Transport LTD in Canada: Nec Tamen Consumebatur: The Reception of Photo Production LTD v. Securicor
Transport LTD in Canada: Nec Tamen Consumebatur: The Reception of Photo Production LTD v. Securicor
Transport LTD in Canada: Nec Tamen Consumebatur: The Reception of Photo Production LTD v. Securicor
Securicor
Transport Ltd in Canada: Nec Tamen
Consumebatur
M.H. Ogilvie*
Introduction
It is arguable that the doctrine of freedom of contract has been all but
toppled from its throne as the ruling philosophical principle of the law of
contract. No longer need the law link arms with nineteenth century laissez-
faire economics to facilitate and protect the growth of industrialization and
capitalism. No longer should the law secure the grand purpose of ensuring
the survival of the financially fittest who in turn would provide the barest
necessities for those who must toil in their factories and subsist on their
charity. Instead, some would suggest that the guiding principle of contract
law should be to redress the balance of contractual bargaining power so
that the powerful are no longer favoured -especially those enjoying
monopolistic or near-monopolistic positions within the marketplace.
Rather, legal controls should be created to encourage the good stewardship
of economic wealth and power so as to provide for the common good and
individual good as far as possible. It is trite to state that the concept of
favouring the many rather than the privileged few is seeping into many legal
nooks and crannies today. Thus in tort law, for example, there has been a
steady expansion of the notion of negligence, and in contract, judicial and
legislative protections for consumers and other parties of lesser bargaining
power have developed, especially in the last decade. Nowhere have these
basic policy issues been more apparent than in regard to the attempts, such
as those of the Master of the Rolls, to underpin the modern law of contract
with the foundation of reasonableness and fairness once associated with the
simple equitable notion of doing justice on the facts of the case. And
nowhere has this attempted judicial revolution been more evident and,
indeed, perhaps at its most significant, than in respect to the widespread use
of that legal inheritance of nineteenth century freedom of contract, the
standard-form contract, with its exclusion clauses, which is the legal com-
panion of the mass provision of goods and services.'
* Of the Department of Law, Carleton University. This paper was delivered at the
Eleventh Annual Workshop on Commercial and Consumer Law held at the Faculty of Law,
University of Toronto, 22-3 October 1981.
IA superb analysis of the trends in the modern law of obligations is found in P.S. Atiyah,
The Rise and Fallof Freedom of Contract(1979). See also P.S. Atiyah, From Principlesto
Pragmatism,Inaugural Lecture delivered before the University of Oxford on 17 February
1978, and Reiter, The Control on Contract Power (1981) 1 Oxford J. of Legal Studies 347
and the references cited therein.
1982] RECEPTION OF PHOTO PRODUCTIONLTD
but suggested that Lord Reid was referring to the recovery of future losses
arising after the repudiation, not to immediate losses resulting from past
events. Putting aside the points that Lord Reid's statement is less than clear,
and that it is undesirable for Lord Wilberforce to introduce an unwarranted
distinction here between future and immediate losses, it is still arguable,
paradoxically, that Lord Reid is advocating a rule of law approach to future
losses which is incompatible with the rule of construction approach to
immediate losses.' 4 If a contract contained an exclusion clause excluding
liability for future losses, such as lost profits- even when a fundamental
breach of contract has occurred - then according to Lord Reid the clause
cannot be relied upon in case of a breach, although on construction it
effectively excluded liability. Whatever the correct interpretation of Lord
Reid's statement might be, however, the House of Lords in Photo Produc-
tion decided that Lord Porter's statement in Heyman v. Darwins Ld 5 -
that the contract is not thereby rescinded- is the correct approach.
The fate of a contract where there is a breach going to the root was
described by Lord Diplock in terms borrowed from the civil law of obliga-
tions when he distinguished primary and secondary obligations. 6 Primary
obligations consist of the parties' reciprocal duties to perform; secondary
obligations are said to arise in the event of non-performance and include the
obligation to compensate an innocent party for breach of a primary obliga-
tion. Secondary obligations are as much a part of the contract as primary
obligations and they survive a breach. Exclusion clauses modify primary
and secondary obligations, often the secondary obligation to pay damages
in the event of a breach of a primary obligation to perform. Although Lord
Diplock's analysis clarifies the nature of the status of contractual obliga-
tions, it is neither innovative, 7 nor does it add anything to the more conven-
tionally worded analysis of Lord Wilberforce. Clarification is often useful,
however, and Lord Diplock's analysis does clarify the point that secondary
obligations and their modifying exclusion clauses are as much obligations as
the duty to perform and are as much terms of the contract imposing
contractual duties as any positively worded contractual duty. They are, in
the whole contract has ceased to exist including the exclusion clause, and Ido not see how
that clause can then be used to exclude an action for loss which will be suffered by the
innocent party after it has ceased to exist, such as loss of profit which would have accrued if
the contract had run its full term."
14Atkin, supra, note 7, 437-8, 442.
15[1942] A.C. 356, 399 (H.L.): "Strictly speaking, to say that on acceptance of the
renunciation of a contract the contract is rescinded is incorrect. In such a case the injured
party may accept the renunciation as a breach going to the root of the whole consideration.
By that acceptance he is discharged from further performance and may bring an action for
damages, but the contract itself is not rescinded."
16Supra, note 5, 848-9 (H.L.).
7
1 See C. Czarnikow Ltd v.Koufos [ 1966] 2 Q.B. 695, 725 (C.A.) per Diplock L.J., and
Moschi v. Lep Air Services Ltd [1973] A.C. 331, 350 (H.L.) per Lord Diplock.
1982] RECEPTION OF PHOTO PRODUCTION LTD
the words of Kitto J., "part and parcel of the bargain", 8 and as such merit
different consideration than they did under the doctrine of fundamental
breach, as we shall discuss later.
Third, the role of the term "fundamental breach" in the sense of breach
of a fundamental term or "condition" was clarified by Photo Productionin
that both Lord Wilberforce and Lord Diplock impliedly limit its use to
failure to perform a contractual obligation which is of the essence of the
contract or is at the root of the contract. Such a failure would amount to a
total failure of consideration, or as Lord Diplock says, it is a situation,
"where the event resulting from the failure by one party to perform a
primary obligation has the effect of depriving the other party of substantially
the whole benefit which it was the intention of the parties that he should
obtain from the contract. "'9 Both Lord Wilberforce and Lord Diplock state
that the ratio of Photo Productionapplies as much to breach of a fundamen-
tal term as to fundamental breach. But Lord Diplock also suggests that if
the exclusion clause modified the primary obligation so as to relieve the
party in breach of any obligation to perform in the first place, the agreement
no longer "retains the legal characteristics of a contract ".20 This seems to
contradict the view that the effect of fundamental breaches and breaches of
fundamental terms should be considered in the light of the construction of an
exclusion clause. Exclusion clauses are likely to contradict positive primary
obligations in most contracts and must either be thrown out because of
repugnancy or be accepted and construed as implied by the general
approach espoused in Photo Production.Some further clarification of Lord
Diplock's anomalous statement is required.
Fourth, Lord Wilberforce stated that the deviation cases in shipping law
survive as a body of law suigeneriswith special rules derived from historical
and commercial reasons unaffected by the rise and fall of the doctrine of
fundamental breach in contract law generally. In shipping cases, an exemp-
tion clause ceases to apply when a ship deviates from the contractually
prescribed route. The rationale is said to be that marine insurance policies
21
cease to operate as soon as the ship deviates from its route.
Four major questions remain unresolved after Photo Production.First,
it seems that Lord Denning's view that reasonableness is a substantive test
I Sydney City Councilv. West (1966) 114 C.L.R. 481,495 (H.C. Aust.); see Atkin, supra,
note 7, 443, and Australian cases cited therein which show that the doctrine of fundamental
breach was never accepted in Australia.
19Supra, note 5, 849 (H.L.).
20Ibid., 850 per Lord Diplock.
21Lavabrev. Wilson (1779) 1 Doug. 284, 291, 99E.R. 185, 189 (K.B.)per Lord Mansfield.
See also Hain Steamship Co. v. Tate andLyle Ltd(1936) Com. Cas 350,354 (H.L.),per Lord
Atkin and American criticisms in Farrv.Hain S.S. Co. 121 F. 2d 940,944 (2d Cir. 1941)per
Learned Hand J.
REVUE DE DROIT DE McGILL [Vol. 27
for the validity of exclusion clauses may have survived because only Lord
Diplock expressly disapproves of it, when he states that a court is not
entitled "to reject the exclusion clause, however unreasonable the court itself
may think it is, if the words are clear and fairly susceptible to one meaning
only." 22 If it does survive then it would appear to operate where the parties
are of unequal bargaining power or where they cannot evoke the statutory
reasonableness provided by the Unfair Contract Terms Act, 1977. The
statements by both Lord Wilberforce and Lord Diplock that commercial
men bargaining on equal terms should be free to establish their own quidpro
quo and to apportion their losses serve to cut down the number of situations
23
in which exclusion clauses would be subjected to a reasonableness test. If
reasonableness has indeed survived, then the longer effect of Photo Produc-
tion may be to replace fundamental breach as a legal technique for the
control of exclusion clauses with a doctrine of unconscionability. This
aspect of the case will be particularly important in jurisdictions lacking
unconscionability legislation or legislation restricting the application of
unconscionability to certain categories of contracts, such as consumer con-
tracts. 24 At present the survival of reasonableness is less important in
England than in Canada where most provincial legislation ignores exclusion
clauses in standard-form contracts.
Second, if the correct judicial approach to exclusion clauses arising in a
free bargaining context is simply one of construction, the House of Lords
provided little guidance to the construction process itself. To say that clear
exclusion clauses are to be enforced ignores the fact that problems arise
because clauses are not clear. The courts have neutralized the simple clear
construction rule by the development of other construction principles such
as the contraproferentemrule, the rule that business efficacy should be given
to the contract, or the rule that exclusion clauses should not be construed so
as to reduce the primary obligations to mere declarations of intent. 25 The
manner in which the House of Lords construed the disputed clause itself
provides an illustration, in that little discussion was directed to the words in
the clause which clearly stated that Securicor was liable for losses resulting
solely from the negligence of its employees acting within the course of their
employment. Perhaps Lord Wilberforce's handling of the question of
whether negligence included deliberate acts and his invocation of the contra
proferentem rule to conclude that deliberate acts were included are indicative
of future difficulties. 26 Since there had never been a finding that Musgrove
22
Supra, note 5, 851 (H.L.).
2Ibid., 844 and 851 respectively; some limits of the necessity for a test of reasonableness
are24 found in Suisse Ailantique, supra, note 3, 406 per Lord Reid.
Ogilvie, supra, note 7, 113-4; Ziegel, supra, note 7, 430-3.
25
26
See Ziegel, supra, note 7, 433-8.
Supra, note 5, 846 (H.L.): "Whether in addition in negligence, [the clause] covers other,
e.g., deliberate acts, remains a matter of construction requiring, of course, clear words. I am
1982] RECEPTION OF PHOTO PRODUCTION LTD
of the opinion that it does, and being free to construe and apply the clause, I must hold that
liability is excluded."
27 W. Rogers, Winfield and Jolowicz on Tort, 1 Ith ed. (1979), 66: "Negligence as a tort is
the breach of a legal duty to take care which results in damage, undesired by the defendant,
to the plaintiff."
28[1966] I Q.B. 716 (C.A.). In Photo Production, Lord Salmon's words could be
construed to support vicarious liability only when he says, supra, note 5,852 (H.L.): "There
can be no doubt that but for the clause in the contract which I have recited, Securicor would
have been liable for the damage which was caused by their servant, Musgrove, whilst
indubitably acting in the course of his employment [ See Morris v. C. W. Martin &Sons Ltd
[1966]
29 I Q.B. 716 (C.A.)]."
Supra, note 5, 846 (H.L.).
McGILL LAW JOURNAL [Vol. 27
is enough, and the courts will once again have to apply it in a pragmatic case
by case fashion. Sometimes the express contractual obligations including
42
the exclusion clause will be upheld, and sometimes they will not.
The fourth unresolved question remaining after Photo Production is
whether or not Lord Diplock's adoption of the Coote thesis will attract
judicial and academic converts. Although, if my analysis is correct, it does
not resolve the fundamental policy issues relating to the conflict of the
doctrine of freedom of contract with judicial intervention on behalf of
plaintiffs perceived as being unfairly treated, it does at least have the merit of
encouraging the ascertainment of the entire corpus of contractual rights and
duties, rather than ignoring some clauses in favour of others. One step in the
right direction is better than none at all, although one step need not result in
reaching the final destination. It does, at any rate, afford an improved
perspective on the real issues.
44 The clause continues, ibid., 720-1: "upon the premises and upon the land on which the
same is situated, and upon any money or monies due to or to become due from any person or
persons to Contractor, and agrees to furnish a good and sufficient waiver ofthe privilege and
lien on said building, lands and monies from every person or corporation furnishing labour
or material under the Subcontractor.
In addition to the requirements as set forth hereinabove, the Subcontractor agrees to
waive to the extent of one hundred percent (100%) of the final contract amount, any
privilege, lien and right of preference which he may have or which he hereafter may have
upon the aforesaid building and/ or the land upon which it is constructed as a result of or in
connection with work to be done or materials to be supplied by him, and moreover, that he
holds and will hold the Owner and Contractor harmless and indemnified from and against a
registration against the said property of any privilege, lien or right of preference by or on
behalf of any person, firm or corporation performing work or supplying materials under
authority derived from him, and, if and when so required by the Contractor, he will obtain
and deliver to the said Contractor, releases from any such privileges, liens or right of
preference signed by such persons, firms or corporations.
Subcontractor also agrees to waive all liens and to execute any waiver of liens that may be
required
45
by the mortgage company or mortgagee."
Mechanics' Lien Act, R.S.O. 1970, c. 267, s. 40; see also D. Micklem & D. Bristow,
Mechanics' Liens in Canada,3d ed. (1972), 9-10 and 378-81.
1982] RECEPTION OF PHOTO PRODUCTION LTD
workmanship. If that was indeed the case, then the reason for including
article (6) in the contract is evident. While it is so all-embracing as to
preclude virtually any claim a subcontractor might make, its inclusion was
probably primarily designed to limit Chomedey's remuneration in the event
that it tendered a defective contractual performance. To infer otherwise, as
one would if the logical conclusion of the higher court's approach to
article (6) were accepted, would mean that Chomedey had waived all lien
rights even if it had properly installed the windows, which seems absurd
46
given the circumstances and the contract.
On the assumption that Belcourt's failure to pay was a fundamental
breach, however, the substantive issue was whether or not Belcourt could use
the clause as a shield against Chomedey's claim. An ordinary reading of the
clause would suggest that it could, and that it would indeed be able to do so if
Wilson J.A. had honoured her formal affirmation of Suisse Atlantique as
the proper approach to the question. 47 However, she added a gloss to the
constructional approach when she said:
Many exclusionary clauses (and I am now referring to clauses which are clear and
unambiguous and require no construction) which in isolation seem unfair and
unreasonable are not so when viewed in their contractual setting and may, indeed,
constitute part of the quidpro quo for benefits received through hard negotiation. It
seems to me, therefore, that what we are to ask ourselves is not whether the exclusionary
clause is fair and reasonable in its contractual setting (this is, indeed, to be assumed in a
contract between sophisticated parties) but whether it is fair and reasonable that it
survive the disintegration of its contractual setting. If it is, then presumably that is what
the parties must be taken to have intended. But if it is not, then such an intention is not
to be attributed to the parties. The question for the Court then becomes: is it fair and
reasonable in the context of this fundamental breach that the waiver of lien continue to
bind the appellant?48
Two observations are appropriate here. First, the unprecedented and
unjustified distinction between a "contract situation" which subsists and one
which disintegrates ignores the point that an exclusion clause as a secondary
obligation does not disintegrate; until the issues between the parties to the
contract have been resolved it is incorrect to speak of the disintegration of the
contractual setting at all. Second, to suggest that the Court has the discretion
to decide whether it is fair and reasonable that an exclusion clause be applied
in the disintegrated setting is to sanction judicial intervention in a contractual
relationship regardless of the parties' expressed intentions. How this differs
from the policy function of fundamental breach as a rule of law or a
46 There is some indication that Wilson J.A. (as she then was) perceived this point when
she says in Chomedey Aluminium, supra, note 43, 10: "I think the appellant waived the
security of its lien .. on the basis that progress payments would be being made on a regular
basis by Belcourt .... The appellant had no reason to anticipate that as the work progressed
it would ever be out of pocket any substantial amount."
47Chomedey Aluminium, ibid., 5-8.
48Ibid., 8.
REVUE DE DROIT DE McGILL [Vol. 27
49 Wilson J.A. later expressed her preference for the dissenting opinion of O'Leary J. in the
Beaufort companion case, Shill-BrandInc. v. Belcourt Construction(Outawa) Ltd(1978) 19
O.R. (2d) 606 (H.C., Div. Ct) in which a rule of law approach was taken to an identical
waiver clause: see, ibid., 10.
50
Chomedey Aluminium, supra, note 43, 10.
514(l) Every agreement, oral or written, express or implied, on the part of any workman
that this Act does not apply to him or that the remedies provided by it are not available
for his benefit is void.
(2) Subsection 1 does not apply.
(a) to a manager, officer or foreman; or
(b) to any person whose wages are more than $50 a day.
(3) No agreement deprives any person otherwise entitled to a lien under this Act, who
is not a party to the agreement, of the benefit of the lien, but it attaches, notwithstanding
such agreement.
5(1) Unless he signs an express agreement to the contrary and in that case subject to
section 4, any person who does any work upon or in respect of, or places or furnishes any
materials to be used in, the making, constructing, erecting, fitting, altering, improving or
repairing of any land, building, structure of works or the appurtenances to any of them
19821 RECEPTION OF PHOTO PRODUCTIONLTD
for any owner, contractor or subcontractor by virtue thereof has a lien for the price of
the work or material upon the estate or interest of the owner in the land, building,
structure or works and appurtenances and the land occupied thereby or enjoyed
therewith or upon or in respect of which the work is done, or upon which the materials
are placed or furnished to be used, limited, however, in amount to the sum justly due to
the person entitled to the lien and to the sum justly owing, except as herein provided, by
the owner, and the placing or furnishing of the materials to be used upon the land or
such other place in the immediate vicinity of the land designated by the owner or his
agent is good and sufficient delivery for the purpose of this Act, but delivery on the
designated land does not make such land subject to a lien.
52
Supra, note 49, 609.
53 Chomedey Aluminium, supra, note 43, 10.
54 Beaufort Realties, ibid., 725-6.
McGILL LAW JOURNAL [Vol. 27
those which governed the House of Lords in the Photo case in holding that
the question of whether such a clause was applicable where there was a
fundamental breach was to be determined according to the true construction
of the contract." 55 How the decision of the Court of Appeal in Beaufort and
the decision of the House of Lords in Photo Production can be so easily
reconciled is baffling!
Assessment of the decisions of Wilson J.A. and Ritchie J. in the light of
the four resolved and four unresolved issues after Photo Production,insofar
as they relate to Beaufort, reveals some confusion. With respect to the
resolved issues considered seriatim, the following observations may be
made. First, the concept of fundamental breach operating as a rule of law
undermines the Canadian judgments despite lip service to the principle that
the exclusion clause should be subjected to strict construction only. The
Canadian approach continues to be one of deciding first whether the events
constitute a fundamental breach of contract, whatever that might be, and
then of deciding whether the exclusion clause is relevant. In contrast, Photo
Productionappears to suggest that it is not necessary to decide at all whether
there has been a fundamental breach of contract. Rather, it is enough to
construe the exclusion clause to decide whether or not it contemplated and
provided for the events which have occurred. There is no need to
denominate a fundamental breach at all, unless, of course, the exclusion
clause clearly operates where there has been a fundamental breach of
contract, so that one must determine whether the events constitute such a
breach. Beaufort, then, suggests a Canadian failure to understand that once
the rule of construction approach has been adopted the concept of
fundamental breach is eliminated along with the 56rule of law concept. The
rule of construction operates like Occam's razor.
Second, while Wilson J.A. correctly stated that one effect of a
fundamental breach is to discharge the parties from further performance
of the primary obligations, she did not appreciate that the so-called
secondary obligations subsist and are to be applied, according to Photo
Production,to determine the final allocation of loss and damages between
the parties. Unlike even Lord Denning in Photo Production,57 she does not
anywhere in her judgment specifically construe the contract nor come close
to acknowledging what would appear to most reasonable people to be the
clear intention of article (6). Rather, after formal adoption of Suisse
Atlantique, she then proceeds to the reasonableness issue. The fundamental
perception that the exclusion clause is part and parcel of the bargain, is
lacking.
55 Ibid., 725.
56
Nunquam ponenda est pluralitassine necessitate. 1 Sent. d. 27, q. 2k (1497).
57
Supra, note 5, 864 (C.A.).
1982] RECEPTION OF PHOTO PRODUCTIONLTD
clear meaning of the waiver clause was overlooked by Wilson J.A. and
Ritchie J., which raises the question whether substantive reasonableness
should be interpreted as operating to neutralize the simple construction rule.
If reasonableness operated as a neutralizing factor, it is difficult to see how it
differs from Lord Denning's presumed intention rule which effectively
negates the principle of construction & la Suisse.
The third unresolved issue relating to whether there was a concurrent
obligation in contract and tort is not relevant to Beaufort. However, the
fourth issue as to the status of the Coote thesis is. Wilson J.A. did not have
the advantage of having Lord Diplock's decision in Photo Production
before her when rendering the judgment of the Court of Appeal in Beaufort.
Nonetheless, she shows familiarity with the thesis that exclusion clauses can
contain contractual obligations or modify rights and duties set down in the
primary obligations when she states that "[i]t is not, ... one of those
exclusionary clauses which must be resorted to in order to determine
whether there has been a breach at all or the extent to which there has been a
breach. It does not modify the obligation or restrict the liability of the party
in default: it deprives the party not in default of an additional remedy." 59 In
view of the fact that Wilson J.A. does not elaborate upon this approach, it
would probably be wrong, or at least premature, to state that Lord Diplock's
breakthrough has found judicial support in the Ontario Court of Appeal or
in the Supreme Court of Canada. Beaufort would not have been an
appropriate fact situation, in any case. However, it is comforting to note that
at least one Canadian judge perceives the significance of the Coote thesis.
Two other construction contracts in Ontario have raised Photo
Production issues although they have not inspired detailed jurisprudential
analysis. Woollatt Fuel and Lumber (London) Ltd v. Matthews Group
Ltd60 concerned a contract for the construction of a two-building apartment
complex in London, Ontario for the defendant Matthews, a local
development company. Woollatt had supplied materials to Debuka
Enterprises which was doing the work and was not involved in the litigation
once its lien on the materials was discharged by Matthews. The substantive
issues arose between Debuka and Matthews. 6' Debuka was a small,
successful one-man company which specialized in the installation of lathing
and acoustic tile ceilings. Prior to agreeing to supply and install lathing and
acoustic tile ceilings in the two apartments, Mr Slade, the owner of Debuka,
was shown a construction progress schedule which stipulated, inter alia,the
timing of the Debuka subproject. The schedule was posted in the site office.
The contract was concluded in early March 1973 with a contract price of
$152,000, and the work was to be completed in one building by 13 August
59Chomedy Aluminium, supra, note 43, 9.
60 (1979) 25 O.R. (2d) 730 (H.C., Div. Ct), rev'g in part (1978) 18 O.R. (2d) 454 (Co. Ct).
61(1978) 18 O.R. (2d) 454, 455 et seq.
1982] RECEPTION OF PHOTO PRODUCTIONLTD
62Ibid., 461.
63 Ibid., 462.
64Ibid.,
65
463.
Suisse Atlantique, supra,note 3; B.G. Linton Construction Ltd v. C.N.R. Co., supra,
note 6. See also PeriniPacific Ltd v. Greater Vancouver Sewerage and DrainageDistrict
[1967] S.C.R. 189 which involved a similar clause.
Mc GILL LAW JOURNAL [Vol. 27
66
67
Supra, note61, 465.
Supra, note 60, 732.
68 Ibid., 733.
69 Supra, note 61, 465-7 per Killeen Co. Ct J.
70 Ibid., 463.
71Ibid., 455.
1982] RECEPTION OF PHOTO PRODUCTIONLTD
Court of Ontario. The contract in that case provided that Uni-Form would
construct a building in the Byward market consisting of several levels of
parking space and a number of shops for the City of Ottawa. The builders
were suing to recover $157,362 as costs incurred beyond the contract price
due to delays in the performance of their contractual obligations occasioned
by various contractual breaches by the City including, inter alia, failure to
hand over the building site by the date called for in the contract, the issuance
of hold orders on parts of the job and over sixty change orders which
required Uni-Form to make tenders which had to be approved by the City
which spent a protracted period over each decision. Although the original
completion date was April 1975, Uni-Form employees were on the job until
February 1976. To avoid a lengthy trial, the parties agreed to certain facts.
The City admitted that the delays were substantial and that the change
orders, in particular, contributed to the delays. Since the determinative issue
would be the construction of an exclusion clause in the contract, they agreed
to proceed directly to the construction of clause (3.24.11):
Unless otherwise particularly provided in the contract, the contractor shall have no
claim or right of action against the Municipality for damages, costs, expenses, loss of
profits or otherwise howsoever because of or by reason ofany delay in the fulfillment of
the contract within the time limited therefore occasioned by any cause or event within
or without the contractor's control, and whether or not such delay may have 76
resulted
from anything done or not done by the Municipality under this contract.
In addition, clause (3.24.7) provided for liquidated damages for the
municipality in the event that Uni-Form failed to complete on time; thus the
possibility that delay could occur was clearly contemplated and provided for
by the parties. After reviewing Suisse Atlantique, R.G. McLean Ltd v.
Canadian Vickers Ltd,7 7 Belcourt and Photo Production,the Court found
on construction that even if the City's conduct constituted a fundamental
breach of contract, it could use clause (3.24.11) to shield itself from Uni-
Form's claim for damages, although in the opinion of the Court there had
been no breach in the first place.78 As an exercise in strict construction of a
commercial contract between parties of equal bargaining power, the decision
is simple and faultless. Even if it were necessary to do so, it seems difficult to
argue that there was a fundamental breach because although the contract
was completed almost a year behind schedule, the claim was relatively small
in relation to the full contract price of $2.3 million plus additional agreed
sums.
However, one disconcerting fact arises in that when the judge was
dealing with costs in the action he decided not to award any, noting that
many of the difficulties arose because the City of Ottawa had requested that
the contract period be reduced from eighteen to thirteen months, or by about
76 1bid., 269.
77
Supra,note 6.
78
Supra, note 75, 272 per Osler J.
McGILL LAW JOURNAL (Vol. 27
28 per cent of the original time allotted. Perhaps too much should not be
made of that fact in the absence of more complete details because the parties
agreed to go straight to the construction issue. However, the question of
whether or not79this too was a case for a substantive test of reasonableness
may be raised.
Prior to assessment of the impact of Photo Production generally, one
other recent Canadian case which deals with the issue of concurrent liability
in contract and tort must be examined. CanadianWestern Natural Gas Co.
v. PathfinderSurveys Ltd80 concerned a damage suit in respect to an error in
staking out an underground gas transmissions line. The gas company
contracted with the surveyor for the staking out of a pipeline to be laid along
a three mile route in Calgary. An error was made in the survey but the gas
company did not realize this until it was in the process of laying the pipeline.
Its employees improvised and as a result the line was significantly misplaced.
In an action for damages the Alberta Supreme Court, Trial Division held for
the gas company and the surveyors appealed. On appeal, the main issues
were the availability of an action in the tort of negligence and the gas
company's duty to mitigate. The specific amount claimed was for
consequential loss in that the other parts of the pipeline could not be used
until the portion in question was properly placed. There was no exclusion
clause involved.
The surveyor pleaded that it could only be sued in the tort of negligence
in response to the gas company's claim in contract, which raised the issue of
whether there could be concurrent claims in contract and tort. The majority
of the Court of Appeal, consisting of Prowse and Harradence B.A., thought
that there could indeed be concurrent claims, provided the claim in tort was
founded on an "independent tort".8' In reaching this decision, they cited not
only the well-known Canadian cases on the issue but also several recent
English cases, including Photo Production.82 However, only the Master of
the Rolls' views on the matter were considered since the Alberta appeal was
decided prior to the House of Lords' decision in Photo Production. It
should be recalled that while concurrent liability has been accepted in
England when the same duty arises in contract and tort, this rule is limited in
79
A potential revival of strict construction in other contexts, as prompted by the Canadian
adoption of Photo Production,is also seen in the bankruptcy case, Skyrotors Ltdv. Bank of
Montreal(1980) 34 C.B.R. (N.S.) 238, 241 (Ont. S.C.) per Osborne J.
80(1980) 21 A.R. 459 (Alta C.A.).
s Ibid., 474 per Prowse J.A. citing J. Nunes Diamonds Ltd v. Dominion Electric
ProtectionCo. [1972] 2 S.C.R. 769, 777-8per Pigeon J.; Rivtow Marine Ltdv. Washington
Iron Works [1974] S.C.R. 1189; Giffels Assoc. v. Eastern Construction Co. [1978] 2 S.C.R.
1346.
8
See also Morgan, supra, note 33.
2 Esso Petroleum Co. v. Mardon [1976] 1 Q.B. 801 (C.A.); Anns v. Merton London
Borough Council[1978] A.C. 728 (H.L.); Batty v. Metropolitan PropertyRealizations Ltd
[1978] 1 Q.B. 554 (C.A.); Midland Bank Trust Co. v. Hett, Stubb andKemp [1979] Ch. 384.
1982] RECEPTION OF PHOTO PRODUCTION LTD 449
Canada by the view that concurrent liability arises only when the tortious
action is somehow independent of the contract; that is, it merely occurs
within the general setting of the transaction. In view of the fact that the
Alberta Court of Appeal adopted the Nunes Diamond83 limitation rather
than the English precedents, and also in view of the fact that four of the Law
Lords found concurrent liability, albeit on the basis of an implied term
which imposed a heavier duty of care than the exclusion clause, one need
only note that Photo Productionhas had no effect to date on the concurrent
liability issue in Canada.
Conclusion
The Canadian reception of the House of Lords' decision in Photo
Production ranges from confusion about the nature of the decision through
obfuscation of the policy issues underlying it to the superficial application of
one aspect of the decision in isolation from other issues. Photo Production
itself is far from satisfactory which, admittedly, does not help. In a nutshell,
the fundamental problem is judicial failure, both English and Canadian, to
acknowledge that the underlying issue is the propriety of judicial control of
the socio-economic realities underpinning the modern contractual nexus.
The courts, perhaps mindful of the legislative lead, could be said to be
backing unwillingly into the role of arbiters of unfair agreements.
The underlying paradox of the Photo Production decision exemplifies
the problem. The Law Lords expressly adopted the traditional rubric of
freedom of contract for commercial men dealing on terms of equality, yet
four out of five declined to overrule a substantive test of reasonableness to
assess the applicability of exclusion clauses. Translation of this conflict to
Canada has produced several reflections. At the Court of Appeal level in
Beaufort the traditional Canadian approach of express adoption of the
construction rule which honours contractual bargaining freedom is ridiculed
by the actual application of a substantive reasonableness test to exclude the
clause in question. It seems that Ritchie J., in the Supreme Court, did not
understand Photo Productionto do more than re-establish the construction
rule so that while, ironically, he is in one sense correct in stating that the
Court of Appeal decision was in line with Photo Production, he was not
aware of how true that observation was. Homer had indeed nodded! But the
more serious consequences of Canadian failure to appreciate the ambit of
Photo Productionare apparent in Woollatt where the Court felt constrained
to a simple, strict, superficial application of the construction rule although
the circumstances suggested its inappropriateness to the end of doing justice
between the parties. Uni-Form may also be a similar case, although
insufficient facts preclude any firm conclusion. The survival, then, of a
substantive reasonableness test in the face of strict construction, and
83
Supra, note 81.
REVUE DE DROIT DE McGILL [Vol. 27
84[ 1981 ]! W.L.R. 138 (P.C.) Not only did the Privy Council consist of Lord Scarman,
but also Lord Diplock, as well as Lords Fraser and Roskill.
Mc GILL LAW JOURNA L [Vol. 27
85
Weir, Nec Tamen Consumebatur - Frustrationand Limitation Clauses (1970) 28
Cambridge L.J. 189.