DuPlooy Analysis 2015
DuPlooy Analysis 2015
DuPlooy Analysis 2015
By
Dané du Plooy
An analysis of the Apportionment of Damages Act 34 of 1956
by
Dané du Plooy
26084920
in the
Faculty of Law
University of Pretoria
April 2015
UNIVERSITY OF PRETORIA
DECLARATION OF ORIGINALITY
Declaration
3. I did not make use of another student’s previous work and submitted it as my
own.
4. I have not allowed, and will not allow, anyone to copy my work with the
intention of presenting it as his or her own work.
______________________
Dané du Plooy
DEDICATION
“I can do all things through Him who strengthens me.” Philippians 4:13
ACKNOWLEDGEMENTS
There are innumerable people to whom I am indebted for their support and
contribution and I extend my sincere gratitude to every person who has in some way
contributed to the finalisation of this dissertation. I would like to thank the following
persons:
i
SUMMARY
Where a party wrongfully suffers harm due to the negligent conduct of another, that
harm is repaired through the payment of damages. In terms of the principle res perit
domino, it is however a fundamental principle of the law of delict that a person
should bear the loss he suffers. It stands to reason that where he contributes to his
damages by his own negligent conduct, this should be taken into account and his
damages reduced accordingly. The legal position regarding contributory negligence
and the effect on recovery of damages, is governed by the Apportionment of
Damages Act 34 of 1956. The relevance of the Act is often considered when dealing
with the issue of liability; however, it ultimately effects the quantum of a damages
award. This is not to say that the apportionment of liability will or should mirror the
extent to which the damages are apportioned. In certain cases, damages may be
further apportioned to account for other factors.
In practice, the Act is often exercised incorrectly and differently from case to case,
due to varying interpretations and approaches to underlying principles. The Act does
not define concepts fundamental thereto nor does it prescribe an approach to
determine the reduction of a party’s damages. Specifically the meaning of fault in
the Act, whether this fault relates to the damage or damage-causing event, as well
as how this fault should be measured and applied to the facts of each case have
been interpreted and applied inconsistently. The highlight the various scenaria that
have appeared in the practical application of the Act to claims arising out of delict
and specifically, motor vehicle collisions. Through practical illustrations and case law,
one can deliberate on the factors to be considered when a particular approach is
adopted. It is ultimately necessary to determine whether the Act can be applied
effectively and fairly, by adopting a single approach, or whether the law has to be
revised.
If the Act were to be reviewed, the extent to which negligent conduct is to be applied
as well as how this is to be assessed should be clarified. It is necessary for courts to
bear in mind that a person’s conduct as it is causally linked to harm, should be
apportioned and a separate enquiry to extent to which harm is exacerbated by
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contributory negligence should be done. Mere negligent conduct is not sufficient – it
must be linked to increased harm. As it stands, he approach followed in the Jones
case provides for a definable formula in which the parties’ conduct as it relates to the
harm are assessed separately and then compared. If the comparative approach can
be enforced, uniformity will be achieved and the uncertainty of discretionary
application can be eliminated, even if the Act is not redrafted. If legal practitioners
are able to clearly make this distinction and apportion the parts to which a claimant’s
actions are related, the purpose of the Act can be achieved.
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INDEX
SUMMARY ii
1.1 Introduction 1
1.5.2 Delict 4
1.5.4 Damages 5
1.5.6 Negligence 5
2.1 Introduction 6
2.3.3 The influence of the Constitution of South Africa and the Bill of
Rights 9
2.4 Development, problems and future of the Act in South African law of
Damages 9
3.1 Introduction 11
3.2.1 Negligence 12
3.6 Conclusion 20
4.1 Introduction 21
4.7.4 Where a dependant is injured due to his own negligence and that
of a third party 37
5.1 Introduction 41
5.2 Facts 41
5.3 Discussion 42
5.4 Conclusion 44
CHAPTER 6 – CONCLUSION
6.1 Introduction 45
6.2 Recommendations 45
6.3 Conclusion 46
BIBLIOGRAPHY 48
CHAPTER 1 – INTRODUCTORY COMMENTS AND GENERAL CONCEPTS
1.1 Introduction
One of the requirements for the recovery of damages is fault.1 Where a party
contributes to his damages by his own negligent conduct, it follows that such
negligence has to be taken into consideration and that his damages is to be reduced
accordingly. In South Africa, the legal position regarding contributory negligence and
the effect on recovery of damages, is governed by the Apportionment of Damages
Act 34 of 1956.2 The Act was promulgated to ameliorate the harsh consequences of
the common law “last opportunity rule”.3 In essence and prior to the Act, a wrongdoer
would be absolved from liability in circumstances where it was found that the plaintiff
had “the last opportunity” to avert the accident. The interpretation of the Act has
over the years been adapted through precedent and courts have followed different
approaches in determining the reduction of damages in accordance with the fault of
the litigants. As a result contradictory results relating to the application of the Act are
in practice common.
The following prominent legal questions and issues have been the subject of debate:
1. The interpretation of “fault” in the Act;
2. Whether this fault refers to a party’s negligent conduct in relation to the harm or
the event that caused the harm;4
3. The distinction between apportionment of fault5 and apportionment of damage6;
1 The exception is in respect of liability without fault, i.e. “no-fault” or strict liability; Visser &
Potgieter (2012) 355; Neethling et al (2015) 4; Van der Walt & Midgley (2005) 147.
2 Hereafter “the Act”.
3 The purpose of the Act is apparent from its Preamble which reads: “To amend the law relating
to contributory negligence and the law relating to the liability of persons jointly or severally liable in
delict for the same damage, and to provide for matters incidental thereto.”
4 Loubser & Midgley (eds) (2012) 438.
5 Which is a merits enquiry determining presence of negligence and liability for harm caused by
such negligence; Erasmus & Gauntlett (2005) 3.
6 Which is a quantum enquiry taking into account what the extent of the harm is and how such
liability is causally connected to the harm suffered; Erasmus & Gauntlett (2005) 3.
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4. Which is the correct approach in which this fault is to be assessed and applied
to achieve the object of the Act; and
5. The application of provisions relating to contributorily negligence or joint
wrongdoers, under specific circumstances relating to dependant’s claims.
At the outset it is necessary to reflect on the motivation for the promulgation of and
the principles underlying the Act. The purpose of the Act and an evaluation of the
different concepts related thereto, with particular emphasis on fault, has to be
considered when an analysing the diverse interpretations. The advantage of the Act
having been passed some 60-odd years ago is that a large volume of precedent and
discussion exists on the subject.7 This enables, through practical illustrations,
deliberation of the principles and factors considered by judicial officers when
adopting their particular approach. It is ultimately necessary to determine whether
the Act can be applied effectively and fairly, by adopting a single approach, or
whether the law has to be revised.8
The Act is used on a daily basis in courts, arbitrations and even in general
negotiations. In general and seemingly unbeknown to the majority of litigants, the
Act is often applied incorrectly and differently from case to case. General principles
have crystallised in our law which serves as precedent and therefore legal ambiguity
can and should be avoided.9 The relevance of the Act is often considered when
dealing with the issue of liability. However, it ultimately effects the amount of a
damages award. This is not to say that the apportionment of liability will or should
mirror the extent to which the damages are apportioned. In certain cases, the
damages may be further apportioned to account for other factors.
7 Kotzé (1957) 20 THRHR 148; Swanepoel (1959) 22 THRHR 263; Millner 1956 (53) SALJ
319; McKerron (1956) 1; McKerron (1971) 289; Van der Merwe & Olivier (1989) 156; Boberg (1984)
652; SALRC (2003) Report.
8 Either by way of reviewing legislation or Supreme Court rulings to clarify the position.
9 Neethling et al (2015) 168.
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1.3 Problem statement and goal of the dissertation
10 Section 1(1)(a).
11 The Act does not apply to contractual actions; Boberg (1984) 713; McKerron (1971) 298;
Havenga 2001 (64) THRHR 124; Thoroughbred Breeders’ Association of South Africa v Price
Waterhouse 2001 (4) SA 511 (SCA).
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1.5 Definition of concepts
For purposes of this dissertation the following definitions and assumptions are
accepted.12
The law of damages indicates how the realisation and extent of damages, as well as
the appropriate amount of damages or compensation are to be determined following
a delict. It also includes legal principles relating to how such damages are to be
paid.13
1.5.2 Delict
A delict refers to conduct of a person that “in a wrongful and culpable way causes
harm to another.”14 Five elements, namely, an act, wrongfulness, fault, causation
and harm are required for the particular conduct to be classified as a delict.15
12 Further discussion on these definitions fall outside the scope of this work.
13 Visser & Potgieter (2012) 1; Van der Walt (1977) 1; Erasmus & Gauntlett (2005) 4; Van der
Walt 180 THRHR 3.
14 Neethling et al (2015) 4.
15 Boberg (1984) 652; Van der Walt & Midgley (2005) 239; Loubser & Midgley (eds) (2012) 420;
Van der Merwe & Olivier (1989) 156; McKerron (1971) 109.
16 Visser & Potgieter (2012) 19; Neethling et al (2015) 222; Van der Walt & Midgley (2005) 197.
17 Loubser & Midgley (eds) (2012) 69; Reinecke 1976 TSAR 26.
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1.5.4 Damages
Fault can be present in one of two forms; either intent or negligence.21 The Act does
not apply where damage was caused intentionally and discussions are thus limited
to negligent conduct.22 In limiting the extent of a wrongdoer’s liability for damages,
contributory fault is relevant to the conduct of the plaintiff or such party so
represented.23 In terms of section 1(3) of the Act fault is defined as including “any
act or omission which would have given rise to the defence of contributory
negligence”.
1.5.6 Negligence
18 Par1.5.3 above.
19 Visser & Potgieter (2012) 19; Van der Merwe & Olivier (1989)163; South British Insurance Co
Ltd v Smit 1962 (3) SA 826 (A).
20 It does not include cost of suit; Visser & Potgieter (2012) 20 and 302.
21 Visser & Potgieter (2012) 242; Neethling et al (2015) 129.
22 Greater Johannesburg Transitional Metropolitan Council v ABSA Bank Ltd t/a Volkskas Bank
1997 (2) SA 591 (W); Loubser & Midgley (eds) (2012) 439; Neethling et al (201) 169; McKerron
(1971) 296.
23 Van der Walt & Midgley (2005) 147; Loubser & Midgley (eds) (2012) 314; Ahmed 2014 (17) 4
PELJ 1518.
24 Smit above n19; Visser & Potgieter (2012) 19; Boberg (1984) 652; Van der Walt & Midgley
(2005) 239; Loubser & Midgley (eds) (2012) 420; Van der Merwe & Olivier (1989) 156; McKerron
(1971) 58.
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CHAPTER 2 – THE ORIGIN AND DEVELOPMENT OF APPORTIONMENT OF
2.1 Introduction
In order to establish whether the Act is effective, it is necessary to reflect on its origin
and purpose. The Act was introduced to amend the common law position relating to
contributory negligence following the inequitable and flawed outcomes resulting from
the application of the “all or nothing” and “last opportunity” principles initially
assimilated from Roman-Dutch and English common law.
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2.3 Aspects of the history and development of the apportionment of
damages in South African law
Originally the “all or nothing” rule applied in cases where some fault could be
attributed to a plaintiff.30 The general rule in Roman-Dutch law was that any fault on
the part of the plaintiff excluded him from claiming from the wrongdoer entirely.31
Neethling, Potgieter and Visser explain the principle as follows: “Where negligence
of two people contributed to the causing of a particular result, and one or both of the
parties suffered damages as a consequence, neither party could institute an
action”.32
The English courts, after considering the harsh implications of the “all or nothing” rule
in the case Davies v Mann33 adopted a new approach, known as the “last
opportunity” rule.34 The plaintiff in that case had negligently left his haltered donkey
in the road, whereas the defendant on his part collided with the donkey whilst
negligently driving his wagon. The court ruled that where the negligence of one of
the parties was the decisive cause of the accident, the contributing party’s
negligence was completely ignored and he could succeed with his claim in full. In
order to determine whose negligence was the decisive cause of the accident, the
courts looked at who had the last opportunity of avoiding the accident. 35
30 Par 2.1 above; Neethling et al (2015) 167; Boberg (1984) 107; Loubser & Midgley (eds)
(2012) 436.
31 Neethling et al (2015) 167; Van der Walt & Midgley (2005) 239.
32 Neethling et al (2015) 168.
33 (1982) 10 M & W 546.
34 Examples of case law in South Africa is Union Government (Minister of Railways) v Lee 1927
AD 202 and Pierce v Hau Mon 1944 AD 175.
35 Neethling et al (2015) 168; Van der Walt & Midgley (2005) 239; McKerron 1968 (31) SALJ 15.
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2.3.2 The introduction and object of the Act
The “last opportunity” rule did not work well in practice.36 One example of the
application of this harsh rule in England is on employees injured on duty, which given
the poor working conditions following the industrial revolution of the late 1800s,
occurred frequently. The effect was that, even if there had been negligence on the
part of the employer which caused his employee to be mangled by machinery, the
employee could not claim compensation if he had had the last opportunity to avoid
the accident. It finally resulted in such a prejudicial situation that the legislature had
to intervene.37 In England this rule was replaced in 1945 with the principle of
proportional division of damages in accordance with each party’s degree of fault. 38
The South African legislature mimicked this movement by introducing the Act in 1956
and as a result a wrongdoer may no longer avoid liability with the defence of the “last
opportunity” rule.39
Boberg explains that this approach was in essence a test for causation and was not
based on the comparative blame of the parties.40 He concludes that it would be
impossible to think away the impact of the actions of the more careful party
completely. With perfect hindsight, there would have been no accident if both parties
behaved as they ought to have done from the outset. He accurately observes that in
many modern-day motor collisions, it is nearly impossible to determine who had the
last opportunity to avoid the accident.41
36 Waite v North-Eastern Railway Co (1858) EB&E 71; Swadling v Cooper [1931] A.C. 1.
37 The Law Reform (Contributory Negligence) Act 1945; Kotze 1956 THRHR 186.
38 Coetzee v Van Rensburg 1954 4 SA 616 (AD); Wilson 1950 (48) Res. Jud. 193; Boberg
(1984) 653.
39 Minister van Wet en Orde v Ntsane 1993 (1) SA 560 (A); Davel (1987) 85; Van der Walt &
Midgley (2005) 240; Neethling et al (2015) 168.
40 This was problematic in matters where continuing negligence by the parties were involved, or
where actions were almost simultaneous. The SALRC gives the example of a collision between two
cars both travelling at high speed; SALRC (2003) Report Chapter 1; Boberg (1984) 652; McKerron
(1971) 64.
38 Boberg (1984) 652.
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2.3.3 The influence of the Constitution of South Africa and the Bill of Rights
The Constitution42 as the supreme law43 of the Republic of South Africa together with
the incorporated Bill of Rights44 influences the interpretation of the Act.45 In the
interpretation of any legislation, and when developing both common and customary
law, the courts must promote the spirit, purport and objects of the Bill of Rights.46
When constitutional values are applied in private law it influences the so-called open
ended or flexible delictual principles47, where policy considerations and factors such
as reasonableness, fairness and justice may play a central part.48
2.4 Development, problems and future of the Act in South African law
Since its introduction the wording and draftmanship of the Act has been criticised 49
and amended.50 In the attempt to eliminate weaknesses associated with the doctrine
of damage, solutions are commonly sought by following an ad hoc approach.51
Unfortunately when the Act has to be applied or interpreted, mistakes come about in
practice because of this discretionary approach.
The South African Law Reform Commission52 has also analysed the Act in a report
where several difficulties were identified and review of the Act in its entirety was
42 The Constitution of the Republic of South Africa, 1996 (hereafter “the Constitution”).
43 Section 2 of the Constitution.
44 Contained in Chapter 2 of the Constitution.
45 Erasmus & Gauntlett (2005) 7.
46 Section 39(2) of the Constitution.
47 E.g. the boni mores test for wrongfulness, the imputability test for legal causation and the
reasonable person test for negligence.
48 Neethling et al (2015) 22; Currie & De Waal (2005) 49 and 64.
49 Visser & Potgieter (2012) 15; Boberg (1984) 655; Taylor v SAR&H 1958 (1) SA 139 (D);
Cooper (1996) 284; Reinecke 1988 (21) De Jure 238.
50 Apportionment of Damages Amendment Act 58 of 1971; Matrimonial Property Act 88 of 1984;
General Law Amendment Act 49 of 1996 ; Justice Laws Rationalisation Act 18 of 1996.
51 Van der Walt (1977) 3.
52 Hereafter “the SALRC”.
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suggested.53 It is necessary to assess whether the Act can be applied effectively as
is or whether review is needed to eliminate any confusion. In consideration of the
various problems arising from the Act, the Apportionment of Loss Bill 2003 has been
prepared but has not yet been promulgated.54 Thus currently the Act is the ultimate
authority on apportionment and it is useful to clarify the position thereof as regards
harm resulting from motor vehicle collisions.
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CHAPTER 3 – BASIC PRINCIPLES AND CONSIDERATIONS IN THE
DETERMINATION AND APPORTIONMENT OF DAMAGES
3.1 Introduction
The object of the Act is that damages to which a party is entitled would be reduced in
accordance with his contributory negligence in a just and equitable manner. The Act
consists of three chapters, of which the first deals with the apportionment of liability
in the case of contributory negligence, the second with proceedings against joint and
several wrongdoers and the third with incidental matters. Chapter 1 of the Act
regulates the reduction of damages in case of contributory negligence.55 Section
1(1)(a) and (b) read as follows:
(a) Where any person suffers damage which is caused partly by his own fault
and partly by the fault of any other person, a claim in respect of that damage
shall not be defeated by reason of the fault of the claimant but the damages
recoverable in respect thereof shall be reduced by the court to such extent
as the court may deem just and equitable having regard to the degree in
which the claimant was at fault in relation to the damage.56
(b) Damage shall for the purpose of paragraph (a) be regarded as having
been caused by a person’s fault notwithstanding the fact that another person
had an opportunity of avoiding the consequences thereof and negligently
failed to do so.
The element of fault is clearly one of the key terms in the Act and has to be
interpreted correctly in context. For the Act to be applicable, contributory fault, either
on the part of the plaintiff or another defendant, has to be established. An
understanding of the interaction between fundamental legal principles underlying the
Act, specifically as it relates to the concept of fault, is important. The application of
the reasonable person test, how negligence of each party is to be assessed and the
concept of damage are briefly discussed to shed light on their importance with
reference to the Act.
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3.2 The concept of fault as background to the Act
3.2.1 Negligence
The test of the reasonable person, generally accepted by the courts, was set out in
the case of Kruger v Coetzee60 as follows:
57 Par 1.5.5 above; Neethling & Potgieter 1992 (55) THRHR 658.
58 Neethling et al (2015) 137; Visser & Potgieter (2012) 119; Van der Walt & Midgley (2005)
133; Loubser & Midgley (eds) (2012) 200.
59 Tenza v Putco Ltd 1988 (2) SA 330 (NPD); Visser & Potgieter (2012) 122; Van der Walt &
Midgley (2005) 134; Loubser & Midgley (eds) (2012) 212.
60 1966 2 SA 428 (A) 430.
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3.2.3 Foreseeability and preventability of damage
From the aforegoing it is clear that the test for negligence is twofold. The reasonable
foreseeability as well as the reasonable preventability of damage are considered.61
The concrete approach to foreseeability is favoured in our courts.62 In terms of this
approach, one can only be negligent if the occurrence of a specific consequence,
and not merely damage in general, was reasonably foreseeable.63 It is not required
that the precise nature and extent of the harmful consequences, or the exact manner
in which the damage was caused, has to be reasonably foreseeable. Once
reasonable foreseeability has been determined, it must be established whether the
reasonable person would have taken precautionary measures to prevent the
realisation of damage.
61 Neethling et al (2015) 148; Scott 1995 TSAR 127; Neethling & Potgieter 1994 THRHR 131.
62 Also referred to as the “relative” approach; Neethling et al (2015) 148.
63 Put differently, reference should be had to the consequences that were indeed reasonably
foreseeable.
64 Neethling et al (2015) 183; Van der Walt & Midgley (2005) 197; Loubser & Midgley (eds)
(2012) 70.
65 Neethling & Potgieter 1993 (56) THRHR 157; Potgieter 1990 (53) THRHR 267; Scott 1995
TSAR 127.
66 [1990] 1 All SA 498 (A).
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Demonstration that the wrongful act was causa sine qua non of the loss does
not necessarily result in legal liability. The second enquiry, viz whether the
wrongful act is linked sufficiently closely or directly to the loss for legal liability to
ensue or whether, as it is said, the loss is too remote. This is basically a juridical
problem in the solution of which considerations of policy may play part. This is
sometimes called ‘legal causation’.
Various theories for determining legal causation exist.67 The preference is for the use
of the flexible approach, which is based on the policy considerations of
reasonableness, fairness and justice has been expressed by our courts.68 The
reasonable foreseeability criterion has been generally applied, however it has been
found that different situations may warrant different approaches in order to achieve
fair outcomes.69
67 Visser & Potgieter (2012) 271; Neethling & Potgieter 1993 (56) THRHR 157.
68 S v Mokgethi 1990 (1) SA 32 (A).
69 Other theories include: The Theory of adequate causation; the Theory of direct
consequences; and the Theory of wrongfulness and fault. Visser & Potgieter (2012) 271; Minister of
Police v Skosana 1977 (1) SA 31 (A); Bentley above n65.
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which was caused by the wrongdoer, it would have to be determined to what extent
his damage could be attributed to him.70 The plaintiff and the wrongdoer would then
be seen as joint wrongdoers in respect of the same damage. In an example where
both parties were found indistinguishably negligent it would be fair to hold each party
equally liable for the damages, i.e. 50% each.71
It is often the case that the issue of quantum of damages is decided separately from
the merits of a claim. Parties may reach agreement on the merits of a claim but
differ on the amount of damages and vice versa.72 Fault in relation to damage is
actually apportioned and not the fault in relation to the damage-causing event. The
distinction begs the question: When does the enquiry of apportionment of damages
arise? It is often introduced when considering the liability and not revisited when
assessing the actual damages and its relation to the parties’ conduct. A practical
view exists that a plaintiff is always potentially negligent, which may be represented
by a nominal percentage of 10% and that this apportionment should be applied in all
situations, no matter the cause of the damage. This approach disregards the
considerations of the objective reasonable person test and does not take into
account the distinction between contributing to the collision and contributing to the
harm following the collision. Apportionment, of liability, should only be considered
where it can be proven that the plaintiff was in a position to avoid the collision. 73 It
would not be fair to regard a person as negligent without objectively assessing his
conduct.
70 Visser & Potgieter (2012) 89; Van der Merwe & Olivier (1989) 292; Reinecke 1976 TSAR 38.
71 This should be distinguished from cases where it is uncertain what the correct version of
events is and where absolution from the instance is granted where it cannot be determined what the
cause of the damage was.
72 Erasmus & Gauntlett (2005) 3.
73 Klopper in Isaacs and Leveson (2012) 85.
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Due to the use of the terms “just and equitable” the degree of apportionment may be
measured on a discretionary basis with the considerations of the reasonable person
test and, to an extent, precedent as a guideline. Commonly the degree of negligence
linked with the damage-causing event is equated to the degree of apportionment.
Where the Act is applicable, harm is assessed and the apportionment, expressed in
percentage form, is applied to reduce the damages payable.74 It is thus necessary to
determine the amount of the award before the apportionment is imposed thereon. In
general the following heads of damage are accepted in claims related to motor
vehicle collisions: Medical and related expenses; Loss of income or loss of support
by a dependant whose breadwinner was killed75; and general (non-patrimonial)
damages.76 The process of the determination of the damage does involve
causation, however the tests for causation related to the damage-causing event and
the determination to the damage itself are not one and the same.77
It is crucial to consider whether a causal link between the plaintiff’s negligence and
the ensuing harm exists. A plaintiff may appear to be negligent, but despite such
negligence, he would have suffered the harm anyway. I.e. his contributory
negligence was not causally connected to the harm suffered. Apportionment should
not be applied if the plaintiff would have suffered the same harm despite his
negligent actions, as it has no relevance to the harm. It has to be proven on a
balance of probabilities that the outcome would have been different if the plaintiff had
acted reasonably.78 It is submitted that the issue of causality and the apportionment
of harm are not considered thoroughly by our courts and that by they accept that
74 In terms of the Act damages are not strictly apportioned, they are reduced; Klopper in Isaacs
and Leveson (2012) 83; Visser & Potgieter (2012) 303; Loubser & Midgley (eds) (2012) 346.
75 Dendy 1990 (107) SALJ 155; Davel (1984) LLD Proefskrif 1; Davel (1987) 86.
76 Visser & Potgieter (2012) 121;
77 The practical implications are discussed in Par 4.3.1 below; Visser & Potgieter (2012) 85 and
120.
78 Guardian National Insurance Company Ltd v Saal 1993(2) SA 161 (C).
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there is a causal link if negligence is proven.79 The contributory negligence should
have a direct relationship to the ensuing harm and no link can be established,
apportionment is not applicable.
3.4.3 The condictio sine qua non “test” and sum-formula approach
In terms of the condictio sine qua non test80 an action or event is thought away and
then it is seen whether or not the consequences are also absent. 81 This can be
illustrated with an example regarding a driver, Z, who is involved in an accident
caused by another driver. He was not wearing a seatbelt and he sustains bodily
injuries including whiplash injury and facial fractures. Even if the negligent omission
on his part is thought away, that is if Z had worn his seatbelt, the accident would still
have occurred. His conduct thus did not directly influence the occurrence of the
accident.
The sum-formula approach serves as the basis for the evaluation of patrimonial loss
in our law.82 This method which is used to determine loss should not be confused
with the condictio sine qua non “test” for causation.83 The difference lies therein that
in the approach to determining loss, there is no elimination of an event. This
approach involves the element of causation, as it illustrates that a particular
consequence has been caused by an event, but goes further as it also measures the
extent of said consequence.84 In our example above, Z would not have sustained
facial fractures due to his face hitting the dashboard, if he had acted reasonably and
worn his seatbelt. Without the accident being thought away, it is possible to evaluate
and compare the two positions to determine damages; being the outcome had he
acted reasonably on the one hand as opposed to unreasonably on the other hand.
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3.5 Parties affected by the Act
The person who in reality suffers harm due to a damage-causing event may claim
damages.86 In a situation where a dependant has suffered harm as a result of the
injury or death of another, such a dependant may claim compensation for that loss.87
It is important to identify from what right a party’s claim is derived, in order to
establish whether a party can be classified as either a joint wrongdoer or as
contributorily negligent for purposes of the Act. If the party does not comply with the
descriptions provided by the Act, the Act cannot apply.
Only a party that acted contributorily negligent may be held liable for damages. The
individual who committed the delict, or a person or body that may be held liable in his
place, is liable to pay damages.88 In South Africa claims arising out of bodily injuries
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or death caused by the negligent driving of a motor vehicle, are instituted against the
Road Accident Fund89, which as it were, steps into the shoes of the wrongdoer.90
The plaintiff’s duty to mitigate his loss, by taking reasonable steps, in reality only
becomes relevant after the damage-causing event. The duty is not “to not cause
damage to himself”, but to not exacerbate the wrongdoer’s burden to pay
damages.91 It can however be argued that a form of “advance mitigation” can be
expected of parties. In a society where individuals interact, they attract inevitable
duties and have to act reasonably in their conduct. This entails that they must
consider the possible conduct of other individuals and mitigate their damages, albeit
“in advance”.92 This failure to act reasonably is taken into consideration.93 The
reduction in terms of the Act serves to ensure that a person should not be
overcompensated, thus the degree to which he is responsible for his own damage
has to be taken into account. This links with the res perit domino94 principle in which
a person is in the first instance responsible for his own damages.95
The party who raises contributory negligence or a counterclaim bears the burden of
proving, on a balance of probabilities, the negligence on the part of another. If the
probabilities do not favour him or are evenly balanced, he has not discharged the
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onus of proof and cannot succeed in his claim.96 Contributory negligence is usually
pleaded but if if the plea sufficiently places the negligence of the plaintiff in issue, the
court may take it into account even in the event that it has not been expressly
pleaded.97
3.6 Conclusion
The Act is to be read against the background of the preceding principles. Negligent
conduct has to be considered insofar as it is causally linked to any damage. When
determining liability as regards the damage-causing event the following is trite: The
different degrees of negligence on the part of the plaintiff on the one hand and the
wrongdoer on the other hand are compared. These degrees of negligence are
expressed in percentages to reflect the deviation from the norm of the reasonable
person. These two individual percentages are then compared and the percentage of
damage that the wrongdoer is liable for is determined.
96 Klopper in Isaacs and Leveson (2012) 88; Saal above n76; Cooper (1996) 484.
97 AA Mutual Insurance Association Ltd v Nomeka 1976 (3) SA 45 (A); Visser & Potgieter (2012)
268; Boberg (1984) 659; Swanepoel 1959 (22) THRHR 262.
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CHAPTER 4 – THE APPLICATION OF APPORTIONMENT OF DAMAGES IN
SOUTH AFRICAN LAW
4.1 Introduction
The Act does not have a definition section, but makes provision for two occurrences.
The first instance is where a plaintiff claims compensation following injury to his own
person, which falls under Chapter 1 relating to contributory negligence. The second
is where the plaintiff claims compensation following the injury or death of another
person, causing the plaintiff to suffer harm, which falls under Chapter 2 relating to
joint and several wrongdoers.
Section 1 of the Act provides that where a person suffers damage caused partly by
his own fault and partly by the fault of another, the damages recoverable by him shall
be reduced. The practical application of such a reduction is dealt with extensively in
various works on the law of delict.98 Apportionment can only be raised against a
party that has been contributorily negligent. The application of section 1(1)(a) is
restricted by the requirement that the plaintiff’s damage must have been caused
partly by ‘his own fault’. The issue of contributory negligence and the meaning of
fault in this context are also provided for in this section.
98 Visser & Potgieter (2012) 265; Klopper in Isaacs & Leveson (2012) 83; Loubser & Midgley
(eds) (2012) 435.
99 Par 1.5.5 above.
100 Swanepoel 1959 (22) THRHR 263; Boberg 1980 (97) SALJ 204.
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the plaintiff was a driver of scooter and was not wearing a crash helmet when she
was involved in a collision. The court found that the failure of the plaintiff to wear a
helmet was negligent but did not constitute contributory negligence for purposes of
the Act. The effect of this was that the Act was restricted to scenarios where the
conduct of the plaintiff contributed to the collision or damage causing event itself.
However, in Union National South British Insurance Co Ltd v Vitoria 102 the Appellate
Division held that the failure to wear a seat belt which aggravated the plaintiff’s
injuries constituted contributory negligence.103 This approach was confirmed by the
court in Vorster v AA Mutual Insurance Association Ltd104 where the plaintiff’s
damages in respect of the aggravated loss was reduced by 20%. In Bowkers Park
Komga Co-operative Ltd v SAR&H105 the court held that the contributory negligence
of a claimant relates to the harm and not the damage-causing event. The Plaintiff’s
negligence as it relates to his harm can lead to a reduction, even if he cannot be
blamed for the damage-causing event.106 The negligent conduct of the claimant is
only taken into consideration insofar as it has resulted in an exacerbation of
damages.
Neethling and Potgieter107 illustrate the distinction and the effect of apportionment
practically - specifically in a situation where one is able to divide the damages in
portions related to its cause. A suffers damage of R10 000.00, due to a motor
vehicle collision caused entirely by the negligence of B. It can be proven that A’s
damages would have been only R6000.00 if he had not been contributorily negligent
by failing to wear his seatbelt. Thus his conduct resulted in additional damage of
R4000.00. B is responsible for the full amount of R6000.00 (as it is not influenced by
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the claimant’s conduct). The balance of R4000.00 is subject to apportionment in
terms of the Act.108
After the introduction of the Act, confusion existed on the correct basis of
apportionment.110 More specifically the question was whether the basis of such
apportionment should be the “causative relationship to the damage” or the “relative
blameworthiness” of the parties. In accordance with the wording of Section
1(1)(a)111 apportionment is a factor of fault, and not of causation.112 The relevance
of causation as such would be restricted to the initial stage of identifying what and
whose conduct led to the damage. Boberg opines that the “degrees of causation play
no part in the apportionment process, which proceeds solely on the basis of a
comparison between the ‘degrees of fault’ of the parties”.113
108 Van der Merwe & Olivier (1989) 160; Boberg 1980 SALJ 206.
109 (6293/2008) [2010] ZAWCHC 222.
110 Boberg (1984) 668; McKerron 1962 (79) SALJ 443.
111 Par 3.1 above.
112 Boberg (1984) 657; Boberg 1980 (97) SALJ 205.
113 Boberg (1984) 668.
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4.3.3 Development of different approaches in case law
In the case of South British Insurance Co Ltd v Smit114 the Appellate Division held
that “fault” should be interpreted to mean negligence and that “degrees of fault”
meant degree of negligence. It has also been interpreted to mean “negligence
causally linked with the damage”.115 Boberg notes that the degree of a party’s fault
is the degree of the deviation from the norm of the diligens paterfamilias. Thus the
degree of fault of each party has to be assessed, and those degrees compared. The
court in Smit above however held that in determining the degree of the plaintiff’s fault
expressed as a percentage, the balance would automatically represent the
defendant’s negligence.116 For example if a court had found that the plaintiff was
30% negligent the wrongdoer was automatically found to be 70% negligent and
liable for the same percentage of damages.
The aforementioned approach was rejected in Jones NO v Santam Bpk.117 The court
held that the conduct of the plaintiff and the wrongdoer was to be assessed against
the norm of the reasonable person separately. The degree of fault of both parties
must be weighed separately and then compared to each other, in order to arrive at
an apportionment of 100%.118 In AA Mutual Insurance Association Co Ltd v
Nomeka119 the court returned to the earlier view that the degree of the plaintiff’s fault
automatically determined the degree of the fault of the defendant.120
The courts subsequently proceeded to apply either of the above two approaches;
sometimes adopting the two-stage method described in Jones, other times simply
comparing the parties’ negligence in a single-stage allocation of percentages.121 It is
submitted that the approach in Jones is preferable as was confirmed by the
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Appellate division in the Vitoria122 case. In Harrington NO and Another v Transnet
Ltd and Others123 the court expressed its support for the interpretation outlined in
Jones and that this interpretation has been applied consistently over many years.
In contrast the current general practice appears to be based largely on the approach
followed in Nomeka, that is, to apply percentages forming a total of 100%, based on
pre-set similar fact scenarios in a rough and ready way. 124 The danger in this
approach is that the blameworthiness of each party (as it relates to the harm) is not
considered separately and measured on the merits of each case.125 As a result if a
party wishes to deviate from these percentages arguments will have to be made in
support thereof. It is important that the individual facts of each case and comparative
blameworthiness of each party should not be marginalised.126
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4.4 Approaches to the determination of apportionment
Loubser and Midgley have identified four distinguishable approaches which have
been applied to reduce the harm in cases of contributory negligence. 130 Boberg
notes if a claimant’s harm is divisible, in the sense that “portions thereof can be
attributed to particular causes, each cause can only be related to the portion of harm
it has caused”.131 If the harm is indivisible, each party has a duty to prove that it is
not wholly to blame, failing which they are considered equally liable. The approaches
below are also applicable to such identified and subdivided portions.
This was the approach of the courts in the Smit132 and Nomeka133 cases. The degree
of fault attributed to one party automatically determines the degree of negligence
attributed to the other, which adds up to a total of 100%. If it is found that the
claimant was 25% negligent, the balance of 75% is automatically attributed to the
Defendant. This approach is popular in our courts as it leads to the simplest practical
application of apportionment.
This approach was shaped in the Jones134 case. The degree of fault attributed to the
defendant does not depend on the degree of fault attributed to the plaintiff. The
respective degrees of negligence are measured independently against a reasonable
person and those degrees are then compared to provide a mathematical formula.
The practical implications of this approach can be illustrated as follows135: If a
claimant is held to be 20% negligent and the defendant is held to be 60% negligent
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as measured separately, the ratio between the two will determine the defendant’s
liability. In this example it will be 20:60 thus 1:3. The claimant’s negligence would be
calculated as 1/4136 x 100 = 25%. The defendant’s negligence would be calculated
as 3/4 x 100 = 75%.
4.4.3 Approach 3: The plaintiffs’ degree of fault is not the deciding factor
The court in the Uijs137 case introduced this approach. The court did not regard the
plaintiff’s degree of fault as the deciding factor and held that other factors which are
relevant and unique to each case should be considered. That damages should be
reduced in a fair and equitable way appears to be in line with the object of the Act;
however it is challenging to apply consistently due to the different meanings these
principles may have for different litigators and judicial officers.
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below. The most common principles relate to: Failure to keep a proper lookout;
Right-hand turns and overtaking; and Intersections and stop streets.
139 Klopper in Isaacs and Leveson (2012) 48; Marine and Trade Insurance Co Ltd v Biyasi 1981
(1) SA 918 (A); Rondalia Assurance Corporation of SA Ltd v Mthombeni 1979 (3) SA 967 (AD); Saal
above n76; Maphosa above n119.
140 Sinqwebo v RAF (701/01) ZAECMHC 11.
141 Nogude v Union and South West Africa Insurance Co Ltd 1975 (3) SA 685 (A).
142 1987 (4) SA 816 (A).
143 Light delivery vehicle.
144 Khwerana v SA Mutual Fire and General Insurance 1979 (2) SA 947 (A); AA Mutual
Insurance Associated Ltd v Maqula 1978 (1) SA 805 (A).
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4.5.2 Right-hand turns and overtaking
In the well-known case of Bata Shoe Co Ltd (South Africa) v Moss145 the court stated
that to turn across a lane of oncoming traffic is a potentially dangerous manoeuvre.
In this scenario the enquiry is on the duty of care placed on the right-turning driver.
The overruling finding has been that a right-turning driver is required to indicate his
intention to turn and that he has a duty to satisfy himself that his fellow road users
have noted the signal and have responded appropriately thereto. 146 A driver wishing
to overtake another vehicle has a similar duty.147 A very strict duty is therefore
placed on a party executing such a turn or overtaking and an average finding of 75%
to claimant and 25% to defendant is often made.148
A motorist driving along a 'through street' has a duty to keep a proper lookout for
traffic entering the intersection from the stop street.149 The degree of care expected
on the part of the driver travelling along a through street is however less than that
expected of a motorist entering from the stop street.150 There is a general duty on
drivers who enter intersections to drive at such a speed so as to provide them with
an opportunity to avoid collisions with other drivers. 151 A driver entering a robot
controlled intersection has the aforementioned duty of care and the closer the driver
was to the intersection when the lights changed to his favour, the greater the degree
of care is that he has to exercise.152 Circumstances in scenarios involving
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intersections vary, however findings of equal fault (i.e. 50%) is used as a starting
point, especially where it is not possible to determine who is largely responsible.153
From the above expositions provided it is clear that our court favours a comparative
approach, as was first established in the Smit154 case. The problem with the above
examples is that it essentially represents merits findings which are automatically
equated to the liability for harm. A determination of the degree of fault on the part of
the plaintiff does not automatically determine the degree in which the defendant was
at fault in relation to the damage. The court must also explicitly decide how the
conduct of the defendant, causally linked to the damage in issue, deviated from the
norm of the reasonable person.155
Van der Walt and Midley are of the opinion that none of the aforementioned
approaches are correct.156 Their reasoning is that the Act does not require a
comparison of the degrees of negligence of the plaintiff and defendant. They state
that regard should be had to the plaintiff’s fault alone and that the courts should
make a reduction according to what is fair and reasonable. Pienaar and Louw
submit that a contextual interpretive process should be applied in deciding on an
approach.157 They conclude that the most equitable way to apportion fault in terms of
the section is to evaluate the degree of fault of each party who contributed to the
damage separately.158 Such an interpretation and application of the section would be
more contextual since it examines the situation pertaining to each person’s conduct.
153 Biddlecombe v RAF (797/10) [2011] ZASCA 225; Van Wyk v Road Accident Fund (1175/05)
[2007] ZAFSHC 6.
154 Smit above n19.
155 Erasmus & Gauntlett (2005) 39.
156 Loubser & Midgley (eds) (2012) 438; Van der Walt & Midgley (2005) 169.
157 Louw & Pienaar Speculum Juris 2012 (1) 74.
158 Louw & Pienaar Speculum Juris 2012 (1) 85.
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In his critique of the judgment in Minister of Safety and Security v Venter159, Scott
approved of how apportionment was applied.160 He praised the judgment for
applying the mathematical approach to apportionment of contrasting the degrees of
blame. Acting Judge Majiedt in deciding on an apportionment of 25% to 75% in
favour of the respondents held at 77H: “In my assessment the appellant’s degree of
fault is indeed three times that of the respondents, i.e., 75%.” Such a contrast
essentially reflects a comparative approach. The approach of applying instructive
percentages, which may seem arbitrary, may be viewed as an attempt to apply a
comparative method whilst catering for distinguishable situations. The use of the
words “just and equitable” in the Act serves to mitigate any unduly harsh outcomes,
against both the plaintiff and the defendant. No matter how difficult these principles
are to define, this requirement cannot be ignored. It is however submitted that these
terms are already represented in the test for negligence by measuring
reasonableness.
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4.7 Chapter 2 of the Act: Joint or several wrongdoers
Chapter 2 of the Act sets out the position as regards joint and several wrongdoers.
The Act does not define the concept of a “joint wrongdoer”, other than to describe
the type of liability attaching to persons to whom the provisions of section 2 apply. 164
With regard to “Proceedings against and contributions between joint and several
wrongdoers” Section 2(1) and (1B) reads as follows:
2(1) Where it is alleged that two or more persons are jointly or severally liable in
delict to a third person (hereinafter referred to as the plaintiff) for the same
damage, such persons (hereinafter referred to as joint wrongdoers) may be
sued in the same action.
2(1B) Subject to the provisions of the second proviso to subsection (6) (a), if it
is alleged that the plaintiff has suffered damage as a result of any injury to or
the death of any person and that such injury or death was caused partly by the
fault of such injured or deceased person and partly by the fault of any other
person, such injured person or the estate of such deceased person, as the case
may be, and such other person shall for the purposes of this section be
regarded as joint wrongdoers.
It is noteworthy that the Act applies in respect of joint and several wrongdoers.165
Joint wrongdoers are persons who can be held jointly or severally liable in delict for
the same harm.166 Only those who are jointly and severally liable (either joint or
concurrent wrongdoers, i.e. persons who either jointly or severally combine to
produce the same harm) can be joint wrongdoers. Those who cause different harm
are not joint wrongdoers.
164 Commercial Union Assurance Co Ltd v Pearl Assurance Co Ltd 1962 (3) SA 856 (E).
165 Van der Walt & Midgley (2005) 245; McKerron (1971) 296; Van der Merwe & Olivier (1989)
168.
166 ABSA Brokers (Pty) Ltd v RMB Financial Services and Others 2009 (6) SA 549 (SCA).
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Section 2(1) does not create a new cause of action; it merely provides a procedural
method. In Smith v Road Accident Fund167 the court confirmed this and commented
that “[w]hat it does is to provide a means of sharing the burden of damages between
joint wrongdoers in delict.” As per Nedcor Bank Ltd v Lloyd-Gray Lithographers (Pty)
Ltd168 the distinction is this: “[J]oint wrongdoers are persons who, acting in concert or
in furtherance of a common design, jointly commit a delict [...]. Concurrent
wrongdoers, on the other hand, are persons whose independent or several delictual
acts (or omissions) combine to produce the same damage.”
Where more than one party’s negligent conduct caused different harm each party is
liable only for such harm as he has personally caused. The Act is applicable in
scenarios where the “same damage” resulted from the parties actions.169 In Minister
of Safety and Security and Another v Rudman and Another170 it was not medically
possible for the expert witnesses to determine what harm resulted from which
actions. The Supreme Court of Appeal, held that in those circumstances, where all
the available evidence had been placed before the court, it had a duty to do the best
it could to make an allocation of how much damage could be attributed to the actions
of each party respectively.171 The court held that it was simply not possible to make
an allocation and reduced the finding of liability from one of 80% to one of 50% of the
damages proved.
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this section be regarded as a joint wrongdoer if he would have been a joint
wrongdoer but for the fact that he is married in community of property to the plaintiff.”
Section 2(1B) deals with the death of or injury to a breadwinner.174 The Act is often
incorrectly applied where a dependant suffers loss of support due to the death or
injury of a breadwinner, where both the breadwinner and a third party have been
negligent.175 Boberg correctly emphasises that the condition of “own fault” implies
that contributory negligence on the part of the physically injured or deceased person
is not a ground for reducing the damages to which his dependants176 are entitled.177
This is so because the plaintiff’s harm was not caused partly by his own fault.178
A dependant’s claim for loss of support, is the dependant’s own action and not an
action derived from the deceased’s estate.179 As such it cannot be reduced on
account of any contributory negligence on the part of the deceased.180 In the event of
death of the breadwinner, the defendant and the estate of the breadwinner are
considered to be joint wrongdoers.181 The dependant may claim from them jointly
and severally. Furthermore the Plaintiff needs to prove only 1% negligence on the
part of the insured driver for a wrongdoer to incur responsibility for 100% of the
harm.182 The 1%-rule results from the practical implications of the rights of recourse
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between joint wrongdoers.183 The Act regulates the way in which the amount
awarded to the dependant for loss of support is to be calculated in Section 2(6)(a) of
the Act. If a joint wrongdoer pays a judgment debt in full, he may recover
contributions from other joint wrongdoers for their portions as per the court’s division
of responsibility for the plaintiff’s harm.184
The wrongdoer who has satisfied his obligation may exercise his right of recourse
against the estate of the deceased only in respect of assets that were not taken into
account in assessment of the damages. Any benefit received by the dependant in
terms of the law of succession from the estate of the deceased person, may be
subtracted from the estimated value of the loss of support. If such a benefit as
aforementioned is taken into consideration when determining the value of damages,
the dependant who has suffered the loss may not be deprived of this benefit. 185
Koch makes the significant observation that: “When the estate has no assets, as
happens with the vast majority of deceased victims in South Africa, the wrongdoer is
without recourse.186 The so-called “1% rule” then applies whereby the wrongdoer
incurs liability for 100% of the damages notwithstanding contributory negligence of
only 1% on his part.”187
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combined in a single action with a representative claim for dependant’s damages,
the representative claim is reduced while the personal claim is not.189 The following
example serves to illustrate the above statement: A father is driving a vehicle in
which his child is a passenger and they are involved in a collision. Pursuant to the
collision he claims compensation in his personal and representative capacities on
the basis of the negligence of the driver of the other vehicle. If he was in fact
contributorily negligent, then that can be raised only against his claim in his personal
capacity, and not in respect of his claim in representative capacity. In respect of
such a claim, the desired apportionment can only be achieved by way of a
conditional counterclaim, in which the defendant claims that if it is held liable to the
plaintiff in his representative capacity, then the plaintiff in personal capacity is a joint
wrongdoer, and the defendant is entitled to a contribution accordingly. A debt owed
by a person in his personal capacity cannot be set-off against a debt owed to the
same person in a representative capacity.190
The above was confirmed by the Supreme Court of Appeal in Road Accident Fund v
Myhill NO191. Mrs Swalibe had been walking alongside an unpaved road together
with her two minor children, when they were struck by a motor vehicle. She claimed
compensation in her personal and representative capacities from the RAF, which
apportioned 30% to 70% in favour of the plaintiff, and made offers on that basis,
simply applying that apportionment percentage to all of the claims. A Curator ad
litem was appointed in the childrens’ interests and some 10 years later the
settlements were set aside. The court held that the settlements were clearly
prejudicial to the interests of the minors and emphasised that “individuals in their
personal capacities are treated as different persons from when they act in
representative capacities”. It was held that it was impermissible to reduce the
appellant’s liability to the minor children by of setting off the personal liability of the
plaintiff (due to contributory negligence on her part) against their claims. The same
principle should apply where a negligent plaintiff also sues as cessionary of the claim
189 Smit above n19; Jones above n117; Neuhaus v Bastion Insurance Co Ltd 1967 (4) SA 275
(W).
190 Christie (2001) 498; Van der Merwe & Olivier (1989) 168.
191 2013 (5) SA 426 (SCA).
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of an innocent party, such as e.g. the plaintiff’s father, who incurred medical
expenditure as a result.
4.7.4 Where a dependant is injured due to his own negligence and that of a
third party
A breadwinner’s claim for damages resulting from his dependants’ injuries, being the
father’s own personal claim, cannot be reduced on account of contributory
negligence on the part of the dependants.192 A familiar example is as follows. A
parent suffers financial loss as a result of his child’s injuries, in relation to which the
child has also been negligent. Both the child and the third party are deemed to be
joint wrongdoers opposite the parent. Theoretically the parent may elect to claim
compensation from either of the parties, but in practice he will claim from the third
party and the third party will not recover any contribution.193
192 Nieuwenhuizen NO v Union & National Insurance Co Ltd 1962 (1) SA 760 (W); Saitowitz v
Provincial Insurance Co Ltd 1962 (3) SA 443 (W); Du Preez v AA Mutual Insurance Association Ltd
1981 (3) SA 795 (E); Schnellen v Rondalia Assurance Corporation of SA Ltd 1969 (1) SA 31 (W);
Boberg 1979 (96) SALJ 525; Neethling 1988 (51) THRHR 106.
193 Visser & Potgieter (2012) 257; Windrum above n184.
194 1938 TPD 34.
195 Neethling 1998 (51) THRHR 107.
196 Visser & Potgieter (2012) 258.
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creating opportunity where a breadwinner could intentionally contribute to an injury in
order to provide financial gain for his dependants.197
A wrongdoer can exercise a right of recourse against another joint wrongdoer either
by giving Notice in terms of Sections 2(2) and 2(6)(a), or by joining such other party
in proceedings under Rule 13 of the Uniform Rules of Court.198 A court may
apportion the damages among joint wrongdoers, mero motu or on their request, on
any basis it deems fair and by taking into account the respective degrees of
negligence. 199 If a plaintiff is successful in recovering only part of his damages from
a wrongdoer, he may claim the balance from any such joint wrongdoer.200
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wrongdoer, the plaintiff may sue any other wrongdoer for the balance.”203 The Act
also provides for discharge or release by settlement or payment.204 Section 2(10)
must relate to a compromise arrived at after the delict, as a person who successfully
disclaims liability beforehand cannot be a joint wrongdoer, since the successful
disclaimer precludes him from being liable in delict.205 In Prinsloo v Du Preez NO206
the court held that such a discharge does not have the result that a party waives his
right to claim damages or limit the amount owed to him by anyone and everyone as
a result of a delict. It will merely be binding between the parties so discharged and
for those accompanying portions. The remainder of the damages, and not the full
amount, may be claimed from the remaining parties.207
In Mosholi v Putco (Pty) Limited208 the court found that the Road Accident Fund is
not a joint wrongdoer in terms of the Act, specifically for purposes of section 2(10),
which is with respect arguably incorrect.209 There is nothing in the Act which
precludes the RAF from being a joint wrongdoer, in fact the opposite is true.210 In this
case the Plaintiff was a fare-paying passenger on a bus. The Plaintiff settled with
the RAF for the full amount possible in terms of the statutory limit applicable at the
time, being R25 000.00. She claimed the balance from the appellant, being the
employer of the bus driver at the time of the collision, as she was entitled to do. The
finding was made by the court a quo on the basis that the bus driver was
contributorily negligent on his own version. The court’s finding was that the collision
in question was entirely the fault of the driver of the bus, so there was in fact no
question of an apportionment. The case is nevertheless instructive in that the
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plaintiff’s settlement with the RAF and discharging of it from all liability beyond that,
would not have precluded her from suing the Fund on the basis of the negligence of
another negligent driver (had there been one), so that Section 2(10) would in any
event not have applied.
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CHAPTER 5 – ILLUSTRATION OF MISINTERPRETATION OF PROMINENT
PRINCIPLES - Deale v Padongelukfonds211
5.1 Introduction
As was set out above various interpretations and approaches are possible when
applying the Act. Where a person’s own conduct contributed to his death or injury,
the procedure which is followed in determining whether apportionment is applicable,
in if so, how it should be applied is often incorrect. The unreported judgment of
Deale v Padongelukfonds is illustrative of the application of the Act and the issues
identified in the aforegoing chapters. The question before the court was whether
damage suffered by the Plaintiff, the widow of the deceased, should be reduced due
to the contributory negligence on the part of the deceased. The court found that it
should be reduced and it is respectfully submitted that the court misdirected itself in
that regard. The facts of the case will be set out and briefly analysed thereafter.
5.2 Facts
The Plaintiff claimed loss of support following the death of her husband, in a motor
vehicle collision. The accident occurred when the insured driver ignored a stop sign
and the deceased, a motorcycle rider, was not wearing a helmet at the time. The
parties agreed that the insured driver caused the accident and that the RAF as
Defendant was 100% liable for the Plaintiff’s proven or agreed damages. The
question of the Defendant’s liability for the Plaintiff’s damage and the apportionment
thereof in terms of section 1(1) of the Act was separated from the question with
regard to the quantum of damages.212
Acting Judge Hiemstra found that the deceased’s failure to wear a helmet constituted
contributory negligence and that accordingly the damage suffered by the Plaintiff
must be reduced.213 The deceased died as a result of fractures to his skull and
211 Unreported: 21484/2008 [2011] ZAGPPHC 167.
212 In terms of Rule 33(4) of the Uniform Rules of Court; Sec 2(3) of the Act allows the court to
order a separation of trials on application.
213 Vitoria above n102; Vorster above n104; Bowkers above n105; Uijs above n127.
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extensive injuries to his brain. Expert evidence was led on the extent to which
wearing a helmet may have limited the risk of death or injury. The expert witnesses
for the Plaintiff and the Defendant respectively, estimated that if he had worn a
helmet there would have been a 10% or 66.6% possibility that he would have
sustained a head a fatal head injury.
Despite these statistics, the court held that the extent to which the risk is reduced by
the wearing a helmet, is not determinable of the percentage to which the damage of
the Plaintiff should be reduced.214 The court considered how far the deceased’s
conduct deviated from the norm of the reasonable person. In this case the judge
found that it is so obvious that a helmet should be worn at all times, that the
deceased’s conduct amounts to a 100% deviation from that norm. The parties
agreed the insured driver also deviated 100% from the norm of the reasonable
person. It could be argued that both had equal fault relating to the causing of the
damage if the 100% deviations were compared in this approach.
The court however noted that the fault of the two drivers in this scenario are not the
same. The court regarded an individual failing to wear a helmet so much more
reckless and irresponsible than an individual failing to wear a safety belt, where the
percentage of fault attributed seemed not to exceed 25%.215 The deceased did not
in any way contribute to the causing of the collision and if not for the insured driver’s
negligence the collision would not have occurred. Therefore it was regarded as fair
that the defendant be held responsible for the largest part of the damage. The Judge
thought it “fair and just” to order a reduction of 30% against the Plaintiff and that the
Defendant is liable for 70% of the damage that the Plaintiff may prove.
5.3 Discussion
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1. The contributory negligence of the deceased cannot be credited to the
dependants due to the requirement of “his own fault in relation to the damage”
in the Act. The dependants did not bring about harm in any way and as such
their damages cannot be reduced. This is so because their right to claim
stems from a right to financial support, which was impaired by the actions of
the insured driver and they have only to prove 1% negligence on his part.
4. If one postulates that the deceased would have survived if he had worn the
crash helmet, how would the non-wearing of the crash helmet have
aggravated the damage? Only the aggravated damages will be subject to
apportionment and it would be necessary to divide the damages.219 It is
necessary for the court to determine specifically what the exacerbation is and
only that portion can be apportioned. If he would have survived, but suffered
concussive brain injury, the difference in loss between the two scenarios are
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apportioned due to his negligence. In this case the difference is 100%
attributable to his negligent conduct.
5.4 Conclusion
With respect, in this judgment the interpretation of the principles underlying the Act
was inappropriate and bad in law. Although certain principles are open for
interpretation because the Act is too vague, our legal practitioners and judiciary
should be in a position to identify and apply recognized approaches. Enough
discussion on the topic exists to provide guidelines for the application of the Act. It is
necessary for practitioners to familiarise themselves with the principles and obtain a
clear idea of the application to avoid confusion.
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CHAPTER 6 – CONCLUSION
6.1 Introduction
In order to realise the ideals of justice, fairness and reasonableness, one needs to
find the intricate balance between; being put back in the position a person would
have been had the incident not occurred and the principle that one cannot benefit
from their own negligence. The development and practical implementation of the Act
has been largely affected by the interpretation thereof. As it stands apportionment is
applied by use of the Act, which is amplified and interpreted by means of common
law principles, academic theories and case law, as well as the recent open-ended
considerations such as reasonableness and fairness. Most challenges have been
addressed by our courts and precedent exists for the application of the Act. Whilst
our courts have provided clarity on these issues by delivering motivated and well
researched judgments, it has occurred on many occasions that authoritative
precedent has been completely disregarded and overruled. This is an undesirable
situation as the incorrect and discretionary application of the Act leads to uncertainty.
6.2 Recommendations
Various recommendations were made by the SALRC in its discussion paper. 220 The
recommendations would allow for clarity and result in consistent application of the
Act. The Commission is of the opinion that a broader basis for apportionment is
necessary and that the criterion for the apportionment should be responsibility rather
than fault.221 I agree with the submission that “fault” means negligence and that the
wording of the Act should make it clear. To that end all references to “fault” in
section 1 of the Act should be substituted with the words “negligent conduct”.
Neethling, Visser and Potgieter rightly express the view that the difference of
approaches in measuring parties’ respective fault for purposes of reduction has led
to an unsatisfactory situation and that the Supreme Court of Appeal should, in the
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interest of legal certainty identify and reject incorrect approaches and confirm an
absolute approach. It is submitted that the approach in the Jones222 case is
preferable, that is, the parties’ negligent conduct resulting in harm should be
measured separately and only applied to the portions of damage which have been
caused and exacerbated by that conduct. The precedent developed as regards
percentages discussed above may be used as guidelines when considering merits
and liability, but should not result in a disregard of the unique conditions of each
case. It is essential that proper attention be given to all portions of a delict. The
court should have not only the discretion, but also the duty, to consider the degrees
of negligence of each party separately as it relates to the collision and then to
damage caused. This is not the same as the fault in relation to the damage-causing
event and to deal with both issues in one fell swoop indicates an undesirable
apathetic approach.
6.3 Conclusion
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negligence should be done. Mere negligent conduct is not sufficient – it must be
linked to increased harm. If legal practitioners are able to clearly make this distinction
and apportion the parts to which a claimant’s actions are related, the purpose of the
Act can be achieved.
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