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Queesland University of Technology Law and Justice Journal (QUTLJJ)
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Deegan, Anne --- "The Public/Private Law Dichotomy and its Relationship with the Policy/Operational Factors Distinction in Tort Law" [2001] QUTLawJJl 18; (2001) 1(2) Queensland University of Technology Law and Justice Journal 241


The Public/Private Law Dichotomy And Its Relationship With The Policy/Operational Factors Distinction In Tort Law


Anne Deegan[*]

Introduction


The distinction between policy and operational factors in the context of tort law has been a thorny issue for the last fifteen years. This was due, among other things, to the uncertainty about the existence of private law duties owed by public bodies. In Crimmins v Stevedoring Industry Finance Committee[1] the High Court appears to have finally surmounted some of the difficulties surrounding the policy/operational factors distinction.

A review of the content and scope of the decision in Crimmins case necessitates a critical appraisal of the public/private dichotomy in legal theory in general and in tort law in particular. In the context of the dichotomy, the decision in Crimmins case is significant because the discourse in tort law has for a long time remained a discourse in private law notwithstanding the fact that for at least two decades tortious obligations had been enforced against public authorities.

This paper is directed at critical evaluation of the High Court’s decision in Crimmins case[2] in the conceptual context of the public/private law dichotomy. This paper is divided into four parts. The first part explores the public/private law dichotomy in an historical setting. The second part discusses the dissolution of the policy/operational factors distinction against the background of the public/private law dichotomy. This is done by recourse to a particular trend of legal theory that surmounts these distinctions, and in the context of the specific case law. The final part commences with a review of the case law prior to Crimmins case. This provides the launching ground to an examination of the extent to which the distinction has been overcome in Crimmins case and its implications for the future decision making of the High Court.

Part I: The Public/Private Law Dichotomy


The public/private law dichotomy draws a line between private law and public law. Geoffrey Samuel notes that the Romans categorised law in terms of relationships between person and person, person and a thing and person and the state[3], but that the common law system has taken on these distinctions at a formal level rather than a substantive level.[4] The public/private law dichotomy is more a matter of orthodox legal history[5] than of the underlying substantive theories of rights existing between different classes of ‘person’. He argues that the distinction should be introduced when considering obligations of the state to individuals.[6] The writer agrees with the approach of distinguishing between relationships in which the qualities of the parties affect the duty owed. However, it is suggested that this approach is not inconsistent with viewing the public/private law dichotomy as untenable. It will also be argued that the relationship between a statutory authority and an individual should be approached at the substantial level as a relationship existing between the state and the individual rather than an individual and an individual. This approach overcomes the difficulties created by treating the public/private law dichotomy as a real distinction whilst acknowledging the importance of the particular type of relationship between the parties. The writer will also contend that the public/private law dichotomy should be formally dissolved, as it is a distinction without meaning. It will be argued that in the area of liability of statutory authorities in negligence that the relationship between individual and state should be focussed upon at the duty and standard stage, thus allowing for the incorporation of relevant public policy considerations, peculiar to the defendant as a public authority whilst obviating the necessity of adherence to the public/private law dichotomy.

The public policy considerations peculiar to statutory authorities as defendants include that such bodies provide a service to the community on a not for profit basis and that the authority should act in the interests of the public. The writer considers that the question of whether a duty of care is owed by a statutory authority should be viewed from a combination of the rule based and principle based approaches described by Prue Vines.[7] She states that McHugh J seems to be searching for a form of incrementalism, drawn from a rule based approach, but which allows scope for principle.[8] The writer believes that this could be achieved by using a system of categories of cases in which sets of principles are used. The establishment of new cases would not be incremental but could be created by an examination of applicable principles by analogous categories not from a factual but from a principled perspective. To that extent, the writer is of the view that the relationship between the state and individual is one in its own category, which could easily include other private organizations that perform the same functions or are imbued with the same powers as a statutory authority. It is a relationship which takes on a combination of broad public policy considerations, some of which are referred to above, and narrower internal policy considerations of the particular statutory authority. The relationship giving rise to internal policy concerns is to some extent those raised by Mason J in Sutherland Shire Council v Heyman[9] including financial, social and political restraints. This category would be shared with the type of private organizations mentioned above which shall be referred to as ‘equivalent private organisations’. It should be remembered that the internal policy considerations arise as a result of broader public policy considerations including that the authority act in the interests of the public, that the authority will generally provide a service to the community as a whole or part on a not for profit basis. This last consideration will no doubt be the subject of discussion where the organization is private rather than public. The broad public policy considerations are those that are referred to in stage 6 and to some extent those included in stage 5 of McHugh J’s 6 stage test in Crimmins case.[10] The internal policy considerations form part of those referred to in stage 5 of the 6 stage test. A detailed discussion of the internal policy considerations and broader public policy considerations can be found in Part II C, “The decline of the conceptual distinction and the judicial intransigence in Australia”.

When considering the public/private law dichotomy at a high level of generality it is clear that the dichotomy is inappropriate. The distinction in its present form appears to be based upon a belief that to begin with, due to the separation of powers between the executive and the judiciary and the legislature and the judiciary, particularly in Crimmins case, there should also be a separation of legal duties. The distinction between the judiciary, and, the executive and legislature has been insisted upon in constitutional law.[11] However, as Imtiaz Omar notes, the High Court has found it necessary to develop exceptions to the doctrine by characterizing certain actions of the Court itself as administrative rather than judicial.[12] In the administrative law arena the distinction between judicial power and the executive power has been quite obviously blurred in recent times. A good example arises in Public Service Association of SA v Federated Clerks Union of Australia, South Australian Branch,[13] a case involving jurisdictional error. The High Court, although formally upholding the narrow doctrine of jurisdictional error, allowed a review of the substantive decision of a member of the executive. The Court did not openly acknowledge the merging of jurisdictional and non-jurisdictional error as in Anisminic Ltd v Foreign Compensation Commission,[14] a United Kingdom decision; however the reasons for the decision in both cases were very similar as were the outcomes.

In the area of torts the distinction between the judiciary and the legislature or the executive is much less significant. The tort of misfeasance in a public office is a very specific example of the overlap between the powers of the executive and the judiciary whereby the powers of the executive are not sacrosanct when they are exercised with the object of injuring a member of the public.[15]

Similarly, in the law of negligence, there is a clear overlap between the executive and the judiciary as outlined in Sutherland Shire Council v Heyman.[16] Heyman’s case allowed a duty to be owed by a statutory authority provided there were certain limitations that would uphold the public/private dichotomy. To this extent there is an attempt at creating a distinction between what is perceived as public and private law. It is quite clear from Mason J’s judgment that a duty would not exist in cases where it was considered the statutory authority needed to be protected when a policy decision had been made by the statutory authority. The underlying policy reasons for the policy/operational distinction, which is simply a mechanism to enforce the public/private dichotomy, includes the separation of powers.[17] Other considerations include that a statutory authority is providing a service for the entire community and that it should simply be left to do its job for the benefit of the community and that there are financial constraints on large bodies that perform a service for the entire community. These considerations can be dealt with by the standard taking on a more subjective quality. McHugh J in Crimmins case has suggested such an approach, which is endorsed by the writer above in the context of the relationship between a statutory authority and an individual.

A further argument related to the separation of powers put forward by Waye[18] is that the courts do not have the ability, in adversarial proceedings, of balancing different interests because judges, by virtue of their legal training and experience, are not qualified to do so.[19] Since the balancing of competing public policy considerations is often the overriding concern of the courts in determining whether a duty is owed in novel negligence cases, it is clearly inappropriate to argue the courts' inability to do precisely that.[20]

Susan Kneebone challenges the doctrine of separation of powers on a number of different bases including that it is more accurate to consider a "pluralist" society in which the executive controls the Parliament.[21] She also refers to the closely linked argument that linear responsibility of a sovereign Parliament[22] from the executive to the individual is untenable because it assumes a distinction between legal and political responsibility.[23] Kneebone also contends that the idea of a clear separation between public and private duties is undermined by the changing role of the public sector.[24] This argument is important in light of one of the arguments in this paper that the relationship that gives rise to a duty of care by a statutory authority should be viewed as one between the state and an individual. It leads us to a related issue which is mentioned in this Part above, namely, which bodies can be described as "the state" (do they include large corporations?) and what attributes does "the state" have? As stated above, in the writer’s opinion private organizations that exercise powers that had previously been exercised by statutory bodies because they provided, or had the power to provide a service to the community, should be categorised in the same manner as statutory authorities are in negligence actions. This adds weight to the argument that the private/public law dichotomy be dissolved.

Following on from the line of argument put forward by Kneebone that the separation of powers is untenable because it assumes a distinction between legal and political responsibility, it is trite to say that public policy considerations continue to underlie and instruct each element of negligence. Justice Deane's seminal judgment in Sutherland Shire Council v Heyman, clearly states that public policy considerations must be taken into consideration when determining whether a duty of care exists in negligence.[25] Kirby J’s 3 stage test, lists both proximity factors (being the 2nd stage) and the fairness and justice test (being the 3rd stage) as being integral to the determination of duty in negligence cases.[26] Both stages are directly affected by public policy considerations, that is to say, considerations of policy which are public in nature; indicating an error in considering public law as distinct from private.

Justice Gummow states in Perre v Apand Pty Ltd[27] that fault is the basis of the law of negligence. This way of categorizing tort is of course deeply historically entrenched. Fault is a moral concept, which particularly in today’s society, which is so economically driven, encompasses considerations of how best to distribute wealth. Therefore, an example of a public policy consideration affecting moral values occurs where the public policy consideration, being the appropriate distribution of wealth, affects the moral value of fault. This of course is due to the fact that public policy considerations are indications of the generally held beliefs of what is best for a society and such beliefs must affect the application of principles in a society, particularly moral principles. Therefore public policy considerations, like all other areas of law, are entwined with what is considered by some to be the very essence of the law of negligence. To this extent also, a public consideration of policy is entwined with what is erroneously described as “private” law.

A reason given by McHugh J for the distinction between public and private law in Crimmins case is that the ‘rationales’ of duty in the two areas are quite different.[28] Flowing from the above arguments, a contention to reject this notion is that public policy considerations inform rules of law and principles of law in every area of law. Being considerations of public policy it cannot be said that private law is devoid of considerations of public law. These policy considerations are not static over time but they can be equally applicable to both private and public law. Public policy considerations are dictated by moral, social, political and economic factors existing in a society. The choice of which public policy consideration is applicable to a question of law may differ depending upon the circumstances of the case, but they exist to affect each and every principle and rule of law. To that extent it would be erroneous to suggest that there is a fundamental difference between private and public law.

Public law has historically had some different purposes to private law. However, the development of tort law from general wrongs in the community arose out of an area in which criminal law and wrongs were very closely linked to the point of overlapping in many cases. The more recent examples given above of the obvious overlaps between the two areas, tend to suggest that the differences exist in both (1) the types of relationships that exist between the parties, and, (2) the types of public policy considerations that more commonly affect public and private law matters. This holds true particularly in the area of the law of obligations and even more so in the area of tort law. An example arises in the exclusionary rule in Cattle v Stockton Waterworks Co[29] in which a duty of care was excluded in pure economic loss cases. The reasoning behind such a rule could not be said to relate only to an individual’s rights against another individual. The rule quite clearly had consequences that related to the distribution of wealth within a community, not just the rights of one individual against another.

Another related argument against McHugh J’s differing ‘rationales’ approach is that if policy considerations affect principles of law and they are common to all laws then the argument that the rationales of private and public law are different must fail, at least at a high level of abstraction. There may be historical differences, but these have been surmounted in other areas of law. For example there are instances in which the duties owed in common law and equity have been held to be synonymous.[30] Such examples provide clear evidence that areas of law that are historically different will eventually merge where actions fall within the same category within a taxonomic model. The approach of distinguishing between areas of law, which have historically been regarded as different, in many cases without any adherence to substantive differences is undergoing redirection when viewed from a taxonomical perspective. Birks argues that equitable and common law wrongs or torts should be viewed together.[31] If these two different areas of law can be regarded as overlapping simply on the basis of the identification of a secondary obligation the same taxonomy should be applicable to situations in which a secondary obligation exists. This is so even when the relationship exists between the state and an individual without difficulties created by an implausible distinction between private and public law. Further weight can be given to the dissolution of the overall private/public law dichotomy when it is recognised that many of the public policy considerations that affect decisions in both private and public law are the same. The example given above of the reason underlying the exclusionary rule is a case in point. Recognition of this fact does not by itself deal with the problem. The longstanding acknowledgment of the dichotomy provides a launching ground to dealing with the private/public law dichotomy as differences of relationship between parties as being that of state and individual. The difference between the private and public law bodies gives rise to a difference in relationship between the parties, which should be taken into consideration by the use of public policy considerations. The differing public policy and internal policy considerations, which apply to statutory authorities and equivalent private organizations, are mentioned above. The effect upon the law of negligence is also considered.

The historical distinction between private and public law indicates not two distinct bodies of law but a three dimensional web of law, directly affected by public policy considerations in which the relationship between the parties will be indicative of separate points on the web in which many of the same public policy considerations are applicable. A change in emphasis from an all or nothing approach to whether a duty is owed put forward by Mason J in Sutherland Shire Council v Heyman, to an approach using a sliding scale was used by Gaudron and McHugh JJ in Crimmins case. Such a move towards differences of degree may pave the way for the dissolution of the public/private law dichotomy.

Although Morton Horwitz’s points are made in the context of United States constitutional law, he further illustrates the inappropriateness of the public/private distinction. He notes that the word ‘private’ means different things to different people, particularly those from different political persuasions.[32] People who are politically conservative might consider that contraception, abortion and the ideal of a heterosexual marriage are public matters, whereas the market place is definitely a private area. Liberal minded people on the other hand often believe that the sexual activities of consenting adults are not a matter for regulation, but argue that the equitable distribution of resources should be. It can be argued that if the words public and private cannot be defined that that is a reflection that the dichotomy is untenable. In the alternative, whilst it may seem contradictory to suggest that public actions are less open to regulation by law, because private actions are generally thought to be less open to regulation, this stems from the fact that public bodies are regulated more strictly in the area of administrative law. As an implicit return for that strictness in administrative law the courts have been less strict in negligence cases.

Horwitz explains that jurists and judges in the 1920’s and 1930’s ‘ridiculed the invisible-hand premise behind any assumption that private law could be neutral and apolitical’.[33] The same argument applies with equal force to the dichotomy between private and public law. It is quite ludicrous that the courts have not acknowledged that this shallow dichotomy is riddled with contradictions and that in fact it is untenable. The greatest evidence of the shallowness of the dichotomy is the simple fact that all concepts or notions of law grow in the society in which they were forged. Therefore all laws are affected by subjective political, social and economic beliefs. There is no segregation of the underlying public policy considerations between private and public law and there can never be. The most that can be said is that the relationship between state and individual is at a different point in the three dimensional web to that of individual and individual with many of the strands of the web being shared by each. To be more specific, the policy considerations, which affect the positioning of the relationship between a statutory body and an individual, can be plotted as different to the relationship between two individuals. The difference between a statutory body and an individual will be made up of a number of factors which might be divided between those internal to the body itself and those which are more generally related to the law. The former shall be referred to as policy considerations and the latter as public policy considerations. The policy considerations cause the cases in which the statutory authority or equivalent private organization is a defendant to be plotted in a “different place” to cases in which both the plaintiff and defendant are individuals. However, as noted below in Part II C, “The decline of the Conceptual distinction and judicial intransigence in Australia”, broader public policy considerations underlie these narrower internal policy considerations.

Acknowledging the difference between obligations owed by the state to individuals and by individuals to other individuals does not contradict the rejection of the private/public law distinction. The common law develops by considering the facts of different cases and the relationship between parties is definitive. This is particularly so in the law of negligence where the factors upon which the relationship between the parties is based determines whether a duty is owed.

At this point it should be noted that Samuel states that the law of remedies must be shown to respond to the relationships between parties;[34] however, recent theories on the taxonomy of obligations leans towards identifying causal factors rather than their effect as characterizing different obligations.[35] For example, Peter Birks outlines a classification of obligations which consists of wrongs, consents, unjust enrichment and other events.[36] According to Birks’ taxonomy of the common law of obligations dealing with wrongs or torts, a wrong consists of an infringement of a right. All other types of obligations are defined in terms of rights rather than remedies. On the other hand, Ernest Weinrib argues that the law of obligations should be classified with reference to corrective justice.[37] Even though this taxonomy is not dependent on rights it demonstrates a move away from a remedies based approach to taxonomy of obligations.

The reasons given above support the argument that the private/public dichotomy is a fictional distinction not a real distinction. That being the case, the focus of the courts when considering the liability of statutory authorities in negligence should be upon the relationship between the state and an individual at the duty and standard stage. In order for this to occur the courts must recognise that the dichotomy is dissolved. Justice McHugh has focussed more closely on the relationship between the parties in Crimmins case,[38] but unfortunately has not acknowledged the dissolution of the dichotomy. Unless the dissolution of the dichotomy is acknowledged the development of law in this area will be hampered by irrelevant principles. The discussion in the second part of this article places the private/public dichotomy in the second stage of its collapse.

Part II: Is the Policy/Operational Factors Distinction in relation to the duty of care valid in the context of the Public/Private Law Dichotomy?

A. The judicial justification for the Distinction


The policy/operational factors distinction put forward by Mason J in Sutherland Shire Council v Heyman[39] was a means of allowing a duty to be owed whilst limiting the duty of care owed in negligence by statutory authorities. The distinction was used to limit the duty of care in respect of statutory authorities as a means of requiring an authority to owe a duty in limited circumstances. This was intended to overcome the problem of allowing a public authority to owe a private law duty. It assumed a distinction between private and public law. Justice Mason said of the distinction:

The distinction between policy and operational factors is not easy to formulate, but the dividing line between them will be observed if we recognise that a public authority is under no duty of care in relation to decisions which involve or are dictated by financial, economic, social or political factors or constraints. Thus budgetary allocations and the constraints which they entail in terms of allocation of resources cannot be made the subject of a duty of care. But it may be otherwise when the courts are called upon to apply a standard of care to action or inaction that is merely the product of administrative direction, expert or professional opinion, technical standards or general standards of reasonableness.[40]

The policy/operational factors distinction is grounded in an assumption that there is a distinction between private and public law or activities and that when there is an overlap - in this case by virtue of a public body owing a private duty - that certain actions of the public body are not tortious. This is so because allowing a duty to be owed would fail to recognise the separation of powers between the executive and the judiciary. The other reason is that in some circumstances the imposition of a duty of care would lead to the inability of a public body to continue to operate with the purpose of providing a public benefit.

B. The case against the Distinction: The Public/Private Dichotomy debate


In order to determine whether the policy/operational factors distinction is worthwhile, the utility of the public/private law dichotomy should also be examined. It is useful to consider the distinction at a fairly high level of abstraction so as to encompass the principles underlying the distinction. Duncan Kennedy has considered the decline of the public/private law dichotomy in this way.[41] He argues that there are six stages of decline in a legal distinction beginning with ‘Hard Cases with Large Stakes’. He suggests that hard cases encourage people to think and argue over a distinction.

‘Hard cases’ can lead to ‘The Development of Intermediate Terms’, the second stage. These can arise when there are situations in which the distinction is only relevant in certain circumstances or where there are shared characteristics. Kennedy argues that this applies to cases in which a statutory authority is engaged in private activities.

Kennedy describes the third stage as ‘Collapse’. This occurs when:

[Y]ou say that something is X if it has property A, and that is it Y if it has property B. But everything has property A, so everything is X, and the distinction between X and Y has collapsed.[42]

He cites Morris Cohen’s argument that because property rights and contract rights are enforced by the state they should be considered as delegated public powers that should be subject to rules of public accountability as opposed to private accountability that we usually associate with property and contract.[43]

Kennedy’s fourth stage is ‘Continuumization’ in which it is acknowledged that entities are not wholly one thing or another and therefore everything should be ranged on a continuum basis. He states that:

People who believe in continua tend to explain how they go about deciding what legal response is appropriate for a given institution by listing ‘factors’ that ‘cut’ one way or the other and must be ‘balanced’. The imagery of balancing fits the imagery of continua because balancing is an affair of fine quantitative ‘absolutes’ that were discredited during the stage of Collapse.[44]

The ‘Stereotypification’ stage and the ‘Loopification’ stage are the final stages. Stereotypification occurs where people manipulate the rules and factors that operate to determine where a case fits on the continua. The final stage is the stage of realization that the distinction is not a distinction.

C. The decline of the conceptual distinction and judicial intransigence in Australia


A good example of stage 1 of the dissolution ‘Hard Cases with Large Stakes’ of the distinction in relation to both the public/private dichotomy and the policy/operational factors distinction, may be found in Sutherland Shire Council v Heyman[45] itself. Mason J’s judgment in this case was the seminal judgment on duty of care of a statutory authority in negligence.

'The Development of Intermediate Terms' being the second stage of dissolution, in which there are shared characteristics, is exemplified if we set aside the policy/operational factors distinction for a moment and look to the distinction between private and public law. The Justices’ decisions in Crimmins v Stevedoring Industry Finance Committee[46] are an example of the second stage. Justice McHugh states that the duty of care is owed in private law whilst acknowledging that there are differences between public authorities and private persons in his six stage test for duty,[47] which I will refer to as the 6 stage test for duty. The fifth test for duty is whether the duty would impose liability with regard to the core policy-making and quasi-legislative functions of the public authority. Such an approach resists considering all law as being neither private nor public, but nevertheless retains the distinction granting immunity to a public authority from liability in private law, only in certain circumstances, being when the fifth test for duty is applicable.

Justice Gaudron in Crimmins case also agrees with Deane J’s judgment in Heyman’s Case[48] that a duty of care will not be imposed where the actions taken by the statutory authority are in the exercise of its policy-making powers or functions of a quasi-legislative character. She also believes that whilst there is a dichotomy between private and public law, consideration of the fact that a statutory authority may not always owe a duty of care should be made. The underlying reasons for this consideration, relating to both the separation of powers and policy considerations including that in some circumstances the imposition of a duty of care would lead to the inability of a public body to continue to operate with the purpose of providing a public benefit. These reasons are considerations of public policy that obviously undermine the dichotomy.

The first reason, (which the writer attributes to Gaudron J's approach, and which relates to the separation of powers), is a public law principle that Her Honour allows to impinge upon a private law obligation giving rise to a shared characteristic.

Justices Gummow[49] and Hayne also agree with Deane J’s approach of considering the exercise of the quasi-legislative power and core policy-making functions as excluding the duty of care whilst distinguishing between private and public law. Once again the underlying reasons for the exclusion of the duty create a shared characteristic between private and public law. The same comments can be made of Callinan J who has a similar approach to Gummow and Hayne JJ. Justice Kirby also considers that where discretionary decisions are made this will lead to the exclusion of the duty of care whilst stating that there is a distinction between private and public law.[50]

In short, the shared characteristics between private and public law are firstly the existence of public policy considerations that underlie all law. Secondly, the fact that the courts are willing to entertain a public body owing a private law duty, whilst at the same time excluding liability when it is perceived that it oversteps the public law doctrine of the separation of powers.

The third stage, being ‘Collapse’ has already played itself out in respect of the policy/operational factors distinction in the following manner: A policy decision is one that relates to budgetary restraints.[51] However, all decisions can arguably relate to budgetary restraints at some level.[52] Therefore, all decisions can be characterised as policy decisions.

Fortunately Kennedy is talking about legal distinctions when he outlines the fourth stage of dissolution being ‘Continuumization’ because such a system would doom to failure our entire system of Tort Law! The policy/operational distinction has been hampered by policy factors from the very beginning. Mason J described them in Sutherland Shire Council v Heyman as ‘decisions which involve or are dictated by financial, economic, social or political factors or constraints’.[53] Mason J described an all or nothing approach to duty. As Kneebone notes, the policy/operational distinction related to justiciability of the courts.[54] The factors were never intended to be placed upon a sliding scale.

Whilst Mason J’s statement deals largely with the internal policy considerations of the statutory body itself it should be noted that internal policy considerations are grounded in wider public policy considerations such as the provision of services for the community. In addition to this it can be argued that the seemingly internal policy considerations are in fact wider public policy considerations. For example, in Romeo v Northern Territory Conservation Foundation[55] Toohey and Gummow JJ considered the natural beauty of an area when deciding whether it should be fenced. Although this issue was dealt with at the breach stage it is clear that such a question could form part of a consideration of duty of care. If, for example, the area is one of great natural beauty this social consideration is clearly a public policy consideration rather than an internal policy consideration. The writer submits that it would have been more appropriate to deal with the issue of the natural beauty of the park in Romeo’s case at the duty stage because it is clearly a social/environmental matter. In Goldman v Hargrave[56] Lord Wilberforce held that the standard of care required of a land owner to prevent a fire that he did not light spreading to other properties is set according to what is reasonable in the circumstances of the particular defendant. What is reasonable entails an examination of the defendant’s resources. The public policy consideration at work here is one related to the redistribution of resources within the community. More specifically, that the resources of each person shall provide a benchmark for their liability when they are not responsible for the initial action that creates the damage. It is submitted that this consideration can be extended to organisations that act in the interests of the public particularly when they have a discretionary power that they have omitted (in fact) to exercise.

Arguably, the current approach, of considering the duty of a statutory authority to some extent at the duty stage and to some extent at the standard/breach stage is more greatly affected by a sliding scale of factors than the ‘all or nothing’ approach favoured by Mason J. Justice McHugh’s approach entails a consideration of the type of activity that the authority is entering into in stage five of the sixfold approach to duty.[57] He also appears to assert that it is necessary to treat a statutory authority in a more subjective sense. It is the inconsistency between the abolition of the policy/operational factors distinction in light of their interconnectedness and the persistent retention of the private/public law distinction which leads me to believe that we are at the ‘Continuumization’ stage of the dissolution of the policy/operational factors distinction. Until the High Court acknowledges the inconsistency between stating that the policy/operational factors distinction does not exist, whilst retaining the public/private law dichotomy the dissolution of the policy/operational factors distinction cannot dissolve beyond the ‘Continuumization’ stage.

It is likely that we will not approach the final stage with the policy/operational factors distinction until we approach the same stage with the public/private law dichotomy. This is because the underlying basis for the distinction is the public/private law dichotomy. It is submitted that we are only one step removed from the ‘Loopification’ stage with respect to the tort of negligence since the practical framework for abolition of the distinction is already established. This is so even though the underlying arguments in favour of the abolition of the distinction at a higher level of abstraction have not been applied to the framework.

The third part of this article will consider the recent history of the duty of care owed by statutory authorities in Australia and the decisions in Crimmins v Stevedoring Industry Finance Committee[58] and provide a means by which to put our best foot forward without the distraction of the policy/operational factors distinction or the public/private law dichotomy.

Part III: A review of the decisions in Crimmins v Stevedoring Industry Finance Committee in light of the history of the duty of care owed by statutory authorities in Australia

A. Historical Context

The starting point for liability in negligence of a statutory authority is arguably Mersey Docks & Harbour Board Trustees v Gibbs.[59] Justice Blackburn argued that a public authority is liable under the same principles as an individual where the defendant was conducting an activity analogous to a private individual. Susan Kneebone argues that this is a formulation of the 'basic rule' that ‘public authorities are liable under the same principles that apply to private individuals’.[60] Kneebone argues that the rule should not be used as a means of protecting statutory authorities from liability but that that is what happened in the proceeding years until Anns v Merton London Borough Council[61].[62] She argues that the courts used the relationship between the distinction between acts and omissions, and, the existence of duties as opposed to powers of a statutory authority in order to limit the liability of statutory authorities. She argues that this was a reflection of the competing policy considerations involved in balancing efficiency and thrift. Kneebone states:

The public character of the defendant was relevant - not for policy immunity reasons, but because it indicated the ability of the defendant to avoid the loss, particularly in situations where by its conduct it had put itself in a position to do so, such as by being in control of a public place or by creating a situation of danger. The courts had forgotten the simple message of Blackburn J's opinion in Mersey Docks that there was no public interest immunity in favour of public authorities in such cases. The conferral of a discretionary power could lead to a positive obligation to exercise the power so as to prevent harm, as Lord Wilberforce recognised in Anns v Merton London Borough Council.[63]

This argument is very forceful. However, it would be inappropriate to create a blanket rule to rule out policy arguments (that Kneebone describes as public interest immunity), as there may be situations in which it is in the overriding interests of the public to grant immunity to a public authority. The writer agrees with Kneebone that such an immunity should not be grounded in considerations of whether the statutory authority owes a statutory duty or simply has a discretion as to whether to exercise a power. This can be an important consideration when it impinges upon the issue of whether the statutory authority is failing to exercise a positive duty to act.

In Anns v Merton London Borough Council,[64] Lord Wilberforce propounded a two stage test for liability in negligence, including the liability of statutory authorities. First, whether damage was reasonably foreseeable and secondly whether there were any considerations, which might limit the scope of the duty or, the class of persons to whom a duty might be owed. This second test is simply a consideration of whether there are any public policy considerations which might negate the duty. Kneebone comments that this approach is ‘a sensible attempt to adjust the duty of care principle to the special position of public authorities exercising statutory powers as it enables the fact that an exercise of such power is in issue to be taken directly into account’.[65] Although Kneebone clearly does not argue for the complete deconstruction of the public/private dichotomy, nor does she argue that her ‘basic rule’ is anything but a public authority owing the same duties as a private individual owes under a private law duty, she does focus very closely on the relationship between a public authority and an individual. It should be noted, however, that she is clearly considering the private law duty in light of its intersection with administrative law. Kneebone’s approach of focussing upon the relationship between the individual and the state, even against the background of the public/private law dichotomy which the writer does not endorse, is welcome.

In Sutherland Shire Council v Heyman[66] Mason J delivered his seminal judgment on the liability of statutory authorities. He held that the distinction between statutory duties and powers, closely related to the distinction between misfeasance and non-feasance, is not necessarily helpful in determining whether a duty is owed because the powers granted to a statutory authority are conferred to enable the statutory authority to carry out its statutory objects.[67] Such a distinction is of course relevant to the policy/operational factors distinction because in the exercise of the powers or duties the statutory authority will have to make decisions about how to exercise the statutory powers.[68] Justice Mason considers that a statutory authority can place itself in a position in which it owes a duty of care arising simply out of the general dependence on an authority. This will occur where the defendant does not place itself in a position in which it will owe a positive duty or where the plaintiff has not acted to his or her detriment.[69] This has become known as the doctrine of general reliance and it has been subsequently rejected by Brennan CJ, Gummow and Kirby JJ in Pyrenees Shire Council v Day[70] and in Crimmins case.[71] The doctrine of general reliance, which created a duty in situations in which there was an omission by a statutory authority, was superseded by considerations of vulnerability, knowledge and control in Pyrenees Shire Council v Day[72] and in Crimmins case.[73] Justice McHugh upholds the doctrine of general reliance in Pyrenees Shire Council v Day.[74] In Crimmins case His Honour continues to uphold the doctrine.[75] Justice McHugh considers that knowledge, vulnerability and control are necessary factors to proving a duty of care.[76] He explains that the doctrine of general reliance was a means by which to test for vulnerability.[77] Justice Gaudron also notes that the factors of vulnerability, control and knowledge appear to underpin the doctrine of general reliance and have become commonly used by the courts as indicia of a duty of care.[78]

Justice Mason held that there should be a distinction between policy and operational factors in Sutherland Shire Council v Heyman.[79] He states:

The distinction between policy and operational factors is not easy to formulate, but the dividing line between them will be observed if we recognise that a public authority is under no duty of care in relation to decisions which involve or are dictated by financial, economic, social or political factors or constraints.[80]

A different way of ensuring the consideration of public policy matters relating to the fact that a duty is owed by a a public authority was posed by Deane J in Sutherland Shire Council v Heyman[81] where he held:

The existence of liability on the part of a public governmental body to private individuals under those principles will commonly, as a matter of assumed legislative intent, be precluded in cases where what is involved are actions taken in the exercise of policy-making powers and functions of a quasi-legislative character.[82]

Kneebone argues that both Mason and Deane JJ use, inter alia, the ‘control-reliance’ method of categorising the duty owed by the public authority,[83] and that this tends to be the most appropriate manner in which her ‘basic-rule’ takes into account the ‘public nature of the powers which public authorities exercise’.[84] She also notes that Mason J uses the policy/operational distinction, which is a form of justiciability categorisation. In the writer's opinion, Deane J also does so, but to a more limited extent. The writer agrees with Kneebone that the control-reliance method of approaching duty is generally a good way of taking into consideration the fact that the defendant is a public authority. This is built upon by the court in both Pyrenees Shire Council v Day and Crimmins case as the control, knowledge and vulnerability factors. However, in the writer’s opinion, underlying the importance of Kneebone's preferred deviation from the ‘basic rule’ is the fact that the relationship between the parties should be more precisely defined as one of state and individual. The untenability of the public/private law dichotomy is the reason for the limited usefulness of the policy/operational factors distinction. Unfortunately, Kneebone’s adherence to the dichotomy, has the effect of undermining the ‘basic rule’ itself.

The cases in which the statutory authority is negligent in the provision of a duty of care as an occupier are fairly settled. In Nagle v Rottnest Island Authority[85] it was held that for an entrant to be owed a duty of care she or he must be a lawful entrant, the statutory authority and occupier must be under a statutory duty to manage and control the land for the public, and it must have encouraged entrants to use the land for the purpose which caused the harm. In Romeo v Northern Territory Conservation Foundation[86] Justices Toohey and Gummow considered the wider public policy consideration of maintaining an area of natural beauty when determining the standard of care owed and whether it had been breached. The majority of the court decided that there was no breach of any duty which might be owed to the entrant and therefore did not deal with the question of the policy/operational factors distinction raised by the defendant.

Both Mason J's and Deane J's approaches are discussed in the following section of this paper. In particular, Deane J's decision in Sutherland Shire Council v Heyman[87] is relied upon by the Justices in Crimmins case. The writer has not included a separate discussion of the decision in Pyrenees Shire Council v Day[88] because the composition of the High Court has changed and because those Justices who remain on the bench have followed their previous approach.[89]

B. The decisions in Crimmins v Stevedoring Industry Finance Committee

(i) Facts


Between April 1961 and November 1965 Crimmins was a registered waterside worker. He loaded and unloaded asbestos cargo during that time at the Port of Melbourne. The plaintiff died of mesothelioma in 1998 which he contracted by inhaling asbestos fibres. He argued that the Authority owed him a duty of care to prevent injury to him as a registered waterside worker.

The defendant Committee succeeded the Australian Stevedoring Industry Authority. The Authority was required to ‘perform its functions, and exercise its powers...with a view to securing the expeditious, safe and efficient performance of stevedoring operations’ pursuant to s 8 of the Stevedoring Industry Act 1956 (Cth) (the Act). Pursuant to s 17 of the Act the Authority had functions including regulating performance of stevedoring operations, regulating the conduct of waterside workers, investigating and encouraging means of improving the safety of stevedoring operations, encouraging safe working in stevedoring operations. A rather circular rejoinder to these far reaching powers was contained in s 17(2) which stated that the Authority should not exercise its powers except to the extent essential to the proper performance of that function. On the other hand, where the Authority decided to exercise its powers it could make orders having the force of law and do all things as it see fit pursuant to s 18 of the Act.

The workers were assigned work by the Authority and paid by the Authority. The worker was subject to the authority and direction of the employer once assigned to a certain employer.

(ii) The Majority and Minority Judgments


It was held by the majority, Gleeson CJ, Gaudron, McHugh, Kirby and Callinan JJ, that a duty was owed by the Authority, Gummow and Hayne JJ dissenting. It was also held that the Committee was liable for the inaction of the Authority by a majority constituted by Gleeson CJ, Gaudron, McHugh, Kirby and Callinan JJ, (Gummow and Hayne JJ dissenting).

The general thrust of the decision having been dealt with, we will consider the matters of relevance to the policy/operational factors distinction and the public/private law dichotomy.

The Decision

Effect of the statute


Justice McHugh, with whom Gleeson CJ agrees, enters the fray by criticizing Lord Hoffman in Stovin v Wise.[90] Lord Hoffman states that for a duty to be owed there must be a public law duty to act and exceptional grounds for holding the policy of the statute requires compensation to be paid to the loss sufferer because the power was not exercised.[91] Justice McHugh argues that private law should not be affected by public law concepts of duty because public and private law are informed by differing rationales[92] showing that he, like the other members of the High Court, believe that there is a real distinction between private and public law. Specific objections to McHugh J’s argument have already been made in Part I. Broadly, they are that public policy considerations affect and apply equally to all areas of law and to that extent it is erroneous to consider public and private law as separate because both areas are affected by considerations of policy which are public.

In the writer’s opinion it is correct to say that the law forms a three dimensional web which is directly affected by public policy considerations and in which the relationship between the parties will be indicative of separate points of the web in which many of the same public policy considerations are applicable. Although the reasoning behind McHugh J’s judgment clearly does not bear this out, his approach is consistent with the three dimensional web approach to public and private law. It also illustrates a distinction between general public policy considerations in stage 6 of the 6 stage test and the combination of public policy considerations and internal policy considerations in stage 5 of the 6 stage test. However, it should be noted that the underlying bases for the internal policy considerations lie in broader public policy considerations. He contends that instead of the all or nothing policy/operational factors distinction that Deane J’s approach that “core area” of policy making and quasi-legislative decisions should be excused. This is consistent with the three dimensional web approach to replacing the public/private law dichotomy discussed in Part I.

Whilst McHugh J’s approach appears to be narrow, it is not as narrow as the view put forward by Gaudron J. Justice Gaudron considers that interpretation of the intention of a statute is necessary to determine whether a duty is owed. Gaudron J states that the legislation that governs the powers and duties of the authority may give rise to an inference that it was intended that the common law should be excluded in whole or in part.[93] Justice Gummow takes a narrow approach to determining whether a duty of care is owed. He argues that the starting point must be a determination of the scope of operation of the statute.[94] The statute may establish relationships between the statute and common law that were previously unknown to the common law.[95] He argues that in Crimmins case the statute appears to be concerned with public administration and not the creation of private rights.[96] This approach is very similar to the approach put forward by Deane J and Gaudron J.[97] Both Gummow J, and Deane and Gaudron JJ’s approaches involve determining whether or not interpreting the intention of a statute creates rights and both distinguish between public law and private law. However, Gummow J also states that by considering the duties and powers of an authority created by statute, relationships may arise which are analogous to relationships which arise in common law.[98] This is of course not the same as simply using the statute to divine implications from it. Whilst being more practical and more easily applied, this approach very clearly distinguishes between private and public law. Ironically, Justice Gummow's approach is not as easily modified as Gaudron J’s to a position of recognising the untenability of the public/private law dichotomy because it relies more heavily upon the dichotomy. Justice Hayne follows Gummow J’s approach of drawing analogies between the statutory function of the authority and established common law duties.

According to Callinan J the functions and powers of the Authority ‘modify and mould, and indicate the common law principles which may be applied to the respondent which otherwise would have an unfettered application to it’.[99] This approach is similar to the analogy approach put forward by Gummow and Hayne JJ. It does not distinguish itself by its emphasis upon the relationship between state and individual and therefore should not be preferred as an approach to determining whether a statutory authority owes a duty of care.

Justice Kirby notes that the law of negligence is historically different from public law but that both common law and public law give rise to remedies based upon the same subject matter being the meaning and operation of the statute and its enforcement. According to Kirby J the test of what the Parliament ‘intended’ is a fiction.[100] The writer agrees. However, as Kirby J states, the laws have been developed from different considerations. He notes that the purpose of negligence is to obtain compensation for a breach of a duty of care to the individual and not, as with public law, to ensure the performance of a statutory authority in the future.[101] In the writer’s opinion the better approach remains that of McHugh J.

According to Kirby J his approach is similar to that of Gummow J. It does appear to be to the extent that they both interpret the meaning of the statute and both consider whether there are duties owed by the statute analogous to a common law duty of care. It appears from Kirby J’s reliance upon X (Minors) v Bedfordshire County Council[102] that to a large extent both Kirby J and Gummow J consider that some statutes create powers and duties that relate to public administration or the exercise of discretionary decisions and not private rights. However Kirby J’s reliance upon Bedforshire with its use of the words ‘discretionary decision’ indicates some similarity with the policy/operational factors distinction. Unfortunately, Kirby J does not discuss the possible standard of care of the Authority. His three stage test is similar to the tests provided by the other Justices in that it considers, albeit more pragmatically than the others, reasonable foreseeability, the relationship between the parties and any relevant policy considerations. The simple fact that Kirby J considers whether a duty should be excluded for policy considerations pertaining to protection of the public authority on public policy grounds does not make a practical difference to the outcome of his decision.

The Policy/Operational Factor Distinction


Justice Gaudron contends that the fact that the legislation that governs the powers and duties of the authority may give rise to an inference that it was intended that the common law should be excluded, is why distinctions are drawn between policy and operational decisions. She refers to Deane J’s judgment in Sutherland Shire Council v Heyman[103] in which he distinguishes between private and public law. After referring to Samuel’s article[104] Deane J states:

The existence of liability on the part of a public governmental body to private individuals under those principles will commonly, as a matter of assumed legislative intent, be precluded in cases where what is involved are actions taken in the exercise of the policy-making powers and functions of a quasi-legislative character.[105]

It is clear that even though Deane J has used the idea of public bodies owing a duty to individuals as opposed to individuals owing duties to other individuals in accordance with Samuel’s approach, that he considers there is a strict distinction between private and public law. Justice Gaudron adopts Deane J’s argument completely in Crimmins case and so falls into the same trap as her learned friend of failing to follow through to the dissolution of the distinction.

Although Kirby J’s judgment does not consider the further issue of standard of care it is very similar to the other Justices’ in that it assumes a divide between public and private law and does not uphold the policy/operational factors distinction. Justice Hayne also incorporates Deane J’s approach of considering the exercise of the quasi-legislative power of an authority as excluding the duty of care.[106]

Justice McHugh rejects the policy/operational distinction on the grounds that many things done by statutory authorities involve discretionary and policy judgments about resources and priorities.[107] This point has been adverted to above as an example of ‘Collapse’ of the policy/operational factors distinction in Part II of this article.

Justice McHugh agrees with Deane J’s approach in Sutherland Shire Council v Heyman:[108]

It may be that functions and powers which can be described as part of the ‘core area’ of policy-making, or which are quasi-legislative or regulatory in nature, are not subject to a common law duty of care.[109]

However, he refers to Deane J’s approach as a ‘narrowly defined policy exception’[110] and does not refer to the earlier part of Deane J’s judgment in which he approaches the duty as one in which the state owes a duty to an individual. Justice McHugh agrees with Stephen Todd[111] that the fact that it is a statutory authority that owes a duty of care should be dealt with at the breach stage.[112] In other words, when considering the standard of care, the fact that a public authority owes a duty is taken into consideration. To do so does allow the relationship between the parties to remain important without either leaving such considerations simply as a question of fact, or ignoring the relationship completely. To do the latter would be to ignore the policy considerations arising out of the duty. In view of McHugh J’s reliance upon Todd’s approach to the liability of statutory authorities, this later statement is consistent with stating that the duty is a duty owed by the state to an individual rendering it the preferred approach to dealing with the liability of statutory authorities.

In relation to the exercise of power by a statutory authority Gaudron J states:

A public body or statutory authority only has those powers that are conferred upon it. And it only has the resources with which it is provided. If the common law imposes a duty of care on a statutory authority in relation to the exercise or non-exercise of its powers or functions, it only imposes a duty to take those steps that a reasonable authority with the same powers and resources would have taken in the circumstances in question.[113]

This statement evidences a clear step toward an approach in which the relationship between state and individual, explained above in Part I “The Public/Private Law Dichotomy”, is important. The emphasis on the standard of care is an important first step towards focussing on the relationship between the parties rather than the immunity of the statutory authority.

The Six Stage Test


Justice McHugh's 6 stage test for duty[114] can be categorised as a "control-reliance" method with a small deviation to "policy-operation" categorisation according to Kneebone's method.[115] The writer considers that the "policy-operation" category in test 5[116] of McHugh J's 6 stage test is necessary to ensure that a public authority can operate in the best interests of the public. In the writer’s opinion this is the best approach for dealing with the duty owed by statutory authorities to date. The failure to thoroughly dissolve the public/private law dichotomy referred to in Part II C “The Decline of the Conceptual Distinction and Judicial Intransigence in Australia”, however, remains a barrier to an academically honest approach towards understanding the law. If progress can be made towards a transparent taxonomy of overlapping areas of law the development of case law will not contain the confusing anomalies that prevent the proper development of the law. The writer considers that the law will develop properly if the policy/operational factors distinction and the public/private law dichotomy are allowed to dissolve, as they should, and that the emphasis in considering the liability of statutory authorities in negligence should be focussed on the relationship between the state and individual.

This relationship examined in Part I, “The Public/Private Law Dichotomy”, is one that should be considered from a combination of a principle based and a rule based approach towards determining whether a duty of care exists. Such an approach will reflect the positioning of the relationship between a statutory body or other equivalent private organizations and an individual as being divided between those policy considerations internal to the body and those more generally related to the law. As a point of clarification made in Part II, Part C “The Decline of the Conceptual Intransigence in Australia”, some of the policy considerations seemingly internal to a statutory authority or equivalent organization referred to by Mason J in Sutherland Shire Council v Heyman[117] are clearly public policy considerations in other negligence cases.[118] Also, the internal policy considerations are based upon broader public policy considerations in any event. Such an approach is entirely consistent with the current development of the law of negligence that clearly upholds the importance of different relationships.

Conclusion


In Crimmins v Stevedoring Industry Finance Committee[119] the rejection of the policy/operational factors distinction has not created a revolution in the area of the duty of care owed by statutory authorities. It has brought us one step closer to the dissolution of the distinction. Until the High Court acknowledges that the public/private law dichotomy is untenable and deserves to be completely rejected, the dissolution of the policy/operational factors distinction will not be complete. Fortunately, in Crimmins v Stevedoring Industry Finance Committee[120] McHugh J, with whom Gleeson CJ agrees, and to a more limited extent Gaudron, Gummow, Kirby and Hayne JJ, (by virtue of their agreement with Deane J in Sutherland Shire Council v Heyman[121]), have created a general framework for the dissolution of the dichotomy. They have done so by allowing the dichotomy to operate upon the relationship between the parties to an action rather than being a dichotomy lacking in direction.

The public/private law dichotomy is a formalistic distinction which belies the fact that there are overlaps in private and public law and that all law is in fact guided by considerations of public policy. It evidences a philosophy which has been criticized for good reasons. However, it is not inappropriate or contradictory to acknowledge the importance of public policy considerations which attach to the relationship between a statutory authority and an individual as opposed to an individual and another individual. This has been done by McHugh J at both the duty stage, by the incorporation of Deane J’s test in Sutherland Shire Council v Heyman[122] and the standard stage, by stating that the standard is that of a reasonable authority. In a practical sense such an approach is good and perhaps the practice will lead to further judicial insights. However, the benefits of acknowledging that the dichotomy is fictional and that focussing on the relationship between the parties at the duty and standard stage will allow for the incorporation of relevant public policy considerations applicable to the special relationship between the state and individual must be recognised. They will lead to an approach unfetterd by vapid theories which will misdirect the development of the law.


[*] LLB (QUT), Solicitor (QLD), Legal Practitioner (Tas), Department of Health and Aged Care. This article was researched and written whilst the author was an Associate Lecturer, School of Law, University of New England. The author would like to thank Prue Vines from UNSW, Imtiaz Omar, Cliff Baker and Marc Deegan from UNE for their valuable advice.
[1] Crimmins v Stevedoring Industry Finance Committee [1999] HCA 59; (2000) 167 ALR 1, (2000) 74 ALJR 1.
[2] Ibid.
[3] G Samuel, ‘Public and Private Law: A Private Lawyer’s Response’ (1983) 46 The Modern Law Review at 558, 558-559. Samuel refers, inter alia, to Jolowicz, Roman Foundations of Modern Law 1957, Chap. VIII and Buckland, A Text-Book of Roman Law 3rd edn at 56-59.
[4] Samuel, supra n 3 at 563.
[5] See Samuel, supra n 3 at 562-563 and M J Horwitz, ‘The History of the Public/Private Distinction’ (1982) 130 University of Pennsylvania Law Review 1423 at 1423,1424.
[6] Classical English legal theorists, on the other hand, have denied the distinction, asserting that no rights are owed by the state to an individual. These theorists can be identified as legal positivists. One of the best known exponents of this tradition, John Austin, in his Lectures on Jurisprudence (first published 1875) vol 1 at 237 remarked: ‘Where protection is afforded, Right is the proper word. As against the sovereign, there can be no legal right.’
[7] P Vines, ‘The Needle in the Haystack: Principle in the Duty of Care in Negligence’ [2000] UNSWLawJl 25; (2000) 23(2) UNSWLJ 35.
[8] Ibid at 56-57.
[9] Sutherland Shire Council v Heyman [1985] HCA 41; (1985) 157 CLR 424 at 469.
[10] See note 47 below.
[11] R v Kirby; Ex parte Boilermakers’ Society of Australia [1956] HCA 10; (1956) 94 CLR 254, Brandy v Human Rights and Equal Opportunity Commission [1995] HCA 10; (1995) 127 ALR 1.
[12] I Omar, ‘High Court and Human Rights in the Brandy Case’ [1995] AUJlHRights 8; (1995) 2(1) Australian Journal of Human Rights 115 at 118-119.
[13] Public Service Association of SA v Federated Clerks Union of Australia, South Australian Branch [1991] HCA 33; (1991) 173 CLR 132.
[14] [1968] UKHL 6; [1969] 2 AC 147.
[15] Jones v Swansea City Council [1990] 1 WLR 54 at 85 per Nourse LJ.
[16] [1985] HCA 41; (1985) 157 CLR 424 at 457-458.
[17] John Doyle and Jonathon Redwood refer to this consideration in their article, ‘The Common Law Liability of Public Authorities: The Interface Between Public and Private Law’ (1999) Tort Law Review 30 at 34.
[18] V Waye, ‘Justiciability’ in M Harris and V Waye (eds), Administrative Law, Federation Press Sydney 1991 at 50.
[19] Ibid. This argument is referred to by Doyle and Redwood supra n 17 at 34.
[20] For example, in the particularly novel category of pure economic loss Gummow J in Perre v Apand Pty Ltd [1999] HCA 36; (1999) 73 ALJR 1190 indicated that the most important policy consideration of the court should be fault and that loss spreading was less important. This was a very different approach to that of the court in cases such as Caltex Oil (Australia) Pty Ltd v The Dredge “Willemstad” [1976] HCA 65; (1976) 136 CLR 529 in which the court was preoccupied with considerations of indeterminate liability.
[21] S Kneebone, Tort Liability of Public Authorities, LBC Information Services 1998 at 11.
[22] ECS Wade (ed), Introduction to the Study of the Law of the Constitution, by A V Dicey, 10th edn 1959 at 193.
[23] Kneebone, supra n 21 at 11.
[24] Ibid.
[25] Sutherland Shire Council v Heyman [1985] HCA 41; (1985) 157 CLR 424 at 507-508.
[26] Crimmins v Stevedoring Industry Finance Committee [1999] HCA 59; (2000) 74 ALJR 1 at 43-47.
[27] Perre v Apand Pty Ltd [1999] HCA 36; (1999) 73 ALJR 1190 at 1221 per Gummow J.
[28] Crimmins v Stevedoring Industry Finance Committee [1999] HCA 59; (2000) 74 ALJR 1 at 17 per McHugh J.
[29] Cattle v Stockton Waterworks Co (1875) LR 10 QB 453.
[30] AWA Ltd v Daniels t/as Deloitte Haskins & Sells ( 1992) 7 ACSR 759 per Rogers J. Permanent Building Society (in liq) v Wheeler (1994) 11 WAR 187.

[31] For example, Birks refers to a breach of duty of a fiduciary for acting in conflict of interests in which there is no necessity for proof of harm at Birks, ‘The Concept of a Civil Wrong’ in DG Owen (ed), Philosophical Foundations of the Tort Law 38 at 40-41. Birks comments that:

[i]t is in the nature of a civil wrong to raise a practical question: when shall an individual be allowed to complain on his or her own account and to take the benefit of the secondary or remedial obligation born of the wrong? The obvious answer is in terms of harm suffered. But it may be convenient or prudent to allow other kinds of answer. The plaintiff must be affected adversely in a manner which the law deems sufficient to identify him as a victim of the breach of duty and to give him standing to sue on his own account.
[32] M Horwitz, ‘The History of the Public/Private Distinction’ (1982) 130 University of Pennsylvania Law Review 1423 at 1430-1431.
[33] Ibid at 1426.
[34] Supra n 3 at 562-563.
[35] Birks, ‘The Concept of a Civil Wrong’ in DG Owen (ed), Philosophical Foundations of the Tort Law, (1995) 38.
[36] Ibid at 31.
[37] E Weinrib, ‘The Juridical Classification of Obligations’ in Birks P (ed), The Classification of Obligations (1997) 44 at 41. Weinrib states that ‘corrective justice treats the plaintiff as the sufferer and the defendant as the doer of the same injustice. The underlying idea is that, because the doing and the suffering of an injustice are the active and passive correlates of each other, the normative considerations that govern the parties’ relationship apply correlatively to both. To fit within corrective justice, any reason for imposing liability on a particular defendant must also be a reason for making that defendant liable to the particular plaintiff. Excluded, therefore, are reasons that apply unilaterally to either of the parties.’
[38] Crimmins v Stevedoring Industry Finance Committee [1999] HCA 59; (2000) 74 ALJR 1.
[39] Sutherland Shire Council v Heyman [1985] HCA 41; (1985) 157 CLR 424.
[40] Ibid at 469.
[41] D Kennedy, ‘The Stages of the Decline of the Public/Private Distinction’ (1982) 130 University of Pennsylvania Law Review 1349.
[42] Ibid at 1351.
[43] Ibid at 1352; supra n 9 therein.
[44] Ibid at 1352.
[45] Sutherland Shire Council v Heyman [1985] HCA 41; (1985) 157 CLR 424.
[46] Crimmins v Stevedoring Industry Finance Committee [1999] HCA 59; (2000) 74 ALJR 1.
[47] The six stages, according to McHugh J in Crimmins v Stevedoring Industry Finance Committee [1999] HCA 59; (2000) 74 ALJR 1 at 19, are: ‘1. Was it reasonably foreseeable that an act or omission of the defendant, including a failure to exercise its statutory powers, would result in injury to the plaintiff or his or her interests: If no, then there is no duty. 2. By reason of the defendant’s statutory or assumed obligations or control, did the defendant have the power to protect a specific class including the plaintiff (rather than the public at large) from a risk of harm? If no, then there is no duty. 3. Was the plaintiff or were the plaintiff’s interests vulnerable in the sense that the plaintiff could not reasonably be expected to adequately safeguard himself or herself or those interests from harm? If no, then there is no duty. 4. Did the defendant know, or ought the defendant to have known, of the risk of harm to the specific class including the plaintiff if it did not exercise its powers? If no, then there is no duty. 5. Would such a duty impose liability with respect to the defendant’s exercise of “core policy –making” or “quasi-legislative” functions? If yes, then there is no duty. 6. Are there any other supervening reasons in policy to deny the existence of a duty of care (eg, the imposition of a duty is inconsistent with the statutory scheme, or the case is concerned with pure economic loss and the application of principles in that field deny the existence of a duty)? If yes, then there is no duty.’
[48] Sutherland Shire Council v Heyman [1985] HCA 41; (1985) 157 CLR 424 at 500.
[49] Crimmins v Stevedoring Industry Finance Committee [1999] HCA 59; (2000) 74 ALJR 1 at 29 per Gummow J (agreeing with Hayne J) and at 55 per Hayne J.
[50] Ibid at 42.
[51] Sutherland Shire Council v Heyman [1985] HCA 41; (1985) 157 CLR 424 at 469.
[52] Romeo v Northern Territory Conservation Foundation (1998) 192 CLR 431 at 485 per Kirby J.
[53] Supra n 51.
[54] Kneebone, supra n 21 at 122.
[55] (1998) 192 CLR 431.
[56] [1966] UKPC 2; [1967] 1 AC 645.
[57] This approach is mentioned in footnote 47.
[58] Crimmins v Stevedoring Industry Finance Committee [1999] HCA 59; (2000) 74 ALJR 1.
[59] Mersey Docks & Harbour Board Trustees v Gibbs (1866) LR 1 HL 93.
[60] Kneebone, supra n 21 at 63.
[61] Anns v Merton London Borough Council [1977] UKHL 4; [1978] AC 728.
[62] Kneebone, supra n 21 at 69-77.
[63] Ibid at 76.
[64] Anns v Merton London Borough Council [1977] UKHL 4; [1978] AC 728.
[65] Kneebone, supra n 21 at 79.
[66] Sutherland Shire Council v Heyman [1985] HCA 41; (1985) 157 CLR 424.
[67] Ibid at 457.
[68] Ibid.
[69] Ibid at 461.
[70] Pyrenees Shire Council v Day [1998] HCA 3; (1998) 72 ALJR 152 per Brennan CJ, Gummow J, Kirby J.
[71] Crimmins v Stevedoring Industry Finance Committee [1999] HCA 59; (2000) 74 ALJR 1 per Kirby J.
[72] Pyrenees Shire Council v Day [1998] HCA 3; (1998) 72 ALJR 152 at 158 per Brennan CJ, at 356-360 per Toohey J, at 183 per Gummow J, at 196-197 per Kirby J. In Pyrenees Shire Council v Day [1998] HCA 3; (1998) 72 ALJR 152 at 185, Gummow J identified control mechanisms as a means of creating a duty where there a failure to exercise a statutory powers which is ‘an omission in the course of positive conduct...which results in the overall course of conduct being the cause of injury or damage.’ (Quoting Deane J in Sutherland Shire Council v Heyman [1985] HCA 41; (1985) 157 CLR 424 at 501).
[73] Crimmins v Stevedoring Industry Finance Committee [1999] HCA 59; (2000) 74 ALJR 1 at 43 per Kirby J.
[74] Pyrenees Shire Council v Day [1998] HCA 3; (1998) 72 ALJR 152 at 174 .
[75] Crimmins v Stevedoring Industry Finance Committee [1999] HCA 59; (2000) 74 ALJR 1 at 20.
[76] Ibid at 19.
[77] Ibid.
[78] Ibid at 10.
[79] Sutherland Shire Council v Heyman [1985] HCA 41; (1985) 157 CLR 424 at 469.
[80] Ibid.
[81] Ibid at 500.
[82] Ibid.
[83] Kneebone, supra n 21 at 107-110.
[84] Ibid at vii.
[85] Nagle v Rottnest Island Authority [1993] HCA 76; (1993) 177 CLR 423.
[86] Romeo v Northern Territory Conservation Foundation (1998) 192 CLR 431.
[87] Sutherland Shire Council v Heyman [1985] HCA 41; (1985) 157 CLR 424.
[88] Pyrenees Shire Council v Day [1998] HCA 3; (1998) 72 ALJR 152.
[89] McHugh, Gummow and Kirby JJ delivered judgments in both Pyrenees Shire Council v Day [1998] HCA 3; (1998) 72 ALJR 152 and in Crimmins v Stevedoring Industry Finance Committee [1999] HCA 59; (1999) 74 ALJR 1. Gleeson CJ agreed with McHugh J in Crimmins case, and Gummow J agreed with Hayne J in Crimmins case. In Crimmins case Hayne J followed Gummow J’s approach in Pyrenees Shire Council v Day. Gaudron J and Callinan J delivered separate judgments in Crimmins case.
[90] Crimmins v Stevedoring Industry Finance Committee [1999] HCA 59; (2000) 74 ALJR 1 at 17.
[91] Stovin v Wise [1996] UKHL 15; [1996] AC 923 at 953.
[92] Supra n 90.
[93] Ibid at 7.
[94] Ibid at 30.
[95] Ibid at 31.
[96] Ibid.
[97] Ibid at 8.
[98] Ibid at 32.
[99] Ibid at 63.
[100] Ibid at 42.
[101] Ibid.
[102] X (Minors) v Bedfordshire County Council [1995] UKHL 9; [1995] 2 AC 633 at 739 per Lord Brown-Wilkinson.
[103] Sutherland Shire Council v Heyman [1985] HCA 41; (1985) 157 CLR 424 at 500.
[104] Samuel, supra n 3 at 558.
[105] Supra n 103.
[106] Crimmins v Stevedoring Industry Finance Committee [1999] HCA 59; (2000) 74 ALJR 1 at 55.
[107] Ibid at 18.
[108] Sutherland Shire Council v Heyman [1985] HCA 41; (1985) 157 CLR 424 at 500.
[109] Crimmins v Stevedoring Industry Finance Committee [1999] HCA 59; (2000) 74 ALJR 1 at 18.
[110] Ibid.
[111] S Todd, ‘Liability in Tort of Public Bodies’ in Mullaney & Linden (eds), Torts Tomorrow – A Tribute to John Fleming, 1998 36 at 46-47.
[112] Crimmins v Stevedoring Industry Finance Committee [1999] HCA 59; (2000) 74 ALJR 1 at 18.
[113] Ibid at 8.
[114] Ibid at 19.
[115] Kneebone, supra n 21 at 28.
[116] Crimmins v Stevedoring Industry Finance Committee [1999] HCA 59; (2000) 74 ALJR 1 at 19 per McHugh J: ‘Would such a duty impose liability with respect to the defendant's exercise of "core policy-making" or "quasi-legislative" functions?’
[117] [1985] HCA 41; (1985) 157 CLR 424 at 469.
[118] Goldman v Hargrave [1966] UKPC 2; [1967] 1 AC 645.
[119] Crimmins v Stevedoring Industry Finance Committee [1999] HCA 59; (2000) 74 ALJR 1.
[120] Ibid.
[121] Sutherland Shire Council v Heyman [1985] HCA 41; (1985) 157 CLR 424 at 500.
[122] Ibid.


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