IN THE HIGH COURT OF SOUTH AFRICA /ES
(NORTH GAUTENG HIGH COURT, PRETORIA)
CASE NO: 3106/07
DATE: 5/2/2010
IN THE MATTER BETWEEN
CRAWFORD LINDSAY VON ABO APPLICANT
AND
THE GOVERNMENT OF THE REPUBLIC
OF SOUTH AFRICA FIRST RESPONDENT
THE PRESIDENT OF THE REPUBLIC OF
SOUTH AFRICA SECOND RESPONDENT
THE MINISTER OF FOREIGN AFFAIRS THIRD RESPONDENT
THE MINISTER OF TRADE AND INDUSTRY FOURTH RESPONDENT
THE MINISTER OF JUSTICE AND
CONSTITUTIONAL DEVELOPMENT FIFTH RESPONDENT
JUDGMENT
PRINSLOO, J
[1] This judgment concerns a hearing which flowed from certain supervisory relief which
I granted in a judgment reported as Von Abo v Government of the Republic of South
Africa & Others 2009 2 SA 526 (TPD) (“the main judgment”).
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[2] Before me, Mr Hodes SC assisted by Mr Katz appeared for the applicant and Mr De
Jager SC assisted by Mr Mphaga and Ms Sello appeared for the respondents.
The main judgment
[3] Where this judgment is a sequel to the main judgment, it must inevitably be read in
conjunction with that judgment. It will be neither necessary nor practicable to embark
upon lengthy and unnecessary repetition of the contents of that judgment. Brief
references and quotes will suffice.
[4] It is, however, convenient to revisit the order made in the main judgment as it is
reported at 566H-567D:
“1. It is declared that the failure of the respondents to rationally,
appropriately and in good faith consider, decide and deal with the
applicant’s application for diplomatic protection in respect of the
violation of his rights by the Government of Zimbabwe is inconsistent
with the Constitution, 1996, and invalid.
2. It is declared that the applicant has the right to diplomatic protection
from the respondents in respect of the violation of his rights by the
Government of Zimbabwe.
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3. It is declared that the respondents have a constitutional obligation to
provide diplomatic protection to the applicant in respect of the violation
of his rights by the Government of Zimbabwe.
4. The respondents are ordered to forthwith, and in any event within sixty
days of the date of this order, take all necessary steps to have the
applicant’s violation of his rights by the Government of Zimbabwe
remedied.
5. The respondents are directed to report by way of affidavit to this court
within 60 days of this order, what steps they have taken in respect of
paragraph 4 above, and to provide a copy of such report to the
applicant.
6. The applicant’s claim for damages against the respondents, subject to
effective compliance with paragraphs 4 and 5 above, and as formulated
in the notice of motion, is postponed sine die. Leave is granted to all
parties to supplement their papers prior to the hearing of this claim for
damages, is appropriate.
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7. The respondents are ordered, jointly and severally, to pay the costs of
the applicant, which will include the costs flowing from the
employment of two counsels.”
[5] The damages claim, referred to in paragraph 6 of the order, was crafted as follows in the
notice of motion which formed the basis of the application which resulted in the main
judgment:
“6. That, in the event of the respondents failing to comply effectively with
either the order in terms of prayer 4 or in terms of prayer 5, ordering
the respondents jointly and severally (the one paying and the other to
be absolved) to pay to the applicant such damages as he may prove that
he has suffered as a result of the violation of his rights by the
Government of Zimbabwe.”
[6] In purported compliance with paragraphs 4 and 5 of the order, supra, the respondents
indeed reported back to this court by means of an affidavit dated 19 October 2008, the
main judgment having been handed down on 29 July 2008.
At that stage the application which came before the constitutional court, to which
reference is made hereunder, had not yet been finalised.
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[7] When the constitutional court judgment, dated 5 June 2009, was handed down, and in
view of the outcome thereof, the parties made arrangements for this further hearing,
which inevitably had to flow from the provisions of paragraphs 4 and 5 of my order in
the main judgment, to take place.
[8] At a meeting with the representatives of both parties in chambers I enquired from both
parties whether they felt that I was seized with the matter and, in any event, whether I
should preside over the follow-up hearing, particularly in view of some unflattering
remarks I had made about the conduct of the respondents during the course of the main
judgment.
Counsel from both sides indicated that they felt I should conduct the follow-up hearing
and urged me to do so. After due reflection, I obliged.
[9] The essence of the enquiry which came before me in the follow-up hearing was to
establish whether or not the respondents had effectively complied with paragraph 4 of
my order in the main judgment – at 567A.
A positive finding, from the point of view of the respondents, would signal the end of
the matter. A negative finding would result in declaratory relief to the effect that the
respondents were liable to compensate the applicant for his damages. A quantum trial
would then come into play.
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The judgment in Von Abo v President of the Republic of South Africa 2009 5 SA 345 (CC) (“the
Constitutional Court judgment”)
[10] During the course of the proceedings before me, which led up to the main judgment,
there was agreement between the parties that an adverse finding about the conduct of
the State President, who was the second respondent in those proceedings, would require
a certification process by the Constitutional Court as intended by the provisions of
section 172(2)(a) of the Constitution – see the main judgment at 566A.
[11] Such an adverse finding is contained in paragraph 1 of the order in the main judgment –
at 566H.
[12] It is convenient to quote the text of section 172(2)(a) of the Constitution:
“The Supreme Court of Appeal, a High Court, or a court of similar status may
make an order concerning the constitutional validity of an Act of Parliament, a
provincial Act or any conduct of the President, but an order of constitutional
invalidity has no force unless it is confirmed by the Constitutional Court.”
(Emphasis added.)
[13] The applicant duly launched such an application before the Constitutional Court
seeking confirmation of the order contained in paragraph 1, supra.
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[14] In the event, the Constitutional Court found that the application for confirmation was
misconceived because the matter does not concern conduct of the President within the
meaning of section 172(2)(a) of the Constitution – Constitutional Court Judgment at
364I-J.
[15] In the result, the application for confirmation was struck from the roll, but some costs
orders were made against the respondents – Constitutional Court Judgment at 365E-L.
[16] The Constitutional Court also held that it was necessary to identify the particular
government minister responsible for alleged unconstitutional conduct and the Minister
for Foreign Affairs, the third respondent, was earmarked in the process. The following
is said in the Constitutional Court judgment in this regard:
“Consequently, any failure to consider the applicant’s request for diplomatic
protection would have been the failure of the Government of South Africa or
indeed of a specific minister, in this case the Minister for Foreign Affairs. As I
have concluded earlier, it does not follow that a constitutionally reprehensible
failure of a minister or of the government in a generic sense amounts to a
failure by the President to fulfill his constitutional obligations.” – Constitutional
Court judgment at 362C-E.
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[17] It was this finding that inspired the applicant to seek relief only against the Government
of South Africa (first respondent) and the Minister for Foreign Affairs (third
representative) in the follow-up hearing.
[18] For present purposes, it is convenient to quote paragraphs (51) and (52) of the
Constitutional Court Judgment reported at 364E-I:
“(51) I also keep in mind that neither the government nor any of the
respondents have appealed against the decision of the High Court. If
anything, as I have explained earlier, counsel for the government has
confirmed with this court that the government has taken steps to
comply with the order of the High Court. It was open to the
government to appeal the decision of the High Court. It did not do so. It
has chosen to abide. It follows that the order made by the High Court is
of full force and effect and in substance accords with the relief which
Mr Von Abo sought before that court.
(52) The view we take that the order of the High Court in relation to the
President is not susceptible to confirmation by this court does not in
any way diminish the relief granted and consequently does not harbour
any prejudice of any type for Mr Von Abo. Put otherwise, the
government’s liability towards Mr Von Abo cannot be said to be in any
way diminished only by reason of paragraph 1 of the High Court order
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not having been confirmed by this court. It also follows that, absent any
appeal to this court, it is unnecessary to traverse any of the merits.
Accordingly, this court expresses no view whatsoever on the
correctness or otherwise of the judgment of the High Court. What is
clear is that the order of the High Court has not been assailed and it
stands unblemished.”
[19] In view of these remarks, I am of the opinion that care must be taken not to revisit the
merits of the case, for purposes of this follow-up hearing. The horse has bolted. The
crisp issue to decide, as explained above, is whether or not the respondents have
complied with paragraph 4 of the order in the main judgment. The main source of
information on which the aforesaid issue must be decided, is the report submitted by the
respondents (for present purposes, read the first and third respondents) in purported
compliance with paragraphs 4 and 5 of the order in the main judgment.
The report submitted by the respondents (“the report”)
[20] The report consists of an affidavit, running into some twelve pages, with annexures.
[21] The deponent to the affidavit names himself as “Ambassador J N K Mamabolo”. He is a
Deputy Director-General in the Department of Foreign Affairs. He states that he is duly
authorised to depose to the affidavit. This authority flows from the following:
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“A confirmatory affidavit of the Director-General: Department of Foreign
Affairs is annexed to this affidavit. As Director-General does not have personal
knowledge of the issues raised in this affidavit, he has therefore delegated the
authority to depose to this affidavit to me.”
[22] There is a confirmatory affidavit by Ayanda Ntsaluba who identifies himself as the
Director-General of the Department of Foreign Affairs and says “I have authorised
Ambassador J N K Mamabolo, a Deputy Director-General in the Department of Foreign
Affairs to depose to the main affidavit.” He confirms the contents of Ambassador J N K
Mamabelo’s affidavit “in so far as it refers to me”. In the process he confirms the
Ambassador’s statement, supra, that he has no personal knowledge of the issues raised
“in this affidavit”.
[23] The Director-General does not say what the source of his authority is to delegate
authority to the Ambassador.
[24] In his affidavit, the Ambassadors says that, following the main judgment which was
handed down on 29 July 2008, (incorrectly stated by the Ambassador to have been 24
July) a meeting was held on 6 August 2008 between officials of the Department of
Foreign Affairs, the Department of Trade and Industry, the Presidency and counsel to
discuss the way forward. The Ambassador did attend the meeting but he was
“informed” by Advocate Stemmet, senior State Law Advisor also mentioned in the
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main judgment, who represented the Department of Foreign Affairs at the meeting and
who also deposed to confirmatory affidavit, attached to the report.
[25] According to the Ambassador, counsel, at the meeting, emphasised the importance of
“order 4” which is paragraph 4 of the order made in the main judgment, and which
description I shall also adopt for the sake of convenience.
Of course, order 4, stripped to its essentials, reads that “the respondents are ordered to
forthwith take all necessary steps to have the applicant’s violation of his rights by the
government of Zimbabwe remedied”.
Order 5 (paragraph 5 of the order in the main judgment), also stripped to essentials,
provides that the respondents are directed to report by way of affidavit to this court
within sixty days what steps they have taken in respect of order 4 and to provide a copy
of such report to the applicant.
[26] Not one of the respondents, let alone the third respondent, who was singled out
particularly in the Constitutional Court judgment, as described, “reported by way of
affidavit”, as instructed in order 5.
There is no direct indication, as far as I can see, that the third respondent (or any other
respondent) personally made any effort to comply with orders 4 and 5.
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[27] The order in the main judgment was directed at the respondents, not at Ambassador
Mamabolo or anybody else.
The abject failure on the part of the respondents, and particularly the third respondent,
to demonstrate any visible sign of even taking notice of these orders, amounts, in my
view, to contempt of court. Counsel for the applicant put it as follows in their
comprehensive heads of argument:
“It is submitted that the absence and/or failure of this respondents to be
involved personally in the discussion of options and possible actions in order to
give effect to the Court order is unacceptable and borders on the
contemptuous.”
With these sentiments I agree.
In the main judgment, at 5391-540B, I already expressed the view that the unexplained
failure on the part of any of the respondents to file personal affidavits to deal with the
complaints of the applicant amounts to a dereliction of duty and flies in the face of the
requirements of section 165(4) of the constitution which provides that organs of State,
through legislative and other measures, must assist and protect the courts to ensure the
independence, impartiality, dignity, accessibility and effectiveness of the courts.
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[28] The failure on the part of the respondents to file affidavits, or to even explain the failure
to do so or to show any demonstrable interest in the orders, effectively, in my view,
amounts to non-compliance with the orders, more particularly orders 4 and 5.
The subject of the inadmissibility for one person to make an affidavit on behalf of
another, without the latter filing at least a verifying or supporting affidavit, was
extensively dealt with in the main judgment at 540E-543D.
Against this background, it was argued before me during this follow-up hearing on
behalf of the applicant that where the respondents had not filed an affidavit confirming
the contents of this report, the contents of the report constitutes inadmissible hearsay
and I should have no regard thereto. On behalf of the applicant reliance was placed on
the well-known authorities already quoted in the main judgment, including Gerhardt v
State President & Others 1989 2 SA 499 (T) at 504F-H and Tantoush v Refugee AppealBoard & Others
2008 1 SA 232 (T) at 256D-F.
Where the respondents (and nobody else) were directed to report by way of affidavit as
to the steps they had taken in respect of their duty to have the applicant’s violation of
his rights by the Government of Zimbabwe remedied, it meant that they were obliged to
report on what steps were taken since the grant of the order on 29 July 2008 and not
what they had done prior to the grant of the order (as will appear from a further analysis
of the report hereunder). Where the respondents failed to file affidavits in compliance
14
with the order, it follows, in my view, that they have not complied with their reporting
duty.
On the same subject, it was also argued on behalf of the applicant, correctly in my view,
that it was not for the Director-General of the Department of Foreign Affairs, who is not
a respondent, to authorize Ambassador Mamabolo to make any affidavit at all. It was
for the respondents, and the respondents alone, to authorize someone to make an
affidavit in respect of the report, and then only if a confirmatory affidavit by the
relevant respondent was filed of record. This is in line with the authorities quoted,
supra.
The opposing argument offered, in this regard, on behalf of the respondents, was that
the Director-General is the most senior official in the Department of the third
respondent. By virtue of his office he is intimately involved in and accountable for all
conduct of officials of the department, including Ambassadors to foreign states. He is
entitled to depose affidavits on behalf of the Minister, as the accountable officer of that
department. This entitlement does not derive from being cited as a respondent but from
his position within the department. He is in law empowered to delegate any power or
function he may have to other officials, unless he is specifically precluded thereto by
legislation. No authority in support of this proposition was submitted to me. The
Director-General, in his affidavit, did not even mention the third respondent or indicate
that she authorised him to delegate his authority, such as it may be, to the Ambassador.
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The court order is directed against the third respondent (and other respondents). Her
complete silence and failure of involvement in these proceedings remain unexplained. I
cannot agree with the argument submitted on behalf of the respondents.
[29] Nevertheless, on the assumption that my conclusion that the report falls to be
disregarded for lack of compliance of orders 4 and 5 due to the absence of involvement
by the respondents, is wrong, I now turn to a further analysis of the report.
Further analysis of the report
[30] Following the first meeting of 6 August 2008, supra, there was another meeting on 27
August 2008 “with a view to discuss options and possible actions to propose to the
Department of Foreign Affairs’ principals in order to give effect to the court order”. It is
not stated who the “principals” are. According to the minute of that meeting, the
Ambassador was not present. Neither did he apologise for his absence. In fairness, it
must be observed that the minute suggests that Advocate De Wet, Chief State Law
Advisor, did discuss the main judgment with the Minister. Certain directives, possibly
flowing from the meeting with the Minister, who, of course, was not at the meeting,
were discussed. These included the following: a diplomatic note had to be sent by the
Ambassador in Harare to seek an appointment with “relevant ministers” to meet with
them as a matter of urgency; the Zimbabwean Ambassador in Pretoria had to be called
in by the Deputy Director-General: Africa “to make representations on behalf of Mr
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Von Abo”; and a high level delegation had to be composed to travel to Zimbabwe to
meet with the relevant Zimbabwean Authorities as soon as possible.
[31] At the meeting, further resolutions were passed to implement these directives. Included
amongst these, was a decision to hold a meeting “between all departmental stake
holders” on 1 September 2008 “in order to develop the strategy for engaging the
Zimbabweans to be followed during the meetings”. It was also decided that a strategy
be developed on how to deal with similar requests from other South African land
owners whose farms were expropriated in Zimbabwe. According to the minute, the
meeting lasted for one hour and twenty minutes.
[32] On 2 September 2008 a follow-up meeting was held. Again Ambassador Mamabolo
was absent. The meeting was attended by State Law Advisors De Wet and Stemmet, the
South African Ambassador to Harare, the Chief Director: Consular Services, the
Director: Malawi, Zimbabwe, Zambia, Mozambique and Tanzania and one Mr Reed of
the Zimbabwe desk. It was reported that a meeting had been held with the Zimbabwean
Ambassador who indicated the willingness of his government to engage the South
African Government on the matter and undertook to bring the matter immediately to the
attention of the relevant Zimbabwean authorities. An Aide memoire and a diplomatic
not requesting a meeting for South African delegation with the “Zimbabwean
authorities” had also been handed over. It was decided that the South African delegation
17
had to be led by a Deputy Director-General. No explanation is given for the decision
not to involve more senior officials such as any of the respondents.
As regards strategy, the possibility of “the resurrection” of the Bilateral Investment
Promotion and Protection Treaty “although it will not have retrospective effect” and the
delisting of properties of nationals of SADC states were mooted. These subjects were
extensively dealt with in the main judgment and I do not propose revisiting a full
discussion thereon.
Significantly, it was also decided that “in order to prevent further negative publicity on
the matter” the applicant’s attorneys would be informed that the department was
attending to the matter.
[33] A confidential report of a meeting between Mr M Nkosi: Deputy Director-General:
Africa Bilateral and Ambassador K Moyo of Zimbabwe was also tabled. According to
this report, the Deputy Director-General told the Ambassador that “given the order of
the High Court regarding the expropriation without compensation of the properties in
Zimbabwe belonging to Mr Crawford Lindsay Von Abo, the Government of South
Africa is legally obliged to engage with the Government of Zimbabwe to resolve the
matter”.
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It was recorded that the discussions took place in a cordial atmosphere and Ambassador
Moyo assured Mr Nkosi that the matter will be dealt with by the relevant authorities
and that the DFA (Department of Foreign Affairs) delegation of senior officials will be
welcomed in Zimbabwe.
[34] Significantly, and perhaps rather ominously, this confidential report concludes with the
following comment:
“As expected, Ambassador Moyo commented during the discussions that
Zimbabwe has no land problems any longer; implying that the Land Reform
Process was complete. In this regard, he says South Africa has serious land
problems which will take years to deal with.”
[34] There was also a report, in the form of a telex, dated 1 September 2008, on a meeting,
of the same date, between the Charge D’Affaires and Mr Chifamba, Zimbabwean
Divisional Head for Africa: Economics when the former handed over the diplomatic
note and Aide Memoire to the latter. Mr Chifamba undertook to forward the
documentation to the Ministry of Land Affairs of his government.
[35] It appears from this telex that Mr Chifamba made some outspoken comments about the
Von Abo case. He said that in the absence of a Bilateral Investment Agreement
(BIPPA, discussed fully in the main judgment) there was no legal framework in
existence to address these complaints. He said the applicant, Mr Von Abo’s, interaction
19
with the Government of Zimbabwe “and his involvement in politics” played a role in
the fact that all his properties were acquired in terms of the Land Reform Process. He
said Mr Von Abo was a multiple farm owner and Zimbabwean legislation allows only
one farm per individual. He also relied on the, in my view somewhat jaded, arguments
about the colonial excesses of the past and said that any serious amendments to the
Land Reform Process would “not only be untenable but indeed unthinkable”. He said,
however, that Zimbabwe “realises the predicament of the South African Government as
a result of the Von Abo case and would assist where possible”.
[37] This telex, created by Mr Geerlings, First Secretary Political of the Department of
Foreign Affairs in Harare (he is obviously a South African official) was addressed to a
number of Foreign Affairs officials including Ambassador Mamabolo, State Law
Advisors De Wet and Stemmet and some others. The addressees do not include any of
the respondents. This telex concludes with the following, in my view somewhat
despondent, comment:
“It became evident during the meeting that the Von Abo case has created some
embarrassment to the Zimbabwean Government. It is, however, very unlikely
that the Zimbabwean Government will take any steps in favour of Mr Von Abo.
The best that the South African Government could hope for is that the
Zimbabwean Government would give its co-operation in making it easier to
convince the judge that indeed enough diplomatic protection was given to Von
Abo but that the Zimbabwean Government did not want to respond to these
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pleas as it is convinced about the merits of its own Land Reform Process.”
(Emphasis added.)
[38] This comment, in what I will describe as “the Geerlings telex of 1 September 2008”,
represents, in my view, the typical approach adopted by the relatively junior South
African officials (the respondents never got involved) in their purported efforts to afford
diplomatic protection to the applicant: the applicant’s case, and that of other South
African farmers who met the same fate, was “raised” or “discussed” with the
Zimbabwean officials at cordial meetings or in even more cordial diplomatic notes but,
when resistance was encountered from Zimbabwe, nothing whatsoever was done to
counter that resistance or to employ any of the internationally recognized diplomatic
measures already identified in the main judgment. See from example the main judgment
at 545I-J.
In this regard I take the liberty to revisit, for easy reference, what was said there:
“[63] Legal scholars commonly use the term ‘diplomatic protection’ to
embrace consular action, negotiation, mediation, judicial and arbitral
proceedings, reprisals, restoration, severance of diplomatic relations,
economic pressure and, in the final resort the use of force – Dugard
‘First Report on Diplomatic Protection’ (March 2000) ILCA – CN
4/506 p15 para 43.”
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[39] In the main judgment I already expressed serious reservations and displeasure at the
lacklustre conduct of the respondents when it came to considering the applicant’s
request for diplomatic protection. I concluded that they did not act in good faith. See for
example the remarks at 539E-G, 540D-E, 550C-E, 554C-E, 562A-F and order 1 at
566H-I.
[40] Regrettably, matters did not improve despite the main judgment and the supervisory
mandamus therein contained: with due respect to the relatively junior South African
officials saddled with the task, their efforts remained unconvincing. They never went
beyond raising the issue in diplomatic notes or at cordial meetings. No pressure was
brought to bear on the Zimbabwean Government to bring about diplomatic protection
for the applicant. This is in stark contrast with the more vigorous and effective approach
adopted by the embassies of other foreign nationals threatened by the same land reform
program. See for example the reference in the main judgment to the “Dutch example” at
538F-H and the evidence of the German businessman, Mr Pabst, referred to at 557I-
558E.
As far as the “Dutch example” is concerned, namely the case of B H Funnekotter &Others v Republic of Zimbabwe, I was informed, during the follow-up hearing, that the
ICSID tribunal, in the ensuing arbitration, awarded considerable amounts in damages to
Mr Funnekotter and other Dutch nationals. By agreement between the parties, a copy of
this ICSID judgment was presented to me after the follow-up proceedings were
22
concluded. As stated in the main judgment, the case was conducted as ICSID case no
ARB/05/6 and it was concluded in April 2009.
[41] Of course, as already explained, the South African officials had to make do without the
direct intervention of the respondents themselves. The latter, as senior ministers and
members of the Executive, are far more influential and would, on the probabilities, have
been able to exert more pressure and employ the recognised diplomatic measures,
supra, more effectively had they elected to do so. I have already found that their
inexplicable failure to get involved in these proceedings constitutes non-compliance
with orders 4 and 5.
[42] Mr De Jager, in his able and enthusiastic address on behalf of the respondents,
reminded me that a court cannot tell the government how to make diplomatic
interventions for the protections of its nationals – see Kaunda & Others v President of
the Republic of South Africa 2005 4 SA 235 (CC) at 260F-G. See also the restatementof the principles laid down in
Kaunda in Van Zyl v Government of the Republic of SouthAfrica 2008 3 SA 294 (SCA) at 309B-310C.
[43] In the light of these authorities, Mr De Jager’s submission is, technically speaking,
correct. However, order 4 of the main judgment was not designed to tell the government
how to take the diplomatic interventions. It was designed to direct the government to
deal with the matter properly and in good faith.
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This subject was dealt with, at some length, in the main judgment, and, more
particularly, at 561B-566A.
I do not propose revisiting the whole debate, but it may be convenient to remember the
following remarks from Kaunda at 262D-E:
“[80] If government refuses to consider a legitimate request, or deal with it in
bad faith or irrationally, a court could require government to deal with
the matter properly…”
This is what order 4 was intended to achieve. As already stated, the main enquiry in
these follow-up proceedings is to determine whether or not order 4 was complied with.
[44] Also relevant to this enquiry, in my view, are the principles defining “appropriate
relief” as intended by the provisions of section 38 of the Constitution – see the remarks
make in the main judgment at 564A-565E. In my view it is clear from the dicta in caseslike Fose v Minister of Safety & Security 1997 3 SA 786 (CC) at 799F and Mohamed &
Another v President of the Republic of South Africa & Others (Society for the Abolition
of the Death Penalty in South Africa and Another Intervening) 2001 3 SA 893 (CC) at
921G that the appropriate relief granted to vindicate the infringement of an entrenched
right must be effective relief to ensure that the breach is effectively vindicated.
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[45] Against this background, it is necessary to continue with the analysis of the report to
pursue the enquiry as to whether or not order 4 has been effectively complied with.
Further analysis of the report
[46] The Aide Memoire, referred to in the Geerlings telex of 1 September 2008, and which
was handed over to Mr Chifamba from the Zimbabwean Foreign Ministry, was attached
to that telex.
At the foot thereof the following acknowledgement is contained:
“The South African Government intends to give effect to the Court order. It is
foreseen that, amongst others, the following interventions will be made with the
Zimbabwean authorities:
• a meeting between the Ambassador, Harare with the relevant ministers
be requested;
• a delegation of senior officials from the (sic) South Africa to meet with
the relevant Zimbabwean authorities;
• The Zimbabwean Ambassador to South Africa to be summoned by the
Department of Foreign Affairs.
The aim of these interventions will be to adhere to the court order and to
provide Mr Von Abo with diplomatic protection as requested by him.”
25
Despite these good intentions expressed, it has always been common cause that the
applicant has received absolutely no relief in the form of diplomatic protection.
[47] In another telex from Harare, this time created by the South African Ambassador, Mr
Makalima, and dated 22 September 2008, the possibility was mooted of calling for an
extension of the sixty day period contained in order 5. The following was stated at the
foot of this telex:
“While it may be true that the formation of the new government could impact
on the speed with which the Government of Zimbabwe responds to our request
for a high level meeting to discuss the Von Abo case, it bears noting that the
envisaged discussions are meant to take place at the level of senior officials
rather than political heads of government ministries. It is on this account that
the Mission feels strongly that the South African Government should be
insistent on its request for a meeting with the Zimbabwean officials. It is the
Mission’s guess that the judge in this case would be unlikely to entertain a
request for postponement on the grounds that the Zimbabwean Government is
currently undergoing reconfiguration.”
No request for postponement was submitted. During argument before me, Mr De Jager
indicated that the respondents were no longer relying on the need for a postponement.
He indicated, if I understood him correctly, that an extension of the sixty day period
would have made no difference.
26
[48] Attached to the Ambassador’s affidavit as annexure “H”, is “President’s Minute no
648” dated 30 October 2006 containing the then State President’s approval for an
attached draft Promotion and Reciprocal Protection of Investments Agreement
(“BIPPA”) to be entered into with Zimbabwe. The draft BIPPA is attached.
Article 11 thereof reads as follows:
“This agreement shall apply to all investments, whether made before or after
the date of entry into force of this agreement, but shall not apply to any dispute
which arose before entry into the force of this agreement.”
It is common cause that the BIPPA was never signed. It is also clear, that the BIPPA, if
signed in 2006, would not have assisted the applicant whose dispute with the
Zimbabwean authorities had by then long since arisen.
These details with regard to the BIPPA were never disclosed during the proceedings
leading up to the main judgment. Failure to do so remains unexplained. The issue of,
inter alia, the entering of an effective BIPPA, was dealt with in the main judgment at
535B-540E.
The belated disclosure of an unsigned and ineffectual draft BIPPA so long after the
event is in any case an exercise in futility. It can have no bearing on the duty resting on
the respondents to bring about effective compliance with orders 4 and 5. What is of
27
relevance is what was done by the respondents after the orders were issued, in order to
bring about diplomatic protection for the applicant and to remedy the unconstitutional
conduct of the respondents as was found in the main judgment.
[49] Annexure “I” to the Ambassadors affidavit is the minute of the long awaited meeting
between the two government delegations. It took place in Harare on 26 September
2008. The South African delegation was led by Ambassador Mamabolo. The rest of his
delegation consisted of Ambassador Makalima, Chief Director Consular Service
Naidoo, State Law Advisors De Wet and Stemmet, Director of Southern Africa Makaya
and First Secretary Geerlings.
The Zimbabwean delegation was led by Mr Chifamba, Acting Secretary for Foreign
Affairs and a host of deputy divisional heads, desk officers, a consular officer, deputy
directors, a legal advisor and representatives from the President’s office.
[50] According to the minute, Mr Chifamba acknowledged that the South African Embassy
had pursued “the matters relating to South African farmers in Zimbabwe” since 2000,
and undertook “to avail copies of relevant correspondence to South Africa”. No such
correspondence was in evidence before me, and, if it was, it would have been irrelevant
for reasons already mentioned. Mr Chifamba “explained the political and socioeconomic
context in which the Land Reform Program was implemented and
underscored that the Land Reform Program was ongoing and irreversible”.
28
[51] Ambassador Mamabolo “emphasised the need for the South African Government to
comply with the court order, in respect of Mr Von Abo. He added that the meeting
should also address issues relation to all affected South African farmers in Zimbabwe.
The meeting should in this respect also agree on the way to handle these matters in
future. He emphasised the interconnection between the South African and Zimbabwean
economies and South Africa’s commitment to contribute to a sustainable economic
recovery for Zimbabwe. In this respect, he emphasised the urgency of signing the
Bilateral Investment Promotion and Protection Agreement (BIPPA).”
[52] For the sake of brevity, I shall attempt to summarise the rest of the minute. In total, it
runs into three pages containing thirteen paragraphs. The Zimbabwean delegation
briefed the meeting on Zimbabwe’s policy and legal framework with regard to the Land
Reform Program. The South African delegation “explored the possible remedies
available under Zimbabwean Legislation in the Von Abo matter”. The Zimbabwean
delegation indicated that the law provides for compensation for improvements on land
and equipment acquired. This whole issue was fully canvassed in the main judgment.
There it was held that the applicant had exhausted all possible remedies available to him
in Zimbabwe with no success at all. The magnitude of the applicant’s losses was
illustrated in the main judgment. A nebulous suggestion of possible “compensation for
improvements” could not, under any circumstances, represent effective diplomatic
protection for the applicant.
29
The meeting noted the decision of the 2008 SADC summit on operational questions
relating to the SADC tribunal. There was a suggestion that prosecution of former
owners of commercial farms would be stayed pending finalisation of the case before the
SADC tribunal. Further reference to this event will be made hereunder.
Possible remedies available to nationals of other countries under the International
Convention for the Settlement of Investment Disputes (ICSID) and BIPPA’s were not
available in the case of South Africa as South Africa was not a party to ICSID and
BIPPA had not yet been signed. This whole issue was canvassed fully in the main
judgment. The dereliction of duty on the part of the respondents in this regard
contributed to the finding that they had acted unconstitutionally.
Details relating to other South African farmers who suffered the same fate as the
applicant were exchanged.
Rather cryptically, “the meeting noted that there were legal processes in place to deal
with illegal farm occupations”. The Zimbabwean side further noted that affected
farmers should act within the legal provisions. Then follows, as far as I can gather, the
high-water mark of the South African delegation’s efforts to comply with order 4 and to
achieve diplomatic protection for the applicant:
30
“The South African side requested that the Zimbabwean Government should
assist where representations are made by the South African Embassy on behalf
of South African farmers who are the victims of illegal land occupation.”
The only response was another reference to the “fact” that “compensation for acquired
equipment is also available to affected farmers”.
It was then resolved the issue of affected South African farmers in Zimbabwe “would
also in future be discussed within the framework on the Joint Permanent Commission
between the two countries”.
Then there was yet another agreement noted about the importance and necessity of the
signing of BIPPA. Article 11 of the 2006 draft BIPPA, supra, was also mentioned.
The meeting also noted “the provisions of article 5 of the power sharing agreement
signed on 15 September 2008 between the political parties of Zimbabwe as it relates to
the land reform program in Zimbabwe”. Nothing further was mentioned about this
power sharing agreement and the document was not in evidence during the proceedings
before me.
The minute ends on this rather endearing note:
31
“The South African delegation thanked the Zimbabwean Government for the
warm hospitality and cordial manner in which the discussions were conducted.”
[53] Annexure “K” is yet another telex, this time from Mr Ndou, former High Commissioner
of South Africa in Harare, and now the Ambassador in Tripoli. It is dated 26 September
2008 and addressed, inter alia, to the Deputy Director-General: Africa, Nkosi and
Director-General Ntsaluba.
This appears to be an account of Ambassador Ndou’s recollections of meetings and
other contacts which purportedly took place over the years between South African
officials (notably the High Commissioner) and Zimbabwean officials with regard to the
plight of South African farmers following the land invasions.
For reasons mentioned, I consider this to be totally irrelevant because it deals with
alleged events which took place prior to the supervisory mandamus being granted in
terms of order 4 and order 5.
Moreover, it is nothing more than a vague recollection. It concludes with the following
words:
“This report was compiled from the High Commissioner’s recollection of
events during his tenure in Zimbabwe from June 1999 to June 2005. The report
might not be in chronological order but it reflects events as they happened.
32
The Business Unit should feel free to consult the High Commissioner to seek
further clarity and any specific detail regarding the matter.”
There are also no supporting documents such as minutes of meetings and the like
attached to this vague account.
I fail to see how this document can be of any meaningful assistance for purposes of
deciding the issue at hand.
[54] The final annexure to the Ambassador’s affidavit which may require some comment is
an affidavit by one Randall Williams, Director: Legal-International Trade and
Investment at the Department of Trade and Industry. He says he is responsible for
negotiating Bilateral Investment Treaties (BITs).
He refers to the 2006 draft BIPPA, supra, and President’s Minute no 648, supra. He
also refers to an earlier draft BIPPA dated December 2003 under the blessing of
President’s Minute 514.
None of these were disclosed during the main proceedings before me.
33
I repeat my view that these disclosures are irrelevant for purposes of deciding whether
orders 4 and 5 were effectively complied with.
In any event, no BIPPA had been signed by the time this affidavit was deposed to. The
controversial article 11 is also alluded to in the affidavit of Mr Williams. There is
reference to disagreement between the two governments about the wording of article
11. The last word, evidently, came from Zimbabwe which proposed that article 11
should exclude investments relating to agricultural land made before the entry of the
proposed agreement. Of course, this whole debate is irrelevant and academical for
present purposes, because the proposed South African wording, supra, and the proposed
Zimbabwean wording both excluded any hope of diplomatic protection for applicant.
The events covered in the affidavit, such as they are, are irrelevant because they predate
orders 4 and 5.
This Williams affidavit, in my view, does nothing to enhance the case of the
respondents. If anything, given the disclosure of earlier BIPPA’s which came to naught,
it fortifies conclusions expressed in the main judgment that the government failed to
respond appropriately to the plight of its citizens and never showed any real intention to
comply with their constitutional obligations in this regard – see for example the remarks
in the main judgment at 562C-E.
Conclusionary remarks about the report and related matters
34
[55] For the reasons I have mentioned, I find that the respondents have failed to comply with
orders 4 and 5.
[56] In the first place, such failure flows from the fact that the respondents, and particularly
the third respondent, exhibited no interest whatsoever in attempting to comply with the
orders of this court. Her conduct borders on the contemptuous. Her conduct corresponds
with the lack of interest exhibited by all respondents in the main proceedings. Her
conduct also flies in the face of section 165(4) of the Constitution – see the main
judgment at 539I-540A.
[57] Where the respondents, against whom orders 4 and 5 were directed, took no part in the
proceedings, and failed to report by affidavit as they were instructed to do, and where
no proper basis was laid for the “authority” ultimately passed on to Ambassador
Mamabolo to deal with the matter, the report falls to be disregarded for that reason
alone, and in view of the relevant authorities as dealt with in the main judgment – at
540A-543D.
[58] In the second place, and on the assumption that my conclusions about the
disqualification of the report are wrong, I find that on a proper consideration of the
report, such as the one I conducted, orders 4 and 5 were still not complied with:
35
1. In an Aide Memoire, Ambassador Mamabolo and his team expressed the
intention “to adhere to the court order and to provide Mr Von Abo with
diplomatic protection as requested by him”. They did absolutely nothing of this
sort. The high-water mark of their efforts, at the meeting between the
delegations, was that they “requested that the Zimbabwean Government should
assist where representations are made by the South African Embassy on behalf
of South African farmers who are victims of illegal land occupation”. There is
no indication that this “request”, such as it was, would ever yield any form of
protection for the applicant.
2. There are no signs whatsoever of the respondents, through their junior
delegation, contemplating the employment of any of the recognised diplomatic
measures, which could have brought about diplomatic protection. These
measures were mentioned earlier in this judgment and also listed in the main
judgment at 545I-J.
There is no explanation for the abject failure to employ these recognized
measures, or any other effective measures which may have brought about
protection for the applicant.
36
3. In the celebrated words of the learned chief justice in Kaunda, at 262D, this
court was entitled to require the government to deal with the matter properly.
The respondents failed to do so.
4. In their comprehensive heads of argument, counsel for the respondents made
the following submission:
“In the premises it is submitted that the respondent have fully complied
with the supervisory order. As stated in Kaunda (their emphasis) they
have exercised such diplomatic measures as they deemed, in their
prerogative, were appropriate. The fact that such measures did not
yield the desired result, we submit, does not detract from the fact that
they discharged their constitutional obligation and consequently fully
complied with the court’s order.”
For the reasons mentioned, I disagree. On this argument offered by the
respondents, if I understand correctly, it would mean that a government, which
has the prerogative to decide on the nature of the diplomatic interventions to be
made, can opt for the most ineffective and weak measures, which have no
prospect of achieving the desired result, and still insist that their feeble efforts
pass constitutional muster because they have the prerogative to decide what
measures to adopt. To use the present example, the best the Mamabolo
delegation did was to “request that the Zimbabwean Government should assist
37
where representations are made by the South African Embassy on behalf of
South African farmers who are victims of illegal land occupation”. This was a
hopeless request with no prospect of inviting any protection for the applicant.
The same feeble attitude emerges from the Geerlings telex of 1 September 2008
that “the best of the South African Government could hope for is that the
Zimbabwean Government would give its co-operation in making it easier to
convince the judge that indeed enough diplomatic protection was given to Von
Abo, but that the Zimbabwean Government did not want to respond to these
pleas as it is convinced about the merits of its own Land Reform Process.”
To argue that these measures comply with the court order because it is the
prerogative of the government to decide what measures to adopt, is untenable.
It does not pass the test as expressed in Kaunda, Mohamed and Fose supra.
The task must be performed properly. The remedy afforded to an aggrieved
individual whose fundamental rights have been impaired (in this case by his
government) must be an effective one. It did not happen in the present case.
5. The “efforts” of the South African delegation, such as they are, are also not in
compliance with the declared policy of the South African Government, as
repeatedly expressed in assurances to Parliament by the third respondent from
2002 onwards. For example, in a written reply to Parliament, she said the
following in March 2002.
38
”The South African Government would continue to ensure the safety
and security of all its citizens, their property as well as South African
owned companies operating in foreign countries.”
– Record volume 6 p522. See also the discussion on the subject in the main
judgment at 538D-539E.
6. I am also of the view that the respondents, had they wished to do so, could have
taken advantage of the judgment by the Southern African Development
Community (SADC) tribunal in Windhoek as fortification for effective
diplomatic interventions on behalf of the applicant. The judgment, reported as
SADC (T) case no 2/2007, was handed to me for consideration during the
follow-up proceedings. It was a case between seventy nine farmers (including
farming companies) and the Republic of Zimbabwe as respondent. The court
consisted of five members presided over by Mr Justice PILLAY. The members
included Justices MTAMBO and MONDLANE and members Dr Kambovo and
Dr Tshosa.
Already in October 2007 some of the applicants filed an application with the
tribunal challenging the acquisition by the respondent of their agricultural land
in Zimbabwe. They also applied for, and were granted, interim relief on 13
December 2007 pending the determination of the main case. In terms of the
interim order the Republic of Zimbabwe was restrained from taking any steps
39
or permit any steps to be taken directly or indirectly to evict the applicants from
the peaceful residence and beneficial use of their properties. Subsequently,
seventy seven other persons applied to intervene in the proceedings. As far as I
can make out some of them are South African citizens. According to the final
judgment, the applicants were, in essence, challenging the compulsory
acquisition of their agricultural lands by the respondent. The acquisitions were
carried out under the Land Reform Program undertaken by the respondent.
Some of the conclusions arrived at by the tribunal are the following:
“(a) by unanimity, the Tribunal has jurisdiction to entertain the
application;
“(b) by unanimity, the applicants have been denied access to the
courts in Zimbabwe;
“(c) by a majority of 4 to 1, the applicants have been discriminated
against on the ground of race, and
“(d) by unanimity, fair compensation is payable to the applicants for
their land compulsorily acquired by the respondent.”
The tribunal, by unanimity, then ordered the respondent to take all necessary
measures to protect the possession, occupation and ownership of the lands of all
the applicants except three of them who had already been evicted from their
lands and to take all appropriate measures to ensure that no action is taken to
40
evict these applicants or interfere with their peaceful occupation and use of
their farms. In respect of the three that had been evicted the respondent was
ordered to pay compensation on or before 30 June 2009, which was long before
the follow-up proceedings came before me in October 2009. As I pointed out,
it also appears the minute of the meeting of the two delegations in Harare in
September 2008 that these proceedings were taken note of. The copy of the
judgment of the tribunal handed to me is undated, but it is clear, for the reasons
mentioned, that the final order must have been handed down before June 2009
(the date when compensation had to be paid to those evicted) and well before
the matter came before me for purposes of the follow-up proceedings.
Although this may be somewhat of a peripheral issue, I am of the view that
diligent government ministers, in the position of the respondents facing the
task to comply with orders 4 and 5, could also have relied on the judgment of
the tribunal to fortify their efforts to employ effective diplomatic interventions
on behalf of the applicant. They failed to do so.
[59] In all the circumstances I have come to the conclusion that the respondents have failed
to effectively comply with orders 4 and 5, so that the applicant’s claim for damages, as
contemplated in order 6 (main judgment at 567B-C) must come into play.
Constitutional damages
41
[60] It was held in the main judgment (more particularly, at 560C-566I) that the respondents
had acted unconstitutionally and, in the process, had violated the applicant’s right to
diplomatic protection as entrenched in the Constitution.
[61] On behalf of the applicant it was argued before me, during the follow-up proceedings,
that the applicant is entitled to be compensated for this breach of his constitutional right
and that, in the circumstances of this case, payment of damages, as compensation,
would be the appropriate relief to be granted.
[62] In my view, a consideration of the following words by the then learned Chief Justice,
CENTLIVRES, in Ministry of the Interior & Another v Harris & Others 1952 4 SA 769
(AD) at 780H-781B would be appropriate:
“… in other words the individual concerned whose right was guaranteed by the
Constitution would be left in the position of possessing a right which would be
of no value whatsoever. To call the rights entrenched in the Constitution
constitutional guarantees and at the same time to deny to the holder of those
rights any remedy in law would be to reduce the safeguards enshrined in
section 152 to nothing. There can to my mind be no doubt that the authors of
the Constitution intended that those rights should be enforceable by the Courts
of Law. They would never have intended to confer a right without a remedy.
The remedy is, indeed, part and parcel of the right. Ubi ius, ibi remedium … In
42
Dixon v Harrison, 124 E.R. 958 at p964, it was stated that the greatest absurdity
imaginable in law is:
‘that a man hath a right to a thing for which the law gives him no remedy;
which is in truth as great an absurdity, as to say, the having of right, in law, and
having no right, are in effect the same’.”
[63] The translation of ubi ius, ibi remedium, offered by Hiemstra and Gonin, Trilingual
Dictionary 2nd edition p294 is: “Where there is a right, there is a remedy.”[64] In
MEC, Department of Welfare, Eastern Cape v Kate 2006 4 SA 478 (SCA) the
following is said at 489G-491B:
“Fose v Minister of Safety and Security [1997 (3) SA 786 (CC)] recognised
that, in principle, monetary damages are capable of being awarded for a
constitutional breach. In that case ACKERMANN, J made the following
general, but important, observation in the context of the interim Constitution:
‘I have no doubt that this Court has a particular duty to ensure that, within the
bounds of the Constitution, effective relief be granted for the infringement of
any of the rights entrenched in it. In our context, an appropriate remedy must
men an effective remedy, for without effective remedies for breach, the values
43
underlying and the right entrenched in the Constitution cannot properly be
upheld or enhanced. Particularly in a country where so few have the means to
enforce their rights through the Courts, it is essential that, on those occasions
when the legal process does establish that an infringement of an entrenched
right has occurred, it be effectively vindicated. The Courts have a particular
responsibility in this regard and are obliged to “forge new tools” and shape
innovative remedies, if needs be, to achieve this goal.’
Earlier, the learned judge said the following (my note: at paragraph [60] of the
report):
‘It seems to me that there is no reason in principle why further “appropriate
relief” should not include an award of damages where such an award is
necessary to protect and enforce chapter 3 rights. Such awards are made to
compensate persons who have suffered loss as a result of the breach of a
statutory right if, on a proper construction of the statute in question, it was the
Legislature’s intention that such damages should be payable, and it would be
strange if damages could not be claimed for, at least, loss occasioned by the
breach of a right vested in the claimant by the supreme law. When it would be
appropriate do so, and what the measure of damages should be will depend on
the circumstances of each case and the particular right which has been
infringed.’
44
[24] Monetary damages for a constitutional breach have since been awarded
by the Court, and endorsed by the Constitutional Court in
Modderfontein Squatters, Greater Benoni City Coucil v Modderklip Boerdry
(Pty) Ltd (Agri South Africa and Legal Resources Centre amici curiae);
President of the Republic of South Africa & Others v Modderklip Boerdery
(Pty) Ltd (Agri SA and Legal Resources Centre, amici curiae) [my note: the
references are 2004 6 SA 40 (SCA) and 2005 5 SA 3 (CC).] In the decision of
this Court HARMS, JA said the following:
‘Courts should not be overawed by practical problems. They should “attempt to
synchronise the real world with the ideal construct of a constitutional world”
and they have a duty to mould an order that will provide effective relief to those
affected by a constitutional breach.’ (My note: at paragraph [42]).
[25] In Fose the Constitutional Court emphasised that it was ‘not required to
answer the question … whether an action for damages in the nature of
constitutional damages exists in law, nor whether an order for the payment of
damages qualifies as appropriate relief … in respect of a threat to or
infringement of any of the rights in chapter 3’ but was concerned only with the
much narrower task of deciding whether an award of damages was appropriate
in relation to the particular breach that was there in issue. Similarly, in this
case, we are not called upon to answer those questions broadly and in the
abstract – and I do not do so – but only to decide whether the particular breach
45
that is now in issue is deserving of relief in the form of the monetary damages
that are now claimed. Whether relief in that form is appropriate in a particular
case must necessarily be determined casuistically, with due regard to, among
other things, the nature and relative importance of the rights that are in issue,
the alternative remedies that might be available to assert and vindicate them,
and the consequences of the breach for the claimant concerned.” (Emphasis
added)
[65] In Kate, an appropriate award of damages was made. In the present case, the nature of
the damages sustained by the applicant was illustrated in the main judgment. Through
the, as yet unexplained, failure of the respondents to assist him properly, the applicant
lost the fruits of the hard work of a lifetime. Had the respondents properly performed
their constitutional duty of awarding diplomatic protection to the applicant, when they
were first approached to do so almost a decade ago, these damages would not have been
sustained.
I cannot see how any relief, other than a damages award, can be ‘appropriate relief” as
explained in Fose, Kate and other authorities, and as intended by the provisions of theConstitution, notably, perhaps, the provisions of section 38 thereof. I see no alternative
relief; this court cannot, for lack of jurisdiction, for example order the reinstatement of
the applicant on his properties.
46
The nature and importance of the rights of the applicant that were infringed and that are
in issue, were illustrated in the main judgment. The same applies to the consequences
of the breach on the part of the respondents for the application concerned.
A damages award, would, in my view, be in line with the principles laid down by the
learned judge of appeal in the above quoted passage to be found in Kate, at 490G-491B.
66] It remains for me to deal with the argument presented on behalf of the respondents in
opposing the notion of a damages award. By way of illustration, I quote the following
extract from the heads of argument offered by counsel for the respondents:
”A temporary neglect to assist Mr Von Abo as was found by this honourable
court, does not create any casual link between what the Zimbabwean
Government did and the fact that Mr Von Abo had yet not received redress in
any material form. Diplomacy is an ongoing process and it is for the
respondents now to assist Mr Von Abo as far as they can. A finding that the
respondents failed to perform their constitutional responsibility in regard to
diplomatic assistance to Mr Von Abo, as the court found in casu, does not and
cannot automatically give rise to damages especially not in the event where it is
clear that whatever they may have done in the past up until this moment would
not have persuaded the Zimbabwean Government to abandon or reverse their
execution of the Land Reform Program.”
47
[67] I cannot agree with these submissions. The internationally recognised forms of
diplomatic intervention, supra, have been designed to force offending states to tow the
line. There is no room for an argument that diplomatic intervention becomes toothless,
simply because the offending state exhibits no intention ever to co-operate. It is
precisely under those circumstances when the recognised interventions, supra, come
into play; the strength of the intervention, as illustrated, depends on the level of
resistance.
South Africa is the power house of the region. It is common knowledge that Zimbabwe
is dependent on South Africa for almost every conceivable form of aid and assistance. I
see no reason why the respondents cannot apply the necessary pressure, under these
circumstances, to assist their valuable and long suffering citizens, such as the applicant.
In breach of their constitutional duties, the respondents have refrained from affording
such assistance for almost a decade. To date, they have brought about no meaningful
assistance for the applicant whatsoever. This state of affairs may well continue into the
future. The time has arrived for this court to afford the applicant appropriate and
effective relief as illustrated in Fose, Kate and other judgments.
The order
[68] I make the following order:
48
1. It is declared that the first and third respondents, jointly and severally, the one
paying the other to be absolved, are liable to pay to the applicants such damages as
he may prove that he has suffered as a result of the violation of his rights by the
Government of Zimbabwe.
2. The question of the quantum of the damages is referred to oral evidence.
3. The usual rules will apply with regard to discovery, expert evidence and the holding
of a pre-trial conference.
4. The respondents, jointly and severally, are ordered to pay the applicant’s costs
arising from this follow-up hearing, including the costs of two counsel.
W R C PRINSLOO
JUDGE OF THE NORTH GAUTENG HIGH COURT
3106-2007
HEARD ON: 12 and 13 October 2009
FOR THE APPLICANT: P Hodes SC assisted by A Katz
INSTRUCTED BY: W J Herbst c/o E J V Penzhorn
FOR THE RESPONDENTS: P J J de Jager SC assisted by M Mphaga and M Sello
INSTRUCTED BY: The State Attorney