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Queensland University of Technology Law and Justice Journal |
TORTIOUS LIABILITY FOR GREENHOUSE GAS
EMISSIONS?
CLIMATE CHANGE, CAUSATION AND PUBLIC
POLICY CONSIDERATIONS
NICOLA
DURRANT [*]
The purpose of this paper is to assess the potential
legal issues in establishing liability for large-scale emitters of greenhouse
gases, in Australia, for resulting harms caused from changes to the climate
system. This paper assesses the legal principles and
policy issues associated
with potential negligence claims against industrial emitters in Australia such
as large coal mines and coal-fired
electricity plants. This paper identifies a
range of significant obstacles in successfully bringing claims in negligence for
climatic
harms. These include issues in foreseeability, causation and the
operation of public policy principles. It is concluded that the
distribution of
risk from climate change, and associated allocation of liability, is more
appropriately addressed through consistent,
national legislation rather than
through the ad hoc adaptation of the common law.
Humans play a pivotal role in contributing to climate change through the burning of fossil fuels, the use of products that emit greenhouse gases and land-use changes such as urbanisation, deforestation and agricultural practices. Changes to our climate system are predicted to result in rising sea levels, rising temperature and higher incidences of severe storms.[1]
Climate-related harm could include loss of homes, livestock and other
property, damage to public infrastructure and to coastal settlements,
impaired
agricultural yields, loss of livelihoods and population
displacement.[2] The human health
impacts could involve thermal stress and heat-related deaths and illnesses,
proliferation and geographical shifts
of infectious diseases, impaired nutrition
and other adverse mental and physical health risks.
Despite this
growing evidence, many authorities and industries in Australia appear reluctant
to undertake immediate action to reduce
greenhouse gas
emissions.[3] Accordingly, some
climate-related harm is now inevitable. This leads to the question, on whom
should the risk fall for climate
harm? Is it the industry, the government or
the private individual?[4]
The purpose of this paper is to assess the potential legal issues in
establishing liability for large-scale emitters of greenhouse
gases, in
Australia, for resulting harms caused from changes to the climate system. This
paper focuses on the likely role of the
common law of torts in addressing
resulting harms from climate change in Australia. It does so through an
analysis of the potential
scope of liability, and defences, for hypothetical
negligence suits against coal mining projects and coal-fired power
plants.[5] This paper identifies a
range of significant obstacles in successfully bringing claims in negligence for
climatic harms. These
include issues in foreseeability, causation and the
operation of public policy principles. Accordingly, this paper concludes that
the prospects of success of such tortious actions are remote. It is submitted
that the distribution of risk from climate change,
and associated allocation of
liability, would be more appropriately addressed through consistent, national
legislation rather than
through the ad hoc adaptation of the common law.
II THE RISK OF CLIMATE CHANGE AND THE ROLE OF TORTS
Climate Change is a global phenomenon and has resulted in international agreements to reduce global greenhouse gas emissions and minimise climate harms. A majority of the international community agreed to an international framework for reducing emissions through the United Nations Framework Convention on Climate Change (UNFCCC) and the Kyoto Protocol.[6]
The overriding objective of the UNFCCC, of which Australia is a party, is to achieve the ‘stabilization of greenhouse gas concentrations in the atmosphere at a level that would prevent dangerous anthropogenic interference with the climate system’.[7]
Australia is also a party to the Kyoto Protocol. The newly elected government recently deposited the instrument of ratification of the Kyoto Protocol with the United Nations Climate Change Secretariat. Following formal ratification, Australia will be bound to comply with the obligations of the Kyoto Protocol.[8] This includes an obligation to reduce greenhouse gas emissions to 108 per cent of 1990 levels from 2008-2012.[9]
Both the UNFCCC and the Kyoto Protocol are silent on the allocation of responsibility for damage caused as a result of anthropogenic greenhouse gas emissions. This means that, at an international level, reparation of harm must be addressed through existing international law principles including the principle of State responsibility for transboundary harm.[10]
At a national level, and in the absence of specific legislation regulating
emissions and climate harm, the allocation of liability
for losses must fall to
be addressed by the common law.
The common law is a dynamic area of law
that is able to adapt to the changing needs of
society.[11]
The principal goal of tort law has been described in many formats. One theoretical approach refers to tort law as corrective justice, another as maximising social welfare and a third as the distribution or allocation of the costs of risk-bearing.[12]
From these three, the appropriate basis for liability for environment related torts appears to be based on considerations of sharing the risk of the broad social costs of climate change.[13]
Accordingly, in the emerging area of climate losses, the Courts must
develop and adapt legal principles to identify wrongdoers, recognise
the wrong
done, allocate blame and distribute losses. However, it is debatable whether
the common law of torts is able to adapt
sufficiently to apply to the
modern, global, environmental, problem of climate change which cuts across the
public and private arenas.[14]
III THE HYPOTHETICAL CLIMATE SUIT
Tortious actions in negligence are most likely to be brought against large users of fossil fuels, suppliers of fossil fuels and the creators of products that utilise fossil fuels.[15]
Actions may also be brought against governments, in their capacity as
public authorities and where they own or control public works
and infrastructure
such as electricity utilities.
This paper focuses on a hypothetical
scenario involving the long-term operation of a coal mine, coal-fired
electricity plant or other
large-scale industrial emitter of greenhouse gases in
Australia. Such entities could be either publicly or privately owned.
Accordingly,
it is against this factual background that the following tortious
principles are considered:
• the existence of a duty of care owed
by the defendant to the plaintiff;
• a breach by the defendant of the
standard of care; and
• damage to the plaintiff caused by the
defendant’s breach of the duty.
IV DUTY OF CARE OF EMITTERS OF GREENHOUSE GASES
A Duty of Care and Physical Harm
The type of harm suffered has implications for the finding that a duty of
care is owed. Potential climate related harm, following
greenhouse gas
emissions, includes physical property damage from heat, wind, floods and sea
level rises.
Where greenhouse gas emissions have caused property
damage, personal injury and consequential loss then it is necessary to determine
whether the relationship between the parties falls within one of the recognised
relationships giving rise to a duty of
care.[16]
The foundation
for the establishment of a duty of care is found in the so-called
‘neighbour principle’ as espoused in
Donoghue v
Stevenson:[17]
you
must take reasonable care to avoid acts or omissions which you can reasonably
foresee would be likely to injure your neighbour.
Who then, in law is my
neighbour? The answer seems to be – persons who are so closely and
directly affected by my act that
I ought reasonably to have them in
contemplation as being so affected when I am directing my mind to the acts or
omissions which
are called into question.
The establishment of a
neighbour relationship between the emitter and the plaintiff requires a number
of elements including that the
plaintiff be ‘so closely and directly
affected’ that the emitter ought reasonably to have them in contemplation
as being
so affected. Proximity was explained by Deane J in the following
manner:
[proximity] involves the notion of nearness or closeness and
embraces physical proximity (in the sense of space and time) between
the person
or property of the plaintiff and the person or property of the defendant,
circumstantial proximity such as an overriding
relationship of employer and
employee or of a professional man and his client and causal proximity in the
sense of the closeness
or directness of the relationship between the particular
act or cause of action and the injury
sustained.[18]
The
application of this principle to an industrial plant and local residents
affected by emissions appears quite valid. However,
the impacts of climate
change go beyond the local community and extend to the regional, national and
the global. As the nexus between
the emitter and the plaintiff expands, the
likelihood of the Court finding a duty of care becomes more and more
uncertain.
B Duty of Care and Pure Economic Loss
In addition, where harms relating to climate change involve only a risk
of physical damage, or property devaluation, then no physical
harm will be
involved and this will be pure economic loss. This could occur in circumstances
of negligent misrepresentation of the
risks of property flooding, negligent
performance of services in omitting to address climate risks, defective goods
and property
damage.
Where the harm caused by the emitting industry
results in pure economic loss then recovery will be permitted only in limited
circumstances:[19]
In my
opinion it is still right to say that as a general rule damages are not
recoverable for economic loss which is not consequential
upon injury to the
plaintiff's person or property. The fact that the loss was foreseeable is not
enough to make it recoverable. However,
there are exceptional cases in which the
defendant has knowledge or means of knowledge that the plaintiff individually,
and not merely
as a member of an unascertained class, will be likely to suffer
economic loss as a consequence of his negligence, and owes the plaintiff
a duty
to take care not to cause him such damage by his negligent
act.[20]
This will require
the establishment of a novel duty of care by the Court. The Court now applies
an incremental approach to the establishment of a novel duty of care,
that is, ‘the law should develop novel categories of negligence
incrementally
and by analogy with the established
categories’.[21] This
multi-factorial approach looks to a range of legal and policy principles
including the defendant’s control of the circumstances
giving rise to the
harm and the vulnerability of the plaintiff in terms of their inability to
protect themselves from that
harm.[22]
The concept of
vulnerability was discussed in Woolcock Street Investments v CDG Property Ltd
as:
“vulnerability”, in this context, is not to be
understood as meaning only that the plaintiff was likely to suffer damage
if
reasonable care was not taken. Rather, “vulnerability” is to be
understood as a reference to the plaintiff’s
inability to protect itself
from the consequences of a defendant’s want of reasonable care, either
entirely or at least in
a way which would cast the consequences of loss on the
defendant.[23]
With respect
to greenhouse gas emissions, the emitter has control of the nature and amount of
greenhouse gases produced and emitted
by its industrial activities. The
avoidance of harm from climate change is outside the control of the plaintiff
and, as individuals,
they are unable to prevent the occurrence of climate
change.[24] Moreover, as severe
weather events, coastal erosion, landslides and floods increase in vulnerable
areas the insurance sector is
increasingly denying coverage for these climate
change related risks.[25]
However, in considering whether to establish a novel duty, the Court
will also take into account public policy principles. Public
policy issues
present a significant obstacle for any tortious action based on harm from
climate change. Climate change is a global
phenomenon and occurs as a result of
natural processes as well as historic and continuing anthropogenic emissions.
The establishment
of a duty of care for harm caused by climate change as a
result of the contribution of the particular emissions of the defendant
could be
regarded as the imposition of an unreasonable social burden. The Court may
determine that holding these individual emitters
responsible for the
cumulative global and historic emissions of our industrialised society is
an unreasonable shift of responsibility and has the potential to result
in the
imposition of indeterminate liability on
emitters.[26] As part of its
considerations, the Court will balance the interests of the community with
concerns that the identification of a
duty of care could result in a flood of
claims before the Courts alleging breach. As the harms from climate change
become more and
more apparent in Australia, concerns about the flood of claims
become all the more legitimate in the eyes of the law.
C Duty of Care and Public Authorities
Claims may potentially be bought against public authorities in
circumstances where they own or control the emitting plants such as
electricity
producers.
Section 35 of the Civil Liability Act 2003 (Qld)
states the following principles will apply in determining whether a duty of care
exists in relation to a public authority:
(a) the functions required to
be exercised by the authority are limited by the financial and other resources
that are reasonably available
to the authority for the purpose of exercising the
functions;
(b) the general allocation of financial or other resources by the
authority is not open to challenge;
(c) the functions required to be
exercised by the authority are to be decided by reference to the broad range of
its activities (and
not merely by reference to the matter to which the
proceeding relates);
(d) the authority may rely on evidence of its compliance
with its general procedures and any applicable standards for the exercise
of its
functions as evidence of the proper exercise of its functions in the matter to
which the proceeding
relates.[27]
Accordingly, public authorities are able to rely on evidence of
limited financial and other resources in defending findings of a duty,
or breach
of that duty, by the Court. The onerous financial burden of accounting for
climate change will heavily influence the consideration
of reasonableness, by
the Court, when considering the existence of a duty of care regarding global
impacts from climate change.
V BREACH OF THE DUTY OF CARE AND GREENHOUSE GAS EMISSIONS
A Standard of Care and Emissions
Once a duty of care has been found to have been owed, the Court must
consider what is the relevant standard of care and if it has
been breached. The
standard of care is determined, as a question of law, through the application of
an objective standard of the
‘reasonable
person’.[28] This was
described by Mason J in Wyong Shire Council v
Shirt:[29]
in deciding
whether there has been a breach of the duty of care the tribunal of fact must
first ask itself whether a reasonable man
in the defendant's position would have
foreseen that his conduct involved a risk of injury to the plaintiff or to a
class of persons
including the plaintiff. If the answer be in the affirmative,
it is then for the tribunal of fact to determine what a reasonable
man would do
by way of response to the risk. The perception of the reasonable man's
response calls for a consideration of the magnitude of the risk and the degree
of the probability
of its occurrence, along with the expense, difficulty and
inconvenience of taking alleviating action and any other conflicting
responsibilities which the defendant may have. It is only when these matters are
balanced out that the
tribunal of fact can confidently assert what is the
standard of response to be ascribed to the reasonable man placed in the
defendant's
position.[30] (emphasis
added)
Accordingly, in setting the appropriate standard of care the Court
will determine the magnitude of the risk of climate change, the
probability of
that risk actually occurring and the relative expense of requiring the defendant
to take steps to alleviate that risk.
B Calculus of Breach of Duty and Climate Harm
The relevance of the ability to take precautions against a risk of harm
is now articulated in section 9 of the Civil Liability Act 2003
(Qld) as:
(1) A person does not breach a duty to take precautions against
a risk of harm unless—
(a) the risk was foreseeable (that is, it is a
risk of which the person knew or ought reasonably to have known); and
(b) the
risk was not insignificant; and
(c) in the circumstances, a reasonable person
in the position of the person would have taken the
precautions.[31]
Foreseeability of the risk has been described by the Court as
‘a risk of injury which is remote in the sense that it is extremely
unlikely to occur may nevertheless constitute a foreseeable risk. A risk which
is not far-fetched or fanciful is real and therefore
foreseeable’.[32]
Under the tort law reforms, this common law test of foreseeability has
been altered to apply to risks that are ‘not
insignificant’.[33] This was
discussed in Drinkwater v
Howarth,[34] as ‘a risk
which is much more than far-fetched or fanciful may not differ materially from a
risk which is not insignificant...if
the plaintiff was clearly at risk, then it
cannot be said that the risk was insignificant. It was a clear
risk’.[35]
So the
question is, was the risk of climate change ‘not insignificant’ at
the time of the emission of the greenhouse gases?
The UNFCCC, of which
Australia is a party, was adopted in
1992.[36]
The preambles to the UNFCCC clearly state that the parties to the UNFCCC
are concerned about the impact of increased emissions on
global warming and
climate change:
concerned that human activities have been
substantially increasing the atmospheric concentrations of greenhouse gases,
that these increases
enhance the natural greenhouse effect, and that this will
result on average in an additional warming of the Earth’s surface
and
atmosphere and may adversely affect natural ecosystems and
humankind.[37]
On the basis
of this international agreement, it could be legitimately argued that the risk
of injury from climate change resulting
from human emissions of greenhouse gases
was a real, foreseeable risk and ‘not insignificant’ risk as of
1992. In contrast,
it was not until 2007 that the Australian Federal government
officially acknowledged that the science linking greenhouse gas emissions
and
global warming was convincing ‘over time, the scientific evidence that the
climate is warming has become quite compelling
and the link between emissions of
greenhouse gases from human activity and higher temperatures is also
convincing’.[38]
In any event, the publication of the Fourth Assessment Report on Climate Change of the Intergovernmental Panel on Climate Change, in February 2007, made it abundantly clear that climate change was occurring, that the effects of climate change were of an adverse or harmful nature and that greenhouse gas emissions were contributors to that occurrence.[39]
In relation to climate warming, the IPCC Report concludes that
‘warming of the climate system is unequivocal, as is now
evident from observations of increases in global average air and ocean
temperatures, widespread melting of snow and ice,
and rising global mean sea
level’.[40]
The IPCC
Report identifies a clear link between temperature increases and greenhouse gas
emissions and concludes that ‘most
of the observed increase in globally
average temperatures since the mid-20th century is very likely
due to the observed increase in anthropogenic greenhouse gas
concentrations’.[41]
The
assessment concludes that continued emissions at or above current rates will,
very likely, cause further warming and induce larger
changes in the climate
system than those observed during the 20th
century.[42]
Accordingly, at
the time of release of this report with its increased scientific certainty,
knowledge of the probability of harm from
unabated greenhouse gas emissions
could be concluded to have entered the public arena.
An analogy may be
drawn with medical negligence cases where knowledge of the risk of harm has
developed over time. In H v Royal Alexandra Hospital for
Children,[43] there was no
general knowledge of the risk of contracting HIV via blood transfusions until
the first documented case in 1983. Justice
Badgery-Parker found that, upon
publication of the reported case, the hospital ought to have been aware of the
risk ‘the first
Australian case of AIDS was published in April 1983. I
have no difficulty in concluding that reasonably informed physicians, scientists
and blood transfusion services in this country ought to have been well aware by
at latest April 1983 that there was a real
risk’.[44]
A similar
argument could be run in relation to the release of the IPCC report in February
2007.
The IPCC assessment reports address climate change impacts
predominantly at a global level. It could be argued that the specific
harm
experienced by the plaintiff was not itself reasonably foreseeable because those
localised impacts were not predicted by the
IPCC. However, this argument
becomes weaker as Australian studies on likely climatic impacts, at a regional
level, become publicly
available.[45]
Additionally, the argument could be raised by defendants that,
because of the global, cumulative relationship between greenhouse gas
emissions
and climate change, the harm would have occurred regardless of the care taken by
the defendant. The IPCC Report concludes
that past and future emissions will
continue to contribute to warming and sea level rises for more than a
millennium to come due to the large timescales required to remove the gases
from the atmosphere.[46] Carbon
dioxide, for example, will stay in the atmosphere for up to 100
years.[47]
In determining
whether there has been a breach of duty, the Court will undertake an assessment
of, amongst other matters, the reasonableness
of the precautions undertaken by
the defendant. The matters to be considered are articulated in section 9(2) of
the Civil Liability Act 2003 (Qld) as:
In deciding whether a
reasonable person would have taken precautions against a risk of harm, the court
is to consider the following
(among other relevant things)—
(a) the
probability that the harm would occur if care were not taken;
(b) the likely
seriousness of the harm;
(c) the burden of taking precautions to avoid the
risk of harm;
(d) the social utility of the activity that creates the risk of
harm.
The level of probability of the harm occurring will vary according
to the nature of the plaintiff and the point in time of the assessment.
The
probability and likely seriousness of the risk of harm will be assessed at the
time of injury to the plaintiff.[48]
In terms of the seriousness of the harm, the Court will take into account the
gravity of the harm in terms of the global impacts
from greenhouse gas emissions
and predicted changes to the climate system.
In terms of the burden of
taking practical precautions with respect to the nature of the risk, this is
detailed in section 10 of the Civil Liability Act 2003
(Qld):
(a) the burden of taking precautions to avoid a risk of harm
includes the burden of taking precautions to avoid similar risks of harm
for
which the person may be responsible; and
(b) the fact that a risk of harm
could have been avoided by doing something in a different way does not of itself
give rise to or
affect liability for the way in which the thing was
done.[49]
The Court will assess the reasonableness of the acts taken by the
defendant. In Graham Barclay Oysters Pty Ltd v
Ryan,[50] the distributor of
oysters was sued in negligence after the plaintiff contracted hepatitis from
oysters which had been grown in contaminated
water. Justice McHugh considered
the reasonableness of the acts of the defendant and commented:
no doubt
the magnitude of the risk, if it eventuated, was high. But so are the magnitudes
of many risks that reasonable people run
because the alternative is too costly
or too inconvenient. The magnitude of the risk of being involved in a motor car
accident is
very high, and the risk could be minimised, if not eliminated, by no
car ever travelling at more than 10 km per hour. But few would
contend that
travelling at 10 km per hour was the only reasonable response to the risk of a
motor car accident.[51]
A
similar analysis could be applied in relation to the magnitude of risk of
climate change and the reasonableness of requiring industries
to avoid
all (or most) greenhouse gas emissions. A balance needs to be identified
between the risk and the reasonable steps that could be taken
to minimise
emissions. This could include use of ‘clean coal’ technologies or
carbon capture and storage (CCS), the
generation or purchase of offset credits
through sequestration and renewable energy projects or modification to plants to
utilise
alternative fuel
sources.[52]
The Court will
look to the expense, difficulty and convenience of the taking of those practical
precautions in the context of the
gravity of the
harm.[53] The fact that the
defendant does not possess the resources to implement the reasonable precautions
is not itself a sufficient
defence.[54] The Court could take
into account the ability of the defendant to pass the costs of these initiatives
on to consumers and the ultimate
cost implications for the community. The Court
will also consider the social utility of the activity giving rise to the
harm.[55] In a modern context, it
would be possible to raise the argument that there is an essential
community need for continued energy supply in order for our society to
function.
In considering whether there has been a breach of duty, the
Court will take into account any relevant statutory or customary standards.
Whether there is statutory authorisation for the harmful act will be a relevant
factor. For example, if legislation prescribed
the amount of greenhouse gas
emissions that may lawfully be emitted into the atmosphere then this would be
factored into the consideration
of the reasonableness of the conduct. It is
possible that the future Federal emissions trading system would encompass such
an authorisation.
Current environmental protection legislation in Australia
regulates ‘environmental harm’ and ‘pollution’
in such
terms that could reasonably be applied to restrict greenhouse gas
emissions.[56]
However, environmental protection authorities are not currently enforcing
those provisions in relation to greenhouse gases and,
as a general rule, those
authorisations do not prohibit or restrict greenhouse gas emissions.
Customary standards will also be a relevant consideration for the
Court. Industries worldwide have historically emitted unabated
greenhouse gases since the time of the industrial revolution. Customarily,
there have been no limits or restrictions
on those emissions from industrial
activities. However, this is but one factor for the Court to take into
consideration and will
not necessarily operate to prevent a finding of breach of
duty.
VI BREACH OF DUTY AND DAMAGE IN CLIMATE SUITS
In deciding whether a breach of duty caused the particular damage the Court
will consider:
• whether the breach of duty was a necessary
condition of the occurrence of the harm (factual
causation);
• whether it is appropriate for the scope of the
liability of the person in breach to extend to the harm (scope of
liability).[57]
A Establishing Factual Causation in Climate Suits
Attribution of responsibility under the law of torts is based on causation as a limiting force.[58]
To be liable in negligence there must be a causal connection between the defendant’s breach of duty and the harm suffered by the plaintiff.[59] However, climate change represents a unique challenge for the establishment of causation and it is unlike any other form of environmental pollution or toxic tort.[60]
1 Causation and the Climate
System
The Earth’s climate system is described by the IPCC as
follows:
an interactive system consisting of five major components: the
atmosphere, the hydrosphere, the cryosphere, the land surface and the
biosphere,
forced or influenced by various external forcing mechanisms, the most important
of which is the Sun...the direct effect
of human activities on the climate
system is [also] considered an external forcing...Many physical, chemical and
biological interaction
processes occur among the various components of the
climate system on a wide range of space and time scales, making the system
extremely
complex.[61]
The IPCC was established in 1988 to assess existing scientific information in order to understand the scientific basis of risk of human-induced climate change and its potential impacts.[62]
The reports of the IPCC predict that the effects of climate change will
include increases in temperature, sea-level rises, precipitation
changes and
increased incidences of droughts, floods and other extreme weather
events.[63]
The IPCC
Fourth Assessment Report identifies a clear link between temperature
increases and greenhouse gas emissions and concludes that ‘most of the
observed increase in globally average
temperatures since the mid-20th
century is very likely due to the observed increase in anthropogenic
greenhouse gas
concentrations’.[64]
The
Courts have traditionally applied the common sense and experience test
encompassing the ‘but for’
test.[65] That is, whether the
plaintiff’s damage would have occurred ‘but for’ the
defendant’s act or omissions in
combination with value judgments of the
Court and the infusion of policy
considerations.[66]
This civil standard of proof requires the plaintiff to demonstrate, on the
balance of probabilities, that the defendant’s acts
or omissions
caused the damage
suffered.[67] There must be a
‘more probable inference in favour of what is alleged’ not just a
possibility.[68]
The action
will fail if non-negligent causes of the harm are equally probable on the
facts.[69] In the case of
Barnett v Chelsea,[70] the
plaintiff alleged negligence in the hospital care of her husband after he had
consumed arsenic tea. The plaintiff failed to
establish a causal link between
the breach of the duty of care and her husband’s death as the Court found
that her husband
would have died regardless of the care he
received.[71]
A simple cause
and effect approach is problematic in the case of harm from climate change as
expressed by the IPCC:
many processes and interactions in the climate
system are non-linear. That means that there is no simple proportional relation
between
cause and effect. A complex, non-linear system may display what is
technically called chaotic behaviour. This means that the behaviour
of the
system is critically dependent on very small changes of the initial conditions.
This does not imply, however, that the behaviour
of non-linear chaotic systems
is entirely unpredictable.[72]
Accordingly, it is inevitable that some level of scientific uncertainty will prevail.[73]
As commented by Brown:
even if predictions about future temperature
increase could be made with acceptable levels of certainty, predicting the
consequences
of specific temperature increase on ecological systems requires
confrontation with many additional issues that are plagued by scientific
uncertainty. The science of ecology is much too soft to predict ecosystem-wide
responses to stress with
certainty.[74]
The IPCC is regarded as an example of the emergence of ‘post-normal science’, that is, a scientific approach with relaxed scientific thresholds which embodies the precautionary principle and utilises an extended peer community.[75]
Accordingly, this adoption of a post-normal approach to scientific assessment has repercussions for the ability of plaintiffs to establish a persuasive causative link. There is, of course, no strict requirement to meet the scientific standard of proof in the establishment of judicial causation.[76]
In the determination of causation, the Court will adopt a common sense approach.[77] Nevertheless, it is difficult to identify, on the balance of probabilities, that the greenhouse gas emissions of the defendant caused the harm suffered in the presence of such scientific doubt. As concluded by Allen ‘for the vast majority of damaging weather events, we will never be able to prove beyond reasonable doubt that “but for” human influence on climate, that event would never have occurred’.[78]
Climate change is a global phenomenon and is the result of historic emissions from human society. Current greenhouse gas emissions will contribute to the overall cumulative atmospheric concentrations. It will therefore be problematic to prove that a particular defendant was responsible for the actual emissions which caused climate change and the local environmental effects, which in turn caused the particular harm to the plaintiff.[79]
Accordingly, the spatial and temporal scales between the release of
emissions, the resulting climate changes and the resulting harm
or loss are
inherently unpredictable. As explained by the IPCC:
when
variations in the external forcing occur, the response time of the various
components of the climate system is very different.
With regard to the
atmosphere, the response time of the troposphere is relatively short, from days
to weeks, whereas the stratosphere
comes into equilibrium on a time-scale of
typically a few months. Due to their large heat capacity, the oceans have a much
longer
response time, typically decades but up to centuries or
millennia...Therefore the system may respond to variations in external forcing
on a wide range of space- and
time-scales.[80]
There is a complex series of processes, responses and feedbacks that
occur in the climate system following the cumulative radiative
forcing of the
greenhouse gases. In addition, some natural climate variability will
continue to occur. There will be difficulty in distinguishing between natural
climate variability and human
induced climatic changes. Moreover, the argument
may persist that due to the cumulative global nature of emissions the harm would
have occurred regardless of the contributions of the defendant.
2 Increase in the Risk of Harm
from Climate Change
In certain cases involving negligence and harm to
health, the Court has moved away from the strict application of civil proof. In
an attempt to bridge the evidentiary gap from lack of knowledge the Courts have
instead applied the test of whether, on the balance
of probabilities, the
defendant’s negligence materially contributed to the risk of
the damage occurring.[81]
One
of the primary decisions in this area is McGhee v National Coal
Board.[82] In that case,
an employee was exposed to abrasive brick dust, no washing facilities were
provided, and he developed dermatitis. The
Court held that the employer was
liable in negligence where his breach of duty had caused, or materially
contributed to, the injury suffered notwithstanding that there were other
factors which had contributed to the injury:
first, it is a sound
principle that where a person has, by breach of a duty of care, created a risk,
and injury occurs within the
area of that risk, the loss should be borne by him
unless he shows that it had some other cause. Secondly...one may ask, why should
a man who is able to show that his employer should have taken certain
precautions...and who in fact sustains exactly that injury...have
to assume the
burden of proving more: namely, that it was the addition to the risk, caused by
the breach of duty, which caused or
materially contributed to the
injury? In many cases...this is
impossible to prove, just because honest medical opinion cannot segregate the
causes of an illness
between compound causes. And if one asks which of the
parties...should suffer from this inherent evidential difficulty, the answer
as
a matter of policy or justice should be that it is the creator of the risk
who...must be taken to have foreseen the possibility
of damage, who should bear
its
consequences.[83]
Similarly,
in the United Kingdom case of Fairchild v Glenhaven Funeral Services
Ltd,[84] the House of Lords
permitted the evidentiary gap to be overcome for an employee who suffered
mesothelioma. Mesothelioma and anthropogenic
climate change can be
characterised in similar terms as they are triggered by cumulative impacts.
Mesothelioma has been described
by one expert as ‘cumulative in that the
longer the exposure and the heavier the exposure the greater the dose of
asbestos
which enters the lung and therefore the greater the chance of fibres
getting into the periphery of the lung where they would generate
mesothelioma’.[85]
Under
the state of medical knowledge at the time, onset of the disease could not be
attributed exclusively to one of several successive
employers, all equally
careless. The Court in Fairchild v Glenhaven Funeral Services Ltd held
that, in certain special circumstances, the Court could depart from the usual
‘but for’ test of causal connection
and treat a lesser degree of
causal connection as sufficient, namely that the defendant's breach of duty had
materially contributed
to causing the claimant's disease by materially
increasing the risk of the disease being
contracted.[86]
It might be
possible for plaintiffs to bring sufficient evidence to demonstrate that the
large-scale fossil fuel user materially increased the risk of climatic
impacts, with resulting harm, by their greenhouse gas contributions. However,
the Australian Courts are yet
to embrace the United Kingdom approach to
exceptional cases.
In special cases in Australia it must be shown, as a
minimum, that on the balance of probabilities the defendant materially
contributed to the injury
suffered.[87] The distinction
between increase in risk and material contribution was discussed in Seltsam
Pty Ltd v
McGuiness:[88]
the issue
in the present case is whether an increased risk did cause or materially
contribute to the injury actually suffered...There is a tension between the
suggestion that any increased risk is sufficient to constitute a ‘material
contribution’, and the clear line of authority that a mere possibility is
not sufficient to establish causation for legal purposes...The
reconciliation
between the two kinds of reference is to be found in the fact that...the actual
risk had materialised. The ‘possibility’
or ‘risk’ that
X might cause Y had in fact eventuated, not in the sense that X happed and Y
also happed, but that it
was undisputed that Y had happened because of
X.[89] (emphasis
added)
Assuming that the traditional standard of proof would apply to
climate torts in Australia, the establishment of a causative link between
the
harm suffered and the identifiable increased risk by the defendant will be
highly problematic. Grossman notes that these difficulties
in establishing
causation may be lessened where the plaintiff is the government:
when
states bring tort claims, the plaintiffs have almost infinite lifespans and
cover large amounts of territory, allowing for an
aggregation of effects over
both space and time...The aggregation of harms makes it easier to rule out
confounding factors...aggregation
allows plaintiffs to better establish that
some present harms from climate change exist in the broader geographic and
temporal range.[90]
Plaintiffs may also benefit from the use of class actions where there
are a number of actions with common issues of law or
fact.[91] Although the joining of
such actions would not lessen the burden of establishing causation, they could
assist through the pooling
of resources towards obtaining necessary scientific
and factual evidence regarding the defendant’s contribution to the harm
suffered. Nevertheless, the probability of success of tortious actions for
climate harm would be enhanced if Australian Courts were persuaded that
climate change is an ‘exceptional circumstance’ meriting the
relaxation of the
strict ‘but for’ test and the adoption of the
United Kingdom approach. For this to occur, the Court must be persuaded
that
there are good public policy reasons for the extension of liability under a less
stringent causative approach.[92]
In the absence of such judicial developments, the difficulties in establishing
causation appear, at this point in time,
insurmountable.
3 Relevance of Environmental
Principles
It will be interesting to observe the judicial treatment
of these unique claims in negligence as they emerge in Australia and, in
particular, the potential role that established environmental law principles
could play in traditional deliberations of causation.
This includes the
application of the concept of ecological sustainable development and the
embedded principle of inter-generational
equity and precautionary
principle.[93]
Ecologically sustainable development (ESD) is described as, ‘development which aims to meet the needs of Australians today, while conserving our ecosystems for the benefit of future generations’.[94]
And ‘using, conserving and enhancing the community's resources so
that ecological processes, on which life depends, are maintained,
and the total
quality of life, now and in the future, can be
increased’.[95]
The
precautionary principle asserts that a lack of scientific certainty should not
be used as a reason for not taking action to protect
the
environment.[96]
This principle is designed to alleviate the acknowledged difficulties of obtaining full scientific certainty. The effect of this statutory principle is, inter alia, to lower the threshold at which decision-makers must acknowledge that a reasonable risk to the environment exists.[97]
Accordingly, the precautionary principle has the potential to play a
significant role in the adaptation of common law principles
to these emergent
environmental harms.
The interaction of the precautionary principle
with the common law standard of proof could operate to lower the threshold at
which
a risk of harm from greenhouse gas emissions becomes
‘probable’.[98]
However, until such time as the Court considers this issue, the interaction
of these principles is largely conjecture. Moreover,
even as the threshold for
establishing a causative link decreases, the risk of the Court imposing
indeterminate liability
increases.[99] This policy issue
may operate to persuade the Court that it is not appropriate to impose
indeterminate private liability for these forms of global public
harm.
B Scope of Liability
As part of its deliberations, the Court must also consider whether it is
appropriate for the scope of the liability of the person in breach to extend
to the harm caused.[100] This
will include a consideration of intervening causes and public policy issues.
1 Intervening Causes
The Court must consider whether
other causes have intervened to break the chain of causation; ‘man must
guard against normal
phenomenon of nature not against unusual
ones’.[101]
Defendants might raise the argument that climate change, and the
resulting impacts, are ‘out of the ordinary’ and that
all
ordinary precautions have been taken against foreseeable harm.
Alternatively, it could be submitted that more recent greenhouse gas emissions
from other
entities, following the emissions of the defendant, acted as novus
actus interveniens.[102] In
the context of significant emissions worldwide it might be argued that those
other emissions were intervening events, breaking
the chain of causation and
that those emitters were in fact ‘the last
wrongdoers’.[103] The
success of such arguments would depend upon the prevailing judicial attitude to
the establishment of causation.
2 Policy
Considerations
This paper has identified a number of potential policy
issues that could operate to persuade the Court to not identify a duty of care.
These policy considerations will also play an important role in the
Court’s decision as to whether the scope of liability
for breach of that
duty is appropriate.[104] These
include considerations of the fairness of imposing the burden of liability
relative to the fault of the defendant as well
as:
• the spectre of indeterminate
liability;[105]
• floodgates
concerns;[106]
• public/private
issues: who can better avoid the loss and who should bear the risk for the
public harm of climate change?
• the availability (or lack of)
alternative remedies under common law and statute;
• the deliberate
decision of legislature not to regulate or prohibit emissions. The Court will
assess the respective roles
of the Court and the
Parliament.[107]
The
combination of all of these policy considerations will weigh heavily in the
Court’s determination of whether it is appropriate
to impose liability on
the defendant. Overall, it is highly probable that the Court would conclude
that it is not appropriate to impose liability for the emission of
greenhouse gases and the resulting climate harm.
VII POTENTIAL DEFENCES TO CLIMATE SUITS
In defence of a tortious action, it could be argued that the
plaintiff’s own negligence or fault contributed to the injury or
loss
suffered where that damage was a reasonably foreseeable consequence of the of
the plaintiff’s fault.[108]
The question to be asked is whether the plaintiff’s conduct increased the
risk of harm?[109] If found to
have been contributory negligent, the Court will apportion liability and will
reduce the award of damages based on the
principle of what is just and equitable
given the plaintiff’s degree of fault or share in responsibility for the
damage.[110] This could
potentially result in a 100 per cent reduction in
damages.[111]
Accordingly,
in climate suits it could be argued that the loss or harm of the plaintiff was
caused partly by the fault of the plaintiff.
As noted by Grossman, we are
all potentially responsible under tort law for our continued emissions of
greenhouse gases.[112]
This could be based on the plaintiff’s own acts of emitting, or
causing to be emitted, greenhouse gases through their consumption
of goods and
services thereby adding to the cumulative risk of adverse climate change. This
submission is less persuasive where
the plaintiff can show that they have taken
steps to minimise or offset their own
emissions.[113]
An
alternative defence could be raised of volenti non fit injuria where the
plaintiff can be shown to have freely accepted the risk of injury from climate
change, through their consumption of goods
and services, with the full knowledge
of the risk that the emission of greenhouse gases would result in climate change
and harm.[114] The evidence must
support an inference that the plaintiff consented to the risk of injury,
by the defendant, and to the lack of reasonable care which would create that
risk of harm.[115] This argument
would be weakened where it can be demonstrated that there was no free choice in
using those goods and services as
there were no reasonably available,
low-emission,
alternatives.[116]
Finally, time limitations in the bringing an action could pose
significant difficulties for
plaintiffs.[117] In any action,
the plaintiff must identify the point in time at which the cause of action
accrued. This is exacerbated in the climate
scenario where it is impossible to
identify the historical point in time at which the emission of greenhouse gases
gave rise to the
current harm suffered. Given scientific uncertainty as to the
timescale between the emission of greenhouse gases and resulting forcing
effect
in the climate system, it will be a challenge to identify the point in time at
which the action accrued.
VIII PROSPECTS OF SUCCESS OF CLIMATE ACTIONS
The purpose of this paper was to consider the role of the common law action
of negligence in addressing climate related harms from
large-scale emitters in
Australia. At this embryonic stage of climate change torts, both in Australian
and overseas jurisdictions,
it is largely a theoretical exercise in assessing
the likely probabilities of success of tortious actions. So much will be
dependent
upon the character of the defendant, the nature of the harm suffered
and the specificity of the scientific evidence available. Critically,
it will
also depend upon the judicial philosophy of the residing Court in terms of their
commitment to developing the common law
to remedy these new emerging climate
injustices.
This paper has identified a number of significant obstacles
to the successful instigation of tortious actions in negligence for climate
related harm including: foreseeability, causation and public policy
considerations. Without doubt, the establishment of causation
remains the
primary obstacle to any successful tortious action against any private or public
defendant. The level of scientific
uncertainty is significant and the
challenges of meeting the legal test of causation enormous.
The
likelihood of the Court indulging such tenuous claims of a causative link
between the emissions and harm suffered is doubtful.
Moreover, the judiciary
may well consider that it is not its proper role to establish such wide private
liability for harm that
is caused through the global, public, phenomenon of
climate change. Concerns about the imposition of indeterminate liability,
floodgates
concerns, and the proper role of the legislature in ‘laying
down the law’ may well operate to prevent a finding of any
liability in
negligence.[118] As noted in the
decision of Cambridge Water:
as a general rule it is more
appropriate for strict liability in respect of operations of high risks to be
imposed by Parliament,
than by the courts. If such liability is imposed by
statute, the relevant activities can be identified, and those concerned can know
where they stand. Furthermore, statute can where appropriate lay down precise
criteria establishing the incidence and scope of such
liability.[119]
IX THE FUTURE OF TORT-BASED CLIMATE LITIGATION
As a regulatory tool, tortious actions for climate harm are expensive and unruly and the outcomes are indeterminate. As commented by Peel ‘the ad hoc nature of court proceedings, the expense involved in bringing them, and the uncertainty as to their results means that, in the long-term, litigation alone is unlikely to be an optimal approach for bringing about effective action to address climate change’.[120]
Given the prevalent uncertainties and weaknesses in tortious actions for climate change, the common law is not the most appropriate tool for achieving necessary behavioural changes to reduce emissions and avoid climate harms. In addressing climate change, the proper role of the common law should be to act as a complementary measure against a background of strong regulatory action. However, it is highly questionable whether the common law can adapt sufficiently to address the current ‘gaps’ in the regulatory web.[121]
International and domestic regulatory frameworks for the reduction
of greenhouse gas emissions are slowly emerging around the world
in an ad hoc
fashion. There is now a Federal government proposal in Australia to implement a
scheme for the reduction of greenhouse
gas
emissions.[122] However, such a
scheme would not commence until 2010 and reductions in emissions would not be
instantaneous. Moreover, all of these
regulatory schemes currently fail to
address issues of liability for climate harm.
It is submitted that the
issue of liability in Australia would be best addressed through a nationally
consistent, clear regulatory framework to allocate liability for risk of
harm. The creation of clear statutory principles could provide large-scale
emitters with some level of certainty regarding their future climate risks and
legal liabilities. Potentially, some form of compensation
fund could also be
established through the allocation of a proportion of royalties or profits from
these industries.
Such legislation could adopt an appropriate test for
causation which incorporates the precautionary principle and accommodates the
prevailing scientific uncertainty. Such regulation requires a balancing of a
range of conflicting economic, social and environmental
priorities of our
society, both now and in the
future.[123]
Accordingly, it is submitted that such a process more properly resides in the democratic domain of the legislator.
[*] BSc (Env) LLB (Hons) (Griffith), Solicitor, Queensland, PhD Candidate School of Law/Institute for Sustainable Resources, QUT. NicolaRs
current research project relates to the operation of the international climate change framework and its implementation in the Australian
domestic arenas. Many thanks to Amanda Stickley, Senior Lecturer, School of Law, QUT for her invaluable advice regarding an early
draft of this paper.
[1] Intergovernmental Panel on Climate Change (IPCC), 'Climate Change 2007: The Physical Science Basis: Summary for Policy Makers, Contribution
of Working Group I to the Fourth Assessment report of the Intergovernmental Panel on Climate Change' (IPCC Secretariat Geneva, 2007);
IPCC, 'Climate Change 2001: Synthesis Report to the Third Assessment Report of the Intergovernmental Panel on Climate Change' (Cambridge
University Press, 2001).
[2] Ibid.
[3] Some States are
beginning to implement State-based reduction targets, but these do not yet
amount to a prohibition on greenhouse
gas emissions. For example, the
Climate Change and Greenhouse Gas Emissions Reduction Act 2007
(SA).
[4] Or in the words of Myles
Allen: ‘what might happen if it all goes horribly wrong?’ Myles
Allen, 'The Spectre of Liability:
Part 1-Attribution' in Kenny Tang (ed), The
Finance of Climate Change: A Guide for Governments, Corporations and
Investors (2005) 367, 367.
[5]
Potential tortious actions in nuisance, and negligence actions for other
climate-related losses relating to statutory functions
and professional advice,
will be the subject of future
papers.
[6] United Nations
Framework Convention on Climate Change, opened for signature on 4 June 1992,
31 ILM 849 (entered into force on 21 March 1994). Kyoto Protocol to the
United Nations Framework Convention on Climate Change, opened for signature
16 March 1998, 37 ILM 22 (entered into force on 16 February 2005).
[7] United Nations Framework
Convention on Climate Change, opened for signature on 4 June 1992, 31 ILM
849, art 2 (entered into force on 21 March
1994).
[8] That is 90 days from
the receipt of the Instrument of Ratification by the United
Nations.
[9] Kyoto Protocol to
the United Nations Framework Convention on Climate Change, opened for
signature 16 March 1998, 37 ILM 22, art 3 and Annex A (entered into force on 16
February 2005).
[10] See R
Verheyen, Climate Change Damage and International Law: Prevention Duties and
State Responsibility (Martinus Nijhoff Publishers, Volume 54, 2005).
[11] Karen Morrow, 'Nuisance
and Environmental Protection' in John Lowry and Rod Edmunds (eds),
Environmental Protection and the Common Law (2000) 139, 139. Perre v
Apand Pty Ltd [1999] HCA 36; (1999) 198 CLR 180, [92] (McHugh
J).
[12] G Williams and B A
Hepple, Foundations of the Law of Tort (Butterworths, 2nd ed,
1984) 197, 201.
[13] Morrow,
above n 11, 157.
[14]
Ibid.
[15] J Smith and D
Shearman, Climate Change Litigation: Analysing the Law, Scientific Evidence
and Impacts on the Environment, Health and Property (Presidian Legal
Publications, 2006) 17.
[16]
Spartan Steel & Alloys Ltd v Martin & Co [1972] EWCA Civ 3; [1973] 1 QB
27.
[17] Donoghue v
Stevenson [1932] UKHL 100; [1932] AC 562, 580 (Lord
Atkin).
[18] Jaensch v
Coffey [1984] HCA 52; (1984) 155 CLR 549, 584.
[19] Perre v Apand Pty
Ltd [1999] HCA 36; (1999) 198 CLR 180.
[20]
Caltex Oil (Aust) Pty Ltd v The Dredge “Willemstad” [1976] HCA 65; (1976)
136 CLR 529, 555.
[21]
Sutherland Shire Council v Heyman [1985] HCA 41; (1985) 157 CLR 424, 481 (Brennan
J).
[22] Sullivan v Moody
(2001) 183 ALR 404, [48]-[9]; Rogers v Whitaker [1992] HCA 58; (1992) 175 CLR 479;
Bryan v Maloney (1995) 182 CLR 609; Hill v Van Erp (1997) 188 CLR
159; Woolcock Street Investments Pty Ltd v CDG Pty Ltd [2004] HCA 16; (2004) 216 CLR
515; Esanda Finance Corporation v Peat Marwick Hungerfords (1997) 188 CLR
241. See, also, J Stapleton, ‘The Golden Thread at the Heart of Tort Law:
Protection of the Vulnerable’ (2003) 24 Australian Bar Review
41.
[23] Woolcock Street
Investments Pty Ltd v CDG Pty Ltd [2004] HCA 16; (2004) 216 CLR 515, [23] (Gleeson CJ,
Gummow, Hayne and Heydon
JJ).
[24]
Ibid.
[25] Andrew Dlugolecki
and Mojdeh Keykhah, 'Climate Change and the Insurance Sector: Its Role in
Adaptation and Mitigation' in Kathryn
Begg, Frans Van Der Woerd and David L Levy
(eds), The Business of Climate Change: Corporate Responses to Kyoto
(2005) 147; RF&C Investments, 'In the Front Line: The Insurance Industry's
Response to Climate Change' (Reo Research, 2007) 8;
Evan Mills, 'From Risk to
Opportunity: 2007, Insurer Responses to Climate Change' (CERES,
2007).
[26] Cole v South
Tweed Heads Rugby League Football Club Ltd [2004] HCA 29; (2004) 207 ALR 52.
[27] Similar provisions have
been adopted in s 42 of the Civil Liability Act 2002 (NSW); s 38
of the Civil Liability Act 2002 (Tas); s 110 of the Civil Law
(Wrongs) Act 2002 (ACT); and s 5W of the Civil Liability Act
2002 (WA). Section 83 of the Wrongs Act 1958 (Vic) is
similar but excludes (b). R Douglas, G Mullins and S Grant, The Annotated
Civil Liability Act 2003 (QLD) (LexisNexis Butterworths, 2004)
35.5.
[28] Glasgow
Corporation v Muir [1943] UKHL 2; [1943] AC 448,
454.
[29] Wyong Shire Council
v Shirt [1980] HCA 12; (1980) 146 CLR
40.
[30] Ibid 47-8 ( Mason
J).
[31] Similar provisions to s 9
have been enacted in s 43 Civil Law (Wrongs) Act 2002 (ACT); s 5B
Civil Liability Act 2002 (NSW); s 32 Civil Liability Act
2002 (SA); s 11 Civil Liability Act 2002 (Tas); s 48 Wrongs
Act 1958 (Vic); s 5B Civil Liability Act 2002 (WA).
Douglas, Mullins and Grant, above n 27, 9.7.
[32] Wyong Shire Council v
Shirt [1980] HCA 12; (1980) 146 CLR 40, 48 (Mason
J).
[33] Cf s 48(3)(a) of the
Wrongs Act 1958 (Vic), which states that this term includes, but
is not limited to, acts that are far-fetched or
fanciful.
[34] Drinkwater v
Howarth [2006] NSWCA
222.
[35] Ibid [16] and
[19].
[36] United Nations
Framework Convention on Climate Change, opened for signature on 4 June 1992,
31 ILM 849 (entered into force on 21 March 1994). This was signed by Australia
on 4 June 1992 and ratified on 30 December
1992.
[37] Ibid Preamble.
[38] Prime Minister John Howard,
Address to the Melbourne Press Club (2007) eGov monitor
<http://www.egovmonitor.com/node/13024>
at 8 January 2008.
[39] IPCC, 'Climate Change
2007', above n 1.
[40] Ibid
4.
[41] Ibid 8. ‘Very
likely’, in this quote, refers to a scientific certainty of above 90%.
[42] Ibid
10.
[43] H v Royal Alexandra
Hospital for Children (1990) Aust Torts Reports
81-000.
[44] Ibid
529.
[45] For example, CSIRO and
Australia Bureau of Meteorology, 'Climate Change in Australia: Technical Report
2007' (CSIRO, 2007); RSJ
(Bob) Beeton et al, Australia State of the
Environment 2006: Independent Report to the Australian Government Minister for
the Environment and Heritage,
Department of the Environment and Heritage,
Canberra (2006) Australian Government, Department of the Environment, Water,
Heritage and the Arts
<http://www.environment.gov.au/soe/2006/index.html>
at 8 January 2008.
[46] IPCC,
'Climate Change 2007', above n 1, 13.
[47] The other greenhouse gases
have both longer and shorter life
spans.
[48] Roe v Minister of
Health [1954] EWCA Civ 7; [1954] 2 QB 66.
[49] Similar provisions have
been enacted in: s 44 Civil Law (Wrongs) Act 2002 (ACT); s 5C
Civil Liability Act 2002 (NSW); ss 11 and 12 Civil Liability
Act 2002 (Tas); s 49 Wrongs Act 1958 (Vic); s 5B(2); Civil
Liability Act 2002 (WA). Douglas, Mullins and Grant, above n 27,
10.3.
[50] Graham Barclay Oysters
Pty Ltd v Ryan [2002] HCA 54; (2002) 211 CLR 540,
[111].
[51]
Ibid.
[52] See N Durrant,
‘Emissions Trading, Offsets and Other Mitigation Options for the
Australian Coal Industry’ (2007) 24(5)
Environmental Planning and Law
Journal 361.
[53]
Caledonian Collieries Ltd v Speirs [1957] HCA 14; (1957) 97 CLR 202; Romeo v
Conservation Commission (NT) (1998) 192 CLR 431; Wyong Shire
Council v Shirt [1980] HCA 12; (1980) 146 CLR
40.
[54] PQ v Australian Red
Cross Society [1992] VicRp 2; [1992] 1 VR 19; Apex Holiday Centre (Inc) v Lynn [2005]
WASCA 58.
[55] This has
traditionally been applied in cases involving the police, ambulance and other
social services in terms of the community
good. For example, Daborn v Bath
Tramways Motor Co Ltd [1946] 2 All ER 333; Watt v Hertfordshire County
Council [1954] EWCA Civ 6; [1954] 2 All ER
368.
[56] See D E Fisher, 'The
Statutory Relevance of Greenhouse Gas Emissions in Environmental Regulation'
(2007) 24(3) Environmental and Planning Law Journal 210.
[57] Section 9 Civil
Liability Act 2003
(Qld).
[58] Robert G Lee, 'From
the Individual to the Environmental: Tort Law in Turbulence' in John Lowry and
Rod Edmunds (eds), Environmental Protection and the Common Law (2000) 77,
78.
[59] Section 11(1)(a)
Civil Liability Act 2003 (Qld).
[60] For example, emissions
from the exhausts of cars and deterioration in air quality have a clear temporal
and spatial link. There
are analogies to be drawn between causation issues in
climate litigation and those already experienced in tobacco and toxic tort
suits. However, the evidentiary links in climate litigation are significantly
more complex. Lee, above n 58,
81.
[61] IPCC, 'Climate Change
2001', above n 1, 1.1.2.
[62]
IPCC
<http://www.ipcc.ch/about/index.htm>
at 8 January 2008.
[63] IPCC,
'Climate Change 2007', above n 1.
[64] Ibid 8. Very likely, in
this context, refers to above 99% scientific certainty.
[65] This is reflected in s
11(1)(b) and s 11(4) of the Civil Liability Act 2003
(Qld).
[66] March v E & M
H Stramare Pty Ltd [1991] HCA 12; (1991) 171 CLR 506, 516 (Mason
CJ).
[67] Barnett v Chelsea
and Kensington Hospital Management Committee [1969] 1 QB
428.
[68] TNT Management Pty
Ltd v Brooks (1979) 23 ALR 345, 349 (Gibbs J); Seltsam Pty Ltd v
McGuiness (2000) 49 NSWLR 262, 275 (Spigelman J); St George Club Ltd v
Hines (1961) 35 ALJR 106,
107.
[69] Chisholm v State
Transport Authority (1987) 46 SASR 148; Tubemakers of Australia Ltd v
Fernandez (1976) 50 ALJR 720, 724 (Mason
J).
[70] Barnett v Chelsea
and Kensington Hospital Management Committee [1969] 1 QB
428.
[71]
Ibid.
[72] IPCC, 'Climate
Change 2001', above n 1,
1.2.2.
[73] J Peel, The
Precautionary Principle in Practice: Environmental Decision-Making and
Scientific Uncertainty (The Federation Press, 2005)
36.
[74] Donald A Brown, 'The
Precautionary Principle as a Guide to Environmental Impact Analysis: Lessons
Learned from Global Warming' in
Joel A Tickner (ed), Precaution,
Environmental Science, and Preventive Public Policy (2003) 141,
145.
[75] J Ravetz, 'The
Post-Normal Science of Precaution' (2004) 36 Futures 347; T Saloranta,
'Post-Normal Science and the Global Climate Change Issue' (2001) 50 Climatic
Change 395; S Funtowicz and J Ravetz, 'Science for the Post-Normal Age'
(1993) 25 Futures
739.
[76] Although,
probabilistic evidence has been adopted in some medical cases; see, R Goldberg,
Causation and Risk in the Law of Torts: Scientific Evidence and Medicinal
Product Liability (Hart Publishing, 1999)
.
[77] Laferriere v
Lawson [1991] 1 SCR 541, [159]; Halverson v Dobler [2006] NSWSC 1307,
[176] (McClellan CJ).
[78] Myles
Allen, 'The Spectre of Liability: Part 2-Implications' in Kenny Tang (ed),
The Finance of Climate Change: A Guide for Governments, Corporations and
Investors (2005) 381,
381.
[79] See E Penalver, 'Acts
of God or Toxic Torts? Applying Tort Principles to the Problem of Climate
Change' (1998) 38(Fall) Natural Resources Journal 563,
579-82.
[80] IPCC, 'Climate
Change 2001', above n 1,
1.2.2.
[81] McGhee v National
Coal Board [1972] UKHL 7; [1972] 3 All ER 1008; Bonnington Castings Ltd v Wardlaw
[1956] UKHL 1; [1956] AC 613; Fairchild v Glenhaven Funeral Services Ltd [2002] UKHL 22; [2003] 1 AC
32.
[82] McGhee v National
Coal Board [1972] UKHL 7; [1972] 3 All ER
1008.
[83] Ibid 1012; McGhee
v National Coal Board [1972] UKHL 7; [1973] 1 WLR 1, 6 (Lord Wilberforce); cf Wilsher v
Essex Health Authority [1987] UKHL 11; [1988] AC
1074.
[84] Fairchild v
Glenhaven Funeral Services Ltd [2002] UKHL 22; [2003] 1 AC
32.
[85] Evidence of Dr Joseph
in Scott (DDT 48/90) quoted in Wallaby Grip (BAE) Pty Ltd (in liq) v Macleay
Area Health Service (1998) 17 NSWCCR 355
(CA).
[86] Fairchild v
Glenhaven Funeral Services Ltd [2002] UKHL 22; [2003] 1 AC 32. This test will not apply
where there are any number of noxious agents which may equally probably have
caused the harm or damage; Wilsher v Essex Area Health Authority [1987] UKHL 11; [1988]
AC 1074; Fairchild v Glenhaven Funeral Services Ltd [2002] UKHL 22; [2003] 1 AC 32, [22]
(Lord Bingham).
[87] Orica
Limited and Anor v CGU Insurance Limited [2003] NSWCA 331, [90] (Spigelman
CJ); Bendix Mintex Pty Ltd v Barnes (1997) 42 NSWLR 307, 312–20
(Mason P); Wallaby Grip (BAE) Pty Ltd (in liq) v Macleay Area Health
Service (1998) 17 NSWCCR 355
(CA).
[88] Seltsam Pty Ltd v
McGuiness (2000) 49 NSWLR
262.
[89] Ibid 280 (Spigelman
CJ).
[90] D A Grossman, 'Warming
Up to a Not-So-Radical Idea: Tort-Based Climate Change Litigation' (2003) 28
Colombia Journal of Environmental Law 1,
24-5.
[91] See D Grave and K
Adams, Class Actions in Australia (Lawbook Co, 2005); and John Taberner,
Class Actions and Climate Change (2007) Freehills
<www.freehills.com.au/publications/publications_6950.asp>
at 8 January 2008.
[92] Section
11(2) Civil Liability Act 2003 (Qld). Similar provisions have been
enacted in s 45 Civil Law (Wrongs) Act 2002 (ACT); s 5D Civil
Liability Act 2002 (NSW); s 13 Civil Liability Act 2002 (Tas);
s 51 Wrongs Act 1958 (Vic); s 5C Civil Liability Act 2002
(WA); s 34(2) Wrongs Act 1936
(SA).
[93] See Ecologically
Sustainable Development Steering Committee, Australian Government,
National Strategy for Ecologically Sustainable Development
(1992) Part 1; Australian Government, 'Intergovernmental Agreement on the
Environment' (1992).
[94] Ecologically Sustainable
Development Steering Committee, above n 93.
[95]
Ibid.
[96] David Freestone and
Ellen Hey, 'Origins and Development of the Precautionary Principle' in David
Freestone and Ellen Hey (eds),
The Precautionary Principle and International
Law (1996) 3, 13.
[97] N De
Sadeleer, Environmental Principles: From Political Slogans to Legal Rules
(Oxford University Press, 2002)
160.
[98] Peel, above n 73,
155.
[99] Perre v Apand Pty
Ltd [1999] HCA 36; (1999) 198 CLR 180, 221 (McHugh
J).
[100] Section 11(1)(b)
Civil Liability Act 2003
(Qld).
[101] Blyth v
Birmingham Waterworks (1856) 11 Exch; J Fleming, The Law of Torts
(LBC Information Series, 9th ed, 1998) 249.
[102] Scott v Shepherd
(1773) 2 W Bl 892.
[103]
Home Office v Dorset Yacht Company Ltd [1970] UKHL 2; [1970] AC 1004.
[104] Considered in Anns v
London Borough of Merton [1977] UKHL 4; [1978] AC
728.
[105] For example,
Caltex Oil (Australia) Pty Ltd v The Dredge
‘Willemstad’ [1976] HCA 65; (1976) 136 CLR 529,
555.
[106] For example,
Chester v Council of the Municipality of Waverley [1939] HCA 25; (1939) 62 CLR
1.
[107] Brodie v Singleton
Shire Council [2001] HCA 29; (2001) 206 CLR
512.
[108] Joslyn v
Berryman [2003] HCA 34; (2002) 214 CLR
552.
[109] Azzopardi v
State Transport Authority (Rail Division) (1982) 30 SASR
434.
[110] Joslyn v
Berryman [2003] HCA 34; (2002) 214 CLR 552; Davies v Swan Motor Company (Swansea)
Limited [1949] 2 KB 291, 326 (Lord Denning); Stapley v Gypsum Mines
Ltd [1953] UKHL 4; [1953] AC 663,
682.
[111] Section 24 Civil
Liability Act 2003 (Qld). Similar provisions have been enacted in s 47
Civil Law (Wrongs) Act 2002 (ACT); s 5S Civil Liability Act
2002 (NSW); s 4(1) Civil Liability Act 2002 (Tas); s 63 Wrongs
Act 1958
(Vic).
[112] Grossman, above n
90, 25.
[113] It is envisaged
that proportionate responsibility for emissions will be uneven with greater
fault falling to the industrial source
of emissions rather than the emissions of
the individual plaintiff.
[114]
Smith v Baker and Sons [1891] UKHL 2; [1891] AC
325.
[115] Woodridge v
Sumner [1962] EWCA Civ 3; [1963] 2 QB 43,
69.
[116] Grossman, above n
90, 51. As to the requirement to be able to choose freely see, Bowater v
Rowley Regis Corporation [1944] KB 476, 479 (Lord Justice Scott).
[117] As a general rule, a
limitation period of three years applies to personal injuries and a period of
six years to property damage.
Sections 11, 10(1) Limitation of Actions
Act 1974 (Qld); ss 16B(2), 11(1) Limitation Act 1985
(ACT); ss 18A, 50C, 14(1)(b) Limitation Act 1969 (NSW); ss 36, 35
Limitation of Actions Act 1936 (SA); ss 5(1), 4(1)(a)
Limitation Act 1974 (Tas); ss 5(1AA), 5(1)(a) Limitations of
Actions Act 1958 (Vic); ss 13(1), 12 Limitation Act
1935 (WA).
[118] J
Goudkamp, ‘The Spurious Relationship Between Moral Blameworthiness And
Liability for Negligence’ (2004) Melbourne University Law Review
11.
[119] Cambridge Water
Co Ltd v Eastern Counties Leather plc [1993] UKHL 12; [1994] 2 AC 264, [76] (Lord Goff of
Chieveley).
[120] J Peel, 'The
Role of Climate Change Litigation in Australia's Response to Global Warming'
(2007) 24 Environmental and Planning Law Journal 90,
103.
[121] John Murphy,
'Noxious Emissions and Common Law Liability: Tort in the Shadow of Regulation'
in John Lowry and Rod Edmunds (eds),
Environmental Protection and the Common
Law (2000) 51, 75.
[122]
Prime Minister Kevin Rudd is proposing to implement a national emissions
trading scheme by 2010. He has indicated that the government
will adopt a
target to reduce emissions by 60 per cent on 2000 levels by 2050 in conjunction
with a 20 per cent target for renewable
energy by 2020. Prime Minister Kevin
Rudd, Ratifying the Kyoto Protocol (2007) Official Website of the
Australian Labor Party
<http://www.alp.org.au/media/1207/mspm030.php>
at 8 January 2008. It is unclear the extent to which this scheme will build
upon the design work of the previous Prime Ministerial
Task Group on Emissions
Trading, Report of the Task Group on Emissions Trading (2007) Australian
Government, The Department of the Prime Minister and Cabinet,
<http://pandora.nla.gov.au/pan/79623/20071127-1411/www.dpmc.gov.au/publications/emissions/index.html>
at 8 January 2008.
[123] Peel,
above n 120, 103.
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