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2022
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[2022] ZAECQBHC 43
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Mulder v Van Rensburg (2700/2008) [2022] ZAECQBHC 43 (15 November 2022)
IN
THE HIGH COURT OF SOUTH AFRICA
(EASTERN
CAPE DIVISION, GQEBERHA)
CASE
NO: 2700/2008
In
the matter between:
ANDRE
VAN ZYL
MULDER
Applicant
and
PHILLIP
VAN
RENSBURG
Respondent
REPORTABLE:
YESNO
OF
INTEREST TO OTHER JUDGES: YES/NO
REVISED.
JUDGMENT
POTGIETER
J
[1]
This is an application for the rescission of the order issued in this
matter on 22 November 2021 awarding the respondent damages in the sum
of R 2 576 600.00 together with interests and costs pursuant
to
his successful claim against the applicant for having committed
adultery with his former wife. The claim was for both
patrimonial and non-patrimonial loss.
[2]
The matter has a long history and is based on a sordid set of facts
involving “incestuous” adultery by means of
incidents of
fellatio
between the applicant, who is the respondent’s
paternal uncle, and the respondent’s former wife from whom he
was divorced
as a direct consequence of the adultery.
[3]
The merits and quantum of the claim were separated. After
considerable delays, the merits were decided in the respondent’s
favour in a report judgement handed down on 17 December 2014 (“the
merits judgment”). The court found that as a result
of the
applicant’s conduct, the respondent suffered a loss of
consortium
and
iniura
and was entitled to such damages
as he may prove he suffered. Apparently unbeknown to the parties as
well as the court, the Supreme
Court of Appeal delivered a judgement
on 25 April 2014 abolishing the delictual claim for non-patrimonial
damages that was available
to the innocent spouse against the
offending third party for having committed adultery with the former’s
spouse. This decision
was confirmed by the Constitutional Court on 19
June 2015. The existing claim for patrimonial loss against the third
party was
not affected by these decisions. It was left open by
the Supreme Court of Appeal and was not dealt with by the
Constitutional
Court. The upshot is that the claim for
patrimonial loss remains extant.
[4]
The applicant filed a special plea dated 26 February 2020 to the
effect that, pursuant to the said decisions, he was no longer
legally
liable to pay damages based on the finding of adultery in the merits
judgment. The special plea was adjudicated and dismissed
in a
judgement delivered on 5 May 2020 on the basis that this court was
functus officio
and that the appropriate course was for the
applicant to pursue an appeal against the merits judgement.
Applicant’s
counsel in fact conceded this much at the hearing.
[5]
The trial in respect of the quantum was eventually set down for 16
August 2021 but could not proceed on that date and was postponed
sine
die
because the applicant’s attorney was indisposed. The
applicant tendered the wasted costs of the postponement. The
respondent’s
attorneys duly served the new notice of set down
for a hearing on 22 November 2021, on the applicant’s attorneys
on 16 August
2021.
[6]
The applicant and his legal representatives failed to appear on 22
November 2021 and the matter proceeded in their absence.
It appears
from the transcript of the proceedings on that day that the attention
of the court was drawn to the abolition of the
delictual claim for
adultery by the Supreme Court of Appeal and confirmed by the
Constitutional Court. Counsel for the respondent
disavowed any claim
for non-patrimonial damages for
contumelia
given the changed
legal position. The respondent proceeded only with the claim for
patrimonial loss.
[7]
The respondent had given an expert notice and filed the report of an
actuary with regard to the quantum of the patrimonial loss.
The
applicant never filed an opposing actuarial report. The respondent’s
actuary was called to testify and basically confirmed
the report and
the calculation of the patrimonial loss in the total sum of R 3 122
166.00. This amount exceeded the quantum
claimed in the particulars
of claim. The respondent, however, elected not to amend the
particulars of claim to increase the quantum
of the claim. After
conclusion of the testimony of the actuary, the respondent did not
call any further witnesses and closed his
case.
[8]
The court granted an
ex tempore
order, without reasons,
directing the applicant to pay damages in the lesser amount claimed
in the particulars of claim, namely
R2 576 600.00 together with
interest and costs (“the quantum order”).
[9]
The applicant is now seeking the rescission of the quantum order in
terms of rule 42(1)(a), alternatively in terms of the common
law. In
order to succeed under rule 42(1)(a), the applicant must show that
the impugned order was erroneously sought or granted
in his absence.
In terms of the common law, the applicant must show good or
sufficient cause for the rescission of a default judgement.
This
entails that the applicant must give a reasonable and acceptable
explanation for the default, show that the application is
made
bona
fide
, and show a
bona fide
defence on the merits, which
prima facie
has some prospect of success (Erasmus
Superior
Court Practice
2ed D1-565).
[10]
The pith of the applicant’s argument that the quantum order was
erroneously granted as envisaged in rule 42(1)(a), is
the contention
that the respondent’s
viva voce
evidence was necessary
for the determination of the quantum of damages suffered by him. The
respondent countered that this was
not necessary because the merits
judgement found that he sustained damages and that in any event the
applicant had admitted in
the plea that he suffered the damages as
claimed. These issues require closer consideration.
[11]
The respondent’s contention that the applicant had admitted the
damages claimed is based on the following averments in
paragraph 8.1
of the plea, which responded to details of the damages suffered by
the respondent as set out the particulars of claim:
“
The Defendant has no
knowledge of the Plaintiff’s damages and cannot, therefore,
admit or deny same.”
[12]
The respondent relied on the provisions of rule 22(3) for the
contention that the applicant is deemed to have admitted the
respondent’s damages. It turned out that the respondent might
have relied on an erroneous version of the subrule that appears
in
some of the well-known textbooks on the rules of court. The
correct version of the subrule as published in Government
Notice R48
of 12 January 1965 is as follows:
“
Every allegation of fact in
the combined summons or declaration which is not stated in the plea
to be denied or
to be not admitted, shall be deemed to be
admitted
. If any explanation or qualification of any
denial is necessary, it shall be stated in the plea.”
(emphasis supplied)
In
some publications the word “
not
” is omitted in the
second line above between the words “
to be
” and
“
admitted
”. The applicant might have been
misled by this omission. It is not hard to imagine that the omission
makes a significant
difference to the proper construction of the
subrule.
[13]
The contention of the respondent is that paragraph 8.1 of the plea
amounts to neither an admission nor a denial. The averments
in the
particulars of claim specifying the damages suffered by the
respondent and to which paragraph 8.1 of the plea responded
are thus
deemed to be admitted by the applicant. The quantum court could
therefore have entered judgement in favour of the respondent
without
hearing any evidence. It is thus wrong to argue that the quantum
order was erroneously granted. Furthermore, according
to the
respondent, the applicant would in any event not have been entitled
to cross-examine the actuary, given the nature of his
plea. Reliance
was placed in this regard on
Ntshokomo v Peddie Stores
1942
EDL 276
at 283 [“
Ntshokomo”
] and
Standard Bank
Factors Ltd v Furncor Agencies (Pty) Ltd
1985(3) SA 410 (C)
[“
Standard Bank Factors”
].
[14]
The applicant contended that paragraph 8.1 of the plea is a
non-admission, which on the relevant authorities, amounts to a
denial
(
Standard Bank Factors supra; N Goodwin Design (Pty) Ltd v Moscak
1992(1) SA 154 (C) at 163G-H) [“
Goodwin”
]. The
damages claimed by the respondent was accordingly never admitted but
in effect denied by the applicant. It was therefore
incumbent
on the respondent to establish the claim. The respondent’s
submission to the contrary was unfounded and based on
an incorrect
version of the subrule. This caused the quantum court to err by
granting the quantum order without any evidence from
the respondent
himself.
[15]
In my view, paragraph 8.1 of the plea in fact amounts to a
non-admission as envisaged in both subrules 22(2) and (3). The former
allows the defendant the option to “…
state which of
the said facts
[in the combined summons or declaration]
are
not admitted
and to what extent”.
I agree with
the applicant’s submission that the effect of a non-admission
is similar to a denial. I incline in this regard
towards the view
expressed by Van den Heever J in
Goodwin
that where the plea
responds to averments in the particulars of claim that do not or
cannot fall within the knowledge of the defendant,
as in the present
matter, there is no difference in effect between a denial and not
admitting an allegation. The distinction is
a matter of emphasis, a
denial being more emphatic than a non-admission. In either case, the
defendant is entitled to cross-examine
the plaintiff’s
witnesses and to lead rebutting evidence. The comments in
Ntshokomo
concerning the right of the defendant to cross-examine does appear to
go too far and to be an
obiter dictum.
It is not necessary for
present purposes to express a final view in this regard. In any
event, the situation in
Ntshokomo
is distinguishable. It
concerned an exception to a plea raising a non-admission in
circumstances where the defendant’s allegation
that he had no
knowledge of the plaintiff’s averments was not likely to be
bona fide,
since it was based on apparent ignorance of the
defendant’s own affairs. In the present matter, the quantum of
the respondent’s
damages claim is not a matter of which the
applicant should ordinarily be aware but rather an issue, which does
not involve any
knowledge on his part. A similar situation obtained
in
Goodwin.
Furthermore,
Ntshokomo
was decided
before promulgation of the present subrule 22(3) in 1965. It
follows that paragraph 8.1 of the plea cannot be
deemed to have
admitted the damages as claimed in the particulars of claim. If
this were so, there would have been no need
to separate the merits
and quantum of the claim. The respondent’s submission
that the damages were admitted in the
plea, is therefore misguided.
[16]
In my view, however, it was not necessary for the quantum court to
hear
viva voce
testimony from the respondent in order to
decide the quantum of damages. The patrimonial loss that the
respondent claimed and that
was awarded to him was dependent on
actuarial assessment for purposes of quantification. The respondent
could not add anything
in this regard. The actuary confirmed that his
calculation was an accurate reflection of the evidence and the
extensive discovered
documentation. There was nothing new that the
respondent could add in the circumstances and his evidence would have
been superfluous.
The actuary’s calculation was clearly based
on documentary sources and there was no need, contrary to the
applicant’s
contention, for the respondent to confirm any data
undergirding the calculation. In any event, the discretion of the
court to determine
what would be a fair and reasonable damages award
in the light of all the facts and circumstances remained unfettered
and was not
bound by the evidence of the actuary, which was but one
of the relevant factors.
[17]
In those circumstances, the quantum court did not err as envisaged in
rule 42(1)(a) by issuing the quantum order on the available
evidence.
This is what is required of the court in making damages awards: to do
the best it can to make a determination of the
quantum of a claim on
the available evidence where it is clear that the claimant suffered a
loss, such as in this case. By the
same token, there is no merit in
the applicant’s argument that the evidence of the actuary
lacked any probative value in
the absence of
viva voce
testimony by the respondent. It was for the quantum court to decide
the weight that had to be attached to the evidence of the actuary.
Even if it possibly erred in this respect, it does not constitute a
ground for rescission in terms of Rule 42(1)(a) in contradiction
to
being a possible ground for appeal. There is also no merit in
the contention that the actuary usurped the role of the
quantum court
by commenting on the reasonableness of the quantum as assessed by
himself. This is a perilous submission. The actuary’s
comment
in this regard was clearly aimed at the reasonableness of the
calculation in the light of the supporting evidence and
documentation. It was clearly not aimed at dictating to the quantum
court what damages award should be made. Even if it were, it
is clear
from the transcript that it was ineffectual and did not serve to
“
displace”
the function of the quantum court that
patently exercised an independent discretion in this regard.
[18]
The applicant has accordingly failed to make out a case for the
rescission of the quantum order in terms of rule 42(1)(a).
[19]
The alternative ground for assailing the quantum order is based on
the common law. It is trite that at common law a judgement
can be set
aside where it had been granted by default. The requirements in this
regard have been set out earlier in this judgement.
To recap, the
applicant must give a reasonable explanation for the default, show
that the application is
bona fide
, and the existence of a
bona
fide
defence on the merits, which
prima facie
has some
prospects of success. These requirements are conjunctive.
[20]
The applicant fails in my view on the first requirement. The
explanation offered for the default was that the applicant was
unaware of the date for the quantum trial. It is not in contention
that the applicant’s legal representatives were aware
of the
initial hearing date, being 16 August 2021, when the matter could not
proceed because his attorney was indisposed. The notice
of set down
for the new date, being 22 November 2021, was duly served on the
applicant’s attorneys also on 16 August 2021.
Proper and
sufficient notice of the new date was duly given to the applicant.
The applicant alleges that his previous attorney
informed him that
the notice of set down for the new date was somehow misplaced in
their office. The fatal flaw in this regard
is that there is no
affidavit from the attorney substantiating this allegation. It is to
be expected, if this were so, that the
attorney (as an officer of the
court) would have grabbed the opportunity to explain to the court
that she was not to blame for
the failure to appear on 22 November
2021. This is particularly so in view of the fact that the
applicant’s new attorneys
have threatened her with legal
action. The fact that her relationship with the applicant might have
become strained, would not
have detracted from, but would have
reinforced the attorney’s desire to set the record straight.
The applicant appears to
imply that the strained relationship is the
reason why there is no affidavit from the attorney. However, he does
not indicate that
he or his new attorneys took any steps to obtain
such affidavit, which is pivotal to the explanation for his default.
It is also
strange that his former attorney, well knowing that the
matter was being postponed at her request, would not have followed up
in
the period subsequent to 16 August 2021, when the matter was
postponed, with the respondent’s attorneys with regard to the
new date. A period of more than 3 months had elapsed before the
matter was heard on 22 November 2021. Even if the applicant had
engaged new attorneys during that period, there is no reason why the
new attorneys or even the applicant himself would not have
similarly
followed-up with the respondent’s attorneys with regard to the
new date. It is also peculiar that in the
threatening letter
dated 6 April 2022 (which preceded the answering affidavit which was
deposed to on 8 April 2022 and filed on
14 April 2022) from the
applicant’s new attorneys to his former attorney, there is no
mention of the allegation in the answering
affidavit that the notice
of set down for 22 November 2021 was misplaced in the offices of his
former attorney. This was
clearly material information
explaining the default, which could be expected to have been dealt
with in the letter. This
explanation does not have the ring of
truth and strikes me as an afterthought and an attempt to conjure up
an explanation, which
shifts the blame for the default away from the
applicant and on his former attorney. It is not clear whether
the former attorney
is even aware of any of these allegations.
[21]
In my view, the explanation for the default is neither reasonable nor
acceptable in the circumstances. It is therefore not
necessary for me
to deal with the remaining requirements, save to say that the
rescission application has not struck me as being
bona fide
given the surrounding facts nor that the applicant has shown that he
has a
bona fide
defence with
prima facie
prospects of
success. The applicant has accordingly also failed to make out a case
for the rescission of the quantum order in terms
of the common law.
[22]
In the result, the application is dismissed with costs.
D.O.
POTGIETER
JUDGE
OF THE HIGH COURT
APPEARANCES
For the
Plaintiff:
Adv Paterson, instructed by Helen Ellis Attorney, c/o Pagdens
Attorneys, 18 Castle Hill, Central, Gqeberha
For the
Defendant:
Adv Theron, instructed by D Gouws Inc. Attorneys, 136 Cape
Road, Mill Park, Gqeberha
Date
of hearing:
01 September 2022
Date
of delivery of judgment: 15 November
2022