ‘the intention of this new gateway must be that claims arising out of the same or closely connected facts should be tried together. That is eminently sensible and should be encouraged’, and that any decision in relation to service out of the jurisdiction ‘is generally a pragmatic one in the interests of the efficient conduct of litigation in an appropriate forum’. (The latter point relying on Lord Sumption’s contentious comments in Abela v Baadarani [2013] 1 WLR 2043 (SC), as to which see Cruz City 1 Mauritius Holdings v Unitech [2015] 1 Lloyds Rep 191 [16].)
66 Eli Lilly v Genentech [2018] 1 WLR 1755 [30]–[36]; Unlockd v Google Ireland [2018] EWHC 1363 [48]; Eurasia Sports v Aguad, [2018] EWCA Civ 1742 [49]–[50]. The Chancery Working Group had said (at para 15) that the test of same or closely connected facts in proposed gateway 4A ‘would probably be interpreted rather more stringently than one of close connection, and for that reason too would be preferable, given that the new gateway involves an extension of the present position which (as we have said) could be viewed as exorbitant’.
67 Eli Lilly v Genentech [2018] 1 WLR 1755 [30]–[36].
68 If jurisdiction over X for claim A is obtained under PD 6B 3.1, and then jurisdiction over Y is obtained for claim A under 3.1(3) on the basis that Y is a connected party, it will not be possible to obtain connected claim jurisdiction over Y in respect of connected claim B, because 3.1(3) is not within the 3.1(4A) list. This is so even though there would potentially be jurisdiction over X for claim B if the facts were sufficiently closely connected. In Eurasia Sports v Aguad [2018] EWCA Civ 472 [47], the Court of Appeal thought that this might be a principled and intended result, because building gateway on gateway in this way could produce an exorbitant result against the connected party.
70 See Articles 1, 2, and 16(1) of the Convention.
71 The application of the Hague Convention of the Choice of Court, and its relationship to Article 25, is discussed in Ch 16, para 16.10; Ch 17, para 17.46.
72 Ravennavi v New Century Shipbuilding [2007] 2 Lloyds Rep 24 (CA) [3].
73 This appears never to have been contested, when para 3.1(6)(d) was more generally relevant, before the coming into force of the Brussels I Recast. Permission to serve out of the jurisdiction has frequently been granted in such cases. See Amoco (UK) Exploration British American Offshore [1999] 2 Lloyds Rep 772, 775–77; OT Africa Line v Hijazy (The Kribi) (No 1) [2001] 1 Lloyds Rep 76, 80 (although possibly Art 23 of Regulation 44/2001 should have been used, as the claimants were domiciled in England).
In OT Africa Line v Magic Sportswear [2005] 1 Lloyds Rep 252 [11], permission to serve out was obtained against the cargo interests, who were party to the jurisdiction clause, as well their subrogating insurers. A jurisdiction challenge was filed by both groups of defendants; but the challenge advanced by the cargo interests was not pursued. See also Beazley v Horizon Offshore Contractors [2005] 1 Lloyds Rep 231 [47].
74 This was held to be the case (in respect of the predecessor of the current arbitration provisions) in Navigation Maritime Bulgare v Rustal Trading (The Ivan Zagubanski) [2002] 1 Lloyds Rep 106 [52(5)], [53(2)], [101], [120]. In BNP Paribas v Russian Machines [2012] 1 Lloyds Rep 61 [56]–[58], it was conceded that PD 3.1(6)(c) could apply to claims for anti-suit injunctions to enforce arbitration clauses. In Ust-Kamenogorsk Hydropower Plant JSC (Appellant) v AES Ust-Kamenogorsk Hydropower Plant LLP [2013] 1 WLR 1889 (SC) [51], Lord Mance commented obiter that 3.1(6)(c) could apply to such claims. Finally, in Shipowners’ Mutual Protection & Indemnity Association (Luxembourg) v Containerships Denizcilik Nakliyat ve Tikaret (The Yusuf Cepnioglu) [2015] 1 Lloyds Rep 567 [41]–[42], Teare J relied on Lord Mance’s comments in Ust-Kamenogorsk, rejected the argument that CPR 62.5 was exhaustive, and upheld service out of an anti-suit injunction to enforce an arbitration clause under CPR Part 6 PD 6B para 3.1(6)(c). The arguments as to whether CPR 62.5 is exhaustive are examined in more detail at para 18.84.
76 Schiffahrtsgesellschaft Detlev von Appen v Voest Alpine Intertrading (The Jay Bola) [1997] 1 Lloyds Rep 179, 185–88, [1997] 2 Lloyds Rep 279 (CA) 286–88; Youell v Kara Mara Shipping [2000] 2 Lloyds Rep 102 [47]–[51], [57], [63]–[69], both decided under RSC Ord 11 r 1(1)(d); Navigation Maritime Bulgare v Rustal Trading (The Ivan Zagubanski) [2002] 1 Lloyds Rep 106 [101]; and under the CPR, Shipowners’ Mutual Protection & Indemnity Association (Luxembourg) v Containerships Denizcilik Nakliyat ve Tikaret (The Yusuf Cepnioglu) [2015] 1 Lloyds Rep 567 [41]–[61]. See also Ace Seguradora v Fair Wind Navigation [2017] EWHC 3352, [7], [10].
77 There is an unresolved dispute in the general case law on CPR PD 6B para 3.1(6) as to whether and when the claimant and/or the defendant need to be a party to the contract in question in order for a claim to fall within para 3.1(6). However, whichever way this is resolved, it seems likely that quasi-contractual injunctions will continue to fit within para 3.1(6).
In Finnish Marine Insurance v Protective National Insurance [1989] 2 Lloyds Rep 99, 101–02, Adrian Hamilton QC sitting as a deputy had held that RSC Ord 11 r 1(1)(d), the ancestor of CPR PD 6B para 3.1(6), which applied to claims ‘brought to enforce … or otherwise affect’ a contract, did not permit service out of proceedings relating to a contract which the plaintiff contended did not exist, in particular where the purpose of those proceedings was to obtain a declaration that the contract did not exist. However, the law developed to allow for a broader and more flexible position. The result of Gulf Bank v Mitsubishi Heavy Industries [1994] 1 Lloyds Rep 323, 327 (a declaration case); DR Insurance v Central National Insurance [1996] 1 Lloyds Rep 74, 77–78; Schiffahrtsgesellschaft Detlev von Appen v Voest Alpine Intertrading (The Jay Bola) [1997] 1 Lloyds Rep 179, 185–88, [1997] 2 Lloyds Rep 279 (CA) 286–88; and Youell v Kara Mara Shipping [2000] 2 Lloyds Rep 102 [47]–[51], [57], [63]–[69], was that Ord 11 r 1(1)(d) applied to a wide range of contractual claims and claims related to contracts. It was not in fact necessary for there to be a contract between the claimant and the defendant, and it was sufficient if the claim was sought to enforce the clause or its substantive effect against the third party. Consequently, a claim for an quasi-contractual anti-suit injunction against a third party would fall within RSC Ord 11 r 1(1)(d), as it did seek to enforce a contract containing an exclusive jurisdiction clause against the third party, even though he was not strictly party to such a contract, as held in The Jay Bola and Kara Mara.
Similarly, even under the CPR, where the wording ‘in respect of a contract’ is perhaps slightly narrower, the law has not adopted a rigid position that the claimant and the defendant need to be party to the contract in question. There is, however, an ongoing dispute as to the exact nature of the connection that is required. In Albon v Naza Motor Trading [2007] 1 WLR 2489 [20], [26]–[27], Lightman J held that a claim did not need actually to be made under a contract, and that it was sufficient if it was ‘connected’. This led him, in Albon v Naza Motor Trading (No 4) [2007] 2 Lloyds Rep 420 [20], to conclude that an anti-suit injunction to prevent vexatious parallel litigation in respect of a contract governed by English law was within what was then CPR 6.20(5)—a decision which may well have gone too far, although the point was not addressed on appeal [2008] 1 Lloyds Rep 1 (CA): see further para 18.56. Next, in Greene Wood & McClean v Templeton Insurance [2009] 1 WLR 2013 (CA) [18]–[19] the Court of Appeal concluded obiter that it was sufficient for para 3.1(6) if the claim ‘has a connection to a contract governed by English law’ and it was not necessary that the contract be one to which the intended defendant and intended claimant were party.
The breadth of these decisions has been criticized: see A Dickinson, ‘Restrained No More? Service out of the Jurisdiction in the 21st Century’ [2010] LMCLQ 1, and subsequently, in Cecil v Bayat [2010] EWHC 641 [49], Hamblen J confined this approach, holding that a ‘legal’ and not merely a ‘factual’ connection must exist between the claim and the contract—which may put a question mark over Albon v Naza (No 4). However, even if Hamblen J’s slightly narrower approach is adopted, there will be no difficulty with quasi-contractual injunctions of this kind satisfying PD 6B para 3.1(6).
In contrast, a far narrower approach to PD 6B para 3.1(6) was adopted in Global 5000 v Wadhawan [2012] EWCA Civ 3, [64], where Rix LJ suggested, obiter, that the defendant had to be party to the relevant contract (an analysis supported by A Dickinson, ‘Service Out of the Jurisdiction in Contract Cases: Straightening out the Deck Chairs?’ [2012] LMCLQ 181). Further, in Alliance Bank v Aquanta [2013] 1 Lloyds Rep 175 (CA) [71], Tomlinson LJ stated obiter that (a) he was ‘attracted’ by the reading that para 3.1(6) would not apply ‘where the contract in question is not one to which the defendant is party’, but also gave tentative approval to the criterion (b) that it must be the case that ‘the claimant is suing in order to establish a contractual right or a right which has arisen out of non-performance of a contract’, which he said would ordinarily only apply in respect of contracts to which the intended defendant is party. However, Tomlinson LJ’s actual decision was only that a ‘clear connection’ or connection with ‘real content to the contract’ was required and this would be more difficult to establish in situations where the intended defendant was not party to the contract.
The case law has not yet reached any clear finding that Tomlinson LJ’s narrower approaches (or one of them) are right. Strand (b) of his reasoning in Aquanta was adopted by Andrew Smith J in Navig8 v Al-Riyadh Co for Vegetable Oil Industry (The Lucky Lady) [2013] 2 Lloyds Rep 104 [14], who concluded that an anti-suit injunction based solely on vexation and oppression could not fall within CPR 3.1(6), even though it was protecting underlying litigation in respect of a contract; and the correctness of this result was conceded and followed in Golden Endurance Shipping v RMA Watanya (The Golden Endurance) [2015] 1 Lloyds Rep 266 [24]–[29]. This was a different result to Albon v Naza Motor Trading (No 4) [2007] 2 Lloyds Rep 420, although reached without reference to Albon. However, these cases were not concerned with quasi-contractual injunctions. See also Erste Group Bank (London) v JSC (VMZ Red October) [2013] EWHC 2926 [132]–[140] (tort claims against non-parties for interference with contractual relations not ‘in respect of a contract’, no clear conclusion as to the principles).
If the narrower approach articulated in the obiter dicta in Wadhawan and in strand (a) of Aquanta were to be applied literally, it could exclude jurisdiction over quasi contractual anti-suit injunctions of this kind—although it would be arguable that Tomlinson LJ’s strand (b) could apply to quasi-contractual injunctions. But neither of these two distinguished judges was focusing on the current situation, where the essence of the claim for the injunction is that although the injunction defendant may not formally be bound by the contract, he should be treated as if he were, and therefore restrained by injunction. In substance, the injunction claimant in such a case is ‘suing in order to establish a contractual right’. In such a case, it is appropriate for such a claim to be treated as if it were ‘in respect’ of a contract for the purposes of a jurisdiction, even if generally PD 6B para 3.1(6) would require the defendant to be a party to the contract in question.
Consequently, it is submitted that however ‘in respect of’ is interpreted, this kind of quasi-contractual injunction should fall within para 3.1(6). Teare J had no hesitation in reaching this conclusion in Shipowners’ Mutual Protection & Indemnity Association (Luxembourg) v Containerships Denizcilik Nakliyat ve Tikaret AS (The Yusuf Cepnioglu) [2015] 1 Lloyds Rep 567 [41]–[61], in which he used a broad test of ‘sufficient connection’ to the contract, and his conclusion was not challenged on appeal. There is no inconsistency between this result and The Lucky Lady and The Golden Endurance, which are concerned with injunctions that have no quasi-contractual foundation.
78 However, if a quasi-contractual claim to enforce an English exclusive jurisdiction clause can be brought within Article 25 of the Recast and/or the Hague Convention on the Choice of Court, then jurisdiction will exist under the Recast and CPR 6.33 and/or under the Hague Convention and CPR 6.33(2B) without permission to serve out being required, and so it will not be necessary to use CPR PD 6B para 3.1(6). For whether quasi-contractual claims can come within Article 25, see Ch 17, para 17.45. The applicability of the Hague Convention to quasi-contractual claims has not yet been explored, although there is some relevant discussion at paras 94–97 of Trevor Hartley and Masato Dohauchi, Explanatory Report on the Convention of 30 June 2005 on Choice of Court Agreements (2013).
79 Gulf Bank v Mitsubishi Heavy Industries [1994] 1 Lloyds Rep 323, 327–38; Youell v Kara Mara Shipping [2000] 2 Lloyds Rep 102 [99]–[100] (although there the declaration was in respect of the substantive scope of the contract); see also Navigation Maritime Bulgare v Rustal Trading (The Ivan Zagubanski) [2002] 1 Lloyds Rep 106 [100]–[101] (although the point was little debated). This is consistent with PD 6B para 3.1(8), which permits service out of the jurisdiction of claims for a declaration that a contract does not exist.
80 Starlight Shipping Co v Tai Ping Insurance Co Ltd (The Alexandros T) [2008] 1 Lloyds Rep 230 [36]–[42].
81 As discussed at Ch 10, section F, ‘Inconsistent Contractual Claims’, there are three main possible analyses of the managers’ claim for an injunction against the cargo owners. First, if the cargo owners’ claim was inherently contractual, then even if the managers did not accept the existence of the contract, the cargo owners could be estopped from denying its existence for the purposes of the claim for an injunction. Second, the claim for an anti-suit injunction could be viewed as enforcing the substantive equitable obligation on the cargo owners not to bring a claim in a forum inconsistent with that selected under the contract which was an inherent part of their claim. Third, the cargo owners’ claim could be viewed as a vexatious and oppressive attempt to evade the purpose of the forum clause agreed between them and their primary counterparty. On the first two analyses, the managers’ claim was clearly ‘in respect of a contract’ as a matter of natural language. But even on the third analysis it was very closely related to the contract.
82 In contrast to the position in Navig8 v Al-Riyadh Co for Vegetable Oil Industry (The Lucky Lady) [2013] 2 Lloyds Rep 104 [14], where the injunction was brought in respect of a contract but to claim a non-contractual equitable anti-suit injunction.
83 Shipowners’ Mutual Protection & Indemnity Association (Luxembourg) v Containerships Denizcilik Nakliyat ve Tikaret (The Yusuf Cepnioglu) [2015] 1 Lloyds Rep 567 [41]–[61]. There are cases where jurisdiction asserted on this basis has not been challenged: see eg Dell Emerging Markets (EMEA) v IB Maroc.com [2017] EWHC 2397.
84 See Ace Seguradora v Fair Wind Navigation [2017] EWHC 3352, [7], [10].
85 See the discussion at n 78.
86 Albon v Naza Motor Trading (No 4) [2007] 2 Lloyds Rep 420 [20]; the judge also upheld jurisdiction on an alternative ground derived from the injunction defendant’s submission to the jurisdiction of the court: at [21]–[22], and jurisdiction was not considered on appeal: [2008] 1 Lloyds Rep 1 (CA) [9].
87 Cecil v Bayat [2010] EWHC 641 [49].
89 Navig8 v Al-Riyadh Co for Vegetable Oil Industry (The Lucky Lady) [2013] EWHC 328 [14]; which would have been followed, if necessary, in Talos Capital Ltd v JSC Investment Holdings XIV [2014] EWHC 3977 [58]; also followed, albeit unchallenged, in Golden Endurance Shipping v RMA Watanya (The Golden Endurance) [2015] 1 Lloyds Rep 266 [24]–[25].
In The Lucky Lady an alternative argument was advanced that the injunction was ‘in respect of a contract’ because it was sought to defend the contractual choice of English law which would be overridden by Jordanian law in the competing Jordanian proceedings. Andrew Smith J did not decide whether this alternative claim was within para 3.1(6), instead holding that there was no good arguable case on the facts, and also because in principle a choice of English law did not on its own bring with it a promise not to sue in any jurisdiction where the local conflicts of law principles would not apply English law: see [21]–[22]; see to similar effect The Golden Endurance at [38]–[47]. The issue has been more fully explored, to similar effect, in the thoughtful Australian decision in Ace Insurance Ltd v Moose Enterprises Pty Ltd [2009] NSWSC 724, where it was held that a choice of law clause is usually ‘declaratory of the parties’ intention, not promissory’.
90 Golden Endurance Shipping v RMA Watanya (The Golden Endurance) [2015] 1 Lloyds Rep 266 [26]–[29].
92 See OT Africa Line v Magic Sportswear [2005] 1 Lloyds Rep 252 [20] (in respect of choice of law).
93 See Ch 3, section B, ‘A Legal or Equitable Right?’; Ch 4, paras 4.26–4.40. However, it is possible that the tort of inducing a breach of contract may be of assistance in some cases: Kallang Shipping SA v Axa Assurances Senegal (The Kallang) [2007] 1 Lloyds Rep 160 [41]; and see also Kallang Shipping v Axa Assurances Senegal (The Kallang) (No 2) [2007] 1 Lloyds Rep 160 [90]–[96]; Sotrade Denizcilik Sanayi Ve Ticaret v Amadou Lo (The Duden) [2009] 1 Lloyds Rep 145 [65]–[70].
94 AMT Futures v Marzillier [2017] 2 WLR 853 (SC) [25]–[26]. See also by analogy OT Africa Line v Magic Sportswear [2005] 1 Lloyds Rep 252 [19]–[24]. In Kallang Shipping v Axa Assurances Senegal (The Kallang) [2007] 1 Lloyds Rep 160 [41]–[43], Gloster J appears to have accepted that service out of the jurisdiction of an interim anti-suit injunction based on the torts of inducing breach of contract, interference with business relations, and conspiracy, could be upheld. However, the applicable heads of jurisdiction under CPR 6.20 (now PD 6B para 3.1) were not analysed.
95 AES Ust-Kamenogorsk Hydropower Plant LLP v Ust-Kamenogorsk Hydropower Plant JSC [2010] 2 Lloyds Rep 493 [24].
97 AES Ust-Kamenogorsk Hydropower Plant LLP v Ust-Kamenogorsk Hydropower Plant JSC [2012] 1 WLR 920 (CA) [192], [207], and [126]; interpreted in ED&F Man Capital Markets v Obex Securities [2018] 1 WLR 1708 [19].
98 Ust-Kamenogorsk Hydropower Plant JSC (Appellant) v AES Ust-Kamenogorsk Hydropower Plant LLP [2013] 1 WLR 1889 (SC) [60]; South Carolina v Assurantie Maatschappij ‘De Seven Provincien’ [1987] AC 24 (HL) 39H; Cartier International v British Sky Broadcasting [2015] RPC 7 [99], [2016] EWCA Civ 658 [40]–[41] (not addressed on this point in the Supreme Court: [2018] 1 WLR 3259 [5]); and Ch 3, paras 3.02 and 3.06.
99 Ust-Kamenogorsk Hydropower Plant JSC v AES Ust-Kamenogorsk Hydropower Plant LLP [2013] 1 WLR 1889 (SC) [51].
100 Orexim Trading v Mahavir Port and Terminal [2018] EWCA Civ 1660 [35], [47].
101 Re Harrods (Buenos Aires) [1992] Ch 72 (CA).
102 Cartier International v British Sky Broadcasting [2017] RPC 7 (CA) [40]–[42].
103 The modern rules as to when a counterclaim can properly be brought in the same proceedings as the original claim are contained in CPR 20.9 and 3.1(2)(e) and (j), but they are hardly clear. See Glencore International v Metro Trading International (No 3) [2002] CLC 1090 (Moore-Bick J), [19]; In re a Debtor (No 87 of 1999) (Rimer J, 17 January 2000); Jones v Longley [2016] EWHC 1309 [39]–[47].
104 Derby v Larsson [1976] 1 WLR 202 (HL) 205H; Republic of Liberia v Gulf Oceanic [1985] 1 Lloyds Rep 539 (CA) 542, 544–45, 547–48; Metal Scrap Trade v Kate Shipping (The Gladys) [1990] 1 WLR 115 (HL); Balkanbank v Taher (No 2) [1995] 1 WLR 1067 (CA) 1075–1076, 1081–82; Altimo Holding and Investment v Krygz Mobil [2012] 1 WLR 1804 (PC) [72]. This principle has been extended to Part 20 claims made in complicated multi-party litigation: see Glencore International v Metro Trading International (No 3) [2002] CLC 1090, (Moore Bick J) [17]–[22], (CA) [44]–[60].
There is some authority to the effect that if the consequences of ordering a counterclaimant to bring his counterclaim in a separate action would be that the counterclaim could never be brought in England, as the counterclaimant could not independently obtain jurisdiction for the counterclaim, then the court will not exercise its discretion to order separation: Metal Scrap, 130B; Balkanbank v Taher, 1076C. This is inconsistent with the older cases: South African Republic v La Compagnie Franco-Belge du Chemin de Fer du Nord [1897] 2 Ch 487 (CA) 493, and it seems doubtful in principle.
105 Glencore International v Metro Trading International (No 3) [2002] CLC 1090, per Moore Bick J at [22]; upheld in terms which suggest this is correct at CA [57], [59].
106 Derby v Larsson [1976] 1 WLR 202 (HL) 205H–206A.
107 It is not necessary in order for an interim anti-suit injunction to be applied for by a defendant, for a final anti-suit injunction to have been claimed by way of counterclaim, as the interim injunction can be simply sought by way of application in the context of the action before the court: Glencore International v Metro Trading International (No 3) [2002] CLC 1090 (CA) [59], distinguishing Carter v Fey [1894] 2 Ch 541 (CA); Masri v Consolidated Contractors (No 3) [2009] QB 503 (CA) [58].
109 See Joint Stock Asset Management Co Ingosstrakh-Investments v BNP Paribas SA [2012] 1 Lloyds Rep 649 (CA) [80]–[82]. See also Amoco (UK) Exploration v British American Offshore [1999] 2 Lloyds Rep 772, 780; Donohue v Armco [1999] 2 Lloyds Rep 649 [63]–[69]; Youell v Kara Mara Shipping [2000] 2 Lloyds Rep 102 [72]–[75]; Navigation Maritime Bulgare v Rustal Trading (The Ivan Zagubanski) [2002] 1 Lloyds Rep 106 [52(11)], [101].
110 Welex v Rosa Maritime (The Epsilon Rosa) [2003] 2 Lloyds Rep 509 (CA) [34]–[40]; AES Ust-Kamenogorsk Hydropower Plant LLP v Ust-Kamenogorsk Hydropower Plant JSC [2012] 1 WLR 920 (CA) [29], [36]–[37], [42]–[104], [204], [2013] 1 WLR 1889 (SC) [48], [55]–[62]. See further Ch 3, section A, ‘The Power to Grant Injunctions’.
112 CPR 62.5(1)(b), which permits service out of the jurisdiction of claims for orders under s 44 of the Arbitration Act 1996, does not apply to final anti-suit injunctions, since s 44 is capable of supporting interim injunctions only.
113 CPR 62.5 can also apply, even if the seat of the arbitration is not in England, if s 2(4) of the Arbitration Act 1996 applies. This provides:
See Western Bulk Shipowning III v Carbofer Maritime Trading (The Western Moscow) [2012] 2 Lloyds Rep 163 [103]–[109].
114 AES Ust-Kamenogorsk Hydropower Plant LLP v Ust-Kamenogorsk Hydropower Plant JSC [2012] 1 WLR 920 (CA) [114]–[120]; Ust-Kamenogorsk Hydropower Plant JSC (Appellant) v AES Ust-Kamenogorsk Hydropower Plant LLP [2013] 1 WLR 1889 (SC) [49]–[51], overruling comments to the contrary in Vale do Rio Navegacao v Shanghai Bao Steel Ocean Shipping [2000] 2 Lloyds Rep 1 [59].
115 This has now been conclusively confirmed in Ust-Kamenogorsk Hydropower Plant JSC (Appellant) v AES Ust-Kamenogorsk Hydropower Plant LLP [2013] 1 WLR 1889 (SC) [49]–[51] and was conceded in respect of parties to the arbitration agreement in Shipowners’ Mutual Protection & Indemnity Association (Luxembourg) v Containerships Denizcilik Nakliyat ve Tikaret (The Yusuf Cepnioglu) [2015] 1 Lloyds Rep 567 [48]–[50] (where the fight was about third parties); see also Emmott v Michael Wilson [2017] 1 Lloyds Rep 21 [66]–[67]; AES Nigeria Barge v Federal Republic of Nigeria [2013] EWHC 3860 [9].
For previous authority to the same effect, see BNP Paribas v Russian Machines [2012] 1 Lloyds Rep 61 [46]–[49] (not addressed on appeal in Joint Stock Asset Management Company Ingosstrakh-Investments v BNP Paribas [2012] 1 Lloyds Rep 649 (CA) [79]); Navigation Maritime Bulgare v Rustal Trading (The Ivan Zagubanski) [2002] 1 Lloyds Rep 106 [56], [101], where the question was effectively conceded (in relation to para 8.1 of the old Arbitration Practice Direction, the ancestor of CPR 62.5(1)(c)).
116 Emmott v Michael Wilson [2017] 1 Lloyds Rep 21 [66]–[67].
117 Ust-Kamenogorsk Hydropower Plant JSC (Appellant) v AES Ust-Kamenogorsk Hydropower Plant LLP [2013] 1 WLR 1889 (SC) [50], [2010] 2 Lloyds Rep 493 [19]–[23], and [2012] 1 WLR 920 (CA) [106]–[121].
118 Shipowners’ Mutual Protection & Indemnity Association (Luxembourg) v Containerships Denizcilik Nakliyat ve Tikaret (The Yusuf Cepnioglu) [2015] 1 Lloyds Rep 567 [48]–[61]; distinguishing Cruz City 1 Mauritius Holdings v Unitech [2015] 1 Lloyds Rep 191 [25]–[52]. This conclusion can be reinforced, in appropriate cases, by s 82(2) of the Arbitration Act 1996, which provides that ‘references in this Part to a party to an arbitration agreement include any person claiming under or through a party to the agreement’.
119 Vale do Rio Navegacao v Shanghai Bao Steel Ocean Shipping [2000] 2 Lloyds Rep 1 [20]–[42]; Starlight Shipping v Tai Ping Insurance (The Alexandros T) [2008] 1 Lloyds Rep 230 [36]–[42]; Cruz City 1 Mauritius Holdings v Unitech [2015] 1 Lloyds Rep 191 [25]–[52]. See also DTEK Trading v Morozov [2017] 1 Lloyds Rep 126 [11]–[57]. It is to be noted, however, that there is a flaw in the logic of DTEK v Morozov as it assumes incorrectly at [28] that interim anti-suit injunctions to protect arbitration are sought under s 44 of the Arbitration Act 1996, which is (now) not the case: see Ch 13, paras 13.10–13.12. It would seem that Ust-Kamenogorsk Hydropower Plant JSC (Appellant) v AES Ust-Kamenogorsk Hydropower Plant LLP [2013] 1 WLR 1889 (SC) was not cited.
120 Tedcom Finance v Vetabet Holdings [2011] EWCA Civ 191; BNP Paribas v Russian Machines [2012] 1 Lloyds Rep 61 [49] (although cf on appeal [2012] 1 Lloyds Rep 649 (CA) [79], [88]); Vseukrainskyi Aktsionernyi Bank v Maksimov [2013] EWHC 3203 [72]–[83]; Western Bulk Shipowning III A/S v Carbofer Maritime Trading (The Western Moscow) [2012] 2 Lloyds Rep 163 [110]–[113].
121 BNP Paribas v Russian Machines [2012] 1 Lloyds Rep 61 [49], relying on AES Ust-Kamenogorsk Hydropower Plant LLP v Ust-Kamenogorsk Hydropower Plant JSC [2012] 1 WLR 920 (CA), where the reasoning in Vale do Rio was not followed in various other respects. The point was considered to be ‘not straightforward’ on appeal from Blair J in Joint Stock Asset Management Company Ingosstrakh-Investments v BNP Paribas [2012] 1 Lloyds Rep 649 (CA) [79], [88].
122 Shipowners’ Mutual Protection & Indemnity Association (Luxembourg) v Containerships Denizcilik Nakliyat ve Tikaret (The Yusuf Cepnioglu) [2015] 1 Lloyds Rep 567 [48]–[61].
123 Starlight Shipping v Tai Ping Insurance (The Alexandros T) [2008] 1 Lloyds Rep 230 [36]–[42].
124 Dell Emerging Markets (EMEA) v IB Maroc.com SA [2017] EWHC 2397 [22]–[35], relying on previous authority. The topic is discussed in the round at Ch 10, section F, ‘Inconsistent Contractual Claims’.
125 Shipowners’ Mutual Protection & Indemnity Association (Luxembourg) v Containerships Denizcilik Nakliyat ve Tikaret AS (The Yusuf Cepnioglu) [2015] 1 Lloyds Rep 567 [48]–[61].
126 BNP Paribas v Russian Machines [2012] 1 Lloyds Rep 61 [46]–[49], albeit that the Court of Appeal saw the point as difficult: [2012] 1 Lloyds Rep 649 (CA) [79], [88].
127 See Ace Seguradora v Fair Wind Navigation [2017] EWHC 3352, [7], [10].
128 Shipowners’ Mutual Protection & Indemnity Association (Luxembourg) v Containerships Denizcilik Nakliyat ve Tikaret S (The Yusuf Cepnioglu) [2015] 1 Lloyds Rep 567 [41]–[42], following Ust-Kamenogorsk Hydropower Plant JSC (Appellant) v AES Ust-Kamenogorsk Hydropower Plant LLP [2013] 1 WLR 1889 (SC) [51]. See also the Court of Appeal in Ust-Kamenogorsk [2012] 1 WLR 920 (CA) [123]–[144], although cf Burton J at [2010] 2 Lloyds Rep 493 [25]. The same conclusion is assumed in BNP Paribas v Russian Machines [2012] 1 Lloyds Rep 61 [50]–[66] and Joint Stock Asset Management Company Ingosstrakh-Investments v BNP Paribas [2012] 1 Lloyds Rep 649 (CA) [78]–[79].
129 The extent to which para 3.1(6)(c) can apply to non-contractual claims is discussed elsewhere in this chapter at paras 18.55–18.57.
130 BNP Paribas SA v Russian Machines [2012] 1 Lloyds Rep 61 [50]–[66]; and Joint Stock Asset Management Company Ingosstrakh-Investments v BNP Paribas [2012] 1 Lloyds Rep 649 (CA) [69]–[78].
132 Sir L Collins et al (eds), Dicey, Morris & Collins on the Conflict of Laws (15th edn, Sweet & Maxwell 2012), para 16.046.
135 For the ancillary jurisdiction, see Masri v Consolidated Contractors (No 3) [2009] QB 503 (CA) [26], [30], [60]–[66], [99] and Glencore International v Metro International Trading [2002] CLC 1090 [59]. (See also Masri v Consolidated Contractors (No 4) [2010] 1 AC 90, (CA) [30]–[35], although that decision was overturned by the Supreme Court on the specific points in issue in that case). Those cases focus on Brussels–Lugano ancillary jurisdiction but their reasoning is cross-applicable to the common law rules. The same approach to ancillary jurisdiction has been adopted under the common law rules in Golden Endurance Shipping v RMA Watanya (The Golden Endurance) [2015] 1 Lloyds Rep 266 [24]–[29].
136 Star Reefers v JFC Group [2010] EWHC 3003, [28], [2012] 1 Lloyds Rep 376 (CA) [42]; and this is supported by implication by the conclusion in Masri v Consolidated Contractors (No 4) [2010] 1 AC 90, [28] with regard to service out of the jurisdiction without permission under 6.38(1) (then CPR 6.30(2)). This was the previous position under RSC Order 11 rule 9(4) which, it seems, the CPR in substance has been trying to emulate and is now approximating to.
Before CPR Part 6 was reformed on 1 October 2008 to introduce CPR 6.37(5)(b)(ii), it was possible that the service machinery was not general in this way and was restricted to applications that could independently be fitted within the heads of PD 6B para 3.1 (see C v L [2001] 1 Lloyds Rep 459 [95(1)], and Vitol v Capri [2009] Bus LR 271 [9]; although cf Masri v Consolidated Contractors (No 3) [2009] QB 503 (CA) [60]–[66], [99], which implies that this is not necessary; it is submitted that the reference to Vitol v Capri in Masri (No 4) [2010] 1 AC 90 (SC) [28] was not intended to be an adoption of this specific element of Vitol v Capri). However, following the introduction of CPR 6.37(5)(b)(ii) in 2008, any such restrictions are clearly no longer the law, and it is clear that the ancillary service power is general. It is no longer necessary to fit applications for interim anti-suit injunctions, applied for in existing proceedings, within particular heads of PD 6B: Golden Endurance Shipping v RMA Watanya (The Golden Endurance) [2015] 1 Lloyds Rep 266 [29].
There is also a possibility that a power to permit service out of the jurisdiction of ancillary documents can be derived directly from the ancillary jurisdiction when the court has jurisdiction over the substance, without any specific CPR rule. This is arguably the implication of the confirmation of the ancillary jurisdiction in Masri (No 3); and in Star Reefers (CA), Rix LJ thought this was a possibility at [42]; while in The Golden Endurance there was no specific reference to CPR 6.37(5)(b)(ii). See also earlier Glencore International v Metro International Trading [2002] CLC 1090, Moore-Bick J at [23] and CA at [60] and The Eras Eil Actions [1995] 1 Lloyds Rep 64, 72–74. However, CPR 6.37(5)(b)(ii) would appear to have filled the gap for most practical purposes and in most cases.
137 There is no reason why this would not additionally be possible. See Glencore International v Metro International Trading [2002] CLC 1090, Moore Bick J at [22] and CA at [58]; C v L [2001] 1 Lloyds Rep 459 [94(1)]; Vitol v Capri [2009] Bus LR 271 [9].
139 Masri v Consolidated Contractors (No 4) [2010] 1 AC 90 (SC) [28]–[29], adopting Vitol v Capri [2009] Bus LR 271 [9]. See also Linsen International v Humpuss Sea Transport [2012] 2 CLC 773 [9].
The new CPR since 1 October 2008 also contains a new CPR 6.39 dealing with service out of the jurisdiction on non-parties. However, this appears to be merely procedural and not intended to create any new general jurisdiction over non-parties.
140 Belletti v Morici [2009] ILPr 57 [43].
143 Ust-Kamenogorsk Hydropower Plant JSC (Appellant) v AES Ust-Kamenogorsk Hydropower Plant LLP [2013] 1 WLR 1889 (SC) [48] and Ch 13, paras 13.10–13.16.