IN THE SUPREME COURT OF INDIA
Reported in (1999) 6 SCC 669 = AIR 1999 SC
2979.
Justice. S. Saghir Ahmad, Justice.K. Venkataswami
& Justice S. Rajendra Babu
S. Saghir
Ahmad, J.
This is a Review Petition in Writ Petition No. 26 of 1995 which was filed by
Mr. H.D. Shorie for the following reliefs :-
"(i) Pass an appropriate writ, order or orders directing the Respondents
1 to 3 to specifically declare as to when the Union of India will now bring
before the Parliament an appropriately drafter Bill for enactment of
legislation for the establishment of the institution of Lokpal, or a suitable
alternative system of the nature of Ombudsman which is operating in a number
of other countries, for checking and controlling corruption in public offices,
inter alia, at the political and bureaucratic levels, and whether in the
enactment of such legislation they will take into consideration the
suggestions that have emanated from the suggestions that have emanated from
the Colloquium recently organised under the auspices of Indian Institute of
Public Administration with the participation of foreign and Indian experts for
examining various aspects of the matter relating to establishment of Ombudsman
institution in this country;
(ii) Pass an appropriate writ, order or orders directing that the
institutional and organisation of the Comptroller and Auditor General of
India, Chief Vigilance Commissioner, and the Central Bureau of Investigation
should indicate to the Hon'ble Court the specific steps which they will take
for effectively overcoming any inadequacies and weaknesses in the operations
of these important institutions which presently hamper effective and
efficacious check on prevalence of corrupt practices in the country and to
curb corruption at all political and bureaucratic levels;
(iii) Pass an appropriate writ, order or orders appointing a Commission or
Commissioner to urgently undertake comprehensive study of the present
inadequacies in the Prevention of Corruption Act 1947 for making specific
recommendations to strengthen this enactment for achieving the objective of
curbing and checking corruption at the political and bureaucratic levels in
the country;
(iv) Pass an appropriate writ, order or orders directing the State Governments
Respondents to indicate to the Hon'ble Court as to when they propose
implementing the specific suggestions which have been made for strengthening
and improvement of the functioning of the system of Lokayukta, including inter
alia, the following :
a) To ensure expeditious establishment of the institution of Lokayukta and Up-Lokayukta
in every State;
b) To achieve uniformity in the provisions of various Lokayukta and
Upa-Lokayukta Acts; and
c) To confer Constitutional statute on the institution of Lokayukta."
2. The petition was taken up by this Court on 10.2.95 when the following Order
was passed :-
"After hearing Mr. Shourie, appearing in-person, we give him liberty to
amend the petition by making broad base on the subject of curbing corruption
in the country. To come up on 24.2.1995."
On 10.5.95, the following Order was passed :-
"We request the Supreme Court Legal Aid Society to depute a counsel to
assist us in this case alongwith Mr. Shourie, Adv. The Legal Aid Society shall
also serve the unserved respondents by depositing the necessary process fee
and other expenses. To be listed on 11th August, 1995. All affidavits and
counter affidavits may be tendered in the Registry."
3. On 11.8.95, the Court passed the following Order :-
"Mr. Shourie, the petitioner appearing in-person, states that it is of
utmost importance to have a Lok Pal to curb corruption in the country. Mr.
Gupta, learned Solicitor General States that efforts have been made more than
once to have consensus regarding the terms and conditions of the proposed
bill. According to him efforts are still being made. It is a matter which
concerns the parliament and the Court cannot do anything substantial in this
matter. Short of that, learned Solicitor General states that he would apply
his mind to the various aspects raised in this petition and make some useful
suggestions. Mr. Muralidhar, appearing as amicus curiae to assist us, also
states that he would examine the various reports submitted by Comptroller and
Auditor General from time to time and in consultation with the Solicitor
General and Mr. Shourie make same suggestions for the consideration of this
Court.
Mr. Shourie has invited out attention to a news item in the front page of
Indian Express of Friday August 11, 1995 under the caption "In Satish
Sharma's reign, petrol and patronage flow together. It is not possible for us
to take any action on the press report. On our suggestion the Solicitor
General takes notice of this news item and states that he would have the
matter examined in the Ministry concerned and shall file an affidavit of the
Secretary concerned in the Ministry reacting to this news item. He may file
the affidavit within the period of eight weeks.
The writ petition is adjourned to 13.10.95."
4. The petition, thus, was diverted towards Captain Satish Sharma who was, at
that time, Minister of State for Petroleum and Natural Gas in the Central
Government. By Judgment dated September 25, 1996, 1996(6) SCC 530 all the 15
petrol outlets, allotted by the Minister to various persons out of his
discretionary quota, were cancelled and the following directions were issued
to Captain Satish Sharma (petitioner) :-
"Capt. Satish Sharma shall show-cause within two weeks why a direction be
not issued to the appropriate police authority to register a case and initiate
prosecution against him for criminal breach of trust or any other offence
under law. He shall further show-cause within the said period why the should
not, in addition, be made liable to pay damages for his mala fide action in
allotting petrol pumps to the above mentioned fifteen persons."
5. The petitioner submitted the reply to the show-cause notice which was
disposed of by judgment dated November 4, 1996 [1996(6) SCC 593]. The
following operative Order was passed :-
"We are of the view that the legal position that exemplary damages can be
awarded in a case where the action of a public servant is oppressive,
arbitrary or unconstitutional is unexceptionable. The question for
consideration, however, is whether the action of Capt. Satish Sharma makes him
liable to pay exemplary damages. In view of the findings of this Court in
Common Cause Case quoted above the answer, has to be in the affirmative.
Satish Sharma's actions were wholly arbitrary, mala fide and unconstitutional.
This Court has given clear findings to this effect in the Common Cause case.
We, therefore, hold that Capt. Satish Sharma is liable to pay exemplary
damages.
We have heard Mr. HN Salve on the question of quantum. Mr. Salve has
vehemently contended that Capt. Sharma was a part of the system which was
operating before his joining as a Minister. According to him the types of
wrongs were being committed even earlier on the assumption that the Minister's
discretion was to be exercised on his subjective satisfaction. He has further
contended that since the concept of absolute liability of public servants for
misfeasance has been of recent origin in this country even while awarding
exemplary damages leniency should be shown. There is some plausibility in the
contentions raised by Mr. Salve. After examining all the facts and
circumstances of this case and giving thoughtful consideration to this aspect,
we direct Capt. Satish Sharma to pay a sum of Rs. lacs as exemplary damages to
the Government Exchequer. Since the property with which Capt. Sharma was
dealing was public property, the government which is "by the people"
has to be compensated. We further direct Capt. Sharma to deposit the amount
with the Secretary, Ministry of Finance, Government of India within nine
months from today. The amount if not paid, shall be recoverable as arrears of
land revenue."
6. The present Review Petition relates to these two judgments.
7. The Review Petition was put up before the Bench comprising of Hon. Bharucha
and Faizen Uddin, JJ. on 28.1.1997 when the Court directed "Issue notice
on the Review Petition."
8. On notice being served on Mr. H.D. Shorie, he filed his reply to the Review
Petition on 21.2.1997.
9. The office report dated 30th June, 1997 is to be following effect :
"In the matter above-mentioned, this Court on 28th January, 1997 directed
to issue notice of the Review Petition.
Accordingly, notice was issued to both the respondents and hence the service
of notice is complete as both th respondents are represented by Mr. H.D.
Shourie, Respondent in person and Ms. Anil Katiyar, Advocate for Respondent
No. 2.
Mr. Ashok K. Mahajan, advocates has filed Application for impleadment on
behalf of Mr. Arun K. Gupta, resident of Kothi No. 68, Sector VIIIA,
Chandigarh and also seeking stay of further investigation by CBI during
pendency of Review Petition. Since the said Application was not served on
other side, a letter dated 4th March, 1997 and another letter dated 30th June,
1997 was issued to Mr. Ashok K. Mahajan to serve it on Mr. H.D. Shourie,
Respondents No. 1 and Mrs. Anil Katiyar representing Respondents No. 2 and Mr.
P.H. Parekh, Advocate. He was also requested to furnish proof of service but
he has not furnished the same so far.
Further, Mrs. Sandhya Goswami, Advocate has also filed four separate
Applications for impleadment on behalf of M/s. Shiv Balan Pasi, Syed Hassan
Saukat Abidi, Dharmesh Kumar and Pradeeep Kumar without serving its copies on
the other sides. She was asked to serve the same on all the parties and
furnish proof of service but the same has not been furnished by her so far.
All the applications for impleadment as party are being circulated to Hon'ble
Judges with this office report.
It is further submitted that Mrs. Anil Katiyar, Advocate has filed an
Application for Clarification and modification of order dated 25th September,
1996 which has been registered as I.A. No. 6. Further she has also filed
counter affidavit on behalf of Union of India deposed by Director, Ministry of
Petroleum and Natural Gas, Government of India. The said Application and
counter affidavit are being circulated with this office report for
orders."
10. Thereafter, the matter came up before the Bench comprising of Hon. SC Sen
and Sujata Manohar, JJ., on 8.7.1997. Mr. H.D. Shourie, who had filed the Writ
Petition (C) No. 26 of 1995, was present in person, but the case was adjourned
to 25th of July, 1997. On 25.7.1997, the case was shown in the cause-Ist, but
the following notice was also published in that cause list :
"TAKE NOTICE THAT the above mentioned matters listed in Court No. 8
before a Special Bench of Hon. Mr. Justice S.C. Sen and Hon. Mrs. Justice
Sujata v. Manohar, as Item Nos. "C" and "D" in the Daily
List for 25th July, 1997 issued on 19th July, 1997 will not b e taken up for
hearing and the same adjourned to 22nd August, 1997.
BY ORDER 33
Dated this the 25th day of July, 1997."
11. The case was thus adjourned to 22.8.1997 and on that date the Bench
comprising of Hon. SC Sen and Sujata Manohar, JJ., adjourned the case to
9.9.1997. Mr. K. Parasaran, Senior Counsel appearing for the petitioner, was
directed to give his written arguments. On 1.9.1997, Mr. Gopal Subramaniam,
Senior Counsel, was appointed as amicus curiae. When the case came up before
the Bench of Hon. SC Sen and Sujata Manohar, JJ. Their Lordships released the
case with the further direction that it would not be treated as part-heard
with him. 27.3.1998, the case came up before the Bench of Hon. SC Agrawal and
Sujata Manohar, JJ. when the following order was passed :
"Since the argument on this petition is likely to take some time it is
directed that the matter may be listed on a non-miscellaneous day. The
Registrar Judicial will take appropriate directions from Hon'ble the Chief
Justice for listing the matter before an appropriate bench."
12. It was thereafter that the matter was placed before this Bench. We have
heard learned counsel for the parties. We have also heard Mr. Gopal
Subramaniam, Senior Counsel, (Amicus Curiae).
13. Mr. K. Parsaran, learned Senior Counsel for the applicant, has contended
that since the applicant was Ministry of State for Petroleum in the Central
Government and it was in his capacity as an essential component of the Central
Government, that he had made allotment of Petrol Pumps out of his
discretionary quota, his act in making the allotments shall be treated to be
the act of the Central Government with the result that even if such allotments
were cancelled on the ground of arbitrary exercise of power, the Court could
not have legally directed exemplary damages to be paid by the Government to
himself. He also contended that the jurisdiction of this Court under Article
32 was limited, unlike the vast jurisdiction of the High Courts under Article
226 of the Constitution and, therefore, in exercise of the limited
jurisdiction, the Court cannot award exemplary damages for the "tort of
misfeasance in office", as in the proceedings under this Article, which
constitute Public Law proceedings, damages can be awarded only for the
violation of the Fundamental Rights of citizens either by the Government or
its officers specially the Rights to Life, but not for "Tort" for
which action should have been initiated under the Private Law by filing a suit
in a Court of competent jurisdiction.
14. Learned counsel for the petitioner contended that the petitioner being a
Minister of State in the Union Cabinet was a part of the government and his
act being the act of the President, as the petitioner was in the Central
Cabinet, the same could not be made the basis of action for damages under the
Law of Torts and, therefore, under Public law as well, the petitioner could
not be held liable to damages or, for that matter, exemplary damages.
15. Relying upon the decision of this Court in Samsher Singh & another v.
State of Punjab, 1975(1) SCR 814 : AIR 1974 SC 2192, which specifically dealt
with the business rules of the Union Cabinet and laid down that the act of a
Minister would be treated as the act of the President or the Governor, as the
case may be, learned counsel for the petitioner contended that if the
petitioner, in exercise of his discretionary power, had allocated or allotted
petroleum outlets to needy persons, he would be treated to have acted only on
behalf of the President and his act could not be questioned in any court,
including this Court, nor could the act of allotment of petrol outlets to
various persons constitute a basis for damages. The contention further is that
the petitioner having acted as Minister of State, his act would be treated to
be the act of the entire Cabinet which, on the principle of 'collective
responsibility', would be treated to have endorsed the act of the petitioner
in making the allotments of Petrol outlets and since the Cabinet is answerable
to the Parliament, where the allotments were not questioned, the same cannot
be questioned here in this Court.
16. We have seriously considered the contention of Mr. Parasara, as set out
above, but we are unable to agree with him on the broad proposition placed
before us.
17. The Executive power of the Union is vested in the President under Article
53 of the Constitution. The extent of the Executive power is indicated in
Article 73. The next Article, namely, Article 74 provides for a Council of
Ministers to aid and advise the President. Article 75(3) speaks of the
collective responsibility of the Cabinet which provides that the Cabinet shall
be responsible to Parliament. Article 77 provides for the conduct of business
of the Government of India and clause (3) thereof empowers the President to
make rules for the convenient transaction of its business and for allocation
amongst Ministers of the said business. It is in exercise of this power that
rules that allocation of business have been framed under which various
divisions of work to different Ministries have been indicated. Distribution of
petroleum products, including petroleum outlets, is also one of the subjects
which has been allocated to the Ministry of Petroleum.
18. The functions of the Govt. are carried out in the name of the President by
Minister appointed by him on the advice of the Prime Minister. The Executive
consists of :
a) Prime Minister and Ministers who are members of the Cabinet;
b) Ministers who are not of Cabinet rank;
c) The Civil Service.
19. Since the functions of the Govt. are carried on by the Executive in the
name of the President on the advice of Ministers, they (Ministers) alone are
answerable to the Parliament. The Civil Service as such has no Constitutional
personality or responsibility separate from the duly constituted Govt.
20. Article 77(1) and (2) provide that whatever executive action is taken by
the Government of India, the same shall be expressed to have been taken in the
name of the President.
21. Executive power is not defined in the Constitution. Article 73 relating to
the Union of India and Article 163 relating to the State deal primarily with
the extent of executive power. In Rai Sahib Ram Jawaya Kapur v. State of
Punjab, 1955(2) SCR 225 : AIR 1955 SC 549, the then Chief Justice Mukherjee
pointed out :-
"It may not be possible to frame an exhaustive definition of what
executive function means and implies. Ordinarily the executive power connotes
the residue of governmental functions that remain after legislative and
judicial functions are taken away."
22. This judgment also deals with the concept of Cabinet, the Council of
Ministers, its collective responsibility and how the Executive functions
subject to the control of the Legislature. It is laid down that although the
president is the head of the Executive, he acts on the aid and advice of the
Council of Ministers, headed by the Prime Minister, who are all members of the
Legislature and since the President has to act upon the advice of the Council
of Ministers, the Legislature indirectly controls the functioning of the
Executive. The relevant portions are extracted below :-
"Our Constitution, though federal in its structure, is modified on the
British Parliamentary system where the executive is deemed to have the primary
responsibility for the formulation of governmental policy and its transmission
into law though the condition precedent to the exercise of this responsibility
is its retaining the confidence of the legislative branch of the State..... In
India, as in England, the executive has to act subject to the control of the
legislature; but in what way is this control exercised by the legislature ?
Under Article 53(1) .., the executive power of the Union is vested in the
President but under Article 75 there is to be a Council of Ministers with the
Prime Minister at the head to aid and advice the President in the exercise of
his functions. The President had thus been made a formal or constitutional
head of the executive and the real executive powers are vested in the
Ministers or the Cabinet. The same provisions obtain in regard to the Govt. of
States; the Governor.. occupies the position of the head of the executive in
the State but it is virtually the council of Ministers in each State that
carries on the executive Govt. In the Indian Constitution, therefore, we have
the same system of parliamentary executive as in England and the Council of
Ministers consisting, as it does, of the members of the legislature is, like
the British Cabinet, a hyphen which joins, a buckle which fastens the
legislative part of the State to the executive part. The Cabinet enjoying, as
it does, a majority in the legislature concentrates in itself the virtual
control of both legislative and executive functions; and as the Ministers
constituting the Cabinet are presumably agreed on fundamentals and act on the
principle of collective responsibility, the most important questions of policy
are all formulated by them."
23. This decision was referred to in State of M.P. v. Thakur Bharat Singh,
1967(2) SCR 454 : AIR 1967 SC 1170, wherein it was held that if the executive
action of the Government affected prejudicially the rights of any citizen,
such action could be justified only if it was supported by the authority of
law. The concept and the extent of executive action was also examined by this
Court in Naraindas Indurkhva v. State of M.P., 1974(3) SCR 624 : 1874(4) SCC
788 : AIR 1974 SC 1232, in which the decision in Rai Saheb Ram Jawava Kapur's
case (supra) was followed it was laid down that the State Government could
prescribed text books in the exercise of its executive owner so long as it did
not infringe the rights of anyone. This decision was reiterated in Jayantilal
Amratlal Shodhan v. F.N. Rana, 1964(5) SCR 294 : AIR 1964 SC 648 and again in
Bishambhar Dayal Chandra Mohan v. State of U.P., 1982(1) SCC 39 : 1982(1) SCR
1137 : AIR 1982 SC 33. The whole constitutional position was reconsidered by a
Seven-Judge Bench of this Court in Samsher Singh & another v. State of
Punjab, 1975(1) SCR 814 : 1974(2) SCC 832 : AIR 1974 SC 2192, in which the
decision in B.K. Sardari Lal v. Union of India, 1970(1) SCC 411 : 1971(3) SCR
461 : AIR 1971 SC 1547 was specifically overruled and it was held that under
Article 74(1), it is the function of the Council of Ministers to advise the
President over the whole of the Central field and nothing is excepted from
that field by this Article. It was also pointed out that the Constitution of
India has adopted the parliamentary or the Cabinet form of government on the
British model. The principle of English Constitutional Law that the King does
not act on his own, but on the advice of Council of Ministers is embodied in
the Indian Constitution as may be evidence from the following words of Justice
Krishna Iyer in that case :-
"Not the Potomac, but the Thames, fertilizes the flow of the Yamuna, if
we may adopt a riverine imagery. In this thesis, we are fortified by
precedents of this Court, strengthened by Constituent Assembly proceedings and
reinforced by the actual working of the organs involved for about a 'silver
jubilee' span of time."
24. It was also pointed out in this case that the words "business of the
Government of India" and "the business of the Government of
State", as used in Articles 77(3) and 166(3), include "all executive
business." Seervai in his treatise "Constitutional Law of
India", Silver Jubliee Edition, Fourth Edition, on page 2037 has, after a
critical analysis of the judgment, extracted the following principles on the
"business of the Government of India and allocation of business among
Ministers." :-
"(i) The expression "business of the Government of India" and
"the business of the Government of the State" in Arts. 77(3) and
166(3) includes "all executive business."
(j) "Where the Constitution required the satisfaction of the President or
the Governor for the exercise of any power or function by the President or the
Governor as the case may be the satisfaction required by the Constitution is
not the personal satisfaction of the President or the Governor but is the
satisfaction of the President or of the Governor in the constitutional sense
under the Cabinet system of government.....It is the satisfaction of the
Council of Ministers on whose aid and advice the President or the Governor
generally exercises all hs powers and functions...." Arts. 77(3) and
166(3) provide that the President or the Governor shall make rules for the
more convenient transaction of the business of governments and the allocation
of functions among Ministers. Rules of business and the allocation of
functions to Ministers indicate that the satisfaction of the Minister or the
officer is the satisfaction of the President or the Governor.
(k) Rules of business and allocation of business among Ministers are relatable
to Arts. 53 and 154 which provide that executive power shall be exercised by
the President and by the Governor either directly or through subordinate
officers. The provisions made in Arts. 74 and 163 for a Council of Ministers
to aid and advice the President and the Governor "are sources of the
business."
(l) Where the functions entrusted to a Minister are performed by an officer
employed in the Minister's department, there is in law no delegation to that
officer because the act or decision of the officer is hat of the Minister
Halsbury, Vol. 1, 4th ed. para 748."
25. In view of the discussion held above, it will be seen that though an order
is issued in the name of the President, it does not become an order of the
President passed by him personally, but remains, basically and essentially,
the order of the Minister on whose advice the President had acted and passed
that order. Moreover, as required by Article 77(1), all executive actions of
the Govt. of India have to be expressed in the name of the President; but this
would not make that order an order passed by the President personally. That
being so, the order carries with it to immunity. Being essentially an order of
the Govt. of India, passed in exercise of its Executive functions, it would be
amenable to judicial scrutiny and, therefore, can constitute a valid basis for
exercise of power of judicial review by this Court. The authenticity, validity
and correctness of such an order can be examined by this Court in spite of the
order having been expressed in the name of the President. The immunity
available to the President under Article 361 of the Constitution cannot be
extended to the orders passed in the name of the President under Article 77(1)
or Article 77(2) of the Constitution.
26. The related question as to the liability of the Minister to pay damages to
the Govt. will be considered by us while dealing with the "Tort of
Misfeasance in Public Office" and payment of exemplary damages to the
Govt.
27. The other aspect of the matter as argued by Mr. K. Parasaran as to the
"collective responsibility" of the Cabinet with regard to the
allotment of petrol outlets made by the petitioner in exercise of his
discretionary quota may now be considered. It is contended by Mr. K. Parasaran
that under the scheme of the Constitution, any order passed by the Minister
shall be treated to be an order passed by the Cabinet which is collectively
answerable to the House of the People under Article 75(3). It is contended
that an order passed by the Minister individually in favour of various persons
to whom petrol outlets were allotted cannot be questioned as it was not raised
before the House of the People to whom the Cabinet, as a whole, was
answerable. The whole series of allotments made by the petitioner could then
have been debated before the House and since this was not done, it is not open
to question those allotments in this Court by a writ petition and the
proceedings were meant only to embarrass and harass the Cabinet. It is also
contended that the petitioner had the jurisdiction to make allotments of
petrol outlets and the discretionary quota allowed to him was utilised for
that purpose. Since it is not the case that the jurisdiction was, in any way,
exceeded or that allotments were made in excess of the quota or for monetary
consideration, the same need not have been scrutinised by this Court nor could
such allotments be made the basis for awarding exemplary damages or
investigation by C.B.I.
Let us examine the viability of these submissions.
28. Our Constitution provides for a Parliamentary form of Govt. Article 79
provides that there shall be a Parliament for the Union which shall consist of
the President and two Houses known respectively as Council of States and the
House of the People. Article 80 provides for the composition of the Council of
States while Article 81 provides for the composition of the House of the
People. Article 81 further provides that the House of the People shall consist
of : (a) not more than 530 members chosen by direct election from territorial
constituencies in the States; and (b) not more than 20 members to represent
the Union Territories chosen in such manner as Parliament may be law provide.
Article 83 provides for the duration of Houses of Parliament while Article 85
provides for the Sessions of Parliament, prorogation of the Houses or either
House and dissolution of the House of the people. Article 86 speaks of the
right of the President to address and send messages to Houses while Article 87
provides for Special Address by the President after each General Election to
the House of the People and at the commencement of the first session of each
year. Once the election to the House of the People is complete, comes the
stage for the appointments of Prime Minister and Council of Ministers to aid
and advise the President as provided by Article 74. Since the elections are
contested principally by the political parties who set up their candidates at
the election, there is tacit understanding in keeping with the British
convention, that the party which has secured the majority in the House of the
People would govern while the parties which are in the minority would sit in
the Parliament as members of the "Opposition." It is on account of
this convention that the President invites the leader of the political party
which was obtained majority, to form the Govt. The President appoints the
Prime Minister and then the Ministers are appointed on the advice of the Prime
Minister, who constitute the Council of Ministers. Article 75(3) provides that
the Council of Ministers shall be collectively responsible to the House of the
People.
29. The concept of "collective responsibility" is essentially a
political concept. The country is governed by the party in power on the basis
of the policies adopted and laid down by it in the Cabinet Meeting.
"Collective Responsibility" has two meanings. The first meaning
which can legitimately be ascribed to it is that all members of a Govt. are
unanimous in support of its policies and would exhibit that unanimity on
public occasions although while formulating the policies, they might have
expressed a different view in the meeting of the Cabinet. The other meaning is
that Ministers, who had an opportunity to speak for or against the policies in
the Cabinet are thereby personally and morally responsible for its success and
failure.
30. In the British Constitution & Politics 5th Edition by J. Harvey and L.
Bather, it is said as under :
"Except when a minister explains the reasons for his resignation,
parliament hears nothing of the Cabinet's current deliberations. These remain
secret, and only decisions as a whole are reported to the House when Policy is
announced. Any leakage of divergent views held by ministers would, as during
Queen Victoria's reign, seriously weaken the Government. In its decisions,
'the Cabinet is a unity to the House'. While a minister can speak against any
proposal in a Cabinet meeting, he must either support the policy decided upon
or resign. Recent resignations of this nature are Frank Cousins (Prices and
Incomes Bill, 1966) and Lord long ford (education cuts, 1968). But such
resignations are infrequent. Ministers come from the same party and, at least
initially, are fairly homogeneous in their political views. In any case, a
former minister is unlikely to cross the floor of the House and join the
Opposition. His disagreement with the Government is usually over only one
issue and his basic political outlook remains unchanged.
Thus the Cabinet stands or falls together. Where the policy of a particular
minister is under attack, it is the government as whole which is being
attacked. Thus the defeat of a minister on any major issue represents a defeat
for the Government. However, today, unlike the nineteenth century, such
defeats do not occur. The use of rigid party discipline ensures that the
Government can always obtain a majority vote. Nevertheless, criticism may e so
severe and widespread that the Government may modify its policy. If the
minister identified with it feels that his prestige with the party has been
badly damaged, he may resigns, e.g. Sir Samuel Hoare (1935) over the proposals
to partition Abyassinia.
In practice, therefore, all that collective responsibility means today is that
every members of the Government must be prepared to support all Cabinet
decisions both inside and outside the House."
"The doctrine of collective responsibility has practical advantages.
First, it counteracts departmental separation for each Minister has to be
concerned with polities of other departments. Second, it prevents that policy
of one department being determined unilaterally. Since it is the Cabinet as a
whole which decides, ministers are less likely to be over-influenced by their
civil servants. Third, it ensures that Cabinet decisions are based on
principles and not on personalities.
Collective responsibility does not apply to a Minister's responsibility for
his permanent officials or for his personal mistakes."
31. It this connection, an extract from "The British Cabinet" by
John P. Machintosh, 1962 Edn., is set out below as it is also extremely
relevant for this case.
"Much has been said and written about the responsibility of ministers.
The discussion can easily become confused because of the different meanings
that are attached to the word "responsible'. Collective responsibility
will be discussed below, and the first task is to consider whether there is
any separate element of individual responsibility. The most common political
meaning is that a certain minister will answer parliamentary questions on a
given subject. A second sense arises when those in political circles
appreciate that a particular policy is largely the idea of the minister,
rather than the traditional policy of the party in power, and they may single
out the minister for attack. For instance, in 1903-05 Wyndham was perusing his
land purchase schemes for Ireland in a manner which alarmed many Conservatives
and would certainly have been unlikely under any other Chief Secretary. A
third sense is simply that a minister a responsible even if a policy is the
work of the Cabinet as a whole but his colleagues choose to place the burden
upon him. Thus Sir Samuel Hoare though he was acting in accordance with the
views of the ministry in concluding the Hoare-Level Pact and his decisions
were subsequently endorsed by the Cabinet till opposition became acute. He was
then asked to disavow and denounce his actions but preferred, "accepting
his responsibility," to resign. There is, in addition, the normal moral
sense of the word meaning "culpable" and a minister may, like a
private individual, feel responsible if he could by greater wisdom or exertion
have prevented some unfortunate occurrence.
The one aspect that remains is the alleged obligation on a minister to resign
when he or one of his subordinates has blundered. The origin of this notion is
fairly clear. It dates from the 1850s and 1860s when it was reasonable to
assume that a minister could watch over every significant action of his
department. Even then, there would have been no need to acknowledge errors in
this way but for the power of the House of Commons to move and carry a motion
censuring the individual in question without necessarily dislodging the
government."
32. From the above, it will be seen that in spite of the fact that the Council
of Ministers is collectively responsible to the House of the People, there may
be an occasion where the conduct of a Minister may be censured if he or his
subordinate have blundered and have acted contrary to law.
33. No doubt it was open to the House of the People (Lok Sabha) to take up the
issue of the abuse of discretionary quota by the petitioner in his capacity as
the Minister of State for Petroleum, and his conduct could have been debated
and scrutinised on the floor of the House, but the mere fact this was not done
would not mean that the allotments of petroleum outlets by him were immune
from judicial scrutiny by this Court under Article 32 of the Constitution.
Therefore, even if the matter was not raised on the floor of the Lok Sabha, it
would be amenable to the jurisdiction of this Court under Article 32 of the
Constitution.
34. Even in England, all ministers and servants of the Crown are accountable
to the courts for the legality of their actions, and may be held civilly and
criminally liable, in their individual capacities, for tortuous or criminal
acts. This liability may be enforced either by means of ordinary criminal or
civil proceedings or by means of impeachment, a remedy which is probably
obsolete. They are also subject to the judicial review jurisdiction of the
courts. [See : Hulsbury's Law of England - Fourth Edition (Re-issue), Volume
8(2), Para 422].
35. Learned counsel for the petitioner contended that neither could the Court
award exemplary damages against the petitioner nor could it order any C.B.I.
investigation as the petitioner in making the allotment of petrol outlets had
not committed any offence, much less an offence of breach of trust. It is also
contended that the petitioner while making allotments out of his discretionary
quota available to him as Minister of State for Petroleum, had not committed
the tort of misfeasance in public officer and, therefore, he was not liable to
pay any damages. Mr. K. Parasaran also argued that exemplary damages under law
can be awarded in addition to the damages for the "tort" alleged to
have been committed but where not even damages have been awarded, there is no
question of awarding exemplary damages. It is also contended that action for
tort could have been initiated only in the field of private law by institution
a suit in a proper Civil Court and not under the public law, namely, in
proceedings initiated under Article 32 of the Constitution particularly as
intricate questions of fact were involved.
36. Since the question whether the action could have been initiated under the
public law and whether exemplary damages could have been awarded in those
proceedings relates to the question of jurisdiction, we would take up this
question first.
37. Under Article 226 of the Constitution, the High court has been given the
power and jurisdiction to issue appropriate Writs in the nature of Mandamus,
Certiorari, Prohibition, Quo-warranto and Habeas Corpus for the enforcement of
Fundamental Rights of for any other purposes. Thus, the High Court has
jurisdiction not only to grant relief for the enforcement of Fundamental
Rights but also for "any other purpose" which would include the
enforcement of public duties by public bodies. So also, the Supreme Court
under Article 32 has the jurisdiction to issue prerogative Writs for the
enforcement of Fundamental Rights guaranteed to a citizen under the
Constitution.
38. Essentially, under public law, it is the dispute between the citizen or a
group of citizens on the one hand and the State or other public bodies on the
other, which is resolved. This is done to maintain the rule of law and to
prevent the State or the public bodies from acting in an arbitrary manner or
in violation of that rule. The exercise of constitutional powers by the High
Court and the Supreme Court under Articles 226 and 32 has been categorised as
power of "judicial review". Every executive or administrative action
of the State or other statutory or public bodies is open to judicial scrutiny
and the High Court or the Supreme Court can, in exercise of the power of
judicial review under the Constitution, quash the executive action or decision
which is contrary to law or is violative of Fundamental Rights guaranteed by
the Constitution. With the expanding horizon of Article 14 read with other
Articles dealing with Fundamental Rights, every executive action of the Govt.
or other public bodies, including Instrumentalities of the Govt., or those
which can be legally treated as "Authority" within the meaning of
Article 12, if arbitrary, unreasonable or contrary to law, is now amenable to
the writ jurisdiction of this Court under Article 32 or the High Courts under
Article 226 and can be validly scrutinised on the touchstone of the
Constitutional mandates.
34. In a broad sense, therefore, it may be said that those branches of law
which deal with the rights/duties and privileges of the public authorities and
their relationship with the individual citizens of the State, pertain to
"public law", such as Constitutional and Administrative Law, in
contradistinction to "private law" fields which are those branches
of law which deal with the rights and liabilities of private individuals in
relation to one another.
40. The distinction between private law and public law was noticed by this
Court in Life Insurance Corporation of India v. Escorts Limited & others,
1995 Supp. (3) SCR 909 : 1986(1) SCC 264 : AIR 1986 SC 1370, in which the
Court observed as under :-
"Broadly speaking, the Court will examine actions of State of they
pertain to the public law domain and refrain from examining them if they
pertain to the private law filed. The difficulty will lie in demarcating the
frontier between the public law domain and the private law filed. It is
impossible to draw the line with precision and we do not want to attempt it.
The question must be decided in each case with reference to the particular
action, the activity in which the State or the instrumentality of the State is
engaged when performing the action, the public law or private law character of
the action and a host of other relevant circumstances."
41. Public Law filed, since the emergence, is ever expanding in operational
dimension. Its expanse covers even contractual matters. (See : Union of India
v. A.L. Rallia Ram, 1964(3) SCR 164 : AIR 1963 SC 1685; Mulamchand v. State of
Madhya Pradesh, 1968(3) SCR 314 : AIR 1968 SC 1218, wherein the principles of
restitution and unjust-enrichment were applied). (see also : State of West
Bengal v. B.K. Mondal & Sons, 1962 Supp. (1) SCR 976 : AIR 1962 SC 770 and
New Marine Coal Company Limited v. Union of India, 1964(2) SCR 859 : AIR 1964
SC 152.
42. Government decisions regarding award of contracts are also open to
judicial review and if the decision making process is shown to be vitiated by
arbitrariness, unfairness, illegality and irrationality, then the Court can
strike down the decision making process as also the award of contract based on
such decision. This was so laid down by this Court in Tata Cellular v. Union
of India, 1994(6) SCC 651 : AIR 1996 SC 11. Initially the Supreme Court was of
the opinion that while the decision making process for award of a contract
would be amenable to judicial review under Article 226 or 32 of the
Constitution, a breach of a contractual obligation arising out of a contract
already executed would not be so enforceable under such jurisdiction and the
remedy in such cases would lie by way of a civil suit for damages. (See :
Radhakrishan Agarwal v. State of Bihar, 1977(3) SCC 457 : 1997(3) SCR 249 :
AIR 1977 SC 1496. But the Court changed its opinion in subsequent decisions
and held that even arbitrary and unreasonable decisions of the Government
authorities while acting in pursuance of a contract would also be amenable to
writ jurisdiction. This principle was laid down in Gujarat State Financial
Corporation v. Lotus Hotels Pvt. Ltd., 1983(3) SCC 379 : AIR 1983 SC 848. This
Court even went to the extent of saying that the terms of contract cannot be
altered in the garb of the duty to act fairly. (See : Assistant Excise
Commissioner v. Issac Peter, 1994(4) SCC 104 : 1994(2) SCR 67. Duty to act
fairly in respect of contracts was also the core question in Mahabir Auto
Stores v. Indian Oil Corporation, 1990(1) SCR 818 : 1990(3) SCC 752 : AIR 1990
SC 1031, which this Court relied upon its earlier decisions in E.P. Royappa v.
State of Tamil Nadu, 1974(2) SCR 348 : 1974(4) SCC 3 : AIR 1974 SC 555; Menka
Gandhi v. Union of India, 1978(1) SCC 248 : 1978(2) SCR 621 : AIR 1978 SC 597;
Ajay Hasia v. Khalid Mujib Sehravardi, 1981(1) SCC 722 : 1981(2) SCR 79 : AIR
1981 SC 487; R.D. Shetty v. The International Airport Authority of India,
1979(3) SCR 1014 : 1979(3) SCC 489 = AIR 1979 SC 1628; as also Dwarka Das
Marfatia and Sons v. Board of Trustees of the Port of Bombay, 1989(3) SCC 293
= 1989(2) SCR 751 = AIR 1989 SC 1642.
43. Public law remedies have also been extended by this Court to the realm of
tort.
44. In exercise of jurisdiction under Article 32 of the Constitution, this
Court has awarded compensation to the petitioners who suffered personal
injuries at the hands of the officers of the Government and the causing of
injuries which amounted to tortious act was compensated by this Court. In
Rudul Sah v. State of Bihar, 1983(3) SCR 508 = 1983(4) SCC 141 = AIR 1983 SC
1086 a Three-Judge Bench of this Court awarded compensation (Rs. 30,000/-) for
illegal detention. In Bhim Singh v. State of Jammu and Kashmir, 1985(4) SCC
677 = AIR 1986 SC 494, a sum of Rs. 50,000/- was awarded to the petitioner for
the illegal detention, of the petitioner by the State authorities. The
compensation which was directed to be paid on account of police atrocities was
the subject-matter of several cases before this Court. A few of them are
People's Union for Democratic Rights v. State of BIhar, 1987(1) SCR 631 =
1987(1) SCC 265 = AIR 1987 SC 355; People's Union for Democratic Rights Thru.
Its Secy. v. Police Commissioner, Delhi Police Headquarters, 1989(4) SCC 730 =
1989(1) Scale 599; Saheli, a Woman's Resources Centre v. Commissioner of
Police, Delhi, 1990(1) SCC 422 = 1989(Supp.) SCR 488 = AIR 1990 SC 513;
Arvinder Singh Bagga v. State of U.P., 1994(6) SFC 565 = AIR 1995 SC 117; P.
Rathinam v. Union of India, (1989) Supp.2 SCC 716; In Re: Death of Sawinder
Singh Grower, 1995 Supp.(4) SCC 450 = JT 1992(6) SC 271 = 1992(3) Scale 34;
Inder Singh v. State of Punjab, 1995(3) SCC 702 = AIR 1995 SC 1949; D.K. Basu
v. State of West Bengal, 1997(1) SCC 416 = AIR 1997 SC 610; Mrs. Pritam Kaur
Baryar v. State of Punjab, 1996(7) Scale (SP) 11 and Paramjit Kaur v. State of
Punjab, 1996(8) Scale (SP) 6. 3ޏ3
45. In case relating to custodial deaths, this Court has awarded compensation
in Nilabati Behara v. State of Orissa, 1993(2) SCC 746 = 1993(2) SCR 581 = AIR
1993 SC 1960; State of M.P. v. Shyam Sunder Trivedi, 1995(4) SCC 262 = 1995(3)
Scale 343; People's Union for Civil Liberties v. Union of India, 1997(3) SCC
433 = AIR 1997 SC 1203 and Kaushalya v. State of Punjab, 1996(7) Scale (SP)
13.
46. For medical negligence, compensation was awarded by this Court in Supreme
Court Legal Aid Committee v. State of BIhar, 1991(3) SCC 482; Dr. Jacob George
v. State of Kerala, 1994(3) SCC 430 = 1994(2) Scale 563 and Paschim Banga Khet
Mazdoor Samity v. State of West Bengal and others, 1996(4) SCC 37 = AIR 1996
SC 2426.
Damages were also awarded by this Court in Mrs. Manju Bhatia v. N.D.M.C.,
1997(6) SCC 370 = AIR 1998 SC 223 = 1997(40 Scale 350.
In N. Nagendra Rao and Co. v. State of Andhra Pradesh, 1994(6) SCC 205 = AIR
1994 SC 2663, this Court observed as under :-
"Therefore, barring functions such as administrating of justice,
maintenance of law and order and repression of crime etc. which are among the
primary and inalienable functions of a Constitutional Government, the State
cannot claim any immunity. The determination of vicarious liability of the
State being linked with negligence of its officers, if they can be sued
personally for which there is no dearth of authority and the law of
misfeasance in discharge of public duty having marched ahead, there is no
rationale for the proposition that even if the officer is liable the State
cannot be sued. The liability of the officer personally not doubted even in
Viscount Canterbury. But the Crow was held immune or doctrine of sovereign
immunity. Since the doctrine has become outdated and sovereignty now vests in
the people, the State cannot claim any immunity and if a suit is maintainable
against the officer personally, then there is no reason to hold that it would
not be maintainable against the State.
The different between public and private law was again examined by this Court
in Nilabati Behera v. State of Orissa (supra). Dr. Anand, J. (as His Lordship
then was) in his separate concurring judgment laid down as under :-
"34. The public law proceedings serve a different purpose than the
private law proceedings. The relief of monetary compensation, as exemplary
damages, in proceedings under Article 32 by this Court or under Article 226 by
the High Courts, for established infringement of the indefeasible right
guaranteed under Article 21 of the Constitution is a remedy available in
public law and is based on the strict liability for contravention of the
guaranteed basic and indefeasible rights of the citizen. The purpose of public
law is not only to civilize public power but also to assure the citizen that
they live under a legal system which aims to protect their interests and
preserve their rights. Therefore, when the court moulds the relief by granting
"compensation" in proceedings under Articles 32 or 226 of the
Constitution seeking enforcement or protection of fundamental rights, it does
so under the public law by way of penalising the wrongdoer and fixing the
liability for the public wrong on the State which has failed in its public
duty to protect the fundamental rights of the citizen. The payment of
compensation in such cases is not to be understood, as it is generally
understood in a civil action for damages under the private law but in the
broader sense of providing relief by an order of making monetary emends' under
the public law for the wrong done due to breach of public duty, of not
protecting the fundamental rights of the citizen. The compensation is in the
nature of `exemplary damages' awarded against the wrongdoer for the breach of
its public law duty and is independent of the rights available to the
aggrieved party to claim compensation under the private law in an action based
on tort, through a suit instituted in a court of competent jurisdiction or/and
prosecute the offender under the penal law.
35. This Court and the High Courts, being the protectors of the civil
liberties of the citizen, have not only the power and jurisdiction but also an
obligation to grant relief in exercise of its jurisdiction under Articles 32
and 226 of the Constitution to the victim or the heir of the victim whose
fundamental rights under Article 21 of the Constitution of India are
established to have been flagrantly infringed by calling upon the State to
repair the damage done by its officers to the fundamental rights of the
citizen, notwithstanding the right of the citizen to the remedy by way of a
civil suit or criminal proceedings. The State, of course has the right to be
indemnified by and take such action as may be available to it against the
wrongdoer in accordance with law - through appropriate proceedings. Of course,
relief in exercise of the power under Articles 32 and 226 would be granted
only once it is established that there has been an infringement of the
fundamental rights of the citizen and no other form of appropriate redressal
by the court in the facts and circumstances of the case, it possible. The
decisions of this court in the line of cases starting with Rudul Sah v. State
of Bihar granted monetary relief to the victims for deprivation of their
fundamental rights in proceedings through petitions filed under Articles 32 or
226 of the Constitution of India, notwithstanding the rights available under
the civil law to the aggrieved party where the courts found that grant of such
relief was warranted. It is a sound policy to punish the wrongdoer and it is
in that spirit that the courts have moulded the relief by granting
compensation to the victims in exercise of their writ jurisdiction. In doing
so the courts take into account not only the interest of the applicant and the
respondent but also the interests of the public as a whole with a view to
ensure that public bodies or officials do not act unlawfully and do perform
their public duties properly particularly where the fundamental right of a
citizen under Article 21 is concerned. Law is in the process of development
and the process necessitates developing separate public law procedures as also
public law principles. It may be necessary to identify the situations to which
separate proceedings and principles apply and the courts have to act firmly
but with certain amount of circumstances and self-restraint, lest proceedings
under Articles 32 or 226 are misused as a disguised substitute for civil
action in private law."
47. This is a classific exposition of the realm of Public Law by (Dr.) Justice
Anand (as His Lordship then was), who had added a note of caution that while
exercising this jurisdiction, the Courts have to act firmly but with
self-restraint lest the jurisdiction is abused as a disguise for civil action
under Private Law.
48. Mr. K. Parasaran then contended that in all the cases referred to earlier,
this Court had granted damages to the petitioner as the Fundamental Rights to
life under Article 21 of the Constitution was found to have been violated. To
that extent, the Court, according to him, can grant damages even in
proceedings under Article 32 of the Constitution but where Right to Life is
not involved, the petitioner would have to file a suit for damages in the
Civil Court under private law jurisdiction and cannot take recourse to
proceedings under public law either in the High Court under Article 226 or in
this court under ARticle 32. He contended that interim compensation may be
granted by the Court under Article 32 as immediate relief and the whole matter
may be referred to the Civil Court for determination of the amount of
compensation or damages payable to the petitioner or the petitioner may be
directed to approach the Civil Court. This proposition cannot be accepted.
49. In M.C. Mehta and another v. Union of India and others, 1987(1) SCC 395,
this Court observed as under :-
"7. We are also of the view that this Court under Article 32(1) is free
to devase any procedure appropriate for the particular purpose of the
proceeding, namely, enforcement of a fundamental rights and under Article
32(2) of the court has the implicit power to issue whatever direction, order
or writ is necessary in a given case, including all incidental or ancillary
power necessary to secure enforcement of the fundamental right. The power of
the court is not only injunctive in ambit, that is, preventing the
infringement of a fundamental right, but it is also remedial in scope and
provides relief against a breach of the fundamental right already committed
vide Bandhua Mukti Morcha case. If the court were powerless to issue any
direction, order or writ in cases where a fundamental right has already been
violated, Article 32 would be robbed of all its efficacy, because then the
situation would be that if a fundamental right is threatened to be violated,
the court can injunct such violation but if the violator is quick enough to
take action infringing the fundamental right, he would escape from the net of
ARticle 32. That would, to a large extent, emasculate the fundamental right
guaranteed under Article 32 and render it impotent and futile. We must,
therefore, hold that Article 32 is not powerless to assist a person when he
finds that his fundamental right has been violated. He can in that event seek
remedial assistance under Article 32. The power of the court to grant such
remedial relief may include the power to award compensation in appropriate
cases. We are deliberately using the words "in appropriate cases"
because we must make it clear that it is not in every case where there is a
breach of a fundamental right committed by the violator that compensation
would be awarded by the Court in a petition under Article 32. The infringement
of the fundamental right must be gross and patent, that is, incontrovertible
and ex facie glaring and either such infringement should be on a large scale
affecting the fundamental rights of a large number of persons, or it should
appear unjust or unduly harsh or oppressive on account of their poverty or
disability or socially or economically disadvantaged position to require the
person or persons affected by such infringement to initiate and pursue action
in the civil courts. Ordinarily, of course, a petition under Article 32 should
not be used as a substitute for enforcement of the right to claim compensation
for infringement of a fundamental right through the ordinary process of civil
court. It is only in exceptional cases of the nature indicated by us above,
that compensation may be awarded in a petition under Article 32. This is the
principle on which this Court awarded compensation in Rudul Shah v. State of
Bihar. So also, this Court awarded compensation to Bhim Singh, whose
fundamental right to personal liberty was grossly violated by the State of
Jammu and Kashmir. If we make a fact analysis of the cases where compensation
has been awarded by this Court, we will find that in all the cases, the fact
of infringement was patent and inconvertible, the violation was gross and its
magnitude was such as to shock the conscience of the court and it would have
been gravely unjust to the person whose fundamental right was violated, to
require him to go to the civil court for claiming compensation."
50. Thus, were public functionaries are involved and matter relates to the
violation of Fundamental Rights or the enforcement of public duties etc., the
remedy would lie, at the option of the petitioner, under the public law
notwithstanding that damages are also claimed in those proceedings.
51. The decisions relied upon by Mr. Parasaran, namely, P. Rathinam v. Union
of India, (1989) Supp.2 SCC 716; In Re: Death of Sawinder Singh Grower, 1995
Supp.(4) SCC 450, cannot be pressed in aid as in the earlier case, criminal
trial was pending while in the latter case the matter had not been finally
investigated.
52. In view of the natural affinity with the British legal system,
particularly as both the learned Counsel have referred to and relied upon the
cases relating to public law decided by the Courts in England, we may consider
the question from that angle and in that light.
53. In England, the position is not much different. In 1977, when certain
procedural changes were brought about on the recommendations of the Law
Commission and Order 53 was introduced, it became possible for a litigant to
make an application for judicial review and claim, in such application,
damages also against public bodies. Under the remedy of judicial review, it is
possible to review not only the merits of the decision in respect of which the
application for judicial review is mad,e but the whole decision-making process
also. A decision of inferior court or a public authority could be quashed by
an order of Certiorari made on an application for judicial review where that
court or authority acted without jurisdiction or exceeded its jurisdiction or
failed to comply with the rules of natural justice or where there was an error
of law apparent on the face of the record or the decision was unreasonable in
the Wednesbury sense (that is, no reasonable person could have come to the
conclusion to which the public authority had arrived at). In view of the
Supreme Court Act, 1981, read with Order 53, it became possible for the High
Courts to grant prerogative orders for mandamus or Prohibition and Certiorari
in those classes of cases in which it had power to do so immediately before
the passing of that Act and by virtue of Order 32, the court also got a power
even in judicial review proceedings, to grant declaration and injunctions and
to award damages.
54. If the proceedings were directed to challenge the decision of a public law
nature, and were not initiated for enforcement of private rights, an
application for judicial review was the only permissible course. It may be
pointed out that one of the restrictions on the making of an application for
judicial review is that the person has to disclose "sufficient
interest" and obtain leave of the court. The Supreme Court Act, 1981,
read with Order 53, Rule 3, indicates that no application for judicial review
can be made (either in a civil or criminal case) unless the leave to apply for
judicial review has been obtained. The purpose of this requirement is to
eliminate frivolous, vexatious or hopeless application for judicial review and
to ensure that an applicant is allowed substantive hearing only if the Court
is satisfied that there is a case fit for further investigation. As pointed
out earlier, the person applying for judicial review has to disclose that he
has a "sufficient interest" in the matter to which the application
relates. This is what is provided by sEction 31(3) of the Supreme Court Act,
1981 and Order 53 Rule 3(7).
55. In R. v. Horsham Justices, 1982 QB 762 = 1982(2) AII ERs 269, a newspaper
reporter and the National Union of Journalists were held to have locus standi
to apply for judicial review to quash the order of Magistrate made under the
Contempt of Courts Act, 1961 prohibiting the publication of any report of
committal proceedings until the commencement of the trial.
56. At some stage, particularly between the 1920s and 1960s, it was thought
that prerogative orders of Certiorari, Prohibition and Mandamus only lay
against persons or bodies with judicial or quasi judicial functions and did
not apply to an Authority exercising administrative powers. But this
distinction between judicial and administrative activities was obliterated by
the decision of the House of Lords in Ridge v. Baldwin, 1964 AC 40 = 1963(2)
AII ERs. 66. The effect of this decision is that the judicial review lies not
only against an inferior court or tribunal, but also against person or bodies
which perform public duties or functions.
57. Thus, judicial review would lie against persons and bodies carrying out
public functions. But it would not lie against a person or body carrying out
private law and not public law functions. In such cases, the proper remedy is
by way of action for a declaration and, if necessary, an injunction.
58. There is also a self-imposed restriction on the exercise of power of
judicial review which is to the effect what the courts would not normally
grant judicial review where there is available another avenue of appeal or
remedy. In R. v. Epping and Harlow General Commissioners, 1983(3) AII ERs.
257, the court observed :
"It is a cardinal principle that, save in the most exceptional
circumstances, the jurisdiction to grant judicial review will not be exercised
where other remedies are available and have not been used."
59. On an application for judicial review, the Court has power to award
damages to the applicant provided the claim for damages has been included in
the statement made in support of the application for leave to apply for
judicial review. But the relief for damages can be granted only when the court
is satisfied that if the claim had been made in an action initiated by the
applicant, he could have been awarded damages. [Rule 7(1) or Order 53]. The
application for judicial review, if not made at the earliest, it liable to be
dismissed for delay and laches.
60. There is, therefore, not much of a difference between the powers of the
court exercised here in this country under Article 32 or 226 and those
exercised in England for judicial Review. Public law remedies are available in
both the countries and the courts can award damages against public authorities
to compensate for the loss or injury caused to the plaintiff/petitioner,
provided that case involves, in this country, the violation of fundamental
rights by the Govt. or other public authorities or that their action was
wholly arbitrary or oppressive in violation of Article 14 or in breach of
statutory duty and is not a purely private matter directed against a private
individual.
61. Mr. Parasaran next contended that allotment of Petrol outlets by the
petitioner would, in law, be treated as "act of the State" or
"Sovereign act" and, therefore, it would be immune from civil or
criminal action including action in Tort. This submission is also liable to be
rejected.
62. The liability of the King under the British Law for tortious acts of the
servants can be assessed from a passage from Rattan Lal's "Law of
Torts", 23rd Edition, as under :-
"He (The Kind) is not liable to be sued civilly or criminally for a
supposed wrong. That which the sovereign does personally, the law presumes
will not be wrong; that which the sovereign does by command to his servants,
cannot be a wrong in the sovereign because, if the command is unlawful, it is
in law no command, and the servant is responsible for the unlawful act, the
same as if there had been no command. (See: Tobin v. The Queen, 1964(16) CB [N.S.]
310). So the Crown as not liable in tort at common law for wrongs committed by
this servants in the course of employment not even for wrongs expressly
authorised by it. (See: Canterbury (Viscount) A.H. General, 1842(1) Ph 306;
High Commr. for India and Pakistan v. Lall, 1948(40) Bom LR 649 = AIR 1948 PC
121 = 75 IA 225). Een the heads of the department or superior officers could
not be sued for torts committed by their subordinates unless expressly
authorised by them (See: Raleigh v. Goschen, 1898(1) Ch. 73); only the actual
wrongdoer could be sued in his personal capacity. In practice, the action
against the officer concerned was defended by the Treasury Solicitor and the
judgment was satisfied by the Treasury as a matter of grace. Difficulty was,
however, felt when the wrongdoer was not identifiable. (See: Royster v. Cavey,
1947 KB 204). The increased activities of the Crown have now made it the
largest employer of men and the largest occupier of property. The above system
was, therefore, proving wholly inadequate and the law needed a change which
was brought about by the Crown Proceedings Act, 1947. (See: Home Office v.
Dorset Yacht Co., 1970 AC 1004 = 1970(2) AII ER 294 [HL]. Nothing in the Act
authorises proceedings in tort against the Crown in its private capacity
(Section 40), or affects powers or authorities exercisable by virtue of the
prerogative of the Crown or conferred upon the Crown by statute (Section
11[1]). Subject to this, the Act provides that the Crown shall be subject to
all those liabilities in tort to which, if it were a person of full age and
capacity, it would be subject (1) in respect of torts committed by its
servants or agents, provided that the act or omission of the servant or agent
would, apart from the Act, have given rise to a cause of action or tort
against the servant or agent or against his estate; (2) in respect of any
breach of those duties which a person owes to his servants or agents at common
law by reason of being their employer; (3) in respect of any breach of the
duties attaching at common law to the ownership occupation, possession or
control of property. Liability in tort also extends to breach by the Crown of
a statutory duty. It is also no defence for the Crown that the tort was
committed by its servants in the course of performing or purporting to perform
functions entrusted to them by any rule of the common law or by statute. The
law as to indemnity and contribution as between joint tort-feasors shall be
enforceable by or against the Crown and the Law Reform (Contributory
Negligence). Act, 1945 binds the Crown. Although the Crown Proceedings Act
preserves the immunity of the Sovereign in person and contains savings in
respect of the Crown's prerogative and statutory powers, the effect of the Act
in other respects, speaking generally, is to abolish the immunity of the Crown
in tort and to equate the Crown with a private citizen in matters of tortious
liability."
63. From the above, it would be seen that the Crown in England does not enjoy
absolute immunity and may be held vicariously liable for the tortious acts of
his officers and servants.
64. The maxim that the "King can do no wrong" on the basis of which
Common Law rule that "Crown was not answerable for the torts committed by
its servants" was generated, has not been applied here in this country.
65. India at one time was under the Sovereignty of East India Company which
had two-fold character. They had powers to carry on trade as merchants. This
was their basic character. They had an additional character. They had been
delegated by the British Crown powers to acquire, retain and govern
territories, to raise and maintain armies and to make peace and war with
native States. East India Company was subsequently taken over by the Crown and
Govt. of India Act, 1858 was passed by the British Parliament. Section 68 of
the Act allowed the Secretary of the State in Council to sue or be sued
marking a departure from the common law rule that no proceedings, civil or
criminal, could be filed against the Crown.
66. In spite of the above provision, the Supreme Court of Calcutta in The
Peninsular and Oriental Steamship Navigation Co. v. The Secretary of State of
India, 1868-69 Bombay H.C. Reports Vol. V. Appendix-A P.1 held that the rule
of immunity was applied by drawing a distinction by the acts done by the pubic
servants in the delegated exercise of sovereign powers and acts done by them
in the conduct of other activities. Peacock, CJ, who delivered the judgment
observed :-
"In is clear that the East India Company would not have been liable for
any act done by any of its officers or soldiers in carrying on hostilities, or
for the act of any of its naval officers in seizing as prize property of a
subject under the supposition that it was the property of an anemey, nor for
any act done by a military or naval officer or by any soldier or sailor,
whilst engaged in military or naval duty, nor for any acts of any of its
officers or servants in the exercise of judicial functions."
67. This decision was followed by the Calcutta High Court in Nobin Chunder Dey
v. Secretary of State for India, ILR 1875-76(1) Cal. 11, but the Madras High
Court in Secretary of State for Indian Council v. Hari Bhanji and another, ILR
1882(5) Mad. 273 and the Bombay High Court in P.V. Rao v. Khushaldas S. Advani,
1949(51) Bombay Law Reporter 342 = AIR 1949 Bombay 277 did not follow the
decision. The decision of the Bombay High Court was subsequently approved by
this Court in Province of Bombay v. K.S. Advani, 1950 SCR 621 = AIR 1950 SC
222 and it was clearly laid down that the Govt. would also be liable for Torts
committed in exercise of Sovereign powers except when the act complained of
amounted to an act of State.
68. Govt. of India Act, 1858 was replaced by the Govt. of India Act, 1915 and
the provisions contained in Section 65 of 1858 Act were retained in Section 32
of the 1915 Act. This Act was subsequently replaced by the Govt. of India Act,
1935 and in this Act the corresponding provision was made in Section 176(1).
This provisions was continued in the Constitutional by Article 300(1) which
reads as under :-
"The Government of India may sue or be sued by the name of the Union of
India and the Government of a State may sue or be sued by the name of the
State and may, subject to any provisions which may be made by an Act of
Parliament or of the legislature of such State enacted by virtue of powers
conferred by this Constitution, sue or be sued in relation to their respect
affairs in the like cases as the Dominion of India and the corresponding
Provinces or the corresponding Indian States might have sued or been sued if
this Constitution had not been enacted.
69. The decision of this Court in Province of Bombay v. K.S. Advani, (supra)
was followed by the First Report of the Law Commission of India in 1956 which
accepted the view of this Court and recommended as under :
"In the context of a welfare State it is necessary to establish a just
relation between the rights of the individual and the responsibilities of the
State. While the responsibilities of the State have increased, the increase in
its activities has led to a greater impact on the citizen. For the
establishment of a just economic order industries are nationalised. Public
utilities are taken over by the Stat.e The State has launched huge irrigation
and flood control schemes. The production of electricity has practically
become a Government concern. The State has established and intends to
establish big factories and manage them. The State carries on works
departmentally. The doctrine of laissez faire - which leaves every one to look
after himself to his best advantage has yielded place to the ideal of a
welfare State - which implies that the State takes care of those who are
unable to help themselves."
70. The Commission after referring to various provisions in the legislation of
other countries also observed :
"The old distinct between sovereign and non-sovereign functions or
governmental and non-governmental functions should no longer be invoked to
determine the liability of the State. As Professor Friendman observes :
`It is now increasingly necessary to abandon the lingering fiction of a
legally indivisible State, and of a feudal conception of the Crown, an to
substitute for it the principle of legal liability where the State, either
directly or through incorporated public authorities engages in activities of a
commercial, industrial or managerial character. The proper test is not an
impracticable distinction between governmental and non-governmental functions,
but the nature and form of the activity in question.'
71. In State of Rajasthan v. Mst. Vidhyawati, AIR 1962 SC 933, a claim for
damages was made by the defendants of a person who died in an accident caused
by the negligence of the driver of a jeep maintained by the Govt. for official
use of the Collect tort of Udaipur while it was being brought back from the
workshop after repairs. The Rajasthan High Court held that the State was
liable. This view was upheld by this Court with the observation that :
"The immunity of the Crown in the United Kingdom was based on the old
feudalistic notions of justice, namely, that the king was incapable of doing a
wrong, and, therefore, of authorising or instigating one, and that he could
not be sued in his own courts. In India, ever since the time of the East India
Company, the Sovereign has been held liable to be sued in tort or in contract
and the common law immunity never operated in India. Now that we have, by our
Constitution established a Republican form of Government, and one of the
objectives is to establish a socialistic State with its varied industrial and
other activities, employing a large army of servants, there is no
justification, in principle or in public interest, that the State should not
be held liable vicariously for the tortious act of its servant."
72. The course of justice, insofar as the tortious liability of the State in
concerned, was disturbed by the decision of this Court in Kasturi Lal Ralia
Ram Jain v. State of U.P., AIR 1965 SC 1039 =1965(1) SCR 375, in which a
partner of Kasturilal Rali Ram Jain, a firm of jewellers of Amritsar, had gone
to Meerut for selling gold and silver, but was taken into custody by the
police on the suspicion of possessing stolen property. He was released the
next day, but the property which was recovered from his possession could not
be returned to him in its entirety inasmuch as the silver was returned but the
gold could not be returned as the Head Constable in charge of the Malkhana
misappropriated it and fled to Pakistan. The firm filed a suit against the
State of U.P. for the return of the ornaments and in the alternative for
compensation. This Court speaking through Gajendragadkar, CJ, observed as
under :-
"The act of negligence was committed by police officers while dealing
with the property of Ralia Ram which they had seized in the exercise of their
statutory powers. Now, the power to arrest a person, to search him, and to
seize property found with him, are powers conferred on the specified officers
by statute and in the last analysis, they are powers which can be properly
characterised as sovereign powers, and so, there is no difficulty in holding
that the act which gave rise to the present claim for damages has been
committed by the employees of the respondent during the course of their
employment; but the employment in question being of the category which can
claim the special characteristic of sovereign power, the claim cannot be
sustained."
73. The earlier decision of this Court in Mst. Vidyavati's case (supra) was
distinguished on the ground that it was based on a tortious liability not
arising from the exercise of Sovereign power. The decision in Kasturilal's
case (supra0, has, apart from being criticised (See : Constitutional Law of
India by Seervai), not been followed by this Court in subsequent decisions
and, therefore, much of its efficacy as a binding precedent has been ordered.
Reference in this connection may be made to the decisions of this Court in
State of Gujarat v. Memon Mahomed Haji Hasan, AIR 1967 SC 1885 and Smt. Basava
Kom Dyamogouda Patil v. State of Mysore, AIR 1977 SC 1749 and a number of
other cases, including those dealt with under Article 32 of the Constitution
by this Court in all of which compensation and damages were awarded to the
petitioner for tortious liability of the servants of the State. These cases,
namely, Rudul Shah v. State of Bihar (supra), Bhim Singh v. State of J&K
(supra), Saheli, a Woman's Recourses Centre v. Commr. of Police, Delhi
(supra); People's Union of Democratic Rights v. Police Commissioner, Delhi
(supra) and Sebastin H. Hongray v. Union of India, 1984(3) SCC 85 = AIR 1984
SC 1026, do not refer to the decision of this Court in Kasturilal's case
(supra). It m ay be mentioned that in Kasturilal's case, the court did not
consider the State liability for violation of Fundamental Rights of a citizen
relating to Life and Personal Liberty. It will be seen that where on account
of tortious act of the servant of a State, a person's Fundamental Right to
LIfe and Liberty was violated, the Court granted damages and compensation to
that person. The liability is based on the provisions of the Constitution and
is a new liability which is not hedged in by any limitations including the
doctrine of `Sovereign immunity'. Reference may also be made to the decision
of Privy Council in Maharaj v. Attorney General of Trinidad and Tobago, (No.
2) 1978(2) AII ER 670 in which the appellant, who was a Barrister was
sentenced to 7 days' imprisonment by a Judge of the High Court, which was set
aside by the Privy Council in appeal. The appellant, in the meantime, applied
redress under Section 6 of the Constitution of Trinidad and Tobago on the
ground that he was deprived of his liberty without due process of law as
guaranteed to him under Section 1 of that Constitution. The claim was
dismissed by the High Court. But was upheld by the Privy Council in appeal.'
The Privy Council held that Section 6 of the Constitution impliedly allowed
the High Court to award compensation as compensation may be the only
practicable form of redress in some cases.
74. The entire case law was reviewed by R.M. Sahai, J. in his illuminating
judgment of N. Nagendra Rao and Co. v. State of A.P., AIR 1994 SC 2663 =
1994(6) SCC 205 in which the case of Neelabati Behera (supra) was followed and
it was observed inter alia, as under :-
"But there the immunity ends. No civilised system can permit an executive
to play with the people of its country and claim that it is entitled to act in
any manner as it is sovereign. The concept of public interest has changed with
structural change in the society. No legal or political system today can place
the State above law as it is unjust and unfair for the citizen to be deprived
of his property illegally by negligent act of officers of the State without
any remedy. From sincerity, efficiency and dignity of State as a juristic
person, propounded in Nineteenth Century as sound sociological basis for State
immunity the circle has gone round and the emphasis now is more on liberty,
equality and the rule of law. The modern social thinking of progressive
societies and the judicial approach is to do away with archaic State
protection and place the State or the Government at par with any other
juristic legal entity. Any watertight compartmentalisation of the functions of
the State as "sovereign and non-sovereign or "governmental or
non-governmental is not sound. It is contrary to modern jurisprudential
thinking. The need of the State to have extraordinary powers cannot be
doubted. But with the conceptual change of statutory power being statutory
duty for sake of society and the people the claim of a common man or ordinary
citizen cannot be thrown out merely because it was done by an officer of the
State even though it was against law and negligently. Needs of the State, duty
of its officials and right of the citizens are required to be reconciled so
that the rule of law in a welfare State is not shaken. Even in America where
this doctrine of sovereignty found it place either because of the financial
instability of the infant American States rather than to the stability of the
doctrine theoretical foundation,' or because of `logical and practical
ground,' or that `there could be no legal right as against the State which
made the law' gradually gave way to the movement from, `State irresponsibility
to State responsibility.' In welfare State, functions of testate are not only
defence of the country or administration of justice or maintaining law and
order but it extends to regulating and controlling the activities of people in
almost every sphere, educational, commercial, social, economic, political and
even marital. The demarcating line between sovereign and non-sovereign powers
for which no rational basis survives, has largely disappeared. Therefore,
barring functions such as administration of justice, maintenance of law and
order and repression of crime etc. which are among the primary and inalienable
functions of a constitutional Government, the State cannot claim any
immunity."
75. Reference may also be made to the decision of this Court in Shyam Sunder
v. State of Rajasthan, 1974(1) SCC 690 = AIR 1974 SC 890 in which a truck
belonging to Public Works Department was engaged in famine relief work when an
accident occurred because of the negligence of the driver. When the State was
sued for compensation, the defence raised was of immunity on account of
Sovereign function of the State. The plea was rejected by this Court which
observed that famine relief work was not a Sovereign function of the State as
traditionally understood. What are traditional Sovereign functions of the
State was considered by this Court in State of Bombay v. Hospital Mazdoor
Sabha, AIR 1960 SC 610 and Corporation of the City of Nagpur v. Employees
Fulsing Mistry N.H. Majumdar, AIR 1960 SC 675 = 1960(2) SCR 942 which in both
these decisions, observations of LOrd Watson in Richard Coomber v. The
Justices of the Counter Berks, 1883-84(9) AC 61 that traditional Sovereign
functions were the making of laws, the administration of justice, the
maintenance of order, the repression of crime, carrying on of war, the making
of treaties of pears and other consequential functions, were approved.
76. For the reasons stated above, we are of the view that the allotment of
petrol outlets by the petitioner cannot be treated as "act of the
State" and the rule of immunity invoked by Mr. Parasaran cannot be
accepted.
77. The next submission of Mr. Parasaran relates to the tort of misfeasance in
public office which has been held to have been committed by the petitioner and
for which he has been directed to pay Rs. 500 lakhs as exemplary damages. It
is contended by Mr. Parasaran that the ingredients of the tort of misfeasance
in public office were not made out : the rule of exemplary damages was not
properly invoked; and in any case the amount of Rs. 50 lakhs was arbitrarily
fixed without there being any rational basis on which it was computed. It was
also contended that the persons who suffered injury on account of tort of
misfeasance are neither identifiable nor have they been specified and in the
absence of this vital factor, no finding could have been recorded about the
commission of tort of misfeasance. With regard to award of exemplary damages
of Rs. 50 lakhs, it is contended that in public law proceedings, namely, in
proceedings under Article 32 of the Constitution, compensation and damages are
awardable only against the State for violation of Fundamental Rights of a
citizen or person by the servant of the State or for the tortious acts of the
servant of the State resulting in violation of Fundamental Rights, but
compensation or damages cannot be allowed in favour of the State. It is also
contended that the petitioner at the relevant time was the Minister of State
for Petroleum in the Central Cabinet and, therefore, the order, directing him
to pay Rs. 50 lakhs as exemplary damages to the State is an order to the Govt.
to pay exemplary damages to itself which is not possible under any system of
law and, therefore, wholly erroneous. It is contended that the error being
apparent on the face of the record, the judgment requires to be reviewed.
78. We would first consider the meaning and contents of the Tort of
Misfeasance in the public office.
`Tort' has been derived from the Latin word "Tortus" which means
"twisted" or "crooked". In its original and most general
sense, "tort" is a wrong. Jowitt's Dictionary of English Law defines
Tort as under :-
"Tort" signifies an act which gives rise to a right of action, being
a wrongful act or injury consisting in the infringement of a right created
otherwise than by a contract. Torts are divisible into three classes,
according as they consist in the infringement of a just in rem, or in the
breach of a duty imposed by law on a person towards another person, or in the
breach of a duty imposed by law on a person towards the public.
The first class includes (a) torts to the body of a person, such as assault,
or to him reputation, such as libel, or to his liberty, such as false
imprisonment; (b) torts to real property, such as ouster, trespass, nuisance,
waste, subtraction, disturbance; (c) torts to personal property, consisting (i)
in the unlawful taking or detaining of or damage to corporeal personal
property or chattels; or (ii) in the infringement of a patent, trade mark,
copyright, etc.; (d) slander of title; (e) deprivation of service and
consortium.
The second class includes deceit and negligence in the discharge of a private
duty.
The third class includes those cases in which special damage is caused to an
individual by the breach of a duty to the public."
Winfield's classic definition provides as under :-
"Tortious liability arises from the breach of a duty primarily fixed by
the law; such duty is towards persons generally and its breach is repressible
by an action for unliquidated damages."
79. Apart from tort which may be committed by a private individual, the
officers of the Govt. would also be liable in damages for their wrongful acts
provided that act does not fall within the purview of "act of the
State." So also, the administrative bodies or authorities, which deal in
administrative matters and take decisions specially for the implementation of
the Govt. policies, have to act fairly and objectively and may in some cases
also be required to follow the principles of natural justice. It is the basic
principle of Administrative Law that if the authorities are conferred certain
power, then that power must be exercised in good faith and the administrative
decision must be made after taking into account all matters relevant for the
exercise of that power. The authority must not be influenced by irrelevant
matters and if the order is likely to prejudicially affect the rights, or,
even the reasonable expectation of a person, the principles of natural justice
must be followed and the person likely to be affected must be given an
opportunity of hearing. Thus, the decision of an administrative authority can
be challenged on the grounds, inter alia, of illegality, irrationality and
procedural impropriety.
80. In Administrative Law by Sir William Wade, 7th Edn., "misfeasance in
public office" has been defined as malicious abuse of power, deliberate
mal-administration and unlawful acts causing injury. It is further provided in
the same book that "misfeasance in public office" is the name now
given to the tort of deliberate abuse of power. After considering various
decided cases, Prof. Wade proceeds to say :
"This and other authorities, including the last-mentioned decision of the
House of Lords, were held to establish that the tort of misfeasance in public
office goes at least to the length of imposing liability on a public officer
who does an act which to his knowledge amounts to an abuse of his office and
which causes damage."
(Emphasis supplied)
Prof. Wade further proceeds to say as under :
"Therefore now clear indications that the courts will (sic) damages
against public authorities merely peruse they have made some order which turns
out to be ultra vires, unless there is malice or conscious abuse. Where an
Australian local authority had passed resolutions restricting building on a
particular site without giving notice and fair hearing to the landowner and
also in conflict with the planning ordinance, the Privy Council rejected the
owner's claim for damages for depreciation of his land in the interval before
the resolutions were held to be invalid. The well-established tort of
misfeasance by a public officer, it was held, required as a necessary element
either malice or knowledge by the council of the invalidity of its
resolutions. In New Zealand, also a company failed in a claim for damages
resulting from a minister's refusal of permission for it to obtain finance
from a Japanese concern. The Minister's refusal was quashed as ultra vires,
but it was held that this alone was not a cause of action. Nor does it appear
that claims of this kind can be strengthened by pleading breach of statutory
duty.
The Court of Appeal reinforced these decisions in a case of importance, but
since shown to be of doubtful authority, under European Community law. A
ministerial revocation order had prohibited the import of turkey meat from
finance and was held unlawful by the European Court as being in breach of
Article 30 of the Treaty of Rome, which is binding in British Law under the
European Communities Act 1972. French traders who had suffered losses under
the ban then sued the ministry for damages. On preliminary issues it was held
that they had no cause of action merely for breach of statutory duty, as
already related. Likewise there was no cause of action merely because the
minister's order was unlawful: it would be quashed or declared unlawful on
judicial review, but there was no remedy in damages. There would be such a
remedy, however, if it could be shown that the minister had abused his power,
well knowing that his order was a breach of Article 30 and would injure the
plaintiffs' business. It was alleged that his conscious purpose was to protect
English turkey producers rather than to prevent the spread of disease, and
that he knew that this made his order unlawful. The element of bad faith, or
malic as judges have often called it, seems now to be established as the
decisive factor."
(Emphasis supplied)
81. Therefore, after discussing a number of authorities, Prof. Wade further
says as under :
"But the main principles of liability seem now to be emerging clearly. It
can be said that administrative action which is ultra vires but not actionable
merely as a breach of duty will found an action for damages in any of the
following situations :
1. if it involves the commission of a recognised tort such as trespass, false
imprisonment or negligence;
2. if it is actuated by malice, e.g. personal spite or a desire to injure for
improper reasons;
3. if the authority knows that it does not possess the power to take the
action in question.
The decisions suggest that there is unlikely to be liability in the absence of
all these elements, for example where a licensing authority cancels a licence
in good faith but invalidly, perhaps in breach of natural justice or for
irrelevant reasons. Since loss of livelihood by cancellation of a licence is
just as serious an injury as many forms of trespass or other torts, it may
seem illogical and unjust that it should not be equally actionable; and in
obiter dict in a dissenting judgment Denning LJ once suggested that it was.
Some cases of this kind may involve breach of statutory duty, where there is
the broad principle of liability discussed above. But where there is no such
breach it seems probable that public authorities adn their officers will be
held to be free from liability so long as they exercise their discretionary
powers in good faith and with reasonable care. Losses caused by bona fide but
mistaken acts of government may have to be suffered just as much when they are
invalid as when they are valid."
82. Halsbury's Laws of England, Vol I(I) 4th Edn. (Reissue), (para 203)
provides as under :
"Deliberate abuse of public office or authority. Bad faith on the part of
a public officer or authority will result in civil liability where the act
would constitute a tort but for the presence of statutory authorisation, as
Parliament intends statutory powers to be exercised in good faith and for the
purpose for which they were conferred Proof of improper motive is necessary in
respect of certain torts and may negative a defence of qualified privilege in
respect of defamation, but this is not peculiar to public authorities. There
exists an independent tort of misfeasance by a public officer or authority
which consists in the infliction of loss by the deliberate abuse of a
statutory power, or by the usurpation of a power which the officer or
authority knows he does not possess, for example by procuring the making of a
compulsory purchase order, or by refusing, or cancelling or procuring the
cancellation of a licence, from improper motives. However, where there has
been no misfeasance, the fact that a fact that a public officer or authority
makes an ultra vires order on invalidly exercises statutory powers will not of
itself found an action for damages."
83. De Smith in Judicial Review of Administrative Action, while speaking of
tort of misfeasance in public office, says as under :
"A public authority or person holding a public office may be liable for
the tort of misfeasance in public office where:
(1) there is an exercise or non-exercise of public power, whether common law,
statutory or from some other source;
(2) which is either (a) affected by malice towards the plaintiff or (b) the
decision maker knows is unlawful; and
(3) the plaintiff is in consequence deprived of a benefit or suffers other
loss."
De Smith further says as under:
"A power is exercised maliciously if its repository is motivated by
personal animosity towards those who are directly affected by its exercise.
Where misfeasance is alleged against a decision-making body, it is sufficient
to show that a majority of its members present had made the decision with the
object of damaging the plaintiff. Often there may be no direct evidence of the
existence of malice, and in these circumstances the court may make adverse
inferences, e.g. from the fact that a decision was unreasonable that it could
only be explained by the presence of such a motive. A court will not entertain
allegation of bad faith or malice made against the repositry of a power unless
it has been expressly pleaded and properly particularised."
84. Reference may also be made to the decision of the High Court of Australia
in Northern Territory v. Mengel, (69) The Australian Law Journal 527, in which
it was observed as under:-
"A number of elements must combine to make a purported exercise of
administrative power wrongful. The first is that the purported exercise of
power must be invalid, either because there is no power to be exercised or
because a purported exercise of the power has miscarried by reason of some
matter which warrants judicial review and a setting aside of the
administrative action. There can be no tortious liability for an act or
omission which is done or made in valid exercise of a power. A valid exercise
of power by a public officer may inflict on another an unintended but
foreseeable loss - or even an intended loss - but, if the exercise of the
power is valid, the other's loss is authorised by the law creating the power.
In that case, the conduct of the public officer does not infringe an interest
which the common law protects. However, a purported exercise of power is not
necessarily wrongful because it is ultra vires. The history of the tort shows
that a public officer whose action has caused loss and who has acted without
power is not liable for the loss merely by reason of an error in appreciating
the power available. Something further is required to render wrongful an act
done in purported exercise of power when the act is ultra vires.
85. With regard to the MENTAL ELEMENT, the High Court of Australia stated as
under:-
"The further requirement relates to the state of mind of the public
officer when the relevant act is done or the omission is made. An early case
is Ashby v. White, in which Ashby complained that the constables of the
borough in which an election was held had refused to permit him to vote
"fraudulently and maliciously intending to damnity him". Lord Holt
CJ, whose judgment ultimately prevailed in the House of Lords, held that has
been understood to mean an intention to injure. In this context, the
"injury" intended must be something which the plaintiff would not or
might not have suffered if the power available to the public officer had been
validly exercised. (It is in that sense that I use the term "injury
hereafter.) In more recent times, the scope of the tort has not recent times,
the scope of the tort has not been limited to cases in which a public officer
has acted maliciously. It has now been accepted that if a public officer
engages in conduct in purported exercise of a power but with actual knowledge
that there is no power to engage in that conduct, the conduct may amount to an
abuse of office.
The High Court further observed as under:-
"I respectfully agree that the mental element is satisfied either by
malice (in the sense stated) or by knowledge. That is to say, the mental
element is satisfied when the public officer engages in the impugned conduct
with the intention of inflicting injury or with the intention of inflicting
injury or with knowledge that there is no power to engage in that conduct and
that that conduct is calculated to produce injury. These are states of mind
which are inconsistent with an honest attempt by a public officer to perform
the functions of the office. Another state of mind which is inconsistent with
an honest attempt to perform the functions of a public office is reckless
indifference as to the availability of power to support the impugned conduct
and as to the injury which the impugned conduct is calculated to produce. The
state of mind relates to the character of the conduct in which the public
officer is engaged - whether it is within power and whether it is calculated
(that is, naturally adapted in the circumstances) to produce injury. In my
opinion, there is no additional element which requires the identification of
the plaintiff as a member of a class to whom the public officer owes a
particular duty though the position of the plaintiff may be relevant to the
validity of the public officers' conduct. For example, the officer's
administrative act may be invalid because he or she did not treat the
plaintiff with procedural fairness. It is the absence of an honest attempt to
perform the functions of the office that constitutes the abuse of the office.
Misfeasance in public office consists of a purported exercise of some power or
authority by a public officer otherwise than in an honest attempt to perform
the functions of his or her office whereby loss is caused to a plaintiff.
Malice knowledge and reckless indifference are states of mind that stamp on a
purported but invalid exercise of power the character of abuse of or
misfeasance in public office. If the impugned conduct then causes injury, the
cause of action is complete."
86. In Dunlop v. Woollahra Municipal Council 1981(1) ALL ER 1202 (PC), it was
held that mere invalidity of the order would not give rise to any liability
for payment of damages in an action in tort to the aggrieved party. It was,
however, held in the same case that if the action of the authority is actuated
by malice, it would amount to "tort of misfeasance by a public
officer." In Asoka Kumar David v. M.A.M.M. Abdul Cader 1963(1) WLR 834
(PC), it was held that the tort of misfeasance will also be committed even in
the absence of malice if the public officer knew both that what he was doing
was invalid and that it will injure the plaintiff. (See also : Bourgoin SA
& others v. Ministry of Agriculture Fisheries & Food 1985(3) ALL ER
585 (CA). In Jones v. Swansea City Council 1989(3) ALL ER 162 (CA), it was
held that if the public officer acts with malice, i.e., with an intent to
injure and thereby damage results, the liability would arise and the officer
could be used for the tort of misfeasance in public office. The legal
propositions in that case were not dissented from by the House of Lords though
the Court of Appeal's decision was reversed on facts (See: Jones v. Swansea
City Council 1990(3) ALL ER 737 (HL).
87. In Rivers District Council and others v. Bank of England (No. 3), 1996(3)
ALL ER 558, it was held that the tort of "misfeasance in public
office" was concerned with a deliberate and dishonest wrongful abuse of
the powers given to a public officer and the purpose of the tort was to
provide compensation for those who suffered loss as a result of improper abuse
of power.
The conclusions reached in that case were:-
"Issue No. 1
Misfeasance in public office
(1) The tort of misfeasance in public office is concerned with a deliberate
and dishonest wrongful abuse of the powers given to a public officer. It is
not to be equated with torts based on an intention to injure, although, as
suggested by the majority in Northern Territory v. Mengel 1995(69) ALJR 527,
it has some similarities to them.
(2) Malice, in the sense of an intention to injure the plaintiff or a person
is a class of which the plaintiff is a member, and knowledge by the officer
both that he has no power to do the act complained of and that the act will
probably injure the plaintiff or a person in a class of which the plaintiff is
a member are alternative, nor cumulative, ingredients of the tort. To act with
such knowledge is to act in a sufficient sense maliciously: see Mengel 69 ALJR
527 at 554 per Deane J.
(3) For the purposes of the requirement that the officer knows that he has no
power to do the act complained of, it is sufficient that the officer has
actual knowledge that the act was unlawful or, in circumstances in which he
believes or suspects that the act is beyond his powers, that he does not
ascertain whether or not that is so or fails to take such steps as would be
taken by an honest and reasonable man to ascertain the true position.
(4) For the purposes of the recruitment that the officer knows that his act
will probably injure the plaintiff or a person in a class of which the
plaintiff is a member it is sufficient if the officer has actual knowledge
that his act will probably damage the plaintiff or such a person or, in
circumstances in which he believes or suspects that his act will probably
damage the plaintiff or such a person, if he does not ascertain whether that
is so or not or if he fails to make such inquiries as an honest and reasonable
man would make as to the probability of such damage.
(5) If the states of mind in (3) and (4) do not amount to actual knowledge,
they amount to recklessness which is sufficient to support liability under the
second limb of the tort.
(6) Where a plaintiff establishes (i) that the defendant intended to injure
the plaintiff or a person in a class of which the plaintiff is a member (limb
one) or that the defendant knew that he had no power to do what he did and
that the plaintiff or a person in a class of which the plaintiff is a member
would probably suffer loss or damage (limb two) and (ii) that the plaintiff
has suffered loss as a result, the plaintiff has a sufficient right or
interest to maintain an action for misfeasance in public office at common law.
The plaintiff must of course also show that the defendant was a public officer
or entity and that his loss was caused by the wrongful act."
88. So far as malice is concerned, while actual malice, if proved, would
render the defendant's action both ultra vires and tortious, it would not be
necessary to establish actual malice in every claim for misfeasance in public
office. In Bourgoin SA v. Ministry of Agriculture, Fisheries & Food,
1985(3) ALL ER 585 (CA) to which a reference has already been made above, the
plaintiffs were French turkey farmers who had been banned by the Ministry from
exporting turkeys to England on the ground that they would spread disease. The
Ministry, however, subsequently conceded that the true ground was to protect
British turkey farmers and that they had committed breach of Article 30 of the
EEC Treaty which prohibited unjustifiable import restrictions. The defendants
denied their liability for misfeasance claiming that they were not actuated by
any intent to injure the plaintiffs but by a need to protect British interest.
It was held by Mann, J., which was upheld by the Court of Appeal, that proof
of actual malice, ill-will or specific intent to injure is not essential to
the tort. It was enough if the plaintiff established that the defendant acted
unlawfully in a manner foreseeably injurious to the plaintiff. In another
decision in Bennett v. Commr. of Police of the Metropolis and others 1995(2)
ALL ER 1 (at pages 13 & 14), which was considered in Three Rivers' case
(supra), it was held that the tort of misfeasance in public office required
express intent to injure.
89. Tort of misfeasance in public office was also considered by this Court in
Lucknow Development Authority v. M.K. Gupta 1994(1) SCC 243. Relying upon the
Administrative Law by Prof. Wade, exemplary damages were allowed to a consumer
who had initiated proceedings under the Consumer Protection Act, 1986. The
Court held that the officers of the Lucknow Development Authority were not
immune from tortious liability and then proceeded to say that the National
Consumer Disputes Redressal Commission was not only entitled to award value of
the goods or services but also to compensate a consumer for injustice suffered
by him. The Court, therefore, upheld the award of Rs. 10,000/- as compensation
allowed by the Commission on the ground that the action of the appellant
amounted to harassment, mental torture and agony of the respondent. The Court
then proceeded to observe as under :-
"But when the sufferance is due to mala fide or oppressive or capricious
acts etc. of a public servant, then the nature of liability changes. The
Commission under the Act could determine such amount if in its opinion the
consumer suffered injury due to what is called misfeasance of the officers by
the English Courts. Even in England where award of exemplary or aggravated
damages for insult etc. to a person has now been held to be punitive,
exception has been carved out if the injury is due to `oppressive, arbitrary
or unconstitutional action by servants of the Government' (Salmond and Heuston
on the Law of Torts). Misfeasance in public office is explained by Wade in his
book on Administrative Law thus :
"Even where there is no ministerial duty as above, and even where no
recognised tory such as trespass, nuisance, or negligence is committed, public
authorities or officers may be liable in damages for malicious, deliberate or
injurious wrong-doing. There is thus a tort which has been called misfeasance
in public office, and which includes malicious abuse of power, deliberate
malaministration, and perhaps also other unlawful acts causing injury."
(Emphasis supplied)
90. After quoting from Wade, the Court proceeded to consider the question of
award of exemplary damages in the light of the decision in Cassell & Co.
Ltd. v. Broome & another, 1972(1) ALL ER 801 as also the earlier decision
in Rookes v. Barnard, 1964(1) ALL ER 367 and other English decision including
Ashby v. White, 1703(2) Ld Raym 938, and held that exemplary damages could be
awarded against the officers of the Lucknow Development Authority.
91. The decision in the Lucknow Development Authority's case (supra) has been
followed by this Court in the judgment under Review and a notice was issued to
the petitioner to show cause why should he not be made liable to pay damages
for his mala fide action in allotting petrol pumps to the persons concerned.
This notice was issued because the Court was of the opinion:
"Public servants may be liable in damages for malicious, deliberate or
injurious wrongdoing. According to Wade :
`There is, thus, a tort which has been called misfeasance in public office and
which includes malicious abuse of power, deliberate malaministration, and
perhaps also other unlawful acts causing injury,'
With the change in socio-economic outlook, the public servants are being
entrusted with more and more discretionary powers even in the field of
distribution of government wealth in various forms. We take it to be perfectly
clear, that if a public servant abuses his office either by an act of omission
or commission, and the consequence of that is injury to an individual or loss
of public property, an action may be maintained against such public servant.
No public servant can say "you may set aside an order on the ground of
mala fide but you cannot hold me personally liable. No public servant can
arrogate to himself the power to act in a manner which is arbitrary."
92. The order regarding notice to the petitioner was preceded by the finding
that :
"He made allotments in favour of relations of his personal staff under
the influence of the staff on wholly extraneous considerations. The allotments
to the sons of the Ministers were only to oblige the Ministers. The allotments
to the members of the Oil Selection Boards and their/chairmen's relations have
been done to influence them and to have favours from them. all these
allotments are wholly arbitrary, nepotistic and are motivated by extraneous
consideration."
The further finding is to the following effect :
"A Minister who is the executive head of the department concerned
distributes these benefits and largesses. He is elected by the people and is
elevated to a position where he holds a trust on behalf of the people. He has
to deal with the people's property in a fair and just manner. He cannot commit
breach of the trust reposed in him by the people. We have no hesitation in
holding that Capt. Satish Sharma in his capacity as a Minister for Petroleum
and Natural Gas deliberately acted in a wholly arbitrary and unjust manner. We
have no doubt in our mind that Capt. Satish Sharma knew that the allottees
were relations of his personal staff, sons of Ministers, sons/relations of
Chairmen and members of the Oil Selection Boards and the members of the Oil
Selection Boards themselves. The allotments made by him were wholly mala fide
and as such cannot be sustained."
The Court further found as under"
"We are further of the view that Capt. Satish Sharma acted in a wholly
biased manner inasmuch as the unfairly regarded with favour the cases of 15
allottees before him. The relevant circumstances available from record and
discussed by us leave no manner of doubt in our mind that Capt. Satish Sharma
deliberately acted in a biased manner to favour these allottees and as such
the allotment orders are wholly vitiated and are liable to be set aside."
The Court also found :
"The orders of the Minister reproduced above read: "the applicant
has no regular income to support herself and her family", "the
applicant is an educated lady and belongs to Scheduled Tribe community",
"the applicant is unemployed and has no regular source of income",
"the applicant is an uneducated unemployed Scheduled Tribe youth without
regular source of livelihood", "the applicant is a housewife whose
family is facing difficult financial circumstances" etc. There would be
literally millions of people in the country having these circumstances or
worse. There is no justification whatsoever to pick up these persons except
that they happen to have won the favour of the Minister on mala fide
considerations. None of these cases fall within the categories placed before
this Court in Centre for Public Interest Litigation v. Union of India but even
if we assume for argument sake that these case fall in some of those or
similar guidelines the exercise of discretion was wholly arbitrary. Such a
discretionary power which is capable of being exercised arbitrarily is not
permitted by Article 14 of the Constitution of India. While Article 14 permits
a reasonable classification having a rational nexus to the objective sought to
be achieved, it does not permit the power to pick and choose arbitrarily out
of several persons falling in the same category."
93. In response to the notice issued by the Court, the petitioner filed his
reply in which he, inter alia, stated as under:
"1. Captain Satish Sharma was Minister of State for Petroleum from
January 8, 1993 to May 16, 1996. The allotments of petrol pumps by the
Minister from his discretionary quota (that ultimately came to be challenged
in Writ Petition (Civil) No. 26 of 1995 on the basis of the August 11, 1995
news item in the Indian Express) related to the period 1993 to 1995.
2. It is submitted with utmost respect that the finding of the mala fides have
been recorded in proceeding to which I was not a party. These proceedings were
defended by the Central Government. In a non-adversarial manner by placing all
the facts before this Hon'ble Court and leaving it to this Hon'ble Court to
adjudicate on the validity of the said actions. It is true that an opportunity
to file an affidavit was given to me, if I so desired. It is, however,
submitted that that opportunity was given in the context of deciding the Writ
Petition which challenged the validity and correctness of the allotments.
There was no prayer in the Writ Petition making any personal claim against me
either civil or criminal and the entire record of the case was placed before
this Hon'ble Court. In addition, affidavits were filed by responsible officers
of the Department, therefore, I did not avail the option to file any
affidavit. The respondent was ready and willing to leave the question of
validity of the allotments made by him to be determined by this Hon'ble Court
on the basis of the entire record. At that stage, I had no notice that any
relief was claimed against me personally by any one or that I would be called
upon to face civil or criminal proceedings.
I respectfully state that in the matter of discretionary allotments based on
Compassionate grounds, individuals assessment and perception are bound to
differ from person to person. There is no material to suggest that I made any
allotments for any pecuniary advantage or illegal gain. Thus, I submit that
before deciding on my personal liability to pay compensation or face criminal
trial, I should be permitted to place my version of the facts and
circumstances.
The legal issue of the personal liability of Ministers arising out of abuse of
execution powers under the Rules of Business in contradistinction to statutory
powers conferred upon designated functionaries involves important questions
impinging on the interpretation of the constitution. I respectfully state that
this matter should be dealt with by this Hon'ble Court under Article 145(3).
3. The principal flaw found in all these allotments is that the procedure of
receiving such applications for discretionary quota was an institutionalised
one and lacked transparency. The lack of institutionalisation of procedures
for discretionary quotas has been in existence since 1982 and I state that it
is not suggested that I flouted any criteria or guideline. I merely followed
the existing established practice in dealing with the applications for
discretionary quota following the precedents set by a host of my predecessors
belonging to different political parties. I state that while the Hon'ble Court
may have found this manner of working incompatible with Article 14 it cannot
be suggested that I wilfully and deliberately evolved a procedure which was
found to be illegal. Thus I submit that I did not personally violate any law,
rule or guideline in the manner so as to expose me to a personal liability,
civil or criminal. The substantial question of law as to interpretation of the
Constitution was and continues to be whether arbitrariness or even malice in
law in the exercise of power on a long-standing policy handled by the
administrative team can be fastened on to the elected person appointed as
Minister by the President on the advice of the Prime Minister.
4. The judgment relies on observations in Lucknow Development Authority v. M.K.
Gupta, 1994(1) SCC 243 for holding that misfeasance in public offices is a
part of the law of tort. It is submitted that the Lucknow Development
Authority case arose under the Consumer Protection Act wherein there was a
specific aggrieved/injured party, who claimed of injury/loss caused to him. In
the instant case, the question of damages does not arise at all, since there
is no finding that I acted to the prejudice or detriment of any specific
person in derogation of my statutory (or constitutional) rights or in
violation of any law, rule or even guideline.
5. As far as the proposed direction to the police authorities is concerned, it
is respectfully submitted that :
(a) No offence u/s 405 pr 406 of the IPC has been made out.
(b) Any direction, based on these facts, and expressing a prima-facie
satisfaction of this Hon'ble Court that any criminal offence has been
committed would be violative of Article 21 of the constitution, and
(c) Any adjudication, even in to the existence of a prima-facie case by this
Hon'ble Court would necessarily introduce disclosure by the answering deponent
of defence he may have in the trial which may ensue - which procedure would be
violative of Article 21."
94. The Court by its judgment dated 4.11.1996 disposed of the matter as
follows:
"3. Pursuant to the above-quoted direction, a show-cause notice was
issued to Capt. Satish Sharma. He has filed issued to Capt. Satish Sharma. He
has filed affidavit in reply to the show-cause notice.
4. We have heard Mr. Salve, learned counsel appearing for Capt. Satish Sharma.
There are two parts of the directions quoted above. This Court has called upon
Capt. Satish Sharma to show cause why a direction be not issued to the
appropriate police authority to register a case and initiate prosecution
against him for criminal breach of trust or any other offence under Law.
5. The findings of this Court, quoted above, and the conclusions reached in
the Common Cause case, leave no manner of doubt that an investigation by an
independent authority is called for in this case. We, therefore, direct the
Central Bureau of Investigation (CBI) to register a case against Capt. Satish
Sharma in respect of the allegation dealt with and the findings reached by
this Court in the Common Cause case. The CBI shall hold investigation and
proceed in accordance with law. There shall be no limit on the power, scope
and sphere of investigation by the CBI. We, however, make it clear that the
CBI shall not be influenced by any observations made by this Court or the
findings reached in Common Cause case, for reaching the conclusion as to
whether any prima facie case for prosecution/trial is made out against Capt.
Satish Sharma. It shall have to be decided on the basis of the material
collected and made available with the CBI as a result of the investigation. We
direct the CBI to complete the investigation within three months of the
receipt of this order. The CBI shall file interim report to indicate the
compliance of this order. This shall be done by 20-1-1997 and this matter
shall be listed on 22.1.1997 before a Bench of which Mr. Justice Faizan Uddin
is a member."
95. Thereafter the Court proceeded to hear Mr. Harish N. Salve on the question
of damages and after considering certain English decisions on the question of
exemplary damages and also the decision of this Court in Neelabati Behera v.
State of Orissa, 1993(2) SCC 746, in which it was held down that the damages
can be awarded by this Court in a proceeding under Article 32 of the
Constitution, the Court directed the petitioner to pay a sum of Rs. 50 lakhs
as exemplary damages to the Govt. Exchequer, with the observation that since
the property with which the petitioner was dealing was Govt. property, the
Govt., which is "By the people", has to be compensated. The Court
further directed the petitioner to deposit the amount with the Secretary,
Ministry of Finance, Govt. of India within nine months. It was further
provided that the amount, if not paid, would be recoverable as arrears of land
revenue.
96. As Minister of State for Petroleum, the petitioner had made allotments
from out of his discretionary quota. The discretionary quota is available to
almost all Ministers of the Govt. of India. This obviously is based on a
policy decision to allow discretionary quota not only to the Prime Minister
but also to other Ministers so that serious difficulties, problems of
disabilities or unemployment may be overcome at the earliest by providing
immediate held.
97. The Constitution through its various provisions, including Directive
Principles of State Policy has laid down the basic principles of governance.
Socio-economic growth, aid to the poor, upliftment of the down trodden, the
Backward masses and Weaker sections of the society are some of the rules of
governance embodied in the constitution. The philosophy behind the
"discretionary quota" available to the Prime Minister and other
Minister or Members of Parliament appears to be to provide immediate relief in
a case of acute personal hardship.
98. The list of discretionary quotas available with the Prime Minister and
other Ministers has been placed before us and is set out below:
DETAILS OF DISCRETIONARY ALLOTMENTS BEING EXERCISED BY VARIOUS MINISTERS IN
GOVERNMENT OF INDIA
UNION MINISTERS
1. Prime Minister :
Directive being sent to various Ministries for deserving cases of
Discretionary allotments, for out of turn House/DDA Flat/Shops/Petrol Pump/Gas
Agencies/Rly Station Stalls/Free Air Tickets/out of turn Maruti Car, STD/ISD
Booth/Out of Turn Telephone Connections/Gas Connections etc. PM exercises
discretion to sanction funds from PM's Relief Fund.
2. Minister for Communications
Discretionary Allotments of:
(1) Telephone connections.
(2) Small Telephone Exchanges.
(3) ISD/STD Booths.
3. Minister for Civil Aviation & Tourism
Discretionary Allotment of:
(1) Free or Discounted International Air Tickets.
(2) GSAs for AI or Indian Airlines
(3) Out of Turn seats in IA/AI flights.
(4) Shops/Stalls in ITDC Hotels.
4. Minister for Chemical & Fertilizers
Discretionary Allotment of:
(1) Agencies of IPCL/Public Sector Drug Units.
(2) Agencies for Fertilizer Public Sector Undertakings.
5. Minister for Coal
Discretionary Allotment of:
(1) Premium quality coal rakes.
(2) PSU Coal Dumps
(3) Premium quality coal in thousand tons.
6. Minister for Defence
Discretionary Allotments of :
(1) Fire Arms, Rifles & Revolvers.
(2) Old Army Vehicles meant for disposal.
7. Ministry of HRD
Discretionary Powers of:
(1) Admissions in Medical/Engg. Colleges/Central Schools.
(2) Scholarships for study in India & Abroad.
8. Minister for Health & Family Welfare
Discretionary Powers of:
(1) Treatment of Patients abroad.
(2) Private wards in AIIMS Premier Govt. Hospitals.
(3) Admission in Medical Colleges in India/Abroad.
9. Minister for Information & Broadcasting
Discretionary Powers of:
(1) Selection of DD Serials/other programmes.
(2) Nomination to film censor boards etc.
10. Minister for Industry
Discretionary Allotments of :
(1) Maruti Cars/other cars
11. Minister for Food & Civil Supplies/Food Processing
Discretionary Allotments of:
(1) Ration shops.
(2) SO/LDO Agencies.
(3) Allotment of FCI wheat/Rice/Sugar to Pvt. Industries.
(4) Beer Licences.
12. Minister for Petroleum & Natural Gas
Discretionary Allotments of:
(1) Gas Connections.
(2) Petrol Pumps & Gas Agencies.
13. Minister for Railways
Discretionary Allotments of:
(1) Kiosks/Stalls at Railway Stations.
(2) Free or discounted Railway passes/Tickets for 1 year or more years.
(3) Berths in all trains.
(4) Railway Rakes.
14. Minister for Surface Transport
Discretionary Powers of:
(1) Out of turn Berthing of National & International Ships at all Ports
across country.
(2) Permits for Buses etc.
15. Minister for Urban Developments
Discretionary Allotment of:
(1) DDA Flats/Houses.
(2) Shops in DDA/NDMC
(3) Plots in DDA.
MEMBERS OF PARLIAMENT
(1) 100 Gas Connections for Discretionary Allotments.
(2) 15 Telephone Connections for Discretionary Allotments."
99. The above list will show that not only to the Minister of Petroleum, but
beginning from the Prime Minister, down to other Ministers, including Members
of Parliament, a discretionary quota has been made available to them.
100. So far as the Minister of Petroleum is concerned, the allotments made by
the petitioner were challenged in this Court in Centre for Public Interest
Litigation v. Union of India & others, Writ Petition (C) No. 886 of 1993,
decided on March 31, 1995 since reported in 1995 Supp.(3) SCC 382, But the
Court did not set aside or quash any of the allotments and instead framed
guidelines for the exercise of discretionary allotment of petroleum products'
agencies. These guidelines were settled with the assistance of the Attorney
General who submitted a draft of the proposed guidelines. After considering
the guidelines, the Court directed as under:
"The following to be inserted in the brochure of guidelines for selection
of dealers through the Oil Selection Board:
Discretionary Quota
A discretionary quota will be earmarked for deserving cases on genuine
compassionate grounds. This quota will be outside the 100 point roster of
marketing plans and outside the purview of the Oil Selection Boards.
Candidates will submit a proper application to the Ministry, giving their
complete bio-data indicating the name of spouse/father, occupation, permanent
address, annual income for the preceding year in respect of self, spouse and
parents from all sources enclosing documentary evidence wherever necessary in
support of their request and an affidavit verifying the given facts.
Discretionary allotment will be made to a candidate only if he is a citizen of
India. If he/she or any of his/her following close relatives (including step
relatives) does not already hold a dealership of petroleum products of any oil
company:
(i) spouse
(ii) father/mother
(iii) brother
(iv) son/daughter0in-law."
Then the Court directed as under:
"The above-quoted norms/guidelines etc. shall be followed by the Central
Government in making all such discretionary allotment of retail outlets for
petroleum products, LPG Dealership and SKO Dealership, hereafter. A copy of
this order be provided to every oil company by the Central Government for
general information."
101. We have not reproduced the general guidelines or general conditions or,
for that matter, the procedure fixed by the Court for allotment of petrol
outlets, but have reproduced only that portion which has been considered
necessary by us for disposal of this case as they relate to discretionary
quota.
102. It is contended that since the allotments made by the petitioner till the
filing of the writ petition in this Court, in spite of a challenge having been
raised therein, were not set aside and only guidelines were settled for future
exercise of discretionary quota, tacit stamp of judicial approval shall be
deemed to have been placed on the allotments made by the petitioner and
consequently those allotments could not have been reopened on the principle of
constructive res judicata. Normally, we would have accepted this argument, but
in this case we cannot go to that extent. We have already stated in the
beginning that the judgment of the Court, in sofar as it purports to set aside
the 15 allotments made by the petitioner, will not be reviewed by us as the
review applications filed by the allotees have already been rejected. We,
therefore, cannot entertain any plea which even indirectly aims at setting
aside the judgment under review on that question.
103. Significantly, it is not even suggested that the guidelines issued by the
Court in 1995 Supp(3) SCC 382 were violated in any subsequent allotment or
that allotments were made in excess of the quota after that judgment.
104. In a case relating to manufacturer's discretionary quota concerning
Maruti-800, this Court had to intervene. The then Attorney General who
happened to be none other than Mr. K. Parasaran, arguing before us as Senior
Counsel today, was requested by the Court to provide the draft guidelines
which was done and the guidelines were approved by the Court and the Court
fixed the guidelines for the exercise of manufacturer's five per cent
discretionary quota concerning allotment of `Maruti-800' cars. (See: Ashok K.
Mittal v. Maruti Udyog Ltd. & another, 1986(1) SCR 585). While conceding
discretionary quota to the manufacturers, the Court fixed the guidelines for
regulating the allotments of Maruti cars out of discretionary quota to various
customers falling in the category of Defence Forces, Judiciary, Constitutional
Heads, MPs, etc.
105. Mr. Gopal Subramaniam, learned Senior Counsel, appearing as Amicus Curiae
in the case and who, we must record, equally matched the forensic skill of Mr.
K. Parasaran and rendered invaluable assistance to us, contended that it was
not merely a matter of discretionary quota which was the basis of the judgment
under review, but the arbitrary manner, in which the discretion was exercised,
which ultimately resulted in the quashing of all the allotments made by the
petitioner who was found to have allotted the petrol pumps not only to the
relatives of his personal staff, but also to the sons of Chairmen of Oil
Selection Boards and even to the members of the Oil Selection Boards and,
therefore, the Court had rightly held the exercise of discretion to be
motivated, arbitrary and for extraneous considerations. Since this question
again turns on the merit of the allotments made by the petitioner, we would
not look into it. We have mentioned the philosophy of discretionary quota
being made available to the Ministers, only as a prelude to our decision on
the question whether on the facts of this case the petitioner could be held to
have committed the tort of misfeasance in public office. The basis of the
finding recorded in the impugned judgment on this question is the decision of
this Court in Lucknow Development Authority's case (supra) which did not
consider even the basic elements which constitute the tort of misfeasance
which we have already discussed above.
106. The whole proceedings were initiated on the basis of a Press report which
was brought to the notice of the Court by Mr. H.D. Shourie, Director, Common
Cause whose Writ Petition was already pending and it was on that basis in that
pending Writ Petition that the Court took cognizance of the matter. The
allotments were made by the petitioner in his capacity as Minister of State
for Petroleum and Natural Gas as and when an application was made by separate
and individual persons. There was none to compete with that person. The
individual concerned would approach the petitioner and the petitioner,
perhaps, on being satisfied with the contents of the application, as also the
need for a petrol outlet in the area, make the allotment. Had there been any
other applicant for the same petrol outlet for which an application was made
to the Minister, the question that he deliberately made the allotment in
favour of one so as to injure the other person would then have positively
arisen. The petitioner cannot be said to have made the allotment in favour of
one cut of malice towards the other as there was none else, to contest or
compete with the claim of the person who made the application for allotment.
Nor could it be said that the petitioner made the allotment of petrol outlet
in favour of the applicant with the knowledge that such allotment was likely
to injure the interest of any other person.
107. The petitioner before the Court was "Common Cause". It was a
registered Society. It was not one of the applicants for allotment of petrol
outlet. Had the "Common Cause" approached the Civil Court for
damages on account of tort of misfeasance in public office, its suit would
have been dismissed on the ground that it was not one of the applications for
a petrol outlet; its own interest was not injured in any way nor had the
petitioner made allotment in favour of one of the applicants maliciously or
with the knowledge that the allotment would ultimately harm the "Common
Cause". How could then a finding of commission of misfeasance in public
office by the petitioner be recorded in proceedings under Article 32 and that
too, at the instance of "Common Cause" on the basis of a Press
report ? Mr. Gopal Subramaniam contended that "Common Cause" was
justified in filing the petition under Article 32 in Public Interest to expose
the want on way in which allotments were made by the petitioner. To that
extent, Mr. Gopal Subramaniam is right. The Court has already quashed the
fifteen allotments made by the petitioner in view of the arbitrary exercise of
power by him. But the Court went a step further and held that petitioner, had
committed the Tort of Misfeasance in Public Officer and awarded exemplary
damages. It is this aspect which we are examining and it is in this context
that we say that "Common Cause" not being an applicant for allotment
of a Petrol outlet could not have obtained a finding in the Civil Suit that
the petitioner had committed the Tort of Misfeasance in Public Office.
108. Having regard to the definition of tort of misfeasance in public office
as discussed above and having regard to the ingredients of that tort, it is
obvious that there has to be an identifiable plaintiff or claimant whose
interest was damaged by the public officer maliciously or with the knowledge
that the impugned action was likely to injure the interest of that person. It
is in favour of that specific identifiable plaintiff or claimant that the
relief could have been granted and damages awarded to him as the whole gamut
of the Law of Tort is compensatory in nature and damages are awarded to
compensate the losses caused on account of violation of the interest of one
person by another. In other words, obtaining compensation for a tortiously
inflicted loss is generaly perceived as the aim of the law of tort by the
plaintiff. Judgment in favour of the plaintiff can be given and the loss
suffered by him can be redressed only when a finding of a breach of an
obligation by the tort-feasor is recorded. It is the compensatory function of
tort which is invoked by the plaintiff in a Court and unless there is an
identifiable plaintiff, there cannot be any order for compensation or damages
to redress the loss caused to that plaintiff.
109. Mere allotment of Petrol outlets would not constitute
"Misfeasance" unless other essential elements were present. These
allotments have already been quashed as having been arbitrarily made and we
appreciate the efforts of "Common Cause" for having caused this
exposure. But the matter must end here.
110. It cannot be ignored that the allotments made by the petitioner under the
discretionary quota were challenged in this Court but the Court did not
interfere with those allotments and instead settled the guidelines for future
allotments. It is not alleged nor has it been found that any allotment was
made in violation of the guidelines. It cannot also be ignored that the
petitioner is not alleged to have intereferred with any allotment made through
the Oil Selection Boards or the process of selection carried out by the
Boards.
111. At this stage, Mr. Gopal Subramaniam drew our attention to the following
passage from the judgment under review :
"The orders of the Minister reproduced above read: "the applicant
has no regular income to support herself and her family", "the
applicant is an educated lady and belongs to Scheduled Tribe Community",
"the applicant is an uneducated, unemployed Scheduled Tribe youth without
regular source of livelihood", "the applicant is a housewife whose
family is facing difficult financial circumstances" etc. etc. There would
be literally millions of people in the country having these Circumstances or
worse. There is no justification whatsoever to pick up these persons except
that they happen to have won the favour of the Minister on mala fide
considerations. None of these cases fall within the categories placed before
this Court in Centre for Public Interest Litigation v. Union of India but even
if we assume for argument sake that these cases fall in some of those or
similar guide lines the exercise of discretion was wholly arbitrary. Such a
discretionary power which is capable of being exercised arbitrarily is not
permitted by Article 14 of the Constitution of India. While Article 14 permits
a reasonable classification having a rational nexus to the objective sought to
be achieved, it does not permit the power to pick and choose arbitrarily out
of several persons falling in the same category."
and contended that the Court itself had in mind that there were others equally
eligible to whom the Petrol outlets could have been allotted. He specially
drew our attention to the portion underlined above. It is true that there are
millions of poor. unemployed, educated or uneducated young men, who might have
deserved preferential treatment, but all of them had not approached the
petitioner nor the petitioner was expected to know all of them personally. If
an advertisement were to be issued and applications were to be invited for
allotment of Petrol outlets on the basis of auction, it would still not have
been possible for the millions of poor or unemployed persons to have applied
for allotment or to participate in the bid. Auction is usually held to augment
the revenue. Physically hand capped, poor, unemployed, illiterate out cannot
be expected to participate in the auction and offer their bids. Moreover, this
would be contrary to the concept of discretionary quota, the main purpose of
which is to provide immediate relief to the most needy. Even the guidelines
settled by this Court do not provide for allotment being made by public
auction.
112. In view of the above, the conduct of the petitioner in making allotments
of petrol outlets was atrocious, specially those made in favour of the
Members, Oil Selection Board or their son, etc., and reflects a wanton
exercise of power by the petitioner. This Court has already used judicial
vituperative in respect of such allotments and we need not strain our
vocabulary any further in that regard. Suffice it to say that though the
conduct of the petitioner was wholly unjustified, it falls short of
"misfeasance in public office" which is a specific tort and the
ingredients of that tort are not wholly met in the case. That being so, there
was no occasion to award exemplary damages.
113. Since exemplary damages have been awarded, we would, in spite of our
finding that the petitioner had not committed the tort of misfeasance in
public office, consider the question relating to "Exemplary Damages"
on its own merit.
114. "Damages", as defined by Mcgregor "are the pecuniary
compensation, obtainable by success in an action, for a wrong which is either
a tort or a breach of contract, the compensation being in the form of a lump
sum which is awarded unconditionally." This definition was adopted by
Lord Hailsham L.C. in Broome v. Cassell & Co. 1971(2) All ER 187. The
definition in Haisbury's Laws of England (4th Edition), Volume 12, Para 1102,
is similar to the definition set out above.
115. The object of an award of damages is to give the plaintiff compensation
for damage, loss or injury he has suffered. The elements of damage recognised
by law are divisible into two main groups : pecuniary and non-pecuniary. While
the pecuniary loss is capable of being arithmetically worked out, the
non-pecuniary loss is not so calculable. Non-pecuniary loss is compensated in
terms of money, not as a substitute or replacement for other money, but as a
substitute, what Mcgregor says, is generally more important than money : it is
the best that a court can do. In Re: Medianna (1900) A.C. 1300, Lord Halsbury
L.C. observed as under :
"How is anybody to measure pain and suffering in moneys counted? Nobody
can suggest that you can by arithmetical calculation establish what is the
exact sum of money which would represent such a thing as the pain and
suffering which a person has undergone by reason of an accident... But
nevertheless the law recognises that as a topic upon which damages may be
given."
This principle was applied in Fletcher v. Autocar and Transporters, 1968(2)
Q.B. 322 and parry v. Cleaner, 1970 A.C. 1.
In a suit for damages under the Law of Tort, the court awards pecuniary
compensation after it is proved that the defendant committed a wrongful act.
In such cases, the court usually has to decide three question :-
1. Was the damage alleged caused by the defendant's wrongful act?
2. Was it remote?
3. What is the monetary compensation for the damage?
116. These elements imply that there has to be always a plaintiff who had
suffered loss on account of wrongful act of the defendant. If the damage
caused to the plaintiff is directly referable to the wrongful act of the
defendant, the plaintiff becomes entitled to damages. How the damages would be
calculated, what factors would be taken not consideration and what
arithmetical process would be adopted would depend upon the facts and
circumstances of each case.
117. Now, the damages which can be awarded in an action based on Tort may be
Contemptuous, Nominal, Ordinary or, for that matter, Exemplary. In the instant
case, we are concerned with the "Exemplary Damages" awarded by this
Court by Judgment under review.
118. As pointed out earlier, the primary object of award of damages is to
compensate the plaintiff for the harm done to him, while the secondary object
is to punish the defendant for his conduct in inflicting the harm. The
secondary object can also be achieved in awarding, in addition to normal
compensatory damages, damages which are variously called as exemplary damages,
(sic) vindictive damages or retributory damage. These are awarded whenever the
defendant's conduct (sic) to be sufficiently outrageous to merit punishment
for example where the conduct discloses malice cruelty indolence or the like.
119. It will thus be seen that in awarding punitive or exemplary damages, the
emphasis is not on the plaintiff and the injury caused to him, but on the
defendant and his conduct.
120. Exemplary Damages made their appearance on the English legal scene in
1760s when in two cases, namely Huckle v. Money and John Wilkes v. Wood,
1963(2) Wils. KB 205 and (1763) Lofft 1 respectively, exemplary damages were
awarded. These cases were followed by two other cases, namely, Benson v.
Frederick, 1766(3) Burr. 1845 relating to the tort of assault and Tullidge v.
Wade, 1769(3) Wils. KB 18 relating to the tort of seduction, and in both the
cases, exemplary damages were allowed. Exemplary damages, therefore, became a
familiar feature of the Law of Tort and were even awarded in cases relating to
trespass to land and trespass to goods.
121. The whole legal position was reviewed in Rookes v. Barnard, 1964 AC 1129
and the House of Lords laid down that except in few exceptional cases, it
would not be permissible to award exemplary damages against the defendant
howsoever outrageous his conduct might be. The question of damages was
thoroughly canvassed in the judgment of Lord Devlin and after tracing the
history of such awards of exemplary damages from their origin in 1763, he
observed :
"These authorities convince me of two things. First, that your lordships
could not without a complete disregard of precedent, and indeed of statute,
now arrive at a determination that refused altogether to recognise the
exemplary principle. Secondly, that there are certain categories of cases in
which and award of exemplary damages conserve a useful purpose in vindicating
the strength of the law, and thus affording a practical justification for
admitting into the civil law a principle which ought logically to belong to
the criminal... I am well aware that what I am about to say will, if accepted,
impose limits not hitherto expressed on such awards and that there is
powerful, though not compelling authority for allowing them a wider range.
122. Lord Devlin then set out the categories in which, in his view, exemplary
damages could be awarded, as under :
"(1) where there has been oppressive, arbitrary or unconstitutional
action by the servants of the government;
(2) where the defendant's conduct has been calculated by him to make a profit
which may well exceed the compensation payable to the plaintiff; and
(3) where such damages are expressly authorised by statute."
123. The principles laid down in Rookes v. Barnard (supra) were followed in
five other cases in England out of which four were libel actions, including
McCarey v. Associated Newspapers Limited, 1965(2) QB 86 = 1964(3) ALL ER 947
and Broadway Approvals Limited v. Odhams Press Limited, 1965(2) All ER 523.
124. In 1971 came the decision in Broome v. Cassell & Co. Ltd. 1971(2) All
ER 187. The facts of the case may be briefly stated :
"(a) John Egerton Broome was a commander in the Royal Navy. In July 1942
he was in command of the naval escort for a merchant convoy of war materials
en route to the Soviet Union. Acting on orders received from the Admiralty,
which had mistakenly formed the impression that the convoy was about to be
attacked, Broome directed the ships to scatter in every direction. The result
was calamitous. Left unprotected from attack, large numbers of ships and men
and vast quantities of material were lost. Broome's action was vindicated; the
error was the Admiralty's not his. Many persons wrote about the catastrophe,
including Sir Winston Churchill and the war's official historian, but none
faulted Broome for it until Cassell & Co. Ltd. published "The
Destruction of P.JO 17".
(b). The book, advertised as "the true story of biggest-ever Russian
convoy that the Royal Navy left to annihilation", blamed Broome for the
disaster, accusing him of disobeying orders and deserting the convoy. The book
had earlier been rejected by i.e. author's regular publisher, who had said.
`As written, the book is a continuous witch hunt of the plaintiff, filled with
exaggerated criticisms of what he did or did not do... We could not possibly
publish the book as it is unless you took out insurance against any writs for
libel, and I don't think that any insurance company would underwrite you.'
The authors then submitted the book for publication to Cassell & Co. Ltd.,
which praised the book for its "very robust view of libel dangers".
Cassell though that the amount of profit which he would earn by publishing the
book would far exceed the amount of damage which he would be required to pay
in an action for libel. As anticipated, action for libel was instituted again
Cassell & Company. At the trial, neither the author nor the publisher gave
evidence. Every witness who was called support the plaintiff. The jury awarded
compensatory damages of Pound 1,000 in respect of the proof copies and Pound
14,000 in respect of the hardback edition, and exemplary damages of Pound
25,000.
The defendants appealed. In dismissing the appeal, the Court of Appeal
considered the judgment in Rookes v. Barnard and speaking through Lord
Denning, M.R. said that Lord Devlin,
`threw over all that we ever knew about exemplary damages. He knocked down the
common law as it had existed for centuries. He laid down a new doctrine about
exemplary damages.'
Lord Denning pointed out that, although Rookes v. Barnard had been followed in
England, it had not been accepted in Australia, Canada or New Zealand and the
day had arrived when it should no longer be followed in England:
`This wholesale condemnation justifies us. I think, in examining this new
doctrine for ourselves: and I make so bold as to say that it should not be
followed any longer in this country.'
He gave four reasons :
(a) the common law on the subject had been so well settled before 1964 that if
was not open to the House of Lords to overthrow it;
(b) counsel who had appeared in Rookes v. Barnard had not argued the point,
and indeed had accepted the common law as it was then understood;
(c) contrary to what Lord Devlin had said, there were two previous decisions
of the House of Lords approving awards of exemplary damages; and
(d) the doctrine laid down by Rookes v. Barnard was "hopelessly illogical
and inconsistent".
Lord Denning further observed :-
"All this leads me to the conclusion that, if ever there was a decision
of the House of Lords given per incuriam, this was it. The explanation is that
the House, as a matter of legal theory, though that exemplary damages had no
place in the civil code, and ought to be eliminated from it; but, as they
could not be eliminated altogether, they ought to be confined within the
strictest possible its, no matter how illogical those limits were... I think
the difficulties presented by Rookes v. Barnard are so great the judges should
direct the juries in accordance with the law as it was understood before
Rookes v. Barnard. Any attempt to follow Rookes v. Barnard is bound to lead to
confusion."
125. Matter went up in appeal before the house of Lords. (Cassell & Co.
Ltd. v. Broome & Anr. 1972(1) All ER 801 = 1972 A.C. 1027). Lord Hailsham
L.C. did not agree with the Court of Appeal and held that Rookes v. Barnard
(supra) was correctly decided. All the observations of Lord Denning including
that Rookes v. Barnard was decided per incuriam were diluted, rather
overruled.
126. It is in this background that category (2) set out by Lord Devlin was
specified. Cassell & Company had published the book in spite of the
knowledge that an action for libel was likely to be instituted against them.
They were fully conscious that damages were likely to be awarded against them
for publishing that book. But they published the book as they though that the
book would bring them much more money than what they would be required to pay
as damages. If it is with this motive that a tort is purposely committed, it
would be a fit case for award of exemplary damages.
127. In spite of this decision, the controversy whether punitive or exemplary
damages should be allowed, still rages almost internationally and remains
unresolved. It continues to be debated even in England, whether Exemplary
Damages should be allowed in the Pre-Rookes v. Barnard manner or only in those
exceptional cases which have been indicated in Rookes v. Barnard.
128. In an action for tort where the plaintiff is found entitled to damages,
the matter should not be stretched too far to punish the defendant by awarding
exemplary damages except when their conduct, specially those of the Govt. and
its officers, is found to be oppressive, obnoxious and arbitrary and is,
sometimes, coupled with malice. While dealing with this category, namely, the
Govt. officers, it was observed in Rookes v. Barnard (supra) : 33
"..... Where one man is more powerful than another it is inevitable that
he will try to use his power to gain his ends; and if his power is much grater
than the other's, he might, perhaps, be said to be uses his power illegally,
he must of course pay for his illegality in the ordinary way; but he is not to
be punished simply because he is the more powerful. In the case of the
government it is different, for the servants of the government are also the
servants of the people and the use of their power must always be subordinate
to their duty of service."
129. If we were to apply the rule in Rookes v. Barnard as upheld in Cassell
& Co. Ltd. v. Broome (supra) invariably and unhesitatingly and were to
award exemplary damages in every case involving Govt. officers or Govt.
seryants, the result would be appalling.
130. Executive, under the Constitution, consists of Prime Minister, Cabinet
Ministers, Ministers of State and Civil Services comprising of high
administrative officers on the top down to the clerical level. They have as
important a role to play in the governance of the country as the judiciary or
Legislature. The Executive, in running the administration of the country,
should not be cowed down and should be allowed to have full confidence in its
own existence so that its decision-making process is not, in any way,
affected. They must feel independent and keep themselves in an excellent frame
of mind so that the administrative files are cleared in time and the Officers
dealing with those files are not hesitant even in taking bold decisions which
have sometimes to be taken in the interest of administration. It is true that
the fear of being proceeded against in a court of law for tort of misfeasance
in public office may keep them on the right path and they may not falter, but
there is already the fear of departmental action or proceedings being
initiated against them departmentally which itself is a safeguard for proper
administration. Departmentally, they are answerable for their lapses;
Ministers, or, for that matter, even the Government is answerable to
Parliament. If they were constantly under the fear or threat of being
proceeded against in a court of law for even slightest of lapse or under
constant fear of exemplary damages being awarded against them, they will
develop a defensive attitude which would not be in the interest of
administration.
131. In Yuen Kun Yev & Ors. v. Attorney General of Hong Kong, 1987(2) All
ER 705, Lord Keith observed as under :
"...the prospect of claims would have a seriously inhibiting effect on
the work of his department. A sound judgment would be less likely to be
exercised if the Commissioner were to be constantly looking over his shoulder
at the prospect of claims against him, and his activities would be likely to
be conducted in a detrimentally defensive frame of mind. Consciousness of
potential liability could lead to distortions of judgment...." .
[Emphasis supplied]
132. If the power has been exercised bona fide and honestly, there cannot be
any occasion for exemplary damages being awarded notwithstanding that
unintended injury was caused to someone. These, as also a few other elements,
which we shall presently discuss, have to be kept in mind before awarding
exemplary damages.
133. Mr. Parasaran next made his submission on the quantum of damages and
contended that the amount of Rs. 50 lakhs has been fixed in an arbitrary
manner without there being any rational basis for arriving at that figure. It
is contended that the only reason given by the Court was that "all the
facts and circumstances of the case have been examined." The observation
of this Court in this regard may be reproduced :
"After examining all the facts and circumstances of this case and giving
thoughtful consideration to this aspect, we direct Capt. Satish Sharma to pay
a sum of Rs. 50 lakhs as exemplary damages to the Governments Exchequer. Since
the property with which Capt. Sharma was dealing was public property, the
Government which is "by the people" has to be compensated. We
further direct Capt. Sharma to deposit the amount with the Secretary, Ministry
of Finane, Government of India within nine months from today. The amount if
not paid, shall be recoverable as arrears of land revenue."
134. It is contended by Mr. Parasaran that the above reasons are not enough
for awarding punitive damages in the sum of Rs. 50 lakhs against the
petitioner. He contended that the proceedings in which this order has been
passed were proceedings under Article 32 of the Constitution and not a suit
for recovery of damages under law of Tort and, therefore, an order for
exemplary damages should not have been passed.
135. Right to access to this Court under Article 32 of the Constitution is a
fundamental right. The Court has been given the power to issue directions or
orders or writs, including writs in the nature of habeas corpus, mandamus,
prohibition, quo-warranto and certiorari, whichever may be appropriate, for
the enforcement of the fundamental rights. Obviously, the fundamental rights
would be enforced against the Govt. or its executive from administrative
officers or other public bodies. It is in the matter of enforcement of
fundamental rights that the Court has the right to award damages to compensate
the loss caused to a person on account of violation of his fundamental rights.
The decisions in which orders have been passed by this Court for damages under
Article 32 of the Constitution for violation of fundamental right coupled
with, in some cases, tortuous liability, have already been specified above.
The State itself cannot claim the right of being compensated in damages
against its officers on the ground that they had contravened or violated the
fundamental rights of a citizen.
136. Petitioner, as Minister of State for Petroleum and Natural Gas, was part
of the Central Govt. By directing petitioner to pay a sum of Rs. 50 laksh to
the Govt., the Court has awarded damages in favour of the Govt. of India in
proceedings under Article 32 of the Constitution which is not permissible as
the Court cannot direct the Govt. to pay the exemplary damages to itself. mr.
Gopal Subramaniam asserted that it was a direction made to the petitioner
personally and the Court had treated him as a separate and distinct entity
than the Govt. He contended that since tort is a wrongful act, it cannot be
treated as an act of the State and has always to be treated as referring to
the person who has committed it and, therefore, the petitioner could be
rightly directed by the Court to pay Rs. 50 lakhs as exemplary damages.
137. This cannot be accepted. The whole thing has to be examined in the
context of Article 32 of the Constitution under which relief to a person or
citizen can be granted only against Union of India or the State or their
Instrumentalities but the State cannot legally claim that since one of its
Ministers or Officers had violated the fundamental rights of a citizen or had
acted arbitrarily, it should be compensated by awarding exemplary damages
against that officer or Minister.
138. IN Rookes v. Barnard (supra), it was pointed out by Lord Devlin that a
plaintiff cannot recover exemplary damages unless he is the victim of
punishable behaviour. We have already pointed out that in the instant case,
there was no plaintiff. The petitioner, Common Cause, cannot be said to be a
plaintiff nor can it claim to have suffered any damage or loss on account of
the conduct of the petitioner.
139. Lord Devlin further pointed out that award of exemplary damages should be
moderate. Some of the awards that the jury had made in the pat, seemed to him,
to amount to a greater punishment than the punishment which was likely to be
incurred if the conduct were criminal. It would be a punishment imposed
without the safeguard which the criminal law gives to an offender. Lord Devlin
had a third consideration also in mind which related to the means of the
party. Obviously, a small exemplary award would go unnoticed by a rich
defendant, while even a moderate award might cripple a poor defendant. The
conduct of the parties throughout the proceedings would also be a relevant
consideration in assessing exemplary damages.
140. In our opinion, these elements or considerations are extremely relevant
in determining the amount of exemplary damages but, unfortunately, none of
these factors has been taken into consideration and after recording a finding
that the conduct of the petitioner was oppressive and that he had made
allotments in favour of various persons for extraneous considerations, the
Court awarded an amount of Rs. 50 lakhs as punitive damages. How did the Court
arrive at this figure is not clear. Why it could not Forty nine lacs fifty
thousand?
141. Let us now examine the direction for investigation by the C.B.I. into the
offence of "criminal breach of trust" or "any other
offence."
142. This direction obviously consists of two parts : (a) Investigation by the
C.B.I. into the offence of criminal breach of trust; and (b) Investigation by
the C.B.I. into any other offence. We will take up the first part first.
143. The basis for the direction relating to investigation into the offence of
"criminal breach of trust" are the following observations of the
Court :
(a) "A Minister who is the executive head of the department concerned
distributes these benefits and largesses. he is elected by the people and is
elevated to a position where the holds a trust on behalf of the people. He has
to deal with the people's property in a fair and just manner. He cannot commit
breach of the trust reposed in him by the people.
(b) The allotments have been made in a cloistered manner. The petrol pumps -
public property - have been doled out in a wholly arbitrary manner."
144. These observations indicate that the Court was of the opinion that a
person on being elected by the people and on becoming a Minister holds a
sacred trust on behalf of the people. This, we may venture to say, is a
philosophical concept and reflects the image of virtue in its highest
conceivable perfection. This philosophy cannot be employed for determination
of the offence of "criminal breach of trust" which is defined in the
Indian Penal Code. Whether the offence of "criminal breach of trust"
has been committed by a person has to be determined strictly on the basis of
the definition of the offence set out in the Penal Code to which we would
advert a little later.
145. The Court also appears to have invoked the `Doctrine of Public Trust'
which is a doctrine of environmental law under which the natural resources
such as air, water, forest, lakes, rivers and wild life are public properties
"entrusted" to the Government for their safe and proper use and
proper protection. Public Trust Law recognises that some types of natural
resources are held in trust by the Government for the benefit of the public.
The `Doctrine of Public Trust' has been evolved so as to prevent unfair
dealing with or dissipation of all natural resources. This Doctrine is an
ancient and somewhat obscure creation of Roman and British law which has been
discovered recently by environmental lawyers in search of a theory broadly
applicable to environmental litigation.
146. This doctrine was considered by this Court in its judgment in M.C. Mehta
v. Kamal Nath, 1997(1) SCC 388 to which one of us (S. Saghir Ahmad, J.) was a
party. Justice Kuldip Singh, who authored the erudite judgment and has also
otherwise contributed immensely to the development of environmental law,
relying upon ancient Roman "Doctrine of Public Trust", as also the
work of Joseph L. Sax, Professor of Law, University of Michigan and other
foreign decisions, wrote out that all natural resources are held in `trust' by
the Govt. The Doctrine enjoins upon the Govt. to protect the resources for the
enjoyment of the general public rather than to permit their use for private
ownership or commercial purposes. But this Doctrine cannot be involved in
fixing the criminal liability and the whole matter will have to be decided on
the principles of criminal jurisprudence, one of which is that the criminal
liability has to be strictly construed only when all the ingredients of that
offence as defined in the Statute ae found to have been satisfied.
The matter may be examined from another angle.
147. Election to the State Legislature or the House of the People are held
under the Constitution on the basis of adult suffrage. On being elected as a
Member of the Parliament, the petitioner was inducted as Minister of State.
The Department of Petroleum and natural Gas was allocated to him. Under the
allocation of business rules, made by the President of India, the distribution
of petroleum products, inter alia, came to be allocated to the petitioner.
This allocation of business under the Constitution is done for smooth and
better administration and for more convenient transaction of business of
Government of India. In this way, neither a "trust", as ordinarily
understood or as defined under the Trust Act, was created in favour of the
petitioner nor did he become a "trustee" in that sense.
148. In Tito v. Waddell (No.2), 1977(3) All ER 129, the question of Crown's
status as a trustee was considered and it was laid down :-
"I propose to turn at once to the position of the Crown as trustee,
leaving on one side any question of what is meant by the Crown for this
purpose; and I must also consider what is meant by `trust'. The word is in
common use in the English language, and whatever may be the position in this
court, it must be recognised that the word is often used in a sense different
from that is often used in a sense different from that of an equitable
obligation enforceable as such by the courts. Many a man may be in a position
of trust without being a trustee in the equitable sense; and terms such as
`brains trust', `anti-trust', and `trust territories', though commonly used,
are not understood as relating to a trust as enforced in a court of equity. At
the same time it can hardly be disputed that a trust may be created without
using the word `trust'. In every case, one has to look to see whether in the
circumstances of the case, and on the true construction of what was said and
written, a sufficient intention to create a true trust has been manifested.
When it is alleged that the Crown is a trustee, an element which is of special
importance consists of the governmental powers and obligations of the Crown;
for these readily provide an explanation which is an alternative to a trust.
If money or other property is vested in the Crown and is used for the benefit
of others, one Crown and is used for the benefit of others, one explanation
can be that the Crown holds on a true trust for those others. Another
explanation can be that, without holding the property on a true trust, the
Crown is nevertheless administering that property in the exercise of the
Crwon's governmental functions. This latter possible explanation, which does
not exist in the case of an ordinary individual, makes it necessary to
scrutinise with greater care the words and circumstances which are alleged to
impose a trust."
149. Many earlier decisions were relied upon and with reference to an earlier
decision reported in (1880) 15 Ch D 1, it was observed as under :-
"In the Court of Appeal, this decision was unanimously reversed. The
court held that no trust, `in the sense of a trust enforceable and cognizable
in a Court of Law', has been created, despite the use of the word `trust' in
the royal warrant: see per James LJ. Furthermore, the Secretary of State for
India in Council, though by statute made capable of suing and being used in
that name, had not been made a body corporate. All that had been done had been
to provide that the Secretary of State for the time being should be the agent
of the Crown for the distribution of the property. James LJ regarded the
consequences of holding that there was a trust enforceable inthe courts as `so
monstrous that persons would probably be startled at the idea'. He referred to
matters such as the right of every beneficiary to sue for the administration
of the trust and have the accounts taken, and `imposing upon the officer of
State all the obligations which in this country are imposed upon a person who
chooses to accept a trust'. He also emphasised the words at the end of the
Royal Warrant as showing clearly that questions were to be determined, not by
the courts, but by the Secretary of State, with an ultimate appeal to the
Treasury, as advising the Queen. Bagallay and Bramwell LJJ delivered
concurring judgments with the latter emphasising the construes inconvenience
and enormous opens of litigation if there were a trust for cadebale by the
courts, so that `one should be reluctant, even if the words were much stronger
than they are, to hold that there is a trust'.
The House of Lords [(1882) 7 App Cas 619] unanimously affirmed the Court of
Appeal. In the leading speech, Lord Selborne LC attached some weight to the
words in the Royal Warrant being `the Secretary of State for India in
Council', and `for the time being', instead of his being described by his
personal name, as indicating that he was not intended to be a trustee in the
ordinary sense, but was intended to act as a high officer of State. After
discussing the Order in council, Lord Selbourne LC quoted the part of the
Royal Warrant which contained the words `in trust for the use of', and said:
`Now the words "in trust for" are quite consistent with, and indeed
are the proper manner of expressing, every species of trust-a trust not only
as regards those mattes which are the proper subjects for an equitable
jurisdiction to administer, but as respects higher matters, such as might take
place between the Crown and public officers discharging, under the directions
of the Crown, duties or functions belonging to the prerogative and to the
authority of the Crown. In the lower sense they are matters within the
jurisdiction of, and to be administered by , the ordinary Courts of Enquiry;
in the higher sense they are not. What their sense is here, is the question to
be determined, looking at the whole instrument and at its nature and
effect."
150. Applying the principles laid down above, the petitioner does not, on
becoming the Minister of State for Petroleum and Natural Gas, assume the role
of a "trustee" in the real sense nor does a "trust" come
into existence in respect of the Government properties.
151. This brings us to the definition of the offence of "Criminal Breach
of Trust" as defined in Section 405 of the Indian Penal Code which, minus
the Explanation, provides under:
"405. Criminal breach of trust.
Whoever, being in any manner entrusted with property, or with any dominion
over property, dishonestly misappropriates or converts to his own use that
property, or dishonestly uses or disposes of that property in violation of any
direction of law prescribing the mode in which such trust is to be discharged,
or of any legal contract, express or implied, which he has made touching the
discharge of such trust, or wailfully suffers any other person so to do,
commits `criminal breach of trust'."
152. A trust contemplated by Section 405 would arise only when there is an
entrustment of property or domination over property. There has, therefore, to
be a property belonging to someone which is entrusted to the person accused of
the offence under Section 405. The entrustment of property creates a trust
which is only an obligation annexed to the ownership of the property and
arises out of a confidence reposed and accepted by the owner. This is what has
been laid in The State of Gujarat v. Jaswant Lal Nathalal, AIR 1968 SC 700. In
Rashmi Kumar v. Mahesh Kumar Bhada, 1997(2) SCC 397, the essential ingredients
for establishing the offence of criminal breach of trust, as defined in
Section 405, have been spelt out as follows :
"(i) entrusting any person with property or with any dominion over
property ;
(ii) the persons entrusted dishonestly misappropriating or converting to his
own use that property; or dishonestly using or disposing of that property or
willfully suffering any other person so to do in violation of any direction of
law prescribing the mode in which such trust is to be discharged, or of any
legal contract made touching the discharge of such trust."
153. In this case, the earlier decision in Pratibha Rani v. Suraj Kumar,
1985(2) SCC 370 was affirmed. The case essentially related to the entrustment
of `Stridhan', but nevertheless, it is important, in the sense that the
ingredients of the offence are set out and discussed. In Chellor Kamkkal
Narayan Ittiravi Nambudiri v. State of Travancore-Cochin, AIR 1953 SC 478 =
1954 Crl. LJ 102, it was laid down that every breach of trust in the absence
of mens rea or dishonest intention cannot legally justify a criminal
prosecution.
154. The expressions "entrusted with property" and "with any
dominion over property" used in SEction 405 came to be considered by this
Court in C.B.I. v. Duncans Agro Industries Ltd., Calcutta, 1996(5) SCC 591 =
AIR 1996 SC 2452 and the view earlier expressed was reiterated. It was held
that the expression "entrusted" has wide and different implication
in different contexts and the expression "trust" has been used to
denote various kinds of relationships like trustee and beneficiary, bailor and
bailee, master and servant, pledger and pledgee.
155. Mr. K. Parasaran contended that "power to allot petrol pumps",
and that too under discretionary quota, cannot be treated as
"property" within the meaning of Section 405 of the Indian Penal
Code. It is pointed out by him that the minister merely makes an order of
allotment. Subsequently, the Indian Oil Corporation or the Bharat Petroleum
Corporation enters into a dealership agreement with that person and the
business is regulated by the agreement between the allottee and the
Corporation (Indian Oil Corporation or Bharat Petroleum Corporation). It is
also pointed out that in pursuance of the agreement, the allottee invests
money, constructs the building and sets up the petrol pump. Mere exercise of
"power to allot", it is rightly contended, cannot, therefore, be
treated as "property", within the meaning of Section 405, capable of
being mis-utilised or mis-appropriated.
156. The word "property", used in Section 409, IPC means the
property which can be entrusted or over which dominion may be exercised. This
Court in R.K. Dalmia v. Delhi Administration, 1963(1) SCR 253 = AIR 1962 SC
1821, held that the word "property", used in Section 405 IPC, has to
be interpreted in wider sense as it is not restricted by any qualification
under Section 405. It was held that whether an offence defined in that Section
could be said to have been committed would depend not on thee interpretation
of the word "property" but on the fact whether that particular kind
of property could be subject to the acts covered by the Section. That is to
say, the word "property" would cover that kind of property with
respect to which the offence contemplated in that Section could be committed.
157. Having regarding to the facts of the case discussed above and the
ingredients of the offence constituting criminal breach of trust, as defined
in section 405, or the offence as set out in section 409 IPC, we are of the
opinion that there was no case made out against the petitioner for any case
being registered against him on the basis of the judgment passed by this Court
nor was there any occasion to direct an investigation by the CBI in that case.
158. The other direction, namely, the direction to the C.B.I. to investigate
"any other offence" is wholly erroneous and cannot be sustained.
Obviously, direction for investigation can be given only if an offence is,
prima facie, found to have been committed or a person's involvement is prima
facie established, but a direction to the C.B.I. to investigate whether any
person has committed an offence or not cannot be legally given. Such a
direction would be contrary to the concept and philosophy of "LIFE"
and "LIBERTY" guaranteed to a person under Article 21 of the
Constitution. This direction is in complete negation of various decisions of
this Court in which the concept of "LIFE" has been explained in a
manner which has infused "LIFE" into the letters of Article 21.
159. "Right to Life", set out in Article 21, means something more
than mere survival or animal existence. (See: State of Maharashtra v.
Chandrabhan Tale, AIR 1983 SC 803 = 1983(3) SCC 387 - 1983(3) SCR 327). This
right also includes the right to live with human dignity and all that goes
along with it, namely, the bare necessities of life such as adequate
nutrition, clothing and shelter over the head and facilities for reading,
writing and expressing oneself in differ forms, freely moving about and mixing
and commingling with fellow human beings. (See: Francis Coralie Mullin v.
Administrator Union Territory of Delhi, AIR 1981 SC 746 = 1981(1) SCC 608 =
1981(2) SCR 516; Olga Tellis and others v. Bombay Municipal Corporation and
others, AIR 1986 SC 180 (paras 33 and 34) = 1985(3) SCC 545 = 1985 Supp.(2)
SCR 51; Delhi Transport Corporation v. D.T.C. Mazdoor Congress and others, AIR
1991 SC 101 (paras 223, 234 and 259) = (1991) Supp.1 SCC 600 = 1990 Supp.(1)
SCR 142). In Kharak Singh v. State of U.P., AIR 1963 SC 1295 = 1964(1) SCR
332, demociliary visit by the Police was held to be violative of Article 21.
160. A man has, therefore, to be left along to enjoy "LIFE" without
fetters. He cannot be hounded out by the Police or C.B.I. merely to find out
whether he has committed any offence or is living as a law-abiding citizen.
Even under Article 142 of the Constitution, such a direction cannot be issued.
While passing an order under Article 142 of the Constitution, this Court
cannot ignore the substantive provision of law much less the constitutional
rights available to a person (See : Supreme Court Bar Association v. Union of
India and others, 1998(4) SCC 409 = AIR 1998 SC 1895).
161. Mr. Gopal Subramaniam contended that the court has itself taken care to
say that the C.B.I. in the matter of investigation, would not be influenced by
any observation made in the Judgment and that it would independently hold the
investigation into the offence of criminal breach of trust or any other
offence. To this, there is a vehement reply from Mr. Parasaran and we think he
is right. It is contended by him that this Court having recorded a finding
that the petitioner on being appointed as a Minister in the Central Cabinet,
held a trust on behalf of the people and further that he cannot be permitted
to commit breach of the trust reposed in him by the people and still further
that the petitioner had deliberately acted in a wholly arbitrary and unjust
manner and that the allotments made by him were wholly mala fide and for
extraneous consideration, the direction to the CBI not to be influenced by any
observations made by this Court in the judgment, is in the nature of
palliative. The CBI has been directed to register a case against the
petitioner in respect of the allegations dealt with the findings reached by
this Court in the Judgment under review. Once the findings are directed to be
treated as part of the First Information Report, the further direction that
the CBI shall not be influenced by any observations made by this Court or the
findings recorded by it, is mere lullaby.
162. We may say that we maintain the rule of accountability and liability of
the Executive including public servants in administrative matters and confirm
that there should be transparency in all what they do, specially where grant
of largess is concerned. But, the present case is being decided on its own
peculiar facts and features in which, the finding as to the commission of tort
of misfeasance recorded by this Court or the award of exemplary damages as
also direction for investigation by the C.B.I., cannot be sustained on account
of errors apparent on the face of the record.
163. We may also point out that the powers of this Court under Article 32 and
that of the High Court under Article 226 are plenary powers and are not
fettered by any legal constraints. If the Court, in exercise of these powers
has itself committed a mistake, it has the plenary power to correct its own
mistake as pointed out by this Court in S. Nagaraja & Ors. v. State of
Karnataka & Anr. 1993 Supp. (4) SCC 595, in which it was observed as under
:
"Justice is a virtue which transcends all barriers. Neither the rules of
procedure nor technicalities of law can stand in its way. The order of the
Court should not be prejudicial to anyone. Rule of stare decision is adhered
for consistency but it is not as inflexible in Administrative Law as in Public
Law. Even the law bends before justice. Entire concept of writ jurisdiction
exercised by the higher courts is founded on equity and fairness. If the Court
finds that the order was passed under a mistake and it would not have
exercised the jurisdiction but for the erroneous assumption which in fact did
not exist and its perpetration shall result in miscarriage of justice then it
cannot on any principle be precluded from rectifying the error. Mistake is
accepted as valid reason to recall an order."
The Court also observed :
"Review literally and even judicially means re-examination or
re-consideration. Basic philosophy inherit in it is the universal calm of law
the courts and even the statutes lean strongly in favour of finality of
decision legally and properly made. Exceptions both statutorily and judicially
have been carved out to correct accidental mistakes or miscarriage of justice.
Even when there was no statutory provision and no rules were framed by the
highest court indicating the circumstances in which it could rectify its order
the courts culled out such power to avoid abuse of process or miscarriage of
justice."
The Court further observed
"Rectification of an order thus stems from the fundamental principle that
justice is above all. It is exercised to remove the error and not for
disturbing finality."
164. We have already held above that in the judgment under review, there are
errors apparent on the face of the record, which has resulted in serious
miscarriage of justice. It is for this reason only that we have proceeded to
exercise the power of review.
165. For the reasons stated above, the application for Review is allowed. The
direction for payment of Rs. 50 lakhs as exemplary damages as also the
direction for a case being registered by the C.B.I. against the petitioner for
Criminal Breach of Trust and investigation by them into the offence and the
further direction to investigate whether petitioner has committed any other
offence are recalled. The amount of Rs. 50 lakhs, if paid or deposited by the
petitioner with the Union of India, shall be refunded to him. All applications
for impleadment or intervention filed on behalf of allottees are rejected.