FACV No. 1 of 2023
[2023] HKCFA 16
IN THE COURT OF FINAL APPEAL OF THE
HONG KONG SPECIAL ADMINISTRATIVE REGION
FINAL APPEAL NO. 1 OF 2023 (CIVIL)
(ON APPEAL FROM CACV NO. 387 OF 2021)
________________________
BETWEEN
C Plaintiff
(Appellant)
and
D Defendant
(Respondent)
________________________
Before: Chief Justice Cheung, Mr Justice Ribeiro PJ,
Mr Justice Fok PJ, Mr Justice Lam PJ and
Mr Justice Gummow NPJ
Date of Hearing: 27 April 2023
Date of Judgment: 30 June 2023
JUDGMENT
Chief Justice Cheung:
1. I have had the benefit of reading in draft the judgments of
Mr Justice Ribeiro PJ and Mr Justice Gummow NPJ and agree with their
conclusion in common that the appeal should be dismissed. As regards
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whether the jurisdiction/admissibility distinction discussed in their
respective judgments is helpful to the construction and application of the
relevant provisions in the Arbitration Ordinance,1 I respectfully agree with
Mr Justice Ribeiro PJ that it is. Given the difference in views, I would
like to say a few words of my own.
2. Section 34(1) of the Ordinance (incorporating article 16 of
the Model Law2) provides for the arbitral tribunal’s competence to rule on
its own “jurisdiction”. 3 More importantly for our present purpose, it
provides for the court’s power to intervene by reviewing the tribunal’s
ruling as a preliminary question “that it has jurisdiction”. 4 (A ruling of the
tribunal that it does not have jurisdiction to decide a dispute is not subject
to appeal.5)
3. Thus, section 34 by itself requires one to construe the word
“jurisdiction” and decide what objections would go to “jurisdiction”, and
what would not.
4. If the tribunal does not make a ruling on its jurisdiction as a
preliminary question, but leaves it to be decided together with the
substantive dispute between the parties in its arbitral award 6 (which is
what happened in the present case), the matter will fall squarely within
section 81 of the Ordinance (incorporating article 34 of the Model Law)
when an application to set aside the arbitral award is made on the basis
that the tribunal lacks jurisdiction. Although the word “jurisdiction” is not
used as such in section 81, it is plain that construing the two sections (and
1
Cap 609.
2
UNCITRAL Model Law on International Commercial Arbitration.
3
Article 16(1).
4
Article 16(3).
5
Section 34(4).
6
This is expressly allowed by article 16(3).
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the two articles in the Model Law) consistently, section 81 must cover an
award made by the tribunal without “jurisdiction” in the section 34 sense.7
In other words, there is a substantial overlap between sections 34 and 81
insofar as an objection based on the tribunal’s “jurisdiction” is concerned.
5. This being the case, although section 81 does not use the
word “jurisdiction”, the construction of that word under section 34
necessarily informs the construction and application of section 81 where,
relevantly, the question is whether an arbitral award is liable to be set
aside for want of jurisdiction.
6. What then does “jurisdiction” mean? This is where the
distinction between jurisdiction/admissibility becomes helpful. Subject to
one important qualification which I will presently turn to, the distinction is
helpful in distinguishing those objections which truly go to “jurisdiction”
within the meaning of section 34, from those that do not. In short, under
the distinction, objections to the tribunal, as opposed to the claim itself,
are, generally speaking, objections going to “jurisdiction” within the
meaning of section 34. As explained, this, in turn, informs the
construction and application of section 81 in terms of when the court may
review de novo the tribunal’s decision on a “jurisdictional” objection and
set aside an arbitral award under that section, and when it may not.
7. The qualification I mentioned above is this. In arbitration,
the “jurisdiction” of an arbitral tribunal is essentially agreement-based.
Leaving aside jurisdiction conferred by statute, it depends, and indeed
wholly depends, on the content and extent of the parties’ consent to
arbitration. Given the freedom of contract, it is up to the parties to agree
what matters should be left to be decided by the arbitral tribunal and what
7
Otherwise, the court’s power to intervene and review the tribunal’s ruling would be
contingent upon the happenstance of the tribunal making a preliminary ruling on its
jurisdiction or dealing with the objection in its award on the merits.
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should not. By definition, given their autonomy, the parties are not bound
by any jurisdiction/admissibility distinction as such. In other words, in
the context of arbitration, the “jurisdiction” of a tribunal has no fixed
definition but is ultimately dependent on the parties’ agreement, reflecting
their consent to arbitration.
8. Thus, if they want to, the parties may, by clear language,
agree that certain matters which would otherwise be classified as ones
going to admissibility only under the distinction are matters going to
“jurisdiction” affecting fundamentally their consent to arbitrate, such that
the “jurisdiction” of the tribunal is circumscribed accordingly.
9. Whether they have so agreed is a matter of construction, not
of the Ordinance, but of their agreement to arbitrate. And in finding out
what their objective intention as expressed in the arbitration agreement is,
one would no doubt bear in mind what was said by Lord Hoffmann in
Fiona Trust & Holding Corp v Privalov,8 quoted by Mr Justice Ribeiro PJ
in [48] of his judgment.
10. However, if on a purposive and contextual construction of
their arbitration agreement, the parties have really agreed that a certain
matter that would otherwise be classified as going to admissibility only
under the distinction is a “jurisdictional” matter affecting the parties’
consent to go to arbitration, the result is that (1) the tribunal, as
empowered by article 16(1), will still have competence to decide the
matter; but (2) the tribunal’s decision is open to review by the court under
article 16(3) in the case of a preliminary ruling, or under section 81 of the
Ordinance when the court deals with an application to set aside the award
for want of jurisdiction. This is so because although the matter is one
which would be classified as going to admissibility under the distinction,
8
[2007] 4 All ER 951, [6] to [7].
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it has been made a matter going to consent to arbitration by the parties’
agreement.
11. Thus, for instance, if the parties, for whatever reason, wish to
make every pre-arbitration step a pre-condition to their consent to
arbitration (and thus a “jurisdictional” condition), it is their prerogative,
and the Ordinance has no business in overriding their agreement, so long
as it is sufficiently clearly worded and unequivocally expressed.
12. What about the converse situation? This has not been the
focus of this appeal and no submission has been heard on it. One possible
argument is that where the parties, by clear language, have agreed that a
certain matter that would otherwise be regarded as a “jurisdictional” one
under the distinction (such that a decision on it would be reviewable by
the court) is a matter to be exclusively determined by the tribunal, then by
definition, it is not a matter going to the tribunal’s “jurisdiction” within
the meaning of section 34, and any preliminary ruling by the tribunal on it
is not open to review under that section.9 Likewise, the tribunal’s award is
not susceptible to be set aside for want of jurisdiction under section 81.
However, I am not sure whether this argument is applicable to
“jurisdictional” matters such as those concerning the very existence or
validity of the agreement to arbitrate. In any event, it may not be possible
to square this argument with the language of sections 34 and 81. As the
court has heard no submission on this point, I need not express any
definite view on it.
13. Barring these extreme cases at the opposite ends of the
spectrum, in the majority of cases in commercial arbitration (and the
present case is one of them), the jurisdiction/admissibility distinction is, in
9
Cf First Options of Chicago Inc v Kaplan (1995) 514 US 938, 943; Dallah Real
Estate and Tourism Holding Co v Ministry of Religious Affairs of the Government
of Pakistan [2011] 1 AC 763, [24], [90].
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my view, helpful in construing the arbitration agreement between the
parties as well as in construing and applying sections 34 and 81 of the
Ordinance. For the reasons explained in the judgments of Mr Justice
Ribeiro PJ and Mr Justice Gummow NPJ, on a proper construction of the
parties’ agreement, the pre-arbitration step in the present case does not
affect the parties’ consent to arbitration, and section 81 therefore does not
apply.
Mr Justice Ribeiro PJ:
14. I have had the benefit of reading the judgment in draft of Mr
Justice Gummow NPJ and respectfully agree with his conclusion that the
appeal should be dismissed. However, with great respect, I differ from his
Lordship’s view that the jurisdiction/admissibility distinction discussed is
an unnecessary distraction and presents a task of supererogation.10 While
the Court is fundamentally concerned with the interpretation and
application of the Arbitration Ordinance (“AO”), 11 to my mind that
distinction is properly distilled from the relevant statutory provisions and
may serve as a helpful aid to construction when deciding whether, in a
particular case, judicial intervention in an arbitral process is permissible.
A. The issue
15. A contractual dispute arose between the appellant (a Hong
Kong company) and the respondent (a Thai company) regarding the
operation of a jointly-owned broadcasting satellite. The respondent
alleged that the appellant was in material default by preventing
transmission of some broadcasts. The contract, which was made subject
to Hong Kong law, stipulated certain pre-arbitration procedures which
10
See §159 below.
11
Cap 609.
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included an attempt to resolve the dispute through good faith negotiations.
It provided that if the dispute could not be resolved amicably within 60
days of the request for negotiation the dispute should be referred by either
Party “for settlement exclusively and finally by arbitration in Hong Kong
at the Hong Kong International Arbitration Centre (‘HKIAC’) in
accordance with the UNCITRAL Arbitration Rules” then in force. 12
Invoking that clause, the respondent referred the dispute to arbitration at
the HKIAC before a tribunal of three arbitrators.
16. The appellant objected to the arbitration going ahead on the
ground that the pre-arbitration procedures had not been complied with, but
the tribunal found that those procedures had been duly observed and went
on to hold the appellant liable for breach of contract, reserving the
question of damages for the next phase.
17. The appellant brought proceedings in the Court of First
Instance to set aside the tribunal’s partial award, contending that the
arbitrators were wrong to decide that the pre-arbitration requirements had
been complied with. The issue which arises is whether the Court has
power to review and set aside that decision. The answer depends on the
AO which incorporates the provisions of the UNCITRAL Model Law
(“ML”)13 giving them the force of law in Hong Kong, subject to stated
modifications.14
12
Agreement clause 14.3.
13
The UNCITRAL Model Law on International Commercial Arbitration as adopted
by the United Nations Commission on International Trade Law on 21 June 1985
and as amended by the Commission on 7 July 2006.
14
AO s 4.
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B. The statutory scheme
B.1 The court’s limited power of interference
18. Consideration of a court’s power to interfere with an arbitral
process begins with AO s 3 which provides as follows:-
(1) The object of this Ordinance is to facilitate the fair and speedy
resolution of disputes by arbitration without unnecessary expense.
(2) This Ordinance is based on the principles—
(a) that, subject to the observance of the safeguards that are
necessary in the public interest, the parties to a dispute should
be free to agree on how the dispute should be resolved; and
(b) that the court should interfere in the arbitration of a dispute only
as expressly provided for in this Ordinance.
19. The AO thus establishes that, apart from promoting fair,
speedy and economic dispute resolution, it has party autonomy as its
purpose, leaving parties free to agree on how their dispute should be
resolved. Where they have agreed to arbitration, AO s 3(2)(b) confines
the court’s power to interfere with their agreement and the arbitration
process to matters expressly provided for by the Ordinance.
B.2 The provisions expressly authorising judic ial interference
20. Consideration of the statutory scheme may begin with two
related provisions. The first is AO s 34 which relevantly provides as
follows:
(1) Article 16 of the UNCITRAL Model Law, the text of which is set out
below, has effect subject to section 13(5)15 —
“Article 16. Competence of arbitral tribunal to rule on its jurisdiction
(1) The arbitral tribunal may rule on its own jurisdiction, including
any objections with respect to the existence or validity of the
arbitration agreement. ...
15
Which designates the Court of First Instance as the relevant court.
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(2) A plea that the arbitral tribunal does not have jurisdiction shall
be raised not later than the submission of the statement of
defence. ... A plea that the arbitral tribunal is exceeding the
scope of its authority shall be raised as soon as the matter
alleged to be beyond the scope of its authority is raised during
the arbitral proceedings. ...
(3) The arbitral tribunal may rule on a plea referred to in paragraph
(2) of this article either as a preliminary question or in an award
on the merits. If the arbitral tribunal rules as a preliminary
question that it has jurisdiction, any party may request, within
thirty days after having received notice of that ruling, the court
specified in article 6 to decide the matter, which decision shall
be subject to no appeal; ...”.
(2) The power of the arbitral tribunal to rule on its own jurisdiction under
subsection (1) includes the power to decide as to—
(a) whether the tribunal is properly constituted; or
(b) what matters have been submitted to arbitration in
accordance with the arbitration agreement.
(3) If a dispute is submitted to arbitration in accordance with an arbitration
agreement and a party—
(a) makes a counter-claim arising out of the same dispute;
or
(b) relies on a claim arising out of that dispute for the
purposes of a set-off,
the arbitral tribunal has jurisdiction to decide on the counter-claim or
the claim so relied on only to the extent that the subject matter of that
counter-claim or that claim falls within the scope of the same
arbitration agreement. ...
21. The following features of AO s 34, ML Art 16 may be noted.
(a) It makes it clear that a tribunal has power to rule “on its own
jurisdiction”, reflecting what has been referred to as the
Kompetenz-Kompetenz (compétence-compétence) principle.
It also establishes that where the tribunal rules that it does
have jurisdiction, an objecting party may request the court to
“decide the matter”,16 constituting an instance of permitted
16
AO s 34(1), ML Art 16(3).
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judicial interference. A court undertaking that task decides
the matter de novo.17
(b) The court’s power to interfere in this context thus depends on
whether the ruling is as to the tribunal’s own jurisdiction.
What then qualifies as such a ruling? AO s 34(1), ML Art
16(1) open-endedly specifies rulings “including” those on
“any objections with respect to the existence or validity of
the arbitration agreement”. The paragraph which follows 18
indicates that a ruling on a plea that the tribunal “is exceeding
the scope of its authority” also qualifies. AO s 34(2) adds to
the list, stating that the tribunal’s power to rule on its own
jurisdiction under AO s 34(1) “includes the power to decide
as to ... whether the tribunal is properly constituted; or ...
what matters have been submitted to arbitration in
accordance with the arbitration agreement.” Use of
“includes” again indicates that instances within this class of
objection are non-exhaustively stated. The AO and the
Model Law acknowledge that certain questions which the
statute governs may not be “expressly settled in it” and
provide that such questions “are to be settled in conformity
with the general principles on which this Law is based”.19
(c) In relation to counterclaims and claims raised by way of set-
off, AO s 34(3) empowers the tribunal to decide those claims
“only to the extent that the subject matter of that counter-
claim or that claim falls within the scope of the same
arbitration agreement”. It follows that it has no jurisdiction
17
As explained by Mimmie Chan J in S Co v B Co [2014] 6 HKC 421.
18
AO s 34(1), ML Art 16(2).
19
AO s 9, ML Art 2A(2).
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to decide matters falling outside the scope of the agreement
so that a ruling on the question of its scope would evidently
qualify as reviewable.
22. AO s 34, ML Art 16 should be read together with AO s 81,
ML Art 34. Under the former section, a party may challenge the
tribunal’s jurisdiction at the start of the arbitration and the arbitrators may
rule on that objection either as a preliminary question or as part of a later
award on the merits.20 If the tribunal takes the latter course and assumes
jurisdiction, the resultant award can only be challenged by a setting aside
application under AO s 81, ML Art 34, which is the main focus of this
appeal. The two provisions are therefore intended to operate in tandem.
23. AO s 81 materially provides:-
(1) Article 34 of the UNCITRAL Model Law, the text of which is set out
below, has effect subject to section 13(5) 21—
“Article 34. Application for setting aside as exclusive recourse
against arbitral award
(1) Recourse to a court against an arbitral award may be made only
by an application for setting aside in accordance with
paragraphs (2) and (3) of this article.
(2) An arbitral award may be set aside by the court specified in
article 6 only if:
(a) the party making the application furnishes proof that:
(i) a party to the arbitration agreement referred to in
article 7 was under some incapacity; or the said
agreement is not valid under the law to which the
parties have subjected it or, failing any indication
thereon, under the law of this State; 22 or
20
AO s 34(1), ML Art 16(3).
21
As noted above, this designates the Court of First Instance as the relevant court.
22
Ie, Hong Kong: AO s 8(3)(a).
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(ii) the party making the application was not given
proper notice of the appointment of an arbitrator
or of the arbitral proceedings or was otherwise
unable to present his case; or
(iii) the award deals with a dispute not contemplated
by or not falling within the terms of the
submission to arbitration, or contains decisions
on matters beyond the scope of the submission to
arbitration, provided that, if the decisions on
matters submitted to arbitration can be separated
from those not so submitted, only that part of the
award which contains decisions on matters not
submitted to arbitration may be set aside; or
(iv) the composition of the arbitral tribunal or the
arbitral procedure was not in accordance with the
agreement of the parties, unless such agreement
was in conflict with a provision of this Law from
which the parties cannot derogate, or, failing
such agreement, was not in accordance with this
Law; or
(b) the court finds that:
(i) the subject-matter of the dispute is not capable of
settlement by arbitration under the law of this
State; or
(ii) the award is in conflict with the public policy of
this State.
(3) An application for setting aside may not be made after three
months have elapsed from the date on which the party making
that application had received the award ...
(4) The court, when asked to set aside an award, may, where
appropriate and so requested by a party, suspend the setting
aside proceedings for a period of time determined by it in order
to give the arbitral tribunal an opportunity to resume the arbitral
proceedings or to take such other action as in the arbitral
tribunal’s opinion will eliminate the grounds for setting aside.”.
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24. The following features of AO s 81, ML Art 34 are
noteworthy.
(a) AO s 81(1), ML Art 34(1) addresses “recourse to a court
against an arbitral award” obviously providing for judicial
intervention in the cases specified.
(b) Although AO ss 34 and 81 are intended to operate in tandem,
AO s 81 makes no mention of rulings by the tribunal on its
own jurisdiction, although such issues are central to AO s 34.
Nevertheless, there is a substantial correspondence between
the classes of objection falling within the two respective
sections, although conveyed in language which does not
exactly overlap.
(c) Under AO s 81(1), ML Art 34(1), the court’s power to
interfere arises in two ways: First, under ML Art 34(2)(a), it
arises where a party makes an application and furnishes proof
regarding the matters set out in sub-paragraphs (i) to (iv); and
secondly, where the court finds (whether or not raised by a
party) that the subject-matter of the dispute is non-arbitrable;
or that the award is in conflict with the public policy of Hong
Kong.
(d) The court is therefore clearly empowered to disturb an award
on non-arbitrability or public policy grounds under AO s 81.
However, those grounds are not mentioned in AO s 34, ML
Art 16.23 The statutory intent is apparently that such grounds
should only be addressed if and when an award has been
made. Additionally, as discussed in Section C.3 below, such
23
It is understandable that the ground that the award is contrary to public policy is
not mentioned in AO s 34, ML Art 16 since, at that stage, there is no award.
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grounds exceptionally involve judicial powers to enforce
public policy whatever may be the intentions of the parties.
(e) As noted above, variations exist in the language used to
define the various types of objection which justify judicial
intervention in each of the two sections. Thus under AO s 34,
ML Art 16 and AO s 81, ML Art 34 respectively, recourse to
the court may be had (i) where the tribunal’s decision sought
to be challenged concerns the “existence or validity of the
arbitration agreement,” under the former section24 and where
“a party to the arbitration agreement … was under some
incapacity[,] or the said agreement is not valid” under the
latter;25 (ii) where the question under the former is “whether
the tribunal is properly constituted”, 26 and, in the latter,
whether the “composition of the arbitral tribunal or the
arbitral procedure was not in accordance with the
agreement”;27 and, (iii) (put variously in AO s 34) whether
the tribunal “is exceeding the scope of its authority”, 28 with
the tribunal deciding “what matters have been submitted to
arbitration in accordance with the arbitration agreement”, 29
and (in relation to set-off claims and counterclaims) whether
“the subject matter of that counter-claim or that claim falls
within the scope of the same arbitration agreement”,30 while
under the latter provision, the question is whether “the award
24
AO s 34(1), ML Art 16(1).
25
AO s 81(1), ML Art 34(2)(a)(i).
26
AO s 34(2)(a).
27
AO s 81(1), ML Art 34(2)(a)(iv).
28
AO s 34(1), ML Art 16(2).
29
AO s 34(2)(b).
30
AO s 34(3).
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deals with a dispute not contemplated by or not falling within
the terms of the submission to arbitration, or contains
decisions on matters beyond the scope of the submission to
arbitration”.31
25. Where an objection is of such a nature that doubt arises as to
whether judicial intervention is warranted, it would be helpful if a
unifying principle underlying the variously worded, incompletely
overlapping, non-exhaustively stated categories mentioned above, could
be discerned as a guide to construction.
26. This is the more so since the permitted judicial intervention is
not confined to cases falling within the two sections just discussed. The
court may also “interfere” with an arbitration by refusing enforcement of
an award under AO s 86 which relevantly states:
(1) Enforcement of an award referred to in section 85 32 may be refused if
the person against whom it is invoked proves—
(a) that a party to the arbitration agreement was under some
incapacity ...;
(b) that the arbitration agreement was not valid ...;
(c) that the person—
(i) was not given proper notice of the appointment of the
arbitrator or of the arbitral proceedings; or
(ii) was otherwise unable to present the person’s case;
(d) subject to subsection (3), that the award—
31
AO s 81(1), ML Art 34(2)(a)(iii).
32
AO s 85 refers to an award “whether made in or outside Hong Kong, which is not a
[New York] Convention award, Mainland award or Macao award”. AO s 86 is
mirrored by AO ss 89, 95 and 98D which set out the grounds for refusing to
enforce New York Convention awards, Mainland awards and Macao awards
respectively, save that the latter sections lack the provision enabling refusal “for
any other reason the court considers it just to do so”.
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(i) deals with a difference not contemplated by or not
falling within the terms of the submission to arbitration;
or
(ii) contains decisions on matters beyond the scope of the
submission to arbitration;
(e) that the composition of the arbitral authority or the arbitral
procedure was not in accordance with—
(i) the agreement of the parties; or
(ii) (if there was no agreement) the law of the country where
the arbitration took place; or
(f) that the award—
(i) has not yet become binding on the parties; or
(ii) has been set aside or suspended by a competent authority
of the country in which, or under the law of which, it
was made.
(2) Enforcement of an award … may also be refused if—
(a) the award is in respect of a matter which is not capable of
settlement by arbitration under the law of Hong Kong;
(b) it would be contrary to public policy to enforce the award; or
(c) for any other reason the court considers it just to do so. ...
27. These grounds for refusing enforcement of an award closely
overlap with the grounds for judicial challenges to a tribunal’s award
under AO s 81, ML Art 34. However, in AO s 86 the court is given a
broad discretionary power to interfere where “for any other reason the
court considers it just to do so”. Such a power does not feature in either
of the other sections discussed.
28. Another instance of judicial intervention is sanctioned by AO
s 20, ML Art 8 which requires the court to stay court actions on the
ground that they are brought in breach of an arbitration agreement “unless
it finds that the agreement is null and void, inoperative or incapable of
being performed”. Such a finding provides a further basis for judicial
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interference in the guise of permitting a party to proceed with court action
despite the other party objecting on the basis of an arbitration agreement.
C. The jurisdiction/admissibility distinction
29. The jurisdiction/admissibility distinction seeks to encapsulate
a principle distilled from the disparate provisions mentioned above. It
involves distinguishing between a party’s challenge to a tribunal’s
“jurisdiction” and a challenge to the “admissibility” of a particular claim.
The principle is that the court may review a tribunal’s ruling on the former,
but not on the latter, category of challenge.
30. In holding that the Court lacks power to set aside the
tribunal’s award in the present case, the Judge33 and the Court of Appeal 34
applied that distinction as an aid to construing AO s 81(1), ML
34(2)(a)(iii), holding that the objections raised by the appellant related to
“admissibility” and not “jurisdiction” (as further discussed below). It is
an approach widely adopted by academic writers35 and in the recent case-
law of courts in other jurisdictions which are, like Hong Kong, leading
centres for arbitration.36
31. A word might be said about the terms “jurisdiction” and
“admissibility”. It is natural that “jurisdiction” should be used in the first
half of the distinction given the prominence afforded by ML Art 16 to the
tribunal’s rulings on its own jurisdiction as a ground for judicial
intervention. If it is contended that a tribunal has wrongly ruled that it has
33
G Lam J [2021] 3 HKLRD 1.
34
Cheung, Yuen and Chow JJA, Chow JA writing for the Court [2022] 3 HKLRD
116.
35
Referred to by the Judge, [2021] 3 HKLRD 1 at §§30-36; and listed by the Court
of Appeal [2022] 3 HKLRD 116 at §42.
36
Cited by the Judge, supra at §§37-45; and by the Court of Appeal, supra at §§29-
37.
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jurisdiction when in law it has no authority to deal with the arbitration, the
policy of the law is clearly that the supervisory or enforcing court should
have power to decide whether jurisdiction was correctly assumed. As
Lord Saville of Newdigate JSC commented, an arbitral tribunal may rule
on its own jurisdiction but cannot be the final arbiter of jurisdiction, “for
this would provide a classic case of pulling oneself up by one’s own
bootstraps”.37
32. It is less obvious why “admissibility” has been adopted as the
label for the other half of the distinction. It has nothing to do with
evidential admissibility but refers to what might be termed “procedural
admissibility”. The term is used to characterise objections which allege
that a claim is defective and cannot be proceeded with, to be contrasted
with challenges to the authority of the tribunal to conduct the arbitration.
In guidance given to its members, the Chartered Institute of Arbitrators
explained:
“When considering challenges, arbitrators should take care to distinguish
between challenges to the arbitrators’ jurisdiction and challenges to the
admissibility of claims. For example, a challenge on the basis that a claim, or
part of a claim, is time-barred or prohibited until some precondition has been
fulfilled, is a challenge to the admissibility of that claim at that time, i.e.
whether the arbitrators can hear the claim because it may be defective and/or
procedurally inadmissible. It is not a challenge to the arbitrators’ jurisdiction to
decide the claim itself.”38
C.1 Objection to tribunal versus claim
33. The distinction has thus been expressed, perhaps more
descriptively, as a distinction between a challenge to the tribunal and a
challenge to the claim. As Alex Mills puts it:
37
Dallah Real Estate and Tourism Holding Co v Ministry of Religious Affairs of the
Government of Pakistan [2011] 1 AC 763 at §159.
38
International Arbitration Practice Guideline on Jurisdictional Challenges,
Preamble §6 (footnote omitted).
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“... the question of jurisdiction concerns the power of the tribunal. The
question of admissibility is related to the claim, rather than the tribunal, and
asks whether this is a claim which can be properly brought.” 39
And Jan Paulsson40 states:
“Our lodestar takes the form of a question: is the objecting party taking aim at
the tribunal or at the claim?”
34. This approach was adopted in Singapore, a Model Law
jurisdiction, where the Singapore Court of Appeal in BBA v BAZ,41 stated:
“In our judgment, the ‘tribunal versus claim’ test underpinned by a consent-
based analysis should apply for purposes of distinguishing whether an issue
goes towards jurisdiction or admissibility.
The ‘tribunal versus claim’ test asks whether the objection is targeted at the
tribunal (in the sense that the claim should not be arbitrated due to a defect in
or omission to consent to arbitration), or at the claim (in that the claim itself is
defective and should not be raised at all).” (italics in original)
35. That Court held that an objection to the claim on the basis
that it was time-barred was targeted at the claim (and thus based on
admissibility) and was not reviewable by the court. BTN v BTP,42 was
decided on the same lines, the Singapore Court of Appeal holding that an
objection on the basis of res judicata was aimed at the claim and so went
to admissibility.
36. This approach was also adopted in the English High Court in
Republic of Sierra Leone v SL Mining Ltd,43 following BBA v BAZ and
citing Paulsson, among others. As Sir Michael Burton put it:
39
Arbitral Jurisdiction, in Thomas Schultz and Federico Ortino (eds), Oxford
Handbook on International Arbitration (OUP 2018), at p 6.
40
Jurisdiction and Admissibility in Global Reflections on International Law,
Commerce and Dispute Resolution (ICC Publishing, 2005), at p 616.
41
[2020] SGCA 53 at §§76-77.
42
[2020] SGCA 105.
43
[2021] Bus LR 704, applying sections 30(1), 67 and 82(1) of the Arbitration Act
1996 which are materially equivalent to the provisions discussed earlier in this
judgment. His Lordship referred to earlier decisions in this line of authority
comprising Obrascon Huarte Lain SA (trading as OHL International) v Qatar
Foundation for Education, Science and Community Development [2020] EWHC
- 20 -
“... if the issue relates to whether a claim could not be brought to arbitration,
the issue is ordinarily one of jurisdiction and subject to further recourse under
section 67 of the 1996 Act, whereas if it relates to whether a claim should not
be heard by the arbitrators at all, or at least not yet, the issue is ordinarily one
of admissibility, the tribunal decision is final and section 30(1)(c) does not
apply.”44
37. This was followed in NWA v NVF,45 where, after considering
authorities and academic writings including those that had been referred to
in earlier decisions, Calver J discounted reliance on certain cases where
the relevant point was not argued,46 declined to follow a decision of the
Singapore High Court 47 pre-dating BBA v BAZ, and pointed out that Smith
v Martin48 “was obviously decided long before” the applicable statutory
provisions came into force.49
38. Similarly in New South Wales, in The Nuance Group
(Australia) Pty Ltd v Shape Australia Pty Ltd,50 the approach in BBA v
BAZ was adopted.
C.2 The basis of the jurisdiction/admissibility or tribunal/claim
distinction
39. As the Judge pointed out below, the distinction “is a concept
rooted in the nature of arbitration itself”.51 And as the Singapore Court of
1643 (Comm); PAO Tatneft v Ukraine [2018] 1 WLR 5947; and Republic of Korea
v Dayyani [2020] Bus LR 884.
44
Ibid at §18.
45
[2021] Bus LR 1788.
46
Tang v Grant Thornton International Ltd [2013] 1 All ER (Comm) 1226 and
Emirates Trading Agency LLC v Prime Mineral Exports Pte Ltd [2015] 1 WLR
1145, a view adopted by the Judge at §46.
47
International Research Corp PLC v Lufthansa Systems Asia Pacific Pte Ltd [2012]
SGHC 226.
48
[1925] 1 KB 745, noted by the Court of Appeal at §56.
49
[2021] Bus LR 1788 at §§59, 65-66.
50
[2021] NSWSC 1498 (Equity – Commercial List, NSW) per Rees J.
51
Judgment §43, endorsed by the Court of Appeal at §45.
- 21 -
Appeal put it, the “tribunal versus claim test” is “underpinned by a
consent-based analysis”.52
40. Those statements are grounded on the premise that
arbitrations are consensual. The tribunal’s authority or jurisdiction to
conduct the arbitration rests entirely on the parties’ consent expressed in
the arbitration agreement. Thus, an appropriate challenge to the tribunal’s
jurisdiction involves grounds which impugn the existence, validity or
viability of that agreement or otherwise deny the challenger’s consent to
the arbitration. Such a challenge targets the tribunal’s authority rather
than the claim and is subject to judicial intervention.
41. Thus, as Jan Paulsson observes, “the nub of the classification
problem [between jurisdiction and admissibility] is whether the success of
the objection necessarily negates consent to the forum”.53
42. In BBA v BAZ, it was put as follows:
“Consent serves as the touchstone for whether an objection is jurisdictional
because arbitration is a consensual dispute resolution process: jurisdiction must
be founded on party consent. For this reason, arguments as to the existence,
scope and validity of the arbitration agreement are invariably regarded as
jurisdictional, as are questions of the claimant’s standing to bring a claim or the
possibility of binding non-signatory respondents ...”54
43. And in New South Wales, Rees J noted that a jurisdictional
challenge involves the submission:
“... that a claim should not be arbitrated due to a defect in, or omission to,
consent to arbitration and success of the challenge necessarily negates consent
to the forum ...”55
52
[2020] SGCA 53 at §76.
53
Jurisdiction and Admissibility in Global Reflections on International Law,
Commerce and Dispute Resolution (ICC Publishing, 2005), at p 616.
54
[2020] SGCA 53 at §78.
55
The Nuance Group (Australia) Pty Ltd v Shape Australia Pty Ltd [2021] NSWSC
1498 at §132.
- 22 -
44. The other side of the distinction, ie, challenges which target
the claim or which go to “admissibility”, can be described conversely as
concerning non-jurisdictional objections, ie, those which do not negate
consent to the tribunal’s authority but allege that the claim is defective and
should not be entertained. As this was put in BBA v BAZ:
“Conversely, admissibility relates to the ‘nature of the claim, or to particular
circumstances connected with it’ ... It asks whether a tribunal may decline to
render a decision on the merits for reasons other than a lack of jurisdiction, and
is determined by the tribunal on the basis of their discretion guided by,
amongst others, principles of due administration of justice and any applicable
external rules ...”56
C.3 The distinction and pre-arbitration conditions
45. The appellant complains that the tribunal wrongly assumed
jurisdiction and made an award favouring the respondent when a
condition requiring negotiations to take place before commencing the
arbitration had not been complied with. It asks the Court to intervene and
to decide de novo whether the tribunal was right to rule that such
condition had been satisfied, contending that non-compliance with that
condition deprived the tribunal of jurisdiction. The appeal is thus
concerned with the reviewability of a pre-arbitration condition.
46. Such clauses are commonly found in arbitration agreements,
stipulating that conditions such as negotiations, mediation, conciliation or
the passage of a stated period of time have to be satisfied before
commencing the arbitration. They are sometimes referred to as multi-
tiered or cascading dispute resolution clauses.
47. When considering an objection relating to a pre-arbitration
condition, it is necessary first to construe the arbitration agreement. It is
open to the parties expressly to agree that compliance with such a
56
[2020] SGCA 53 at §79 (reference omitted).
- 23 -
condition is amenable to review by the court. If the agreement so
provides, the issue of reviewability is obviously resolved. 57 However, the
court will require unequivocally clear language to arrive at that conclusion.
That is because it would be contrary to all normal expectations to find that
such was the parties’ intention. They have opted to submit their disputes
to an arbitral tribunal rather than a court for resolution. It would be
surprising to discover that they intend to have a court involved and to
undergo two rounds of decision-making to determine whether a pre-
arbitration condition has been met.
48. As Lord Hoffmann observed in Fiona Trust & Holding Corp
v Privalov58 in an analogous context:
“In approaching the question of construction, it is therefore necessary to
inquire into the purpose of the arbitration clause. As to this, I think there can be
no doubt. The parties have entered into a relationship, an agreement or what is
alleged to be an agreement or what appears on its face to be an agreement,
which may give rise to disputes. They want those disputes decided by a
tribunal which they have chosen, commonly on the grounds of such matters as
its neutrality, expertise and privacy, the availability of legal services at the seat
of the arbitration and the unobtrusive efficiency of its supervisory law.
Particularly in the case of international contracts, they want a quick and
efficient adjudication and do not want to take the risks of delay and, in too
many cases, partiality, in proceedings before a national jurisdiction.
If one accepts that this is the purpose of an arbitration clause, its construction
must be influenced by whether the parties, as rational businessmen, were likely
to have intended that only some of the questions arising out of their
relationship were to be submitted to arbitration and others were to be decided
by national courts. Could they have intended that the question of whether the
contract was repudiated should be decided by arbitration but the question of
whether it was induced by misrepresentation should be decided by a court? If,
as appears to be generally accepted, there is no rational basis upon which
businessmen would be likely to wish to have questions of the validity or
enforceability of the contract decided by one tribunal and questions about its
performance decided by another, one would need to find very clear language
before deciding that they must have had such an intention.”
57
In many cases, the issue may also be whether the pre-arbitration condition is
sufficiently certain to be contractually enforceable. That issue does not arise in the
present case.
58
[2007] 4 All ER 951 at §§6-7.
- 24 -
49. Thus, as Gary B Born points out,59 pre-arbitration conditions
should be regarded as presumptively non-jurisdictional:
“In interpreting the parties’ arbitration agreement, the better approach is to
presume, absent contrary evidence, that pre-arbitration procedural requirements
are not ‘jurisdictional’. ...
The rationale for this presumption is that requirements for cooling off,
negotiation or mediation inherently involve aspects of the arbitral procedure,
often requiring interpretation and application of institutional arbitration rules or
procedural provisions of the arbitration agreement. Equally important, the
remedies for breach of these requirements necessarily involve procedural
issues concerning the timing and conduct of the arbitration. In both cases, these
issues are best suited for resolution by arbitral tribunal, subject to minimal
judicial review, like other procedural decisions.
Similarly, parties can be assumed to desire a single, centralized forum (a ‘one-
stop shop’) for resolution of their disputes, particularly those disputes
regarding the procedural aspects of their dispute resolution mechanism.
Fragmenting resolution of procedural issues between national courts and the
arbitral tribunal produces the risk of multiple proceedings, delays and expense,
inconsistent decisions, judicial interference in the arbitral process and the like.
The more objective, efficient and fair result, which the parties should be
regarded as having presumptively intended, is for a single, neutral arbitral
tribunal to resolve all questions regarding the procedural requirements and
conduct of the parties’ dispute resolution mechanism.” (footnotes omitted)
50. Such a presumption is consistent with the consensual basis of
the tribunal’s jurisdiction: in the absence of unequivocal language to the
contrary, an objection to how the tribunal has resolved an issue
concerning a pre-arbitration condition does not challenge the tribunal’s
authority to arbitrate conferred by the parties’ consent. As Calver J
pointed out in NWA v NVF:60
“To give an arbitration clause such as this a commercial construction so that
pre-arbitration procedural requirements are not jurisdictional is appropriate
because, in most cases, if a dispute is not settled in the pre-arbitration
procedure, it remains the same dispute, so non-compliance with the pre-
59
International Commercial Arbitration, Vol 1: International
Arbitration Agreements (Wolters Kluwer, 3rd ed, 2020) at p 1000. See also Robert
Merkin QC and Louis Flannery QC on the Arbitration Act 1996 (6 th ed) (Informa
Group Ltd) at §30.3.
60
[2021] Bus LR 1788 at §54.
- 25 -
arbitration procedure does not affect whether it is a dispute of the kind which
the parties agreed to submit to arbitration.”
C.4 The distinction and the AO
51. In my view, the distinction does provide a helpful aid to
construction when deciding whether a particular objection warrants
judicial interference. It accurately distils a unifying principle applicable
to the various instances justifying judicial intervention expressly provided
for in accordance with AO s 3(2)(b). Subject to the public policy
exception referred to below, the objections which warrant recourse to the
court uniformly postulate situations where consent to the tribunal’s
authority is negated.
52. Those instances may be grouped as follows:
(a) Objections affecting the validity of the arbitration agreement:
Alleging that the agreement is non-existent, 61 invalid, 62
vitiated by the incapacity of a party to the agreement, 63 or
null and void, inoperative or incapable of being performed.64
(b) Objections that the reference or content of the award go
beyond what was agreed to be referred to arbitration:
Allegations that a tribunal is exceeding the scope of its
authority, 65 that, on its true construction, the matters
submitted to arbitration are not in accordance with the
arbitration agreement,66 that a counterclaim or claim by way
61
AO s 34(1), ML Art 16(1).
62
AO s 34(1), ML Art 16(1); AO s 81(1), ML Art 34(2)(a)(i); AO s 86(1)(b).
63
AO s 81(1), ML Art 34(2)(a)(i); AO s 86(1)(a).
64
AO s 20(1), ML Art 8(1).
65
AO s 34(1), ML Art 16(2).
66
AO s 34(2)(b).
- 26 -
of set-off falls outside the scope of the same arbitration
agreement, 67 or that the award deals with a dispute not
contemplated by or not falling within the terms of the
submission to arbitration, or contains decisions on matters
beyond the scope of the submission to arbitration.68
(c) Objections that the tribunal’s composition is not what was
agreed: That the tribunal is not properly constituted,69 or that
the composition of the tribunal is not in accordance with the
agreement.70
(d) Objections to being excluded from the agreed arbitral process:
That the party was not given proper notice of the
appointment of the arbitrator or the proceedings or was
otherwise unable to present his case.71
53. In each of the abovementioned cases, the objection is that the
relevant party has not agreed to the tribunal exercising authority to
conduct the arbitration in the circumstances specified. The objection is to
the tribunal and not just to the claim. It goes to jurisdiction and not
admissibility.
54. The public policy grounds constitute an exception to the
principle so stated. As noted above, interference by the court under AO s
81(1), ML 34(2)(b) 72 does not depend on an applicant party furnishing
proof as in the cases covered by AO s 81(1), ML Art 34(2)(a). The court
67
AO s 34(3).
68
AO s 81(1), ML Art 34(2)(a)(iii); AO s 86(1)(d).
69
AO s 34(2)(a).
70
AO s 81(1), ML 34(2)(a)(iv); AO s 86(1)(e).
71
AO s 81(1), ML 34(2)(a)(ii); AO s 86(1)(c).
72
Mirrored in AO s 86(2)(a) and (b).
- 27 -
may set an award aside if it finds that the subject-matter of the dispute is
non-arbitrable or that the award is contrary to public policy. The party
seeking recourse to the court may of course advance those grounds in
arguing for the award to be set aside, but the court is entitled to act upon
those grounds of its own motion, whether or not raised by a party. To that
extent, judicial interference with the arbitration would not be premised on
an objection involving non-consent to the tribunal’s authority, but on
overriding public policy considerations. The same is a fortiori the case
where a court refuses to enforce an award “for any other reason [it]
considers just to do so” under AO s 86(2)(c). However, the existence of a
clearly demarcated public policy exception does not lessen the utility of
the tribunal/claim distinction as an aid to construction.
D. The principles applied in the present case
D.1 The arbitration agreement
55. There is nothing in the operative clauses of the parties’
contract that suggests an intention to confer jurisdictional status on the
pre-arbitration conditions in question. On the contrary, those clauses lend
themselves to a construction that the relevant conditions are merely
procedural and intended to be exclusively decided by the tribunal.
56. Thus, clause 8.2, dealing with the triggering “material
default” provides:
“Material Default by either Party. In the event that either Party believes that
the other Party is in material default of its obligations under this Agreement,
such Party shall give a written notice to the defaulting Party in writing
requiring remedy of the default (the ‘Material Default Notice’). If defaulting
Party fails to remedy the default within thirty (30) Business Days of receipt of
the Default Notice, the Parties shall resolve the dispute by referring to the
procedure set forth at Section 14.2.”
- 28 -
57. “Section 14.2” lays down the pre-arbitration conditions. It is
noteworthy that clause 8.2 refers to that clause as setting forth “the
procedure” to be adopted, indicating that those conditions are concerned
with the how the dispute is to be dealt with procedurally, and not about
the tribunal’s authority.
58. Clauses 14.2 and 14.3 materially provide as follows:
“14.2 Dispute Resolution. The Parties agree that if any controversy, dispute
or claim arises between the Parties out of or in relation to this
Agreement, or the breach, interpretation or validity thereof, the Parties
shall attempt in good faith promptly to resolve such [dispute] by
negotiation. Either Party may, by written notice to the other, have such
dispute referred to the Chief Executive Officers of the Parties for
resolution. The Chief Executive Officers (or their authorized
representatives) shall meet at a mutually acceptable time and place
within ten (10) Business Days of the date of such request in writing,
and thereafter as often as they reasonably deem necessary, to attempt to
resolve the dispute through negotiation.
14.3 Arbitration. If any dispute cannot be resolved amicably within sixty
(60) Business days of the date of a Party’s request in writing for such
negotiation, or such other time period as may be agreed, then such
dispute shall be referred by either Party for settlement exclusively and
finally by arbitration in Hong Kong at the Hong Kong International
Arbitration Centre … in accordance with the UNCITRAL Arbitration
Rules in force at the time of commencement of the arbitration …
(e) Any award made by the arbitration tribunal shall be final and
binding on each of the Parties that were parties to the dispute.
To the extent permissible under the relevant laws, the Parties
agree to waive any right of appeal against the arbitration
award.”
59. The parties could not agree on the meaning of clause 14.2
and whether, on its true interpretation, its stipulations had been met. The
tribunal construed the clause and decided that its requirements had been
fulfilled and proceeded with the arbitration which led to an award in
favour of the respondent. Clause 14.3 provides that “any dispute” that is
not amicably settled “shall be referred by either Party for settlement
exclusively and finally by arbitration”. There is no suggestion that a
- 29 -
dispute as to whether a pre-arbitration condition has been met should not
be exclusively and finally settled by arbitration.
D.2 The appellant’s case based on condition precedent
60. Mr Benjamin Yu SC, appearing for the appellant sought to
argue that the pre-arbitration condition operates as a condition precedent
under the law of contract and that, unless complied with, relieves the
parties from any obligation to proceed with the arbitration. Thus, he
contended, the respondent’s failure to comply with the pre-arbitration
condition negated his client’s consent to the arbitration and deprived the
tribunal of jurisdiction. The tribunal’s decision was, he argued,
susceptible to review de novo by the court and the Courts below wrongly
refused to review and set aside the partial award. In this context, he
submitted that the jurisdiction/admissibility distinction should be ignored.
61. Mr Yu’s condition precedent argument is untenable. It is not
in dispute that the pre-arbitration condition in clause 14.2 is a condition
precedent to the tribunal dealing with the claim. The question is who
finally decides – the tribunal or the Court – whether it has been met. The
appellant made its argument before the tribunal. If the arbitrators had
agreed, they would not have proceeded with the arbitration (perhaps
suspending the arbitration pending compliance with the condition
precedent). However, the tribunal concluded that, as a matter of
construction, the condition had been satisfied and went on to find liability
for breach of the contract. The question is whether the Court should have
reviewed that decision.
62. Simply describing clause 14.2 as laying down a condition
precedent does not mean that the statutory constraints on judicial
interference laid down in the AO can be ignored. Mr Yu went so far as to
- 30 -
submit that, on his condition precedent argument, there was no material
difference between the condition precedent which prevented enforcement
of an award under the New York Convention in Dallah Real Estate and
Tourism Holding Co v Ministry of Religious Affairs of the Government of
Pakistan, 73 and the alleged non-compliance with the pre-arbitration
condition in the present case. That submission is wholly unsustainable.
In Dallah, enforcement was refused because, applying French law as the
law of the country where the contract was made, the respondent Pakistani
Government was not a party to the relevant agreement. It was thus a clear
case of the tribunal lacking authority because of the non-existence of the
agreement upon which its putative authority was based. No parallel exists
in the present case.
63. In support of his condition precedent argument, Mr Yu relied
on early authorities which pre-date the statutory constraints on the courts’
power to intervene, including: May v Mills;74 Produce Brokers Co Ltd v
Olympia Oil and Cake Co Ltd;75 Smith v Martin.76 Such cases are of no
assistance, as Calver J noted in NWA v NVF.77
D.3 The appellant’s argument based on AO s 81(1), ML
34(2)(a)(iii)
64. As a fall-back position Mr Yu sought to argue that, applying
that distinction, an objection concerning non-compliance with the pre-
arbitration condition went to the tribunal’s jurisdiction and so justifies
judicial interference. He submitted that the power of the Court to interfere
rests on AO s 81(1), ML 34(2)(a)(iii) which relevantly provides:
73
[2011] 1 AC 763.
74
(1914) 30 TLR 287.
75
[1916] 1 AC 314.
76
[1925] 1 KB 745.
77
[2021] Bus LR 1788 at §§59, 65-66.
- 31 -
An arbitral award may be set aside by the court specified in article 6 only if ...
the award deals with a dispute not contemplated by or not falling within the
terms of the submission to arbitration, or contains decisions on matters beyond
the scope of the submission to arbitration.
65. As discussed in Section C.4 above, an objection based on the
aforesaid provision is properly grouped with objections that the arbitral
reference or content of the award go beyond what was agreed to be
referred to arbitration, negating consent to the tribunal’s authority. Does
the present case involve such a challenge?
66. In my view, the answer is “No”. Here, the objection was that
the claim had been prematurely referred to arbitration, ie, before the
prescribed attempts at amicable settlement. It was not an objection
denying consent to the tribunal’s authority. Clauses 8.2, 14.2 and 14.3
have been examined. On their true construction, both the dispute as to
whether the pre-arbitration condition had been complied with and the
contractual dispute as to whether the appellant was in material default
were intended to be dealt with exclusively and finally by the tribunal. In
other words, the present disputes came within the parties’ contemplation
and intended submission to arbitration so that AO s 81(1), ML 34(2)(a)(iii)
does not provide a basis for judicial intervention.
D.4 A concern regarding the distinction
67. A concern has been expressed that adoption of the distinction
may lead to a position inconsistent with the provisions of the AO,
distorting the proper scope for curial intervention under ML
34(2)(a)(iii).78 This stems from the observation referred to above 79 that
the parties may expressly agree to elevate what is presumptively a non-
jurisdictional pre-arbitration condition into a jurisdictional matter enabling
78
§§153-156 below.
79
In §§47-50 above.
- 32 -
judicial intervention, thus expanding the scope of the court’s power to
intervene beyond what is provided for in the AO. The “elevation”
observation is seen to flow from the consent-based distinction and to be
indicative of the undesirability of its adoption.
68. As I understand it, the argument is that a purported
agreement by the parties to confer a jurisdictional and thus reviewable
quality on a given aspect of the arbitration agreement (such as a pre-
arbitration condition), could not succeed since a dispute regarding such a
condition would not come within AO s 81(1), ML 34(2)(a)(iii) which
permits curial interference “only if” the tribunal is alleged to exceed its
agreed authority. It does not cater for judicial intervention on the basis of
the parties’ agreement to expand the scope of such intervention.
69. While I agree that the postulated ability of the parties to
elevate a non-jurisdictional matter to one permitting curial intervention
does not rest on AO s 81(1), ML 34(2)(a)(iii), I respectfully do not accept
that the parties are disabled from achieving such a result by express
agreement. If, contrary to all normal commercial expectations, they
should consensually choose to expand the scope of curial review of the
tribunal’s decisions on such matters as pre-arbitration conditions, there is
no reason why they should not be free to do so.
70. It is true that AO s 81(1), ML Art 34(2)(a) provides that a
court may set aside an arbitral award “only if” specified cases are
applicable. Similarly, AO s 12, ML Art 5 provides that “In matters
governed by this Law, no court shall intervene except where so provided
in this Law”. However, construed in context and purposively, those
provisions are not intended to preclude the parties from otherwise
autonomously deciding how their disputes should be resolved.
- 33 -
71. Such autonomy is declared by AO s 3(2)(a) to be a basic
principle: “This Ordinance is based on the principles ... that, subject to the
observance of the safeguards that are necessary in the public interest, the
parties to a dispute should be free to agree on how the dispute should be
resolved ...” That includes agreeing to expand the scope of curial review
of the tribunal’s decisions.
72. When AO s 3(2)(b) goes on to provide that the court “should
interfere with the arbitration of a dispute only as expressly provided for” it
is significant that the verb used is “interfere”. This bears the connotation
of the court uninvitedly intruding upon or overriding the agreement of the
parties, with “intervene” bearing the same connotation. The Ordinance
does not authorise such interference except in specified instances where
intervention is deemed justifiable or necessary, 80 with the courts otherwise
giving effect to the parties’ arbitration agreement freely reached, subject
to public policy safeguards.
73. The need for any construction of the AO and ML to be
informed by such basic principles is reiterated by AO s 9, ML Art 2A(2)
which provides: “Questions concerning matters governed by this Law
which are not expressly settled in it are to be settled in conformity with
the general principles on which this Law is based”.
74. And as previously pointed out, 81 the circumstances where
curial intervention is envisaged “include” the specified instances, leaving
room for other grounds upon which review by the court may be based,
including grounds specified by the parties’ express agreement.
75. For the foregoing reasons I respectfully do not share the
abovementioned concern.
80
Grouped under four categories in Section C.4 above.
81
§21(b) above.
- 34 -
D.5 The international decisions relied on by the appellant
76. Mr Yu also cited certain decisions of the International Court
of Justice (“ICJ”) and of tribunals of the International Centre for
Settlement of Investment Disputes (“ICSID”) involving sovereign states.
Those decisions are of no assistance in the present case.
77. We are concerned with parties who are commercial entities
who have entered into a business relationship and chosen to refer any
dispute arising out of that relationship for settlement exclusively and
finally by an arbitral tribunal which they have chosen for reasons such as
its neutrality, expertise, privacy and efficiency, where the legal framework
at the seat of the arbitration is known to be effective and to adopt a policy
favouring party autonomy and unobtrusive judicial supervision. As noted
above, given the parties’ evident commercial intentions, pre-arbitration
conditions are presumptively non-jurisdictional.
78. The context of the international decisions cited is entirely
different. Sovereign states are entitled to claim sovereign immunity and,
where they agree to waive such immunity by submitting to the jurisdiction
of an international court or tribunal only upon specified conditions, those
conditions are presumptively jurisdictional. Unless such conditions are
met, the state does not consent to the tribunal’s authority. Often, unless
such conditions are satisfied, no agreement comes into existence.
79. Thus, Mr Yu cited the ICJ Case Concerning Armed Activities
on the Territory of the Congo, Democratic Republic of the Congo
(“DRC”) v Rwanda. 82 There, the DRC sought to rely on the
compromissory clauses (ie, clauses permitting unilateral reference to the
82
Armed Activities on the Territory of the Congo (New Application: 2002)
(Democratic Republic of the Congo v Rwanda), Jurisdiction and Admissibility,
Judgment, ICJ Reports 2006, p 6.
- 35 -
ICJ) of the Convention on Discrimination Against Women to found
jurisdiction against Rwanda in the ICJ. However, Rwanda objected on the
ground that pre-conditions to its submission to the ICJ’s jurisdiction had
not been met.
80. The DRC sought to argue that Rwanda’s objection merely
went to the admissibility of its application rather than to the jurisdiction of
the Court. This was rejected by the ICJ which held that:
“... its jurisdiction is based on the consent of the parties and is confined to the
extent accepted by them ... When that consent is expressed in a compromissory
clause in an international agreement, any conditions to which such consent is
subject must be regarded as constituting the limits thereon. The Court
accordingly considers that the examination of such conditions relates to its
jurisdiction and not to the admissibility of the application.” 83
81. Moreover, Art 36(6) of the Statute of the ICJ states: “In the
event of a dispute as to whether the Court has jurisdiction, the matter shall
be settled by the decision of the Court.” So the ICJ determines for itself
whether it has jurisdiction and there is no question of that decision being
reviewable by some supervisory court or anyone else.
82. The ICSID tribunal decisions cited are similarly of no
assistance. This is illustrated by Daimler Financial Services AG v
Argentine Republic. 84 Argentina was a Contracting State Party to the
ICSID Convention and the claimant company, Daimler, was a national of
the Federal Republic of Germany, another Contracting State. Art 25(1) of
the ICSID Convention relevantly provides:
“The jurisdiction of the Centre shall extend to any legal dispute arising directly
out of an investment, between a Contracting State … and a national of another
Contracting State, which the parties to the dispute consent in writing to submit
to the Centre. ...”85
83
Ibid at §88 (footnotes omitted).
84
ICSID ARB/05/1 (22 August 2012).
85
Ibid §47.
- 36 -
83. The ICSID Convention thus provides the framework for
subsequent Bilateral Investment Treaties (“BITs”) entered into between
Contracting States. The German-Argentine BIT in the Daimler case
provided for a tiered, sequential dispute-resolution process between each
Host State and a prospective investor from the other State. Art 10 of the
BIT provided:
“(1) Disputes which arise between a Contracting Party and a national or
company of the other Contracting Party concerning an investment
under the Treaty, shall, to the extent possible, be settled amicably.
(2) If a dispute referred to in paragraph 1 cannot be settled within six
months from the date either of the parties to the dispute formally
announced it, it shall be referred upon the request of either party to the
dispute to the competent courts of the Contracting Party in whose
territory the investment was made.
(3) Under either of the circumstances referred to below, the dispute may be
submitted to an international arbitral tribunal:
(a) at the request of a party to the dispute if, within a period of 18
months of initiation of the judicial proceeding in accordance
with paragraph 2, the tribunal has not rendered a final decision
or if such a decision has been rendered but the dispute between
the parties continues;
(b) if both parties have so agreed.”
84. It should be noted that no individual investor is party to the
BIT. A clause like Art 10 represents a unilateral conditional offer made
by each of Germany and Argentina to as yet unidentified investors from
the other State to agree to the stipulated dispute resolution process upon
acceptance by a qualified investor in relation to a dispute with the State in
question.
85. Daimler, a German company, sought to commence an
arbitration pursuant to Art 10, but Argentina objected to the jurisdiction of
the tribunal to deal with anything other than the jurisdictional issue
because of Daimler’s failure to submit the substantive dispute to the
competent Argentine courts for a period of 18-months before resorting to
- 37 -
an arbitral tribunal as required by Art 10(2) and (3). That requirement, it
argued, constituted a necessary condition of Argentina’s consent to
arbitration and thus to the tribunal’s jurisdiction. 86 Daimler argued on the
other hand that such requirement was “a mere procedural directive and not
a true jurisdictional pre-requisite”.87
86. Argentina’s argument was upheld by the tribunal which
emphasised the crucial importance of the sovereign state’s consent as a
voluntary restraint on its sovereign immunity:
“Stepping back from the specific case of bilateral treaties, all international
treaties – whether bilateral, plurilateral or multilateral – are essentially
expressions of the contracting states’ consent to be bound by particular legal
norms. They encapsulate voluntarily accepted restraints upon the universally
recognized principle of state sovereignty. Consent is therefore the cornerstone
of all international treaty commitments, at least insofar as those commitments
exceed the minimum requirements of customary international law. The
primacy of the principle of consent runs through all types of treaty
commitments entered into by states. ...” 88
87. The tribunal emphasised that this approach at the treaty level
is entirely different from that relating to national courts and domestic
arbitral tribunals:
“One may ask whether the Tribunal may nonetheless waive the 18-month
domestic courts requirement on the grounds that it is merely procedural, not
jurisdictional, and therefore within the discretionary power of the Tribunal to
observe or discard. Such is the case, for example, with admissibility objections
before domestic courts and tribunals. However, admissibility analyses
patterned on domestic court practices have no relevance for BIT-based
jurisdictional decisions in the context of investor-State disputes. In the
domestic context, admissibility requirements are judicially constructed rules
designed to preserve the efficiency and integrity of court proceedings. They do
not expand the jurisdiction of domestic courts ...”89
“All BIT-based dispute resolution provisions, on the other hand, are by their
very nature jurisdictional. The mere fact of their inclusion in a bilateral treaty
86
Ibid §158 a).
87
Ibid §184.
88
Ibid §168 (footnotes omitted here and in the ICSID case citations which follow).
89
Ibid §192.
- 38 -
indicates that they are reflections of the sovereign agreement of two States –
not the mere administrative creation of arbitrators. They set forth the conditions
under which an investor-State tribunal may exercise jurisdiction with the
contracting state parties’ consent, much in the same way in which legislative
acts confer jurisdiction upon domestic courts. That this is so is particularly
evident in the case of the German-Argentine BIT, which describes its dispute
resolution process in mandatory and necessarily sequential language.” 90
“Since the 18-month domestic courts provision constitutes a treaty-based pre-
condition to the Host State’s consent to arbitrate, it cannot be bypassed or
otherwise waived by the Tribunal as a mere ‘procedural’ or ‘admissibility-
related’ matter.”91
88. The same approach was taken in the other BIT tribunal
decisions cited by the appellant. 92 Notably, in Kilic Insaat Ithalat Ihracat
Sanayi Ve Ticaret Anonim Sirketi v Turkmenistan,93 the Daimler decision
was approved 94 and such preconditions were held to amount to “a
conditional offer to arbitrate”. Put in offer and acceptance terms, unless
and until the investor accepted the unilateral offer made by the state in
accordance with the conditions stipulated, no arbitration agreement came
into existence between the State and the investor, so that the tribunal
lacked jurisdiction to deal with the dispute.
89. One might add that citation of such tribunal decisions is of
limited value, as was observed in the Daimler case:
“... there is no system of precedent in investor-State arbitration, nor indeed
could there be, given the large and diverse set of treaties presently applicable to
90
Ibid §193.
91
Ibid §194.
92
ICS Inspection and Control Services Ltd (United Kingdom) v The Argentine
Republic UNCITRAL, PCA Case No 2010-9 (10 February 2012) at §§246-247,
262; Tulip Real Estate Investment and Development Netherlands BV v Republic of
Turkey (Decision on Bifurcated Jurisdictional Issue) ICSID ARB/11/28 (5 March
2013) §72; Kilic Insaat Ithalat Ihracat Sanayi Ve Ticaret Anonim Sirketi v
Turkmenistan ICSID ARB/10/1 (2 July 2013) approving the Daimler decision at
§6.3.5.
93
ICSID ARB/10/1 (2 July 2013).
94
At §6.3.5.
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various investor-State claims. Each case must be decided on the basis of the
applicable treaty texts and in the light of the relevant facts. ...”95
E. Conclusion
90. On an analysis that is, in my view, helped by the
jurisdiction/admissibility or tribunal/claim distinction, the appeal should
be dismissed. I respectfully agree with the Judge’s summary of the
position as follows:
“The objection in the present case seems to me to be one going to admissibility
of the claim. There is no dispute about the existence, scope and validity of the
arbitration agreement. There is no dispute that [the respondent’s] claim, as far
as its subject matter is concerned, ‘arises out of or in relation to’ the Agreement
and falls within the scope of the arbitration agreement. ... The parties’
commitment to arbitrate is not in doubt; they intend the arbitral award to be
final and binding. [The appellant’s] objection is that the particular reference to
arbitration was invalid because the stipulated mechanism of negotiation
between the CEOs had not been gone through. The objection is not that such a
claim should not be arbitrated at all, but that the tribunal should reject the
reference as premature. There is no indication in clauses 14.2 or 14.3 of the
Agreement that the parties intended compliance with these provisions to be a
matter of jurisdiction. It seems unlikely to be the parties’ intention that despite
a full hearing before and a decision by a tribunal of their choice the same issue
should be re-opened in litigation in the courts. In my view the challenge is one
of admissibility rather than jurisdictional.” 96
91. A further reason for adopting the jurisdiction/admissibility
(or tribunal/claim) distinction is provided by AO s 9, ML Art 2A(1) which
states:
Article 2A of the UNCITRAL Model Law, the text of which is set out below,
has effect—
“Article 2A. International origin and general principles
(1) In the interpretation of this Law, regard is to be had to its
international origin and to the need to promote uniformity in its
application and the observance of good faith.”
95
Daimler case at §52.
96
Judgment §53.
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92. ML Art 2A promotes an important object of the Model Law
(and also of the New York Convention on the enforcement of awards)
which is to facilitate international arbitration by harmonizing the arbitral
regimes of different countries. As has been noted, academic writings and
the recent case-law of courts in ML jurisdictions which are also leading
centres of arbitration have adopted the distinction as a principle which
elucidates the limits of judicial intervention in arbitrations. In my view,
we should in this jurisdiction confirm that we do likewise.
Mr Justice Fok PJ:
93. I have had the benefit of reading the judgments in draft of Mr
Justice Ribeiro PJ and Mr Justice Gummow NPJ. I respectfully agree
with the conclusion reached by both of them that the appeal should be
dismissed. I only add this short concurrence to state my view, briefly, on
an issue that has divided the Court.
94. For the reasons set out in Section D of Mr Justice Ribeiro
PJ’s judgment and in paragraphs [112] to [139] of Mr Justice Gummow
NPJ’s judgment, the dispute between the parties as to whether, on the true
interpretation of clause 14.2 of the operative agreement, its stipulations
had been complied with so that the underlying dispute between the parties
could proceed to arbitration, was one which, in accordance with clause
14.3 of the agreement, should be finally settled by the arbitral tribunal.
The appellant’s application to set aside the tribunal’s partial award on the
basis of Article 34(2)(a)(iii) of the Model Law was therefore properly
dismissed by the Court of First Instance and that decision correctly upheld
by the Court of Appeal.
95. As Mr Justice Gummow NPJ observes, the Court of Appeal
stated that it would have dismissed the appeal to it on the basis that the
dispute between the parties on the question of fulfilment of the pre-
- 41 -
arbitration procedural requirement under clauses 14.2 and 14.3 was
clearly a dispute falling within the terms of the submission to arbitration
under Article 34(2)(a)(iii) of the Model Law. On this basis, the appeal
could have been disposed of without regard to the distinction between
admissibility and jurisdiction. Like Mr Justice Gummow NPJ, I agree that
the reasoning in the Court of Appeal’s judgment at [61] is correct and
leads to the dismissal of the appeal in any event.
96. The area of disagreement concerns the appropriateness of the
adoption of the jurisdiction/admissibility distinction as a means to assist in
determining which disputes are properly subject to court review under the
Arbitration Ordinance. Adopting it supports the conclusion that the
appellant’s challenge to the arbitrator’s determination as regards the
fulfilment of the pre-arbitration procedural requirement is not subject to
court review.
97. For the detailed reasons set out in Section C of Mr Justice
Ribeiro PJ’s judgment, I agree that the jurisdiction/admissibility
distinction provides a useful principle by which to distinguish between
those issues that are reviewable by a supervising court and those that are
not. As his Lordship points out, the distinction has gathered such support
as to be widely recognised across several jurisdictions, including England
and Wales, Singapore and New South Wales, and in leading academic
texts on arbitration law and practice. For Hong Kong to reject the
distinction now would risk placing this jurisdiction at variance with other
jurisdictions which, like Hong Kong, promote international arbitration and
limit the extent of court intervention in the arbitral process and, for my
part, I would decline to do so.
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Mr Justice Lam PJ:
98. I have the benefit of reading the draft judgments of Mr
Justice Ribeiro PJ and Mr Justice Gummow NPJ. I am also of the view
that the appellant had not made good a challenge under Art 34(2)(a)(iii) of
the UNCITRAL Model Law on International Commercial Arbitration for
setting aside the award and the appeal should be dismissed. Clause 14.2 of
the contract is clearly wide enough to confer authority on the arbitral
tribunal to determine a dispute on whether its pre-arbitration condition has
been fulfilled. Applying the approach of Lord Hoffmann in Fiona Trust &
Holding Corp v Privalov97, in the absence of explicit provision for judicial
review of the determination of such a dispute, the determination of the
issue by the arbitral tribunal cannot be regarded as not falling within the
terms of the submission to arbitration or going beyond the scope of the
submission to arbitration.
99. In light of the difference between Mr Justice Ribeiro PJ and
Mr Justice Gummow NPJ on the utility of the “jurisdiction/admissibility”
distinction, I would succinctly express my views on the topic.
100. I confess that I was initially attracted by Mr Justice Gummow
NPJ’s opinion that the only question is whether the contention raised by
the appellant is within one of the grounds on which Art 34 of the Model
Law permits recourse to judicial review 98 . As my Lord observed,
previously the courts were able to apply Art 34(2)(a)(iii) without any
reference to the “jurisdiction/admissibility” distinction. Placing too much
reliance on such distinction carries with it the risk of inadvertent
substitution of the grounds laid down in Art 34(2)(a)(iii) with a
97
[2007] 4 All ER 951 at [6]-[7].
98
See [152] of the judgment of Mr Justice Gummow NPJ.
- 43 -
consideration if the challenge of a party is one goes to admissibility as
opposed to jurisdiction.
101. However, Mr Chapman submitted that “admissibility” was
just a label and the distinction could be useful in determining whether a
ground of challenge raised by a party is really a jurisdictional question. If
an applicant raised a real jurisdictional question, the court could conduct a
de novo review of the question. On the other hand, if what purported to be
a jurisdictional question does not really go to jurisdiction, the court should
not review a decision of the arbitral tribunal on such question.
102. In this connection, I agree with Mr Justice Ribeiro PJ that Art
34 of the Model Law and Section 81 of the Arbitration Ordinance should
be construed in a manner which is coherent with the other provisions in
the Model Law as adopted under the Arbitration Ordinance. In particular,
in light of the provisions in Art 16 of the Model Law as applied under
Section 34 of the Arbitration Ordinance, the concept of judicial review of
the jurisdiction of the arbitral tribunal is also relevant in the context of an
application to set aside an award under Art 34(2)(a)(iii).
103. In the present case, the appellant had requested the issue of
jurisdiction be determined by the arbitral tribunal as a preliminary
question. However, the arbitral tribunal did not do so. Thus, the procedure
under Art 16(3) for a further request to the court for such determination
was not applicable and the appellant had to seek to set aside the award
under Art 34(2)(a)(iii) of the Model Law.
104. In these circumstances, I accept that an application could be
made under Art 34(2)(a)(iii) to put forward a jurisdictional challenge99.
99
See Bantekas and others, UNCITRAL Model Law on International Commercial
Arbitration (2020) p.299-300. Art 34(2)(a)(iii) can also be relied upon to
challenge an award made by a tribunal that had jurisdiction to deal with the dispute
- 44 -
105. For my part, the important consideration is whether the use of
the “jurisdiction/admissibility” distinction as an aid for determining if an
issue falls within the terms of the submission to arbitration or goes beyond
the scope of the submission to arbitration is objectionable for the reason
that such distinction distorts the grounds set out under Art 34(2)(a)(iii).
106. The critical question is whether there is any risk of distortion?
107. Mr Justice Ribeiro PJ made a powerful case for the utility of
such distinction. In section C.1 of his judgment Mr Justice Ribeiro PJ
elaborated on the substance of the “jurisdiction/admissibility” distinction
by reference to the distinction between a challenge to the tribunal and a
challenge to the claim. “Admissibility” concerns challenges which do not
negate consent to the tribunal’s authority. The distinction does not hinge
merely on the parties’ labelling of the nature of a dispute. Further, in the
context of the present appeal which focused on pre-arbitration conditions
in multi-tiered dispute resolution clauses, His Lordship adopted the view
that pre-arbitration conditions should be regarded as presumptively non-
jurisdictional.
108. In formulating the distinction between objections aiming at
the tribunal and those aiming at the claim, Professor Paulsson referred to
an earlier article of Professor Rau 100 in which the latter pinpointed the
fundamental question as the parties’ consent to arbitral authority. Instead
of relying on labels or metaphors, one should enquire whether in a given
but exceeded its powers by dealing with matters that had not been submitted to it
by any party, see Bantekas op. cit., p.880. This is not relevant for present purposes.
100
A.S. Rau, “Everything You Really Need to Know About ‘Separability’ in Seventeen
Simple Propositions” (2003) 14 The American Review of International Arbitration
1. Cited by Professor Paulsson in his article “Jurisdiction and Admissibility” in
Global Reflections on International Law, Commerce and Dispute Resolution (2005)
at p.615.
- 45 -
case the parties have agreed that contentions regarding any particular issue
should be decided conclusively by the arbitrators.
109. Likewise, the grounds laid down in Art 34(2)(a)(iii) also
focused on the parties’ consent to arbitral authority. For present purposes,
the terms of submission to arbitration are to be determined by the common
intention of the parties as set out in the arbitration agreement. In such
exercise, as acknowledged by Mr Justice Ribeiro PJ as well as Mr Justice
Gummow NPJ, the approach of Lord Hoffmann in Fiona Trust & Holding
Corp v Privalov provided helpful guidance. The presumption adopted by
Mr Justice Ribeiro PJ can be regarded as a specific application of that
approach in respect of pre-arbitration conditions.
110. Viewed in this light, the analysis of Mr Justice Ribeiro PJ is
firmly based on the grounds laid down in Art 34(2)(a)(iii).
111. For these reasons, I respectfully agree that it is sound in
principle and useful to adopt a distinction between a challenge to the
tribunal and a challenge to the claim as well as a presumption that
challenge based on non-fulfilment of pre-arbitration condition is non-
jurisdictional. Since the distinction only operates as a presumptive aid to
the construction of an arbitration clause, it is open to the parties to draft a
clause in a manner which clearly overrides the effect of such presumption
in respect of the fulfilment of pre-arbitration conditions. The availability
of judicial recourse is therefore ultimately dependent upon the proper
construction of the parties’ agreement. If on proper construction the
parties have agreed that a dispute on the fulfilment of pre-arbitration
conditions should be determined conclusively by the court instead of an
arbitral tribunal, such an award could be challenged under Art 16(3) (read
together with Section 34(2)(b) of the Arbitration Ordinance) or Art
34(2)(a)(iii).
- 46 -
Mr Justice Gummow NPJ:
112. This appeal from the Court of Appeal concerns the operation
of provisions of the Arbitration Ordinance (Cap 609) (“the Ordinance”)
respecting a challenge in the Court of First Instance to an arbitral award
made in Hong Kong. If an arbitration agreement stipulates a pre-
arbitration condition precedent, is the determination of the arbitral tribunal
that the condition was satisfied, “subject to recourse to the Court” under
the Ordinance? However, there is some ambiguity here. The provisions
of the Ordinance set out below at [126]-[127] indicate that it is the award
which is subject to recourse to the Court not the dispute which led to the
award.
The dispute
113. The appellant C is a Hong Kong company which owns and
operates satellites. The respondent D is a Thai company which is a
satellite operator in the Asia Pacific region.
114. On 15 December 2011 these parties entered into a written
agreement (“the Agreement”), essentially that by the deployment of
Satellite A, C would develop its business in the PRC, while D would do so
outside the PRC. The governing law of the Agreement was Hong Kong
law. On 6 December 2018, C issued certain commands to Satellite A
which D considered a breach of the Agreement. Clauses 14.2 and 14.3 of
the Agreement provided for dispute resolution by negotiation between the
parties, and if this was not achieved, for arbitration in Hong Kong in
accordance with the UNCITRAL Arbitration Rules:
“14.2 Dispute Resolution. The Parties agree that if any controversy, dispute or
claim arises between the Parties out of or in relation to this Agreement,
or the breach, interpretation or validity thereof, the Parties shall attempt
in good faith promptly to resolve such [dispute] by negotiation. Either
Party may, by written notice to the other, have such dispute referred to
- 47 -
the Chief Executive Officers of the Parties for resolution. The Chief
Executive Officers (or their authorized representatives) shall meet at a
mutually acceptable time and place within ten (10) Business Days of
the date of such request in writing, and thereafter as often as they
reasonably deem necessary, to attempt to resolve the dispute through
negotiation.
14.3 Arbitration. If any dispute cannot be resolved amicably within sixty
(60) Business days of the date of a Party’s request in writing for such
negotiation, or such other time period as may be agreed, then such
dispute shall be referred by either Party for settlement exclusively and
finally by arbitration in Hong Kong at the Hong Kong International
Arbitration Centre (‘HKIAC’) in accordance with the UNCITRAL
Arbitration Rules in force at the time of commencement of the
arbitration (the ‘Rules’) …”
115. On 18 April 2019, D issued a notice of arbitration under
clause 14.3. The Tribunal, in its extensive written Partial Award issued
on 21 April 2020, rejected the submission by C that the precondition to
arbitration set up by clauses 14.2 and 14.3 had not been satisfied. It went
on to hold that C was liable to pay damages to D in an amount to be
assessed. The contention then advanced by C that the Partial Award be
set aside by the Court of First Instance was rejected and C’s appeal to the
Court of Appeal was dismissed on 7 June 2022.
The legislation
116. The Ordinance states in section 4 that the provisions of the
UNCITRAL Model Law on International Commercial Arbitration (“the
Model Law”) which are “expressly stated” in the Ordinance as having
effect “have the force of law in Hong Kong subject to the modifications
and supplements as expressly provided for in this Ordinance”.
117. An appreciation of the attitude of the courts to arbitration is
assisted by the observations of Lord Hoffmann in Fiona Trust & Holding
Corporation v Privalov101. His Lordship noted (at [6]) that:
101
[2007] 4 All ER 951.
- 48 -
“… The parties have entered into a relationship, an agreement or what is
alleged to be an agreement or what appears on its face to be an agreement,
which may give rise to disputes. They want those disputes decided by a
tribunal which they have chosen, commonly on the grounds of such matters as
its neutrality, expertise and privacy, the availability of legal services at the seat
of the arbitration and the unobtrusive efficiency of its supervisory law.
Particularly in the case of international contracts, they want a quick and
efficient adjudication and do not want to take the risks of delay and, in too
many cases, partiality, in proceedings before a national jurisdiction.”
118. Lord Hoffmann went on (at [7]) to ask:
“… whether the parties, as rational businessmen, were likely to have intended
that only some of the questions arising out of their relationship were to be
submitted to arbitration and others were to be decided by national courts.”
119. These general statements are to be read with the remarks of
Lord Collins of Mapesbury in Dallah Real Estate and Tourism Holding
Co v Ministry of Religious Affairs of the Government of Pakistan102. His
Lordship observed (at [83]) that:
“The principle that a tribunal has jurisdiction to determine its own jurisdiction
does not deal with, or still less answer, the question whether the tribunal’s
determination of its own jurisdiction is subject to review, or, if it is subject to
review, what that level of review is or should be.”
120. Lord Collins then went on (at [85]) to refer to Articles 16 and
34 of the Model Law. He observed that these provisions illustrated the
proposition that the power of the tribunal to determine its jurisdiction was
not exclusive, given the power of the court to set aside an award on the
specified grounds in Article 34.
121. In BG Group Plc v Republic of Argentina103, Breyer J in the
opinion of the United States Supreme Court observed (at p. 34) that:
“… courts presume that the parties intend arbitrators, not courts, to decide
disputes about the meaning and application of particular procedural
preconditions for the use of arbitration.”
102
[2011] 1 AC 763.
103
572 US 25 (2014).
- 49 -
These included “time limits, notice, laches, estoppel, and other conditions
precedent to an obligation to arbitrate.”
122. Section 3(1) of the Ordinance states “the object” of the
Ordinance as the facilitation of “the fair and speedy resolution of disputes
by arbitration without unnecessary expense”. Section 3(2) states that the
Ordinance is based on two principles. Paragraph (a) provides that “the
parties to a dispute should be free to agree on how the dispute should be
resolved”, subject to necessary safeguards in the public interest.
Paragraph (b) states the principle that “the court should interfere in the
arbitration of a dispute only as expressly provided for in the Ordinance”.
In this way, section 3 implements the general principle that, save as
regards the public interest, the parties are free to avoid the expense and
delay of litigation and to provide for arbitration. Questions concerning
matters governed by the Model Law but not expressly settled in it are to
be settled in accordance with the “general principles” on which the Model
Law is based (section 9 of the Ordinance). Those “general principles”
include those in section 3, as discussed above.
123. Section 34 of the Ordinance gives effect to the provision in
Article 16(1) of the Model Law that:
“The arbitral tribunal may rule on its own jurisdiction, including any objections
with respect to the existence or validity of the arbitration agreement …”
Article 16(3) as applied to the Ordinance provides that if the arbitral
tribunal rules as a preliminary question that it has jurisdiction, any party,
within thirty days of receipt of notice of that ruling, may request the Court
of First Instance to decide the matter and its decision shall be subject to no
appeal. Article 16(3) indicates that the “jurisdiction” upon which the
tribunal rules as a preliminary question is that which attracts curial
intervention.
- 50 -
124. Section 12 of the Ordinance adopts the important principle in
Article 5 of the Model Law, that:
“In matters governed by this Law, no court shall intervene except where so
provided in this Law.” (emphasis added)
Section 81, adopting Article 34 of the Model Law, limits the grounds of
recourse to a court to challenge an arbitral award. The relevant text of
Article 34 is set out below at [126]-[127]. The relationship between
Articles 16 and 34 is discussed in the concluding portion of these reasons,
at [157].
125. The use of the mandatory word “shall” in Article 5 indicates
that the Model Law provides exhaustively and exclusively for the grounds
of curial intervention: see UNCITRAL Model Law on International
Commercial Arbitration: A Commentary (Cambridge University Press,
2020) (“the Commentary”) at p. 92 et seq. Returning to section 3(2) of
the Ordinance, the view that paragraph (b) must give way to paragraph (a),
so that the court may have a power of intervention solely and sufficiently
based on the terms of the agreement of the parties, is inconsistent with the
scheme of the Model Law. By contrast, the United Kingdom Arbitration
Act 1996 (“the 1996 Act”) did not adopt the mandatory word “shall” in
Article 5 of the Model Law, instead using in section 1(c) the word
“should”. Lord Mance JSC described this as a “deliberate departure”
from Article 5: AES Ust-Kamenogorsk Hydropower Plant LLP v Ust-
Kamenogorsk Hydropower Plant JSC [2014] 1 All ER 355 at [33]. This
topic will be referred to further at [154].
126. Article 34(1) of the Model Law (adopted by section 81 of the
Ordinance) provides that recourse to a court against an arbitral award may
be made “only” in reliance upon the grounds laid out in the balance of that
- 51 -
Article. Article 34(2) states that an arbitral award may be set aside “only
if” paragraphs (a) or (b) apply. Paragraph (b) is in these terms:
“(b) the court finds that:
(i) the subject-matter of the dispute is not capable of settlement by
arbitration under the law of this State; or
(ii) the award is in conflict with the public policy of this State.”
127. Paragraph (a) contains four grounds. Ground (iii) is of
particular importance to this case, but all grounds (i)-(iv) should be set out:
“(a) the party making the application furnishes proof that:
(i) a party to the arbitration agreement referred to in article 7 was
under some incapacity; or the said agreement is not valid under
the law to which the parties have subjected it or, failing any
indication thereon, under the law of this State; or
(ii) the party making the application was not given proper notice of
the appointment of an arbitrator or of the arbitral proceedings or
was otherwise unable to present his case; or
(iii) the award deals with a dispute not contemplated by or not
falling within the terms of the submission to arbitration, or
contains decisions on matters beyond the scope of the
submission to arbitration, provided that, if the decisions on
matters submitted to arbitration can be separated from those not
so submitted, only that part of the award which contains
decisions on matters not submitted to arbitration may be set
aside; or
(iv) the composition of the arbitral tribunal or the arbitral procedure
was not in accordance with the agreement of the parties, unless
such agreement was in conflict with a provision of this Law
from which the parties cannot derogate, or, failing such
agreement, was not in accordance with this Law …” (emphasis
added)
128. As regards the particular ground at issue, namely, ground (iii),
it would appear that it is concerned with whether the arbitral tribunal
improperly embarked on deciding a dispute on matter that had not been
submitted to it. In other words, it is concerned with the ambit of the
- 52 -
submission to arbitration, not the merits of the relevant dispute or matter.
Upon reviewing the ambit of the submission to arbitration, if the court
finds that the arbitral award deals with a dispute or matter falling outside
of such ambit, the court may set aside the award but does not go on to
review the merits of such dispute or matter.
129. As the Singapore Court of Appeal put it in CRW Joint
Operation v PT Perusahaan Gas Negara (Persero) TBK104 (at [31]):
“… Art 34(2)(a)(iii) … applies where the arbitral tribunal improperly decided
matters that had not been submitted to it or failed to decide matters that had
been submitted to it. In other words, Art 34(2)(a)(iii) addresses the situation
where the arbitral tribunal exceeded (or failed to exercise) the authority that the
parties granted to it (see Gary B Born, International Commercial Arbitration
(Wolters Kluwer, 2009) at vol 2, pp 2606–2607 and 2798–2799) …”
The Court continued to observe (at [33]):
“… it is trite that mere errors of law or even fact are not sufficient to warrant
setting aside an arbitral award under Art 34(2)(a)(iii) of the Model Law (see
Sui Southern Gas Co Ltd v Habibullah Coastal Power Co (Pte) Ltd [2010] 3
SLR 1 at [19]–[22]). In the House of Lords decision of Lesotho Highlands
Development Authority v Impregilo SpA and others [2006] 1 AC 221, which
concerned an application to set aside an arbitral award on the ground of the
arbitral tribunal’s ‘exceeding its powers’ (see s 68(2)(b) of the Arbitration Act
1996 (c 23) (UK) (‘the UK Arbitration Act’)), Lord Steyn made clear (at [24]–
[25]) the vital distinction between the erroneous exercise by an arbitral tribunal
of an available power vested in it (which would amount to no more than a mere
error of law) and the purported exercise by the arbitral tribunal of a power
which it did not possess. Only in the latter situation, his Lordship stated, would
an arbitral award be liable to be set aside under s 68(2)(b) of the UK
Arbitration Act on the ground that the arbitral tribunal had exceeded its
powers. In a similar vein, Art 34(2)(a)(iii) of the Model Law applies where an
arbitral tribunal exceeds its authority by deciding matters beyond its ambit of
reference or fails to exercise the authority conferred on it by failing to decide
the matters submitted to it, which in turn prejudices either or both of the parties
to the dispute …”
The above understanding of Article 34(2)(a)(iii), as expounded in CRW,
has since been followed in numerous Singapore decisions, and is
104
[2011] 4 SLR 305.
- 53 -
consistent with the approach adopted in two recent judgments of Lord
Mance delivered as an International Judge, namely CBX v CBZ 105 and
CKH v CKG106.
130. It is true that a different stance appears to have been taken by
the Singapore Court of Appeal in Swissbourgh Diamond Mines (Pty) Ltd v
Kingdom of Lesotho107. The Court appeared to be making the point that in
Article 34(2)(a)(iii) the expressions “a dispute not contemplated by or not
falling within the terms of the submission to arbitration” and “matters
beyond the scope of the submission to arbitration” indicate distinct
grounds for curial intervention, one pertaining to the ambit of the
submission to arbitration and the other going beyond that issue. However,
it appears that the different wording is designed to accommodate the
gradation of disputes submitted to arbitration rather than to create distinct
grounds for intervention. This construction is supported in the
Commentary, the work referred to above at [125]. At p. 882 of the
Commentary it is said:
“The first two limbs of article 34(2)(a)(iii) consider respectively the case of: (1)
an award that ‘deals with a dispute not contemplated or not falling within the
terms of the submission to arbitration’; and (2) an award that ‘contains
decisions on matters beyond the scope of the submission to arbitration’. While
similar, these two situations are not identical. In the first scenario, the provision
refers to a ‘dispute’ … In the second scenario, instead, the dispute may well
have fallen within the terms of the parties’ agreement, but the award rules on
‘matters’ beyond its scope. In other words, the arbitrators made a mistake not
by retaining jurisdiction over the dispute (which was, in principle, covered by a
valid agreement), but by including in the award issues that did not belong with
that dispute and that the parties had not agreed to arbitrate.” (emphases added)
131. Article 34(2)(a)(iii) follows closely the wording of Article
V(1)(c) of the 1958 Convention on the Recognition of and Enforcement of
105
[2022] 1 SLR 47 at [11].
106
[2022] 2 SLR 1 at [11].
107
[2019] 1 SLR 263 at [65]-[79].
- 54 -
Foreign Arbitral Awards (“New York Convention”). Article V(1)(c)
states:
“Recognition and enforcement of the award may be refused, at the request of
the party against whom it is invoked, only if that party furnishes to the
competent authority where the recognition and enforcement is sought, proof
that:
(c) The award deals with a difference not contemplated by or not
falling within the terms of the submission to arbitration, or it
contains decisions on matters beyond the scope of the
submission to arbitration, provided that, if the decisions on
matters submitted to arbitration can be separated from those not
so submitted, that part of the award which contains decisions on
matters submitted to arbitration may be recognized and enforced
…”
The commentary on Article V(1)(c) in the UNCITRAL Secretariat Guide
on the New York Convention (2016 Edition) (at p. 183), is consistent with
the view that this provision only pertains to the ambit of submission to
arbitration:
“Where article V (1)(a) concerns the existence of a valid arbitration agreement
which is binding on all the parties addressed by an award, article V (1)(c)
assumes the existence of a valid arbitration agreement between the parties and
is concerned instead with whether an award has gone beyond the scope of the
subject matter the parties intended to submit to arbitration.”
The Court of Appeal
132. Much consideration was given in the Court of Appeal’s
judgment to a distinction between “admissibility” and “jurisdiction”.
Consideration of the utility of such a distinction in construing section 81
of the Ordinance (adopting Article 34 of the Model Law) will be made
later in these reasons at [140]-[156]. This consideration of the distinction
extends to that length, given its importance for Hong Kong arbitrations.
That importance is exemplified in the article by Leung and Hui “Making
- 55 -
Sense of Jurisdiction-Admissibility Distinction: When Day Becomes
Night” in the issue of Hong Kong Lawyer for April 2023.
133. However, the Court of Appeal added (at [61]):
“For the sake of completeness, we should mention that we would have reached
the same conclusion even if we disregard the distinction between admissibility
and jurisdiction, and consider the question simply as a matter of construction
and application of Art 34(2)(a)(iii). We consider it to be clear that the dispute
between the parties on the question of fulfilment of the pre-arbitration
procedural requirement under Clauses 14.2 and 14.3 is a dispute falling within
the terms of the submission to arbitration under Art 34(2)(a)(iii). Clause 14.3
provides that ‘any’ dispute which cannot be resolved amicably within 60
business days … shall be referred by either party for settlement exclusively and
finally by arbitration. The disputes which may be settled by arbitration under
Clause 14.3 are those referred to in Clause 14.2, namely, ‘any controversy,
dispute or claim [arising] between the Parties out of or in relation to this
Agreement, or the breach, interpretation or validity thereof’. There is no reason
to confine the scope of arbitrable disputes under Clause 14.3 to substantive
disputes arising out of or in relation to the Agreement, and exclude from it
disputes on whether the pre-arbitration procedural requirement under Clauses
14.2 and 14.3 has been fulfilled.”
134. The reasoning in this passage is, with respect, correct and
leads to the dismissal of C’s appeal. It should be noted that this passage
accords with the understanding of Article 34(2)(a)(iii) set out above at
[128]-[131]. This ground is concerned with the ambit of the submission
to arbitration. It does not afford any room for the court to review the
merits of a particular dispute, including a dispute as to compliance with a
pre-arbitration condition. The conclusion to which the reasoning in this
passage leads is simply that the award cannot be set aside.
135. We should deal with two further matters which are the
subject of intense debate on this appeal. The first concerns what may be
identified as the “condition precedent” submission by C. The second
concerns the significance both parties, albeit with different conclusions,
attached to the “admissibility/jurisdiction” distinction.
- 56 -
The “condition precedent” submission
136. C contends that clauses 14.2 and 14.3 provided a “condition
precedent” to the agreement to arbitrate, the compliance with which was a
“jurisdictional issue” attracting the ground in paragraph (iii) of Article
34(2)(a) that “the award deals with a dispute not contemplated by … the
terms of the submission to arbitration”. The premise of C’s argument is
that if the “condition precedent” had not been fulfilled, the contractual
dispute as to whether C was in breach of the Agreement would not fall
within “the terms of the submission to arbitration”. Hence, the essence of
C’s case is that the satisfaction of clauses 14.2 and 14.3 was a
“jurisdictional issue” and was to be finally determined not by the Tribunal
but by the Court.
137. C’s contention is misplaced for two reasons. First, as D
submits, as a matter of contractual construction, the precondition
contained in clauses 14.2 and 14.3 was directed to the obligation to
arbitrate with respect to the specific claim in question, not to the
agreement to arbitrate.
138. Secondly, and more fundamentally, C’s argument is premised
on a misunderstanding of Article 34(2)(a)(iii). It invites the Court to
review the correctness of the Tribunal’s ruling that the pre-arbitration
procedural requirements had been complied with, contending that non-
compliance with such requirements deprived the Tribunal of its
jurisdiction to deal with the contractual dispute by virtue of it falling
outside the “terms of the submission to arbitration”. Such a contention
goes against the permissible extent of curial intervention under Article
34(2)(a)(iii), as explained above at [128]-[131] and [134].
139. As noted above at [112], it is the award which is subject to
recourse to the Court.
- 57 -
The “admissibility/jurisdiction” distinction
140. C contends that the answer to the question whether the Court
may review the issue of satisfaction of a condition precedent to arbitration
does not lie in seeking to fit the issue into the classification of
“admissibility” or “jurisdiction”. On the other hand, D contends that the
distinction can be applied in construing Article 34(2)(a)(iii). But D also
contends that the Tribunal correctly determined that the precondition in
clauses 14.2 and 14.3 was satisfied in this case and thus no question of
curial intervention under Article 34(2)(a)(iii) arose. The term
“admissibility” is not used here in the sense understood by common
lawyers and exemplified by the Evidence Ordinance (Cap 8); rather it
refers to defects of a temporary quality upon decision making by tribunals
(as opposed to those of a permanent quality).
141. Since the adoption of the Model Law in 1985 there have been
many decisions of courts in various jurisdictions which have adopted the
Model Law into their legislation and they have applied Article 34(2)(a)(iii)
without any attention to a distinction between “admissibility” and
“jurisdiction”. An example from Hong Kong is Brunswick Bowling &
Billiards Corp v Shanghai Zhonglu Industrial Co Ltd108, a judgment of
Johnson Lam J. An example from the Singapore Court of Appeal is PT
Prima International Development v Kempinski Hotels SA109. Moreover,
the statements in 2007 by Lord Hoffmann in Fiona Trust set out above at
[117]-[118] were made when dealing with the question whether a dispute
(in that case, a dispute that certain charterparties were void for inducement
by bribery) fell within the scope of an arbitration clause and therefore was
to be determined by arbitration. The House of Lords held that it did. In
urging the broad interpretation of arbitration clauses Lord Hoffmann was
108
[2011] 1 HKLRD 707 at [21]-[22].
109
[2012] 4 SLR 98 at [28]-[29].
- 58 -
not addressing any question as to whether the court could review the
arbitrator’s determination on a dispute, a question on which the Court of
Appeal in the present case sought to invoke the distinction between
“jurisdiction” and “admissibility”. The point was made in a case note on
the judgment of the Court of Appeal: Matos, “Jurisdiction, Admissibility
and Escalating Dispute Resolution Agreements: C v D” [2023] LMCLQ
18 at 19-20.
142. However, in 2020 the Singapore Court of Appeal in BBA v
BAZ 110 considered the writings of Professor Jan Paulsson (in particular
“Jurisdiction and Admissibility”, published in 2005111) when deciding (at
[80]-[84]) whether the finding of the arbitral tribunal on the issue that the
claim was time barred as a matter of limitation was beyond judicial
challenge under the Singapore adoption of Article 34(2)(a)(iii). The Court
decided (at [82]) that issues which arise on the expiry of statutory
limitation periods “go towards admissibility”, not “jurisdiction”. Thus,
the application of the distinction to interpret the Model Law considerably
post-dates the adoption of the Law itself.
143. The Singapore judgment was referred to in another Model
Law jurisdiction in the judgment of a single Judge of the New South
Wales Supreme Court in The Nuance Group (Australia) Pty Ltd v Shape
Australia Pty Ltd112. But this was for the unsurprising proposition that a
time bar does not go to the jurisdiction of the arbitrator, and without
adoption of the “admissibility/jurisdiction” distinction. Thus, it would not
appear that New South Wales is a jurisdiction in which the distinction has
gathered support.
110
[2020] 2 SLR 453 at [77].
111
In Global Reflections on International Law, Commerce and Dispute Resolution
(ICC Publishing, 2005).
112
(2021) 395 ALR 720 at [132].
- 59 -
144. In Republic of Sierra Leone v SL Mining Ltd113, a decision of
the English High Court, it was said to be “common ground” that there was
a distinction “between a challenge that a claim was not admissible before
arbitrators (admissibility) and a challenge that the arbitrators had no
jurisdiction to hear a claim (jurisdiction)”. Section 30(1) of the 1996 Act
defined the term “substantive jurisdiction” and provided in paragraph (c)
that unless otherwise agreed between the parties, the arbitral tribunal may
rule as to what matters have been submitted to arbitration in accordance
with the arbitration agreement. The question of prematurity of the referral
to arbitration was clearly not a matter of “substantive jurisdiction”
described above. As the judge observed at [16], “at the end of the day the
matter comes down at English law to an issue as to whether the question
of prematurity falls within section 30(1)(c) of the 1996 Act”.
145. Returning to the Singapore case, what is significant is that on
a fair reading of the terms of Article 34(2)(a)(iii) itself, as explained above
at [128]-[131] and [134], the operation of a statutory limitation bar as it
did in BBA does not present a decision on a matter beyond the ambit of
the arbitration submission. This conclusion is apparent without any need
first to classify the issue as going to “admissibility” rather than
“jurisdiction”. As noted above at [141]-[144], the adoption of the
distinction involves a disruption in the uniform application of the Model
Law.
146. Further, it would appear that the distinction between
“admissibility” and “jurisdiction” arose from a different setting to that in
which Article 34(2) of the Model Law appears. As noted above, the
distinction was developed in scholarly writings, in particular by Paulsson.
He explained that the distinction between “jurisdiction” and
“admissibility” had a pedigree in decisions of international courts and
113
[2021] Bus LR 704 at [8].
- 60 -
arbitral tribunals, such as the International Court of Justice (“ICJ”) and
tribunals constituted under the International Centre for Settlement of
Investment Disputes (“ICSID”). The adoption of the “admissibility”
criterion in cases where the applicable domestic arbitration law did not
contain an explicit distinction, as Paulsson put it, would be consistent with
“an international consensus that decisions of arbitrators having
jurisdiction are final”.
147. There are, however, at least two difficulties in applying the
“admissibility/jurisdiction” distinction to Article 34(2)(a)(iii) of the Model
Law in the context of the setting aside of arbitral awards in the domestic
context.
148. First, given the international origin of the distinction as noted
above at [146], one should be alert to the context in which the
“admissibility/jurisdiction” distinction arose. The question usually raised
was whether compliance with a procedural requirement, such as the
exhaustion of local remedies, as set out in the relevant international
treaties considered by the ICJ or in the ICSID dispute resolution clauses in
bilateral investment treaties, went to the parties’ consent to submit the
dispute to the relevant adjudicative organs for resolution. For example, in
the context of investment treaty arbitrations, the pre-arbitration procedural
requirements in a bilateral investment treaty constitute the terms of a
unilateral offer from the State to arbitrate. Compliance with such terms
by the investor is necessary for the arbitration agreement between the
State and the investor to come into being. Consent, in this context, is used
in a sense which is analogous to the existence of a valid arbitration
agreement for the purpose of Article 34(2)(a)(i) of the Model Law. It is
against this background that the distinction between “jurisdiction” and
“admissibility” was discussed in these cases. In contrast, in the present
case, where the existence or validity of an arbitration agreement is not in
- 61 -
question, there is no issue with the parties’ consent to arbitrate (in the
sense discussed above). Is it then correct to transplant the
“admissibility/jurisdiction” distinction, developed in the context of
ascertaining whether there is consent on the part of the parties to submit
the dispute for resolution to the relevant court or tribunal, to the context of
the setting aside of arbitral awards under Article 34(2)(a)(iii) of the Model
Law where the existence or validity of the arbitration agreement (and
hence, the parties’ consent to arbitrate) is not in dispute?
149. Secondly, in the absence of any express provision in the
relevant instrument on the reviewability of arbitral awards (i.e. when and
under what circumstances arbitral awards may be subject to curial
intervention), the “admissibility/jurisdiction” distinction may, in
Paulsson’s words, serve to police against “an unjustified extension of the
scope for challenging awards” so as not to “frustrate the parties’
expectation that their dispute be decided by the chosen neutral tribunal”.
But as Paulsson indicates, domestic law may expressly deal with the
finality of arbitral awards. Thus, in a domestic context such as the present
case, where the circumstances in which arbitral awards may be set aside
are clearly delineated by legislation, there is no need to import into the
Model Law the “admissibility/jurisdiction” distinction, a concept
developed by international courts and arbitral tribunals.
150. In Hong Kong the Ordinance is an instance of a domestic
arbitration law with detailed elaboration on the scope of curial
intervention in arbitrations. As has been seen, of central importance to
this appeal is section 81 of the Ordinance, which incorporates Article 34
of the Model Law. Article 34(1) provides that recourse to a court against
an arbitral award may “only” be made by an application for setting aside
under Article 34(2) and (3). Relevant to this appeal is Article 34(2)(a), set
- 62 -
out above at [127], which enumerates four situations under which an
arbitral award may be set aside, in particular that in paragraph (iii).
151. As the analysis of the Court of Appeal demonstrates in the
passage set out above at [133], the same result can be reached under the
Model Law without resorting to concepts such as “jurisdiction” and
“admissibility”. The inquiry is simply this: whether the dispute as to the
fulfilment of a pre-arbitration procedural requirement falls within the
ambit of the submission to arbitration. The question whether an arbitral
award is captured by Article 34(2)(a)(iii) can be answered by construing
the relevant clauses in the arbitration agreement (in this case, clauses 14.2
and 14.3 of the Agreement), without engaging in any juristic analysis as to
whether the dispute which the arbitral award dealt with should be
classified as going to “jurisdiction” or “admissibility”.
152. The question is not whether an issue is one of “admissibility”
and therefore not a subject of curial challenge to “jurisdiction” but
whether the applicant can bring itself within at least one of the grounds on
which Article 34 permits recourse to a court to set aside an arbitral award.
If none of those grounds applies then recourse to a court is not permitted,
not because of classification of the issue as one of “admissibility”, but
because Article 34 the Model Law (adopted by section 81 of the
Ordinance) mandates that result.
Designation by the parties of a dispute as “jurisdictional”
153. It has been suggested that the parties may, by unequivocal
language, designate a particular dispute as so-called “jurisdictional” by
providing that the court may review the tribunal’s decision on such
dispute. But there are two difficulties in this suggestion, commercial
reality aside.
- 63 -
154. First, applying the “admissibility/jurisdiction” distinction this
way is liable to produce an outcome contrary to what Article 34(2)(a)(iii)
mandates. As mentioned above at [122] and [124]-[125], the “general
principles” to be discerned from sections 3 and 9 do not displace sections
12 and 81 of the Ordinance. If the ambit of the submission to arbitration
is wide enough to encapsulate a dispute, notwithstanding the parties’
designation in the way suggested, a proper understanding of Article
34(2)(a)(iii), explained above at [128]-[131] and [134], does not allow an
arbitral award which includes a decision on such dispute to be set aside.
Nor does that Article afford any room for the court to review the
tribunal’s decision on the merits of such dispute. Insofar as it is suggested
that the merits of such dispute are liable to be reviewed by the court, the
application of the “admissibility/jurisdiction” distinction distorts the
proper scope of curial intervention under Article 34(2)(a)(iii).
155. Secondly, to accept the proposition that if the parties agree
that an issue is subject to court review, they have thereby made that issue
one of “jurisdiction”, misuses that term insofar as the decision on that
issue does not affect a tribunal’s authority to deal with the dispute by
arbitration.
156. It may well be that by an express provision the parties may
bring the decision on certain disputes within a ground in Article 34. They
may, for example, expressly state that the dispute bears on the existence or
the validity of the arbitration agreement or that the dispute falls outside
the ambit of submission to arbitration. But the availability of curial
intervention in such a situation is entirely dependent on the proper
construction of the parties’ agreement and the provisions of Article 34. It
does not depend on whether the parties use the label “jurisdiction” or
“admissibility”, still less whether they agree the tribunal’s decision on a
dispute is subject to court review. The distinction as was applied in other
- 64 -
jurisdictions might be thought to be helpful in describing the conclusion
of the constructional exercises described above, but it does not aid in
arriving at that conclusion.
Parenthesis
157. Something should be said here concerning the relationship
between Articles 16 and 34 (sections 34 and 81 respectively), the text of
which is set out at [123] and [126]-[127]. Does the phrase in Article 16(1)
that the tribunal “may rule on its own jurisdiction” broaden what
otherwise are the precise grounds of curial intervention in Article 34, as to
include what the parties have chosen in the agreement to identify as
“jurisdictional”? The better view is that the Articles operate in tandem so
that the scope of curial intervention under Article 34 is epexegetical of
Article 16(1). But it should be emphasised that the scope of curial
intervention arising from a tribunal ruling under Article 16(1) has not
been the subject of focussed submission by the parties to this appeal.
Conclusion
158. When questions arise as to the permissible scope of curial
intervention under the Ordinance, the court should, on the one hand,
properly construe the relevant arbitration agreement, bearing in mind the
exhortations of Lord Hoffmann in Fiona Trust quoted above at [117], and
on the other hand, properly construe the relevant statutory provision,
bearing in mind the principle in sections 3(2)(b) and 12 of the Ordinance
quoted above at [122] and [124].
159. In sum, when determining whether the court may set aside an
arbitral award under section 81 of the Ordinance, the
“admissibility/jurisdiction” distinction is an unnecessary distraction and
presents a task of supererogation: there is no need to find the answer
- 65 -
somewhere else when it is supplied by construing and applying the statute
to the facts of the case.
Order
160. The appeal should be dismissed with costs on an indemnity
basis.
Chief Justice Cheung:
161. Accordingly, the court unanimously dismisses the appeal and
makes a costs order nisi on an indemnity basis in favour of the respondent.
(Andrew Cheung) (R A V Ribeiro) (Joseph Fok)
Chief Justice Permanent Judge Permanent Judge
(M H Lam) (William Gummow)
Permanent Judge Non-Permanent Judge
Mr Benjamin Yu SC, Ms Bonnie Y K Cheng and Mr Brian Lee, instructed
by Baker & McKenzie, for the Plaintiff (Appellant)
Mr Simon Chapman, Solicitor Advocate, of Herbert Smith Freehills, for
the Defendant (Respondent)
FACV No. 1 of 2023
[2023] HKCFA 16
IN THE COURT OF FINAL APPEAL OF THE
HONG KONG SPECIAL ADMINISTRATIVE REGION
FINAL APPEAL NO. 1 OF 2023 (CIVIL)
(ON APPEAL FROM CACV NO. 387 OF 2021)
________________________
BETWEEN
C Plaintiff
(Appellant)
and
D Defendant
(Respondent)
________________________
Before: Chief Justice Cheung, Mr Justice Ribeiro PJ,
Mr Justice Fok PJ, Mr Justice Lam PJ and
Mr Justice Gummow NPJ
Date of Hearing: 27 April 2023
Date of Judgment: 30 June 2023
JUDGMENT
Chief Justice Cheung:
1. I have had the benefit of reading in draft the judgments of
Mr Justice Ribeiro PJ and Mr Justice Gummow NPJ and agree with their
conclusion in common that the appeal should be dismissed. As regards
-2-
whether the jurisdiction/admissibility distinction discussed in their
respective judgments is helpful to the construction and application of the
relevant provisions in the Arbitration Ordinance,1 I respectfully agree with
Mr Justice Ribeiro PJ that it is. Given the difference in views, I would
like to say a few words of my own.
2. Section 34(1) of the Ordinance (incorporating article 16 of
the Model Law2) provides for the arbitral tribunal’s competence to rule on
its own “jurisdiction”. 3 More importantly for our present purpose, it
provides for the court’s power to intervene by reviewing the tribunal’s
ruling as a preliminary question “that it has jurisdiction”. 4 (A ruling of the
tribunal that it does not have jurisdiction to decide a dispute is not subject
to appeal.5)
3. Thus, section 34 by itself requires one to construe the word
“jurisdiction” and decide what objections would go to “jurisdiction”, and
what would not.
4. If the tribunal does not make a ruling on its jurisdiction as a
preliminary question, but leaves it to be decided together with the
substantive dispute between the parties in its arbitral award 6 (which is
what happened in the present case), the matter will fall squarely within
section 81 of the Ordinance (incorporating article 34 of the Model Law)
when an application to set aside the arbitral award is made on the basis
that the tribunal lacks jurisdiction. Although the word “jurisdiction” is not
used as such in section 81, it is plain that construing the two sections (and
1
Cap 609.
2
UNCITRAL Model Law on International Commercial Arbitration.
3
Article 16(1).
4
Article 16(3).
5
Section 34(4).
6
This is expressly allowed by article 16(3).
-3-
the two articles in the Model Law) consistently, section 81 must cover an
award made by the tribunal without “jurisdiction” in the section 34 sense.7
In other words, there is a substantial overlap between sections 34 and 81
insofar as an objection based on the tribunal’s “jurisdiction” is concerned.
5. This being the case, although section 81 does not use the
word “jurisdiction”, the construction of that word under section 34
necessarily informs the construction and application of section 81 where,
relevantly, the question is whether an arbitral award is liable to be set
aside for want of jurisdiction.
6. What then does “jurisdiction” mean? This is where the
distinction between jurisdiction/admissibility becomes helpful. Subject to
one important qualification which I will presently turn to, the distinction is
helpful in distinguishing those objections which truly go to “jurisdiction”
within the meaning of section 34, from those that do not. In short, under
the distinction, objections to the tribunal, as opposed to the claim itself,
are, generally speaking, objections going to “jurisdiction” within the
meaning of section 34. As explained, this, in turn, informs the
construction and application of section 81 in terms of when the court may
review de novo the tribunal’s decision on a “jurisdictional” objection and
set aside an arbitral award under that section, and when it may not.
7. The qualification I mentioned above is this. In arbitration,
the “jurisdiction” of an arbitral tribunal is essentially agreement-based.
Leaving aside jurisdiction conferred by statute, it depends, and indeed
wholly depends, on the content and extent of the parties’ consent to
arbitration. Given the freedom of contract, it is up to the parties to agree
what matters should be left to be decided by the arbitral tribunal and what
7
Otherwise, the court’s power to intervene and review the tribunal’s ruling would be
contingent upon the happenstance of the tribunal making a preliminary ruling on its
jurisdiction or dealing with the objection in its award on the merits.
-4-
should not. By definition, given their autonomy, the parties are not bound
by any jurisdiction/admissibility distinction as such. In other words, in
the context of arbitration, the “jurisdiction” of a tribunal has no fixed
definition but is ultimately dependent on the parties’ agreement, reflecting
their consent to arbitration.
8. Thus, if they want to, the parties may, by clear language,
agree that certain matters which would otherwise be classified as ones
going to admissibility only under the distinction are matters going to
“jurisdiction” affecting fundamentally their consent to arbitrate, such that
the “jurisdiction” of the tribunal is circumscribed accordingly.
9. Whether they have so agreed is a matter of construction, not
of the Ordinance, but of their agreement to arbitrate. And in finding out
what their objective intention as expressed in the arbitration agreement is,
one would no doubt bear in mind what was said by Lord Hoffmann in
Fiona Trust & Holding Corp v Privalov,8 quoted by Mr Justice Ribeiro PJ
in [48] of his judgment.
10. However, if on a purposive and contextual construction of
their arbitration agreement, the parties have really agreed that a certain
matter that would otherwise be classified as going to admissibility only
under the distinction is a “jurisdictional” matter affecting the parties’
consent to go to arbitration, the result is that (1) the tribunal, as
empowered by article 16(1), will still have competence to decide the
matter; but (2) the tribunal’s decision is open to review by the court under
article 16(3) in the case of a preliminary ruling, or under section 81 of the
Ordinance when the court deals with an application to set aside the award
for want of jurisdiction. This is so because although the matter is one
which would be classified as going to admissibility under the distinction,
8
[2007] 4 All ER 951, [6] to [7].
-5-
it has been made a matter going to consent to arbitration by the parties’
agreement.
11. Thus, for instance, if the parties, for whatever reason, wish to
make every pre-arbitration step a pre-condition to their consent to
arbitration (and thus a “jurisdictional” condition), it is their prerogative,
and the Ordinance has no business in overriding their agreement, so long
as it is sufficiently clearly worded and unequivocally expressed.
12. What about the converse situation? This has not been the
focus of this appeal and no submission has been heard on it. One possible
argument is that where the parties, by clear language, have agreed that a
certain matter that would otherwise be regarded as a “jurisdictional” one
under the distinction (such that a decision on it would be reviewable by
the court) is a matter to be exclusively determined by the tribunal, then by
definition, it is not a matter going to the tribunal’s “jurisdiction” within
the meaning of section 34, and any preliminary ruling by the tribunal on it
is not open to review under that section.9 Likewise, the tribunal’s award is
not susceptible to be set aside for want of jurisdiction under section 81.
However, I am not sure whether this argument is applicable to
“jurisdictional” matters such as those concerning the very existence or
validity of the agreement to arbitrate. In any event, it may not be possible
to square this argument with the language of sections 34 and 81. As the
court has heard no submission on this point, I need not express any
definite view on it.
13. Barring these extreme cases at the opposite ends of the
spectrum, in the majority of cases in commercial arbitration (and the
present case is one of them), the jurisdiction/admissibility distinction is, in
9
Cf First Options of Chicago Inc v Kaplan (1995) 514 US 938, 943; Dallah Real
Estate and Tourism Holding Co v Ministry of Religious Affairs of the Government
of Pakistan [2011] 1 AC 763, [24], [90].
-6-
my view, helpful in construing the arbitration agreement between the
parties as well as in construing and applying sections 34 and 81 of the
Ordinance. For the reasons explained in the judgments of Mr Justice
Ribeiro PJ and Mr Justice Gummow NPJ, on a proper construction of the
parties’ agreement, the pre-arbitration step in the present case does not
affect the parties’ consent to arbitration, and section 81 therefore does not
apply.
Mr Justice Ribeiro PJ:
14. I have had the benefit of reading the judgment in draft of Mr
Justice Gummow NPJ and respectfully agree with his conclusion that the
appeal should be dismissed. However, with great respect, I differ from his
Lordship’s view that the jurisdiction/admissibility distinction discussed is
an unnecessary distraction and presents a task of supererogation.10 While
the Court is fundamentally concerned with the interpretation and
application of the Arbitration Ordinance (“AO”), 11 to my mind that
distinction is properly distilled from the relevant statutory provisions and
may serve as a helpful aid to construction when deciding whether, in a
particular case, judicial intervention in an arbitral process is permissible.
A. The issue
15. A contractual dispute arose between the appellant (a Hong
Kong company) and the respondent (a Thai company) regarding the
operation of a jointly-owned broadcasting satellite. The respondent
alleged that the appellant was in material default by preventing
transmission of some broadcasts. The contract, which was made subject
to Hong Kong law, stipulated certain pre-arbitration procedures which
10
See §159 below.
11
Cap 609.
-7-
included an attempt to resolve the dispute through good faith negotiations.
It provided that if the dispute could not be resolved amicably within 60
days of the request for negotiation the dispute should be referred by either
Party “for settlement exclusively and finally by arbitration in Hong Kong
at the Hong Kong International Arbitration Centre (‘HKIAC’) in
accordance with the UNCITRAL Arbitration Rules” then in force. 12
Invoking that clause, the respondent referred the dispute to arbitration at
the HKIAC before a tribunal of three arbitrators.
16. The appellant objected to the arbitration going ahead on the
ground that the pre-arbitration procedures had not been complied with, but
the tribunal found that those procedures had been duly observed and went
on to hold the appellant liable for breach of contract, reserving the
question of damages for the next phase.
17. The appellant brought proceedings in the Court of First
Instance to set aside the tribunal’s partial award, contending that the
arbitrators were wrong to decide that the pre-arbitration requirements had
been complied with. The issue which arises is whether the Court has
power to review and set aside that decision. The answer depends on the
AO which incorporates the provisions of the UNCITRAL Model Law
(“ML”)13 giving them the force of law in Hong Kong, subject to stated
modifications.14
12
Agreement clause 14.3.
13
The UNCITRAL Model Law on International Commercial Arbitration as adopted
by the United Nations Commission on International Trade Law on 21 June 1985
and as amended by the Commission on 7 July 2006.
14
AO s 4.
-8-
B. The statutory scheme
B.1 The court’s limited power of interference
18. Consideration of a court’s power to interfere with an arbitral
process begins with AO s 3 which provides as follows:-
(1) The object of this Ordinance is to facilitate the fair and speedy
resolution of disputes by arbitration without unnecessary expense.
(2) This Ordinance is based on the principles—
(a) that, subject to the observance of the safeguards that are
necessary in the public interest, the parties to a dispute should
be free to agree on how the dispute should be resolved; and
(b) that the court should interfere in the arbitration of a dispute only
as expressly provided for in this Ordinance.
19. The AO thus establishes that, apart from promoting fair,
speedy and economic dispute resolution, it has party autonomy as its
purpose, leaving parties free to agree on how their dispute should be
resolved. Where they have agreed to arbitration, AO s 3(2)(b) confines
the court’s power to interfere with their agreement and the arbitration
process to matters expressly provided for by the Ordinance.
B.2 The provisions expressly authorising judic ial interference
20. Consideration of the statutory scheme may begin with two
related provisions. The first is AO s 34 which relevantly provides as
follows:
(1) Article 16 of the UNCITRAL Model Law, the text of which is set out
below, has effect subject to section 13(5)15 —
“Article 16. Competence of arbitral tribunal to rule on its jurisdiction
(1) The arbitral tribunal may rule on its own jurisdiction, including
any objections with respect to the existence or validity of the
arbitration agreement. ...
15
Which designates the Court of First Instance as the relevant court.
-9-
(2) A plea that the arbitral tribunal does not have jurisdiction shall
be raised not later than the submission of the statement of
defence. ... A plea that the arbitral tribunal is exceeding the
scope of its authority shall be raised as soon as the matter
alleged to be beyond the scope of its authority is raised during
the arbitral proceedings. ...
(3) The arbitral tribunal may rule on a plea referred to in paragraph
(2) of this article either as a preliminary question or in an award
on the merits. If the arbitral tribunal rules as a preliminary
question that it has jurisdiction, any party may request, within
thirty days after having received notice of that ruling, the court
specified in article 6 to decide the matter, which decision shall
be subject to no appeal; ...”.
(2) The power of the arbitral tribunal to rule on its own jurisdiction under
subsection (1) includes the power to decide as to—
(a) whether the tribunal is properly constituted; or
(b) what matters have been submitted to arbitration in
accordance with the arbitration agreement.
(3) If a dispute is submitted to arbitration in accordance with an arbitration
agreement and a party—
(a) makes a counter-claim arising out of the same dispute;
or
(b) relies on a claim arising out of that dispute for the
purposes of a set-off,
the arbitral tribunal has jurisdiction to decide on the counter-claim or
the claim so relied on only to the extent that the subject matter of that
counter-claim or that claim falls within the scope of the same
arbitration agreement. ...
21. The following features of AO s 34, ML Art 16 may be noted.
(a) It makes it clear that a tribunal has power to rule “on its own
jurisdiction”, reflecting what has been referred to as the
Kompetenz-Kompetenz (compétence-compétence) principle.
It also establishes that where the tribunal rules that it does
have jurisdiction, an objecting party may request the court to
“decide the matter”,16 constituting an instance of permitted
16
AO s 34(1), ML Art 16(3).
- 10 -
judicial interference. A court undertaking that task decides
the matter de novo.17
(b) The court’s power to interfere in this context thus depends on
whether the ruling is as to the tribunal’s own jurisdiction.
What then qualifies as such a ruling? AO s 34(1), ML Art
16(1) open-endedly specifies rulings “including” those on
“any objections with respect to the existence or validity of
the arbitration agreement”. The paragraph which follows 18
indicates that a ruling on a plea that the tribunal “is exceeding
the scope of its authority” also qualifies. AO s 34(2) adds to
the list, stating that the tribunal’s power to rule on its own
jurisdiction under AO s 34(1) “includes the power to decide
as to ... whether the tribunal is properly constituted; or ...
what matters have been submitted to arbitration in
accordance with the arbitration agreement.” Use of
“includes” again indicates that instances within this class of
objection are non-exhaustively stated. The AO and the
Model Law acknowledge that certain questions which the
statute governs may not be “expressly settled in it” and
provide that such questions “are to be settled in conformity
with the general principles on which this Law is based”.19
(c) In relation to counterclaims and claims raised by way of set-
off, AO s 34(3) empowers the tribunal to decide those claims
“only to the extent that the subject matter of that counter-
claim or that claim falls within the scope of the same
arbitration agreement”. It follows that it has no jurisdiction
17
As explained by Mimmie Chan J in S Co v B Co [2014] 6 HKC 421.
18
AO s 34(1), ML Art 16(2).
19
AO s 9, ML Art 2A(2).
- 11 -
to decide matters falling outside the scope of the agreement
so that a ruling on the question of its scope would evidently
qualify as reviewable.
22. AO s 34, ML Art 16 should be read together with AO s 81,
ML Art 34. Under the former section, a party may challenge the
tribunal’s jurisdiction at the start of the arbitration and the arbitrators may
rule on that objection either as a preliminary question or as part of a later
award on the merits.20 If the tribunal takes the latter course and assumes
jurisdiction, the resultant award can only be challenged by a setting aside
application under AO s 81, ML Art 34, which is the main focus of this
appeal. The two provisions are therefore intended to operate in tandem.
23. AO s 81 materially provides:-
(1) Article 34 of the UNCITRAL Model Law, the text of which is set out
below, has effect subject to section 13(5) 21—
“Article 34. Application for setting aside as exclusive recourse
against arbitral award
(1) Recourse to a court against an arbitral award may be made only
by an application for setting aside in accordance with
paragraphs (2) and (3) of this article.
(2) An arbitral award may be set aside by the court specified in
article 6 only if:
(a) the party making the application furnishes proof that:
(i) a party to the arbitration agreement referred to in
article 7 was under some incapacity; or the said
agreement is not valid under the law to which the
parties have subjected it or, failing any indication
thereon, under the law of this State; 22 or
20
AO s 34(1), ML Art 16(3).
21
As noted above, this designates the Court of First Instance as the relevant court.
22
Ie, Hong Kong: AO s 8(3)(a).
- 12 -
(ii) the party making the application was not given
proper notice of the appointment of an arbitrator
or of the arbitral proceedings or was otherwise
unable to present his case; or
(iii) the award deals with a dispute not contemplated
by or not falling within the terms of the
submission to arbitration, or contains decisions
on matters beyond the scope of the submission to
arbitration, provided that, if the decisions on
matters submitted to arbitration can be separated
from those not so submitted, only that part of the
award which contains decisions on matters not
submitted to arbitration may be set aside; or
(iv) the composition of the arbitral tribunal or the
arbitral procedure was not in accordance with the
agreement of the parties, unless such agreement
was in conflict with a provision of this Law from
which the parties cannot derogate, or, failing
such agreement, was not in accordance with this
Law; or
(b) the court finds that:
(i) the subject-matter of the dispute is not capable of
settlement by arbitration under the law of this
State; or
(ii) the award is in conflict with the public policy of
this State.
(3) An application for setting aside may not be made after three
months have elapsed from the date on which the party making
that application had received the award ...
(4) The court, when asked to set aside an award, may, where
appropriate and so requested by a party, suspend the setting
aside proceedings for a period of time determined by it in order
to give the arbitral tribunal an opportunity to resume the arbitral
proceedings or to take such other action as in the arbitral
tribunal’s opinion will eliminate the grounds for setting aside.”.
- 13 -
24. The following features of AO s 81, ML Art 34 are
noteworthy.
(a) AO s 81(1), ML Art 34(1) addresses “recourse to a court
against an arbitral award” obviously providing for judicial
intervention in the cases specified.
(b) Although AO ss 34 and 81 are intended to operate in tandem,
AO s 81 makes no mention of rulings by the tribunal on its
own jurisdiction, although such issues are central to AO s 34.
Nevertheless, there is a substantial correspondence between
the classes of objection falling within the two respective
sections, although conveyed in language which does not
exactly overlap.
(c) Under AO s 81(1), ML Art 34(1), the court’s power to
interfere arises in two ways: First, under ML Art 34(2)(a), it
arises where a party makes an application and furnishes proof
regarding the matters set out in sub-paragraphs (i) to (iv); and
secondly, where the court finds (whether or not raised by a
party) that the subject-matter of the dispute is non-arbitrable;
or that the award is in conflict with the public policy of Hong
Kong.
(d) The court is therefore clearly empowered to disturb an award
on non-arbitrability or public policy grounds under AO s 81.
However, those grounds are not mentioned in AO s 34, ML
Art 16.23 The statutory intent is apparently that such grounds
should only be addressed if and when an award has been
made. Additionally, as discussed in Section C.3 below, such
23
It is understandable that the ground that the award is contrary to public policy is
not mentioned in AO s 34, ML Art 16 since, at that stage, there is no award.
- 14 -
grounds exceptionally involve judicial powers to enforce
public policy whatever may be the intentions of the parties.
(e) As noted above, variations exist in the language used to
define the various types of objection which justify judicial
intervention in each of the two sections. Thus under AO s 34,
ML Art 16 and AO s 81, ML Art 34 respectively, recourse to
the court may be had (i) where the tribunal’s decision sought
to be challenged concerns the “existence or validity of the
arbitration agreement,” under the former section24 and where
“a party to the arbitration agreement … was under some
incapacity[,] or the said agreement is not valid” under the
latter;25 (ii) where the question under the former is “whether
the tribunal is properly constituted”, 26 and, in the latter,
whether the “composition of the arbitral tribunal or the
arbitral procedure was not in accordance with the
agreement”;27 and, (iii) (put variously in AO s 34) whether
the tribunal “is exceeding the scope of its authority”, 28 with
the tribunal deciding “what matters have been submitted to
arbitration in accordance with the arbitration agreement”, 29
and (in relation to set-off claims and counterclaims) whether
“the subject matter of that counter-claim or that claim falls
within the scope of the same arbitration agreement”,30 while
under the latter provision, the question is whether “the award
24
AO s 34(1), ML Art 16(1).
25
AO s 81(1), ML Art 34(2)(a)(i).
26
AO s 34(2)(a).
27
AO s 81(1), ML Art 34(2)(a)(iv).
28
AO s 34(1), ML Art 16(2).
29
AO s 34(2)(b).
30
AO s 34(3).
- 15 -
deals with a dispute not contemplated by or not falling within
the terms of the submission to arbitration, or contains
decisions on matters beyond the scope of the submission to
arbitration”.31
25. Where an objection is of such a nature that doubt arises as to
whether judicial intervention is warranted, it would be helpful if a
unifying principle underlying the variously worded, incompletely
overlapping, non-exhaustively stated categories mentioned above, could
be discerned as a guide to construction.
26. This is the more so since the permitted judicial intervention is
not confined to cases falling within the two sections just discussed. The
court may also “interfere” with an arbitration by refusing enforcement of
an award under AO s 86 which relevantly states:
(1) Enforcement of an award referred to in section 85 32 may be refused if
the person against whom it is invoked proves—
(a) that a party to the arbitration agreement was under some
incapacity ...;
(b) that the arbitration agreement was not valid ...;
(c) that the person—
(i) was not given proper notice of the appointment of the
arbitrator or of the arbitral proceedings; or
(ii) was otherwise unable to present the person’s case;
(d) subject to subsection (3), that the award—
31
AO s 81(1), ML Art 34(2)(a)(iii).
32
AO s 85 refers to an award “whether made in or outside Hong Kong, which is not a
[New York] Convention award, Mainland award or Macao award”. AO s 86 is
mirrored by AO ss 89, 95 and 98D which set out the grounds for refusing to
enforce New York Convention awards, Mainland awards and Macao awards
respectively, save that the latter sections lack the provision enabling refusal “for
any other reason the court considers it just to do so”.
- 16 -
(i) deals with a difference not contemplated by or not
falling within the terms of the submission to arbitration;
or
(ii) contains decisions on matters beyond the scope of the
submission to arbitration;
(e) that the composition of the arbitral authority or the arbitral
procedure was not in accordance with—
(i) the agreement of the parties; or
(ii) (if there was no agreement) the law of the country where
the arbitration took place; or
(f) that the award—
(i) has not yet become binding on the parties; or
(ii) has been set aside or suspended by a competent authority
of the country in which, or under the law of which, it
was made.
(2) Enforcement of an award … may also be refused if—
(a) the award is in respect of a matter which is not capable of
settlement by arbitration under the law of Hong Kong;
(b) it would be contrary to public policy to enforce the award; or
(c) for any other reason the court considers it just to do so. ...
27. These grounds for refusing enforcement of an award closely
overlap with the grounds for judicial challenges to a tribunal’s award
under AO s 81, ML Art 34. However, in AO s 86 the court is given a
broad discretionary power to interfere where “for any other reason the
court considers it just to do so”. Such a power does not feature in either
of the other sections discussed.
28. Another instance of judicial intervention is sanctioned by AO
s 20, ML Art 8 which requires the court to stay court actions on the
ground that they are brought in breach of an arbitration agreement “unless
it finds that the agreement is null and void, inoperative or incapable of
being performed”. Such a finding provides a further basis for judicial
- 17 -
interference in the guise of permitting a party to proceed with court action
despite the other party objecting on the basis of an arbitration agreement.
C. The jurisdiction/admissibility distinction
29. The jurisdiction/admissibility distinction seeks to encapsulate
a principle distilled from the disparate provisions mentioned above. It
involves distinguishing between a party’s challenge to a tribunal’s
“jurisdiction” and a challenge to the “admissibility” of a particular claim.
The principle is that the court may review a tribunal’s ruling on the former,
but not on the latter, category of challenge.
30. In holding that the Court lacks power to set aside the
tribunal’s award in the present case, the Judge33 and the Court of Appeal 34
applied that distinction as an aid to construing AO s 81(1), ML
34(2)(a)(iii), holding that the objections raised by the appellant related to
“admissibility” and not “jurisdiction” (as further discussed below). It is
an approach widely adopted by academic writers35 and in the recent case-
law of courts in other jurisdictions which are, like Hong Kong, leading
centres for arbitration.36
31. A word might be said about the terms “jurisdiction” and
“admissibility”. It is natural that “jurisdiction” should be used in the first
half of the distinction given the prominence afforded by ML Art 16 to the
tribunal’s rulings on its own jurisdiction as a ground for judicial
intervention. If it is contended that a tribunal has wrongly ruled that it has
33
G Lam J [2021] 3 HKLRD 1.
34
Cheung, Yuen and Chow JJA, Chow JA writing for the Court [2022] 3 HKLRD
116.
35
Referred to by the Judge, [2021] 3 HKLRD 1 at §§30-36; and listed by the Court
of Appeal [2022] 3 HKLRD 116 at §42.
36
Cited by the Judge, supra at §§37-45; and by the Court of Appeal, supra at §§29-
37.
- 18 -
jurisdiction when in law it has no authority to deal with the arbitration, the
policy of the law is clearly that the supervisory or enforcing court should
have power to decide whether jurisdiction was correctly assumed. As
Lord Saville of Newdigate JSC commented, an arbitral tribunal may rule
on its own jurisdiction but cannot be the final arbiter of jurisdiction, “for
this would provide a classic case of pulling oneself up by one’s own
bootstraps”.37
32. It is less obvious why “admissibility” has been adopted as the
label for the other half of the distinction. It has nothing to do with
evidential admissibility but refers to what might be termed “procedural
admissibility”. The term is used to characterise objections which allege
that a claim is defective and cannot be proceeded with, to be contrasted
with challenges to the authority of the tribunal to conduct the arbitration.
In guidance given to its members, the Chartered Institute of Arbitrators
explained:
“When considering challenges, arbitrators should take care to distinguish
between challenges to the arbitrators’ jurisdiction and challenges to the
admissibility of claims. For example, a challenge on the basis that a claim, or
part of a claim, is time-barred or prohibited until some precondition has been
fulfilled, is a challenge to the admissibility of that claim at that time, i.e.
whether the arbitrators can hear the claim because it may be defective and/or
procedurally inadmissible. It is not a challenge to the arbitrators’ jurisdiction to
decide the claim itself.”38
C.1 Objection to tribunal versus claim
33. The distinction has thus been expressed, perhaps more
descriptively, as a distinction between a challenge to the tribunal and a
challenge to the claim. As Alex Mills puts it:
37
Dallah Real Estate and Tourism Holding Co v Ministry of Religious Affairs of the
Government of Pakistan [2011] 1 AC 763 at §159.
38
International Arbitration Practice Guideline on Jurisdictional Challenges,
Preamble §6 (footnote omitted).
- 19 -
“... the question of jurisdiction concerns the power of the tribunal. The
question of admissibility is related to the claim, rather than the tribunal, and
asks whether this is a claim which can be properly brought.” 39
And Jan Paulsson40 states:
“Our lodestar takes the form of a question: is the objecting party taking aim at
the tribunal or at the claim?”
34. This approach was adopted in Singapore, a Model Law
jurisdiction, where the Singapore Court of Appeal in BBA v BAZ,41 stated:
“In our judgment, the ‘tribunal versus claim’ test underpinned by a consent-
based analysis should apply for purposes of distinguishing whether an issue
goes towards jurisdiction or admissibility.
The ‘tribunal versus claim’ test asks whether the objection is targeted at the
tribunal (in the sense that the claim should not be arbitrated due to a defect in
or omission to consent to arbitration), or at the claim (in that the claim itself is
defective and should not be raised at all).” (italics in original)
35. That Court held that an objection to the claim on the basis
that it was time-barred was targeted at the claim (and thus based on
admissibility) and was not reviewable by the court. BTN v BTP,42 was
decided on the same lines, the Singapore Court of Appeal holding that an
objection on the basis of res judicata was aimed at the claim and so went
to admissibility.
36. This approach was also adopted in the English High Court in
Republic of Sierra Leone v SL Mining Ltd,43 following BBA v BAZ and
citing Paulsson, among others. As Sir Michael Burton put it:
39
Arbitral Jurisdiction, in Thomas Schultz and Federico Ortino (eds), Oxford
Handbook on International Arbitration (OUP 2018), at p 6.
40
Jurisdiction and Admissibility in Global Reflections on International Law,
Commerce and Dispute Resolution (ICC Publishing, 2005), at p 616.
41
[2020] SGCA 53 at §§76-77.
42
[2020] SGCA 105.
43
[2021] Bus LR 704, applying sections 30(1), 67 and 82(1) of the Arbitration Act
1996 which are materially equivalent to the provisions discussed earlier in this
judgment. His Lordship referred to earlier decisions in this line of authority
comprising Obrascon Huarte Lain SA (trading as OHL International) v Qatar
Foundation for Education, Science and Community Development [2020] EWHC
- 20 -
“... if the issue relates to whether a claim could not be brought to arbitration,
the issue is ordinarily one of jurisdiction and subject to further recourse under
section 67 of the 1996 Act, whereas if it relates to whether a claim should not
be heard by the arbitrators at all, or at least not yet, the issue is ordinarily one
of admissibility, the tribunal decision is final and section 30(1)(c) does not
apply.”44
37. This was followed in NWA v NVF,45 where, after considering
authorities and academic writings including those that had been referred to
in earlier decisions, Calver J discounted reliance on certain cases where
the relevant point was not argued,46 declined to follow a decision of the
Singapore High Court 47 pre-dating BBA v BAZ, and pointed out that Smith
v Martin48 “was obviously decided long before” the applicable statutory
provisions came into force.49
38. Similarly in New South Wales, in The Nuance Group
(Australia) Pty Ltd v Shape Australia Pty Ltd,50 the approach in BBA v
BAZ was adopted.
C.2 The basis of the jurisdiction/admissibility or tribunal/claim
distinction
39. As the Judge pointed out below, the distinction “is a concept
rooted in the nature of arbitration itself”.51 And as the Singapore Court of
1643 (Comm); PAO Tatneft v Ukraine [2018] 1 WLR 5947; and Republic of Korea
v Dayyani [2020] Bus LR 884.
44
Ibid at §18.
45
[2021] Bus LR 1788.
46
Tang v Grant Thornton International Ltd [2013] 1 All ER (Comm) 1226 and
Emirates Trading Agency LLC v Prime Mineral Exports Pte Ltd [2015] 1 WLR
1145, a view adopted by the Judge at §46.
47
International Research Corp PLC v Lufthansa Systems Asia Pacific Pte Ltd [2012]
SGHC 226.
48
[1925] 1 KB 745, noted by the Court of Appeal at §56.
49
[2021] Bus LR 1788 at §§59, 65-66.
50
[2021] NSWSC 1498 (Equity – Commercial List, NSW) per Rees J.
51
Judgment §43, endorsed by the Court of Appeal at §45.
- 21 -
Appeal put it, the “tribunal versus claim test” is “underpinned by a
consent-based analysis”.52
40. Those statements are grounded on the premise that
arbitrations are consensual. The tribunal’s authority or jurisdiction to
conduct the arbitration rests entirely on the parties’ consent expressed in
the arbitration agreement. Thus, an appropriate challenge to the tribunal’s
jurisdiction involves grounds which impugn the existence, validity or
viability of that agreement or otherwise deny the challenger’s consent to
the arbitration. Such a challenge targets the tribunal’s authority rather
than the claim and is subject to judicial intervention.
41. Thus, as Jan Paulsson observes, “the nub of the classification
problem [between jurisdiction and admissibility] is whether the success of
the objection necessarily negates consent to the forum”.53
42. In BBA v BAZ, it was put as follows:
“Consent serves as the touchstone for whether an objection is jurisdictional
because arbitration is a consensual dispute resolution process: jurisdiction must
be founded on party consent. For this reason, arguments as to the existence,
scope and validity of the arbitration agreement are invariably regarded as
jurisdictional, as are questions of the claimant’s standing to bring a claim or the
possibility of binding non-signatory respondents ...”54
43. And in New South Wales, Rees J noted that a jurisdictional
challenge involves the submission:
“... that a claim should not be arbitrated due to a defect in, or omission to,
consent to arbitration and success of the challenge necessarily negates consent
to the forum ...”55
52
[2020] SGCA 53 at §76.
53
Jurisdiction and Admissibility in Global Reflections on International Law,
Commerce and Dispute Resolution (ICC Publishing, 2005), at p 616.
54
[2020] SGCA 53 at §78.
55
The Nuance Group (Australia) Pty Ltd v Shape Australia Pty Ltd [2021] NSWSC
1498 at §132.
- 22 -
44. The other side of the distinction, ie, challenges which target
the claim or which go to “admissibility”, can be described conversely as
concerning non-jurisdictional objections, ie, those which do not negate
consent to the tribunal’s authority but allege that the claim is defective and
should not be entertained. As this was put in BBA v BAZ:
“Conversely, admissibility relates to the ‘nature of the claim, or to particular
circumstances connected with it’ ... It asks whether a tribunal may decline to
render a decision on the merits for reasons other than a lack of jurisdiction, and
is determined by the tribunal on the basis of their discretion guided by,
amongst others, principles of due administration of justice and any applicable
external rules ...”56
C.3 The distinction and pre-arbitration conditions
45. The appellant complains that the tribunal wrongly assumed
jurisdiction and made an award favouring the respondent when a
condition requiring negotiations to take place before commencing the
arbitration had not been complied with. It asks the Court to intervene and
to decide de novo whether the tribunal was right to rule that such
condition had been satisfied, contending that non-compliance with that
condition deprived the tribunal of jurisdiction. The appeal is thus
concerned with the reviewability of a pre-arbitration condition.
46. Such clauses are commonly found in arbitration agreements,
stipulating that conditions such as negotiations, mediation, conciliation or
the passage of a stated period of time have to be satisfied before
commencing the arbitration. They are sometimes referred to as multi-
tiered or cascading dispute resolution clauses.
47. When considering an objection relating to a pre-arbitration
condition, it is necessary first to construe the arbitration agreement. It is
open to the parties expressly to agree that compliance with such a
56
[2020] SGCA 53 at §79 (reference omitted).
- 23 -
condition is amenable to review by the court. If the agreement so
provides, the issue of reviewability is obviously resolved. 57 However, the
court will require unequivocally clear language to arrive at that conclusion.
That is because it would be contrary to all normal expectations to find that
such was the parties’ intention. They have opted to submit their disputes
to an arbitral tribunal rather than a court for resolution. It would be
surprising to discover that they intend to have a court involved and to
undergo two rounds of decision-making to determine whether a pre-
arbitration condition has been met.
48. As Lord Hoffmann observed in Fiona Trust & Holding Corp
v Privalov58 in an analogous context:
“In approaching the question of construction, it is therefore necessary to
inquire into the purpose of the arbitration clause. As to this, I think there can be
no doubt. The parties have entered into a relationship, an agreement or what is
alleged to be an agreement or what appears on its face to be an agreement,
which may give rise to disputes. They want those disputes decided by a
tribunal which they have chosen, commonly on the grounds of such matters as
its neutrality, expertise and privacy, the availability of legal services at the seat
of the arbitration and the unobtrusive efficiency of its supervisory law.
Particularly in the case of international contracts, they want a quick and
efficient adjudication and do not want to take the risks of delay and, in too
many cases, partiality, in proceedings before a national jurisdiction.
If one accepts that this is the purpose of an arbitration clause, its construction
must be influenced by whether the parties, as rational businessmen, were likely
to have intended that only some of the questions arising out of their
relationship were to be submitted to arbitration and others were to be decided
by national courts. Could they have intended that the question of whether the
contract was repudiated should be decided by arbitration but the question of
whether it was induced by misrepresentation should be decided by a court? If,
as appears to be generally accepted, there is no rational basis upon which
businessmen would be likely to wish to have questions of the validity or
enforceability of the contract decided by one tribunal and questions about its
performance decided by another, one would need to find very clear language
before deciding that they must have had such an intention.”
57
In many cases, the issue may also be whether the pre-arbitration condition is
sufficiently certain to be contractually enforceable. That issue does not arise in the
present case.
58
[2007] 4 All ER 951 at §§6-7.
- 24 -
49. Thus, as Gary B Born points out,59 pre-arbitration conditions
should be regarded as presumptively non-jurisdictional:
“In interpreting the parties’ arbitration agreement, the better approach is to
presume, absent contrary evidence, that pre-arbitration procedural requirements
are not ‘jurisdictional’. ...
The rationale for this presumption is that requirements for cooling off,
negotiation or mediation inherently involve aspects of the arbitral procedure,
often requiring interpretation and application of institutional arbitration rules or
procedural provisions of the arbitration agreement. Equally important, the
remedies for breach of these requirements necessarily involve procedural
issues concerning the timing and conduct of the arbitration. In both cases, these
issues are best suited for resolution by arbitral tribunal, subject to minimal
judicial review, like other procedural decisions.
Similarly, parties can be assumed to desire a single, centralized forum (a ‘one-
stop shop’) for resolution of their disputes, particularly those disputes
regarding the procedural aspects of their dispute resolution mechanism.
Fragmenting resolution of procedural issues between national courts and the
arbitral tribunal produces the risk of multiple proceedings, delays and expense,
inconsistent decisions, judicial interference in the arbitral process and the like.
The more objective, efficient and fair result, which the parties should be
regarded as having presumptively intended, is for a single, neutral arbitral
tribunal to resolve all questions regarding the procedural requirements and
conduct of the parties’ dispute resolution mechanism.” (footnotes omitted)
50. Such a presumption is consistent with the consensual basis of
the tribunal’s jurisdiction: in the absence of unequivocal language to the
contrary, an objection to how the tribunal has resolved an issue
concerning a pre-arbitration condition does not challenge the tribunal’s
authority to arbitrate conferred by the parties’ consent. As Calver J
pointed out in NWA v NVF:60
“To give an arbitration clause such as this a commercial construction so that
pre-arbitration procedural requirements are not jurisdictional is appropriate
because, in most cases, if a dispute is not settled in the pre-arbitration
procedure, it remains the same dispute, so non-compliance with the pre-
59
International Commercial Arbitration, Vol 1: International
Arbitration Agreements (Wolters Kluwer, 3rd ed, 2020) at p 1000. See also Robert
Merkin QC and Louis Flannery QC on the Arbitration Act 1996 (6 th ed) (Informa
Group Ltd) at §30.3.
60
[2021] Bus LR 1788 at §54.
- 25 -
arbitration procedure does not affect whether it is a dispute of the kind which
the parties agreed to submit to arbitration.”
C.4 The distinction and the AO
51. In my view, the distinction does provide a helpful aid to
construction when deciding whether a particular objection warrants
judicial interference. It accurately distils a unifying principle applicable
to the various instances justifying judicial intervention expressly provided
for in accordance with AO s 3(2)(b). Subject to the public policy
exception referred to below, the objections which warrant recourse to the
court uniformly postulate situations where consent to the tribunal’s
authority is negated.
52. Those instances may be grouped as follows:
(a) Objections affecting the validity of the arbitration agreement:
Alleging that the agreement is non-existent, 61 invalid, 62
vitiated by the incapacity of a party to the agreement, 63 or
null and void, inoperative or incapable of being performed.64
(b) Objections that the reference or content of the award go
beyond what was agreed to be referred to arbitration:
Allegations that a tribunal is exceeding the scope of its
authority, 65 that, on its true construction, the matters
submitted to arbitration are not in accordance with the
arbitration agreement,66 that a counterclaim or claim by way
61
AO s 34(1), ML Art 16(1).
62
AO s 34(1), ML Art 16(1); AO s 81(1), ML Art 34(2)(a)(i); AO s 86(1)(b).
63
AO s 81(1), ML Art 34(2)(a)(i); AO s 86(1)(a).
64
AO s 20(1), ML Art 8(1).
65
AO s 34(1), ML Art 16(2).
66
AO s 34(2)(b).
- 26 -
of set-off falls outside the scope of the same arbitration
agreement, 67 or that the award deals with a dispute not
contemplated by or not falling within the terms of the
submission to arbitration, or contains decisions on matters
beyond the scope of the submission to arbitration.68
(c) Objections that the tribunal’s composition is not what was
agreed: That the tribunal is not properly constituted,69 or that
the composition of the tribunal is not in accordance with the
agreement.70
(d) Objections to being excluded from the agreed arbitral process:
That the party was not given proper notice of the
appointment of the arbitrator or the proceedings or was
otherwise unable to present his case.71
53. In each of the abovementioned cases, the objection is that the
relevant party has not agreed to the tribunal exercising authority to
conduct the arbitration in the circumstances specified. The objection is to
the tribunal and not just to the claim. It goes to jurisdiction and not
admissibility.
54. The public policy grounds constitute an exception to the
principle so stated. As noted above, interference by the court under AO s
81(1), ML 34(2)(b) 72 does not depend on an applicant party furnishing
proof as in the cases covered by AO s 81(1), ML Art 34(2)(a). The court
67
AO s 34(3).
68
AO s 81(1), ML Art 34(2)(a)(iii); AO s 86(1)(d).
69
AO s 34(2)(a).
70
AO s 81(1), ML 34(2)(a)(iv); AO s 86(1)(e).
71
AO s 81(1), ML 34(2)(a)(ii); AO s 86(1)(c).
72
Mirrored in AO s 86(2)(a) and (b).
- 27 -
may set an award aside if it finds that the subject-matter of the dispute is
non-arbitrable or that the award is contrary to public policy. The party
seeking recourse to the court may of course advance those grounds in
arguing for the award to be set aside, but the court is entitled to act upon
those grounds of its own motion, whether or not raised by a party. To that
extent, judicial interference with the arbitration would not be premised on
an objection involving non-consent to the tribunal’s authority, but on
overriding public policy considerations. The same is a fortiori the case
where a court refuses to enforce an award “for any other reason [it]
considers just to do so” under AO s 86(2)(c). However, the existence of a
clearly demarcated public policy exception does not lessen the utility of
the tribunal/claim distinction as an aid to construction.
D. The principles applied in the present case
D.1 The arbitration agreement
55. There is nothing in the operative clauses of the parties’
contract that suggests an intention to confer jurisdictional status on the
pre-arbitration conditions in question. On the contrary, those clauses lend
themselves to a construction that the relevant conditions are merely
procedural and intended to be exclusively decided by the tribunal.
56. Thus, clause 8.2, dealing with the triggering “material
default” provides:
“Material Default by either Party. In the event that either Party believes that
the other Party is in material default of its obligations under this Agreement,
such Party shall give a written notice to the defaulting Party in writing
requiring remedy of the default (the ‘Material Default Notice’). If defaulting
Party fails to remedy the default within thirty (30) Business Days of receipt of
the Default Notice, the Parties shall resolve the dispute by referring to the
procedure set forth at Section 14.2.”
- 28 -
57. “Section 14.2” lays down the pre-arbitration conditions. It is
noteworthy that clause 8.2 refers to that clause as setting forth “the
procedure” to be adopted, indicating that those conditions are concerned
with the how the dispute is to be dealt with procedurally, and not about
the tribunal’s authority.
58. Clauses 14.2 and 14.3 materially provide as follows:
“14.2 Dispute Resolution. The Parties agree that if any controversy, dispute
or claim arises between the Parties out of or in relation to this
Agreement, or the breach, interpretation or validity thereof, the Parties
shall attempt in good faith promptly to resolve such [dispute] by
negotiation. Either Party may, by written notice to the other, have such
dispute referred to the Chief Executive Officers of the Parties for
resolution. The Chief Executive Officers (or their authorized
representatives) shall meet at a mutually acceptable time and place
within ten (10) Business Days of the date of such request in writing,
and thereafter as often as they reasonably deem necessary, to attempt to
resolve the dispute through negotiation.
14.3 Arbitration. If any dispute cannot be resolved amicably within sixty
(60) Business days of the date of a Party’s request in writing for such
negotiation, or such other time period as may be agreed, then such
dispute shall be referred by either Party for settlement exclusively and
finally by arbitration in Hong Kong at the Hong Kong International
Arbitration Centre … in accordance with the UNCITRAL Arbitration
Rules in force at the time of commencement of the arbitration …
(e) Any award made by the arbitration tribunal shall be final and
binding on each of the Parties that were parties to the dispute.
To the extent permissible under the relevant laws, the Parties
agree to waive any right of appeal against the arbitration
award.”
59. The parties could not agree on the meaning of clause 14.2
and whether, on its true interpretation, its stipulations had been met. The
tribunal construed the clause and decided that its requirements had been
fulfilled and proceeded with the arbitration which led to an award in
favour of the respondent. Clause 14.3 provides that “any dispute” that is
not amicably settled “shall be referred by either Party for settlement
exclusively and finally by arbitration”. There is no suggestion that a
- 29 -
dispute as to whether a pre-arbitration condition has been met should not
be exclusively and finally settled by arbitration.
D.2 The appellant’s case based on condition precedent
60. Mr Benjamin Yu SC, appearing for the appellant sought to
argue that the pre-arbitration condition operates as a condition precedent
under the law of contract and that, unless complied with, relieves the
parties from any obligation to proceed with the arbitration. Thus, he
contended, the respondent’s failure to comply with the pre-arbitration
condition negated his client’s consent to the arbitration and deprived the
tribunal of jurisdiction. The tribunal’s decision was, he argued,
susceptible to review de novo by the court and the Courts below wrongly
refused to review and set aside the partial award. In this context, he
submitted that the jurisdiction/admissibility distinction should be ignored.
61. Mr Yu’s condition precedent argument is untenable. It is not
in dispute that the pre-arbitration condition in clause 14.2 is a condition
precedent to the tribunal dealing with the claim. The question is who
finally decides – the tribunal or the Court – whether it has been met. The
appellant made its argument before the tribunal. If the arbitrators had
agreed, they would not have proceeded with the arbitration (perhaps
suspending the arbitration pending compliance with the condition
precedent). However, the tribunal concluded that, as a matter of
construction, the condition had been satisfied and went on to find liability
for breach of the contract. The question is whether the Court should have
reviewed that decision.
62. Simply describing clause 14.2 as laying down a condition
precedent does not mean that the statutory constraints on judicial
interference laid down in the AO can be ignored. Mr Yu went so far as to
- 30 -
submit that, on his condition precedent argument, there was no material
difference between the condition precedent which prevented enforcement
of an award under the New York Convention in Dallah Real Estate and
Tourism Holding Co v Ministry of Religious Affairs of the Government of
Pakistan, 73 and the alleged non-compliance with the pre-arbitration
condition in the present case. That submission is wholly unsustainable.
In Dallah, enforcement was refused because, applying French law as the
law of the country where the contract was made, the respondent Pakistani
Government was not a party to the relevant agreement. It was thus a clear
case of the tribunal lacking authority because of the non-existence of the
agreement upon which its putative authority was based. No parallel exists
in the present case.
63. In support of his condition precedent argument, Mr Yu relied
on early authorities which pre-date the statutory constraints on the courts’
power to intervene, including: May v Mills;74 Produce Brokers Co Ltd v
Olympia Oil and Cake Co Ltd;75 Smith v Martin.76 Such cases are of no
assistance, as Calver J noted in NWA v NVF.77
D.3 The appellant’s argument based on AO s 81(1), ML
34(2)(a)(iii)
64. As a fall-back position Mr Yu sought to argue that, applying
that distinction, an objection concerning non-compliance with the pre-
arbitration condition went to the tribunal’s jurisdiction and so justifies
judicial interference. He submitted that the power of the Court to interfere
rests on AO s 81(1), ML 34(2)(a)(iii) which relevantly provides:
73
[2011] 1 AC 763.
74
(1914) 30 TLR 287.
75
[1916] 1 AC 314.
76
[1925] 1 KB 745.
77
[2021] Bus LR 1788 at §§59, 65-66.
- 31 -
An arbitral award may be set aside by the court specified in article 6 only if ...
the award deals with a dispute not contemplated by or not falling within the
terms of the submission to arbitration, or contains decisions on matters beyond
the scope of the submission to arbitration.
65. As discussed in Section C.4 above, an objection based on the
aforesaid provision is properly grouped with objections that the arbitral
reference or content of the award go beyond what was agreed to be
referred to arbitration, negating consent to the tribunal’s authority. Does
the present case involve such a challenge?
66. In my view, the answer is “No”. Here, the objection was that
the claim had been prematurely referred to arbitration, ie, before the
prescribed attempts at amicable settlement. It was not an objection
denying consent to the tribunal’s authority. Clauses 8.2, 14.2 and 14.3
have been examined. On their true construction, both the dispute as to
whether the pre-arbitration condition had been complied with and the
contractual dispute as to whether the appellant was in material default
were intended to be dealt with exclusively and finally by the tribunal. In
other words, the present disputes came within the parties’ contemplation
and intended submission to arbitration so that AO s 81(1), ML 34(2)(a)(iii)
does not provide a basis for judicial intervention.
D.4 A concern regarding the distinction
67. A concern has been expressed that adoption of the distinction
may lead to a position inconsistent with the provisions of the AO,
distorting the proper scope for curial intervention under ML
34(2)(a)(iii).78 This stems from the observation referred to above 79 that
the parties may expressly agree to elevate what is presumptively a non-
jurisdictional pre-arbitration condition into a jurisdictional matter enabling
78
§§153-156 below.
79
In §§47-50 above.
- 32 -
judicial intervention, thus expanding the scope of the court’s power to
intervene beyond what is provided for in the AO. The “elevation”
observation is seen to flow from the consent-based distinction and to be
indicative of the undesirability of its adoption.
68. As I understand it, the argument is that a purported
agreement by the parties to confer a jurisdictional and thus reviewable
quality on a given aspect of the arbitration agreement (such as a pre-
arbitration condition), could not succeed since a dispute regarding such a
condition would not come within AO s 81(1), ML 34(2)(a)(iii) which
permits curial interference “only if” the tribunal is alleged to exceed its
agreed authority. It does not cater for judicial intervention on the basis of
the parties’ agreement to expand the scope of such intervention.
69. While I agree that the postulated ability of the parties to
elevate a non-jurisdictional matter to one permitting curial intervention
does not rest on AO s 81(1), ML 34(2)(a)(iii), I respectfully do not accept
that the parties are disabled from achieving such a result by express
agreement. If, contrary to all normal commercial expectations, they
should consensually choose to expand the scope of curial review of the
tribunal’s decisions on such matters as pre-arbitration conditions, there is
no reason why they should not be free to do so.
70. It is true that AO s 81(1), ML Art 34(2)(a) provides that a
court may set aside an arbitral award “only if” specified cases are
applicable. Similarly, AO s 12, ML Art 5 provides that “In matters
governed by this Law, no court shall intervene except where so provided
in this Law”. However, construed in context and purposively, those
provisions are not intended to preclude the parties from otherwise
autonomously deciding how their disputes should be resolved.
- 33 -
71. Such autonomy is declared by AO s 3(2)(a) to be a basic
principle: “This Ordinance is based on the principles ... that, subject to the
observance of the safeguards that are necessary in the public interest, the
parties to a dispute should be free to agree on how the dispute should be
resolved ...” That includes agreeing to expand the scope of curial review
of the tribunal’s decisions.
72. When AO s 3(2)(b) goes on to provide that the court “should
interfere with the arbitration of a dispute only as expressly provided for” it
is significant that the verb used is “interfere”. This bears the connotation
of the court uninvitedly intruding upon or overriding the agreement of the
parties, with “intervene” bearing the same connotation. The Ordinance
does not authorise such interference except in specified instances where
intervention is deemed justifiable or necessary, 80 with the courts otherwise
giving effect to the parties’ arbitration agreement freely reached, subject
to public policy safeguards.
73. The need for any construction of the AO and ML to be
informed by such basic principles is reiterated by AO s 9, ML Art 2A(2)
which provides: “Questions concerning matters governed by this Law
which are not expressly settled in it are to be settled in conformity with
the general principles on which this Law is based”.
74. And as previously pointed out, 81 the circumstances where
curial intervention is envisaged “include” the specified instances, leaving
room for other grounds upon which review by the court may be based,
including grounds specified by the parties’ express agreement.
75. For the foregoing reasons I respectfully do not share the
abovementioned concern.
80
Grouped under four categories in Section C.4 above.
81
§21(b) above.
- 34 -
D.5 The international decisions relied on by the appellant
76. Mr Yu also cited certain decisions of the International Court
of Justice (“ICJ”) and of tribunals of the International Centre for
Settlement of Investment Disputes (“ICSID”) involving sovereign states.
Those decisions are of no assistance in the present case.
77. We are concerned with parties who are commercial entities
who have entered into a business relationship and chosen to refer any
dispute arising out of that relationship for settlement exclusively and
finally by an arbitral tribunal which they have chosen for reasons such as
its neutrality, expertise, privacy and efficiency, where the legal framework
at the seat of the arbitration is known to be effective and to adopt a policy
favouring party autonomy and unobtrusive judicial supervision. As noted
above, given the parties’ evident commercial intentions, pre-arbitration
conditions are presumptively non-jurisdictional.
78. The context of the international decisions cited is entirely
different. Sovereign states are entitled to claim sovereign immunity and,
where they agree to waive such immunity by submitting to the jurisdiction
of an international court or tribunal only upon specified conditions, those
conditions are presumptively jurisdictional. Unless such conditions are
met, the state does not consent to the tribunal’s authority. Often, unless
such conditions are satisfied, no agreement comes into existence.
79. Thus, Mr Yu cited the ICJ Case Concerning Armed Activities
on the Territory of the Congo, Democratic Republic of the Congo
(“DRC”) v Rwanda. 82 There, the DRC sought to rely on the
compromissory clauses (ie, clauses permitting unilateral reference to the
82
Armed Activities on the Territory of the Congo (New Application: 2002)
(Democratic Republic of the Congo v Rwanda), Jurisdiction and Admissibility,
Judgment, ICJ Reports 2006, p 6.
- 35 -
ICJ) of the Convention on Discrimination Against Women to found
jurisdiction against Rwanda in the ICJ. However, Rwanda objected on the
ground that pre-conditions to its submission to the ICJ’s jurisdiction had
not been met.
80. The DRC sought to argue that Rwanda’s objection merely
went to the admissibility of its application rather than to the jurisdiction of
the Court. This was rejected by the ICJ which held that:
“... its jurisdiction is based on the consent of the parties and is confined to the
extent accepted by them ... When that consent is expressed in a compromissory
clause in an international agreement, any conditions to which such consent is
subject must be regarded as constituting the limits thereon. The Court
accordingly considers that the examination of such conditions relates to its
jurisdiction and not to the admissibility of the application.” 83
81. Moreover, Art 36(6) of the Statute of the ICJ states: “In the
event of a dispute as to whether the Court has jurisdiction, the matter shall
be settled by the decision of the Court.” So the ICJ determines for itself
whether it has jurisdiction and there is no question of that decision being
reviewable by some supervisory court or anyone else.
82. The ICSID tribunal decisions cited are similarly of no
assistance. This is illustrated by Daimler Financial Services AG v
Argentine Republic. 84 Argentina was a Contracting State Party to the
ICSID Convention and the claimant company, Daimler, was a national of
the Federal Republic of Germany, another Contracting State. Art 25(1) of
the ICSID Convention relevantly provides:
“The jurisdiction of the Centre shall extend to any legal dispute arising directly
out of an investment, between a Contracting State … and a national of another
Contracting State, which the parties to the dispute consent in writing to submit
to the Centre. ...”85
83
Ibid at §88 (footnotes omitted).
84
ICSID ARB/05/1 (22 August 2012).
85
Ibid §47.
- 36 -
83. The ICSID Convention thus provides the framework for
subsequent Bilateral Investment Treaties (“BITs”) entered into between
Contracting States. The German-Argentine BIT in the Daimler case
provided for a tiered, sequential dispute-resolution process between each
Host State and a prospective investor from the other State. Art 10 of the
BIT provided:
“(1) Disputes which arise between a Contracting Party and a national or
company of the other Contracting Party concerning an investment
under the Treaty, shall, to the extent possible, be settled amicably.
(2) If a dispute referred to in paragraph 1 cannot be settled within six
months from the date either of the parties to the dispute formally
announced it, it shall be referred upon the request of either party to the
dispute to the competent courts of the Contracting Party in whose
territory the investment was made.
(3) Under either of the circumstances referred to below, the dispute may be
submitted to an international arbitral tribunal:
(a) at the request of a party to the dispute if, within a period of 18
months of initiation of the judicial proceeding in accordance
with paragraph 2, the tribunal has not rendered a final decision
or if such a decision has been rendered but the dispute between
the parties continues;
(b) if both parties have so agreed.”
84. It should be noted that no individual investor is party to the
BIT. A clause like Art 10 represents a unilateral conditional offer made
by each of Germany and Argentina to as yet unidentified investors from
the other State to agree to the stipulated dispute resolution process upon
acceptance by a qualified investor in relation to a dispute with the State in
question.
85. Daimler, a German company, sought to commence an
arbitration pursuant to Art 10, but Argentina objected to the jurisdiction of
the tribunal to deal with anything other than the jurisdictional issue
because of Daimler’s failure to submit the substantive dispute to the
competent Argentine courts for a period of 18-months before resorting to
- 37 -
an arbitral tribunal as required by Art 10(2) and (3). That requirement, it
argued, constituted a necessary condition of Argentina’s consent to
arbitration and thus to the tribunal’s jurisdiction. 86 Daimler argued on the
other hand that such requirement was “a mere procedural directive and not
a true jurisdictional pre-requisite”.87
86. Argentina’s argument was upheld by the tribunal which
emphasised the crucial importance of the sovereign state’s consent as a
voluntary restraint on its sovereign immunity:
“Stepping back from the specific case of bilateral treaties, all international
treaties – whether bilateral, plurilateral or multilateral – are essentially
expressions of the contracting states’ consent to be bound by particular legal
norms. They encapsulate voluntarily accepted restraints upon the universally
recognized principle of state sovereignty. Consent is therefore the cornerstone
of all international treaty commitments, at least insofar as those commitments
exceed the minimum requirements of customary international law. The
primacy of the principle of consent runs through all types of treaty
commitments entered into by states. ...” 88
87. The tribunal emphasised that this approach at the treaty level
is entirely different from that relating to national courts and domestic
arbitral tribunals:
“One may ask whether the Tribunal may nonetheless waive the 18-month
domestic courts requirement on the grounds that it is merely procedural, not
jurisdictional, and therefore within the discretionary power of the Tribunal to
observe or discard. Such is the case, for example, with admissibility objections
before domestic courts and tribunals. However, admissibility analyses
patterned on domestic court practices have no relevance for BIT-based
jurisdictional decisions in the context of investor-State disputes. In the
domestic context, admissibility requirements are judicially constructed rules
designed to preserve the efficiency and integrity of court proceedings. They do
not expand the jurisdiction of domestic courts ...”89
“All BIT-based dispute resolution provisions, on the other hand, are by their
very nature jurisdictional. The mere fact of their inclusion in a bilateral treaty
86
Ibid §158 a).
87
Ibid §184.
88
Ibid §168 (footnotes omitted here and in the ICSID case citations which follow).
89
Ibid §192.
- 38 -
indicates that they are reflections of the sovereign agreement of two States –
not the mere administrative creation of arbitrators. They set forth the conditions
under which an investor-State tribunal may exercise jurisdiction with the
contracting state parties’ consent, much in the same way in which legislative
acts confer jurisdiction upon domestic courts. That this is so is particularly
evident in the case of the German-Argentine BIT, which describes its dispute
resolution process in mandatory and necessarily sequential language.” 90
“Since the 18-month domestic courts provision constitutes a treaty-based pre-
condition to the Host State’s consent to arbitrate, it cannot be bypassed or
otherwise waived by the Tribunal as a mere ‘procedural’ or ‘admissibility-
related’ matter.”91
88. The same approach was taken in the other BIT tribunal
decisions cited by the appellant. 92 Notably, in Kilic Insaat Ithalat Ihracat
Sanayi Ve Ticaret Anonim Sirketi v Turkmenistan,93 the Daimler decision
was approved 94 and such preconditions were held to amount to “a
conditional offer to arbitrate”. Put in offer and acceptance terms, unless
and until the investor accepted the unilateral offer made by the state in
accordance with the conditions stipulated, no arbitration agreement came
into existence between the State and the investor, so that the tribunal
lacked jurisdiction to deal with the dispute.
89. One might add that citation of such tribunal decisions is of
limited value, as was observed in the Daimler case:
“... there is no system of precedent in investor-State arbitration, nor indeed
could there be, given the large and diverse set of treaties presently applicable to
90
Ibid §193.
91
Ibid §194.
92
ICS Inspection and Control Services Ltd (United Kingdom) v The Argentine
Republic UNCITRAL, PCA Case No 2010-9 (10 February 2012) at §§246-247,
262; Tulip Real Estate Investment and Development Netherlands BV v Republic of
Turkey (Decision on Bifurcated Jurisdictional Issue) ICSID ARB/11/28 (5 March
2013) §72; Kilic Insaat Ithalat Ihracat Sanayi Ve Ticaret Anonim Sirketi v
Turkmenistan ICSID ARB/10/1 (2 July 2013) approving the Daimler decision at
§6.3.5.
93
ICSID ARB/10/1 (2 July 2013).
94
At §6.3.5.
- 39 -
various investor-State claims. Each case must be decided on the basis of the
applicable treaty texts and in the light of the relevant facts. ...”95
E. Conclusion
90. On an analysis that is, in my view, helped by the
jurisdiction/admissibility or tribunal/claim distinction, the appeal should
be dismissed. I respectfully agree with the Judge’s summary of the
position as follows:
“The objection in the present case seems to me to be one going to admissibility
of the claim. There is no dispute about the existence, scope and validity of the
arbitration agreement. There is no dispute that [the respondent’s] claim, as far
as its subject matter is concerned, ‘arises out of or in relation to’ the Agreement
and falls within the scope of the arbitration agreement. ... The parties’
commitment to arbitrate is not in doubt; they intend the arbitral award to be
final and binding. [The appellant’s] objection is that the particular reference to
arbitration was invalid because the stipulated mechanism of negotiation
between the CEOs had not been gone through. The objection is not that such a
claim should not be arbitrated at all, but that the tribunal should reject the
reference as premature. There is no indication in clauses 14.2 or 14.3 of the
Agreement that the parties intended compliance with these provisions to be a
matter of jurisdiction. It seems unlikely to be the parties’ intention that despite
a full hearing before and a decision by a tribunal of their choice the same issue
should be re-opened in litigation in the courts. In my view the challenge is one
of admissibility rather than jurisdictional.” 96
91. A further reason for adopting the jurisdiction/admissibility
(or tribunal/claim) distinction is provided by AO s 9, ML Art 2A(1) which
states:
Article 2A of the UNCITRAL Model Law, the text of which is set out below,
has effect—
“Article 2A. International origin and general principles
(1) In the interpretation of this Law, regard is to be had to its
international origin and to the need to promote uniformity in its
application and the observance of good faith.”
95
Daimler case at §52.
96
Judgment §53.
- 40 -
92. ML Art 2A promotes an important object of the Model Law
(and also of the New York Convention on the enforcement of awards)
which is to facilitate international arbitration by harmonizing the arbitral
regimes of different countries. As has been noted, academic writings and
the recent case-law of courts in ML jurisdictions which are also leading
centres of arbitration have adopted the distinction as a principle which
elucidates the limits of judicial intervention in arbitrations. In my view,
we should in this jurisdiction confirm that we do likewise.
Mr Justice Fok PJ:
93. I have had the benefit of reading the judgments in draft of Mr
Justice Ribeiro PJ and Mr Justice Gummow NPJ. I respectfully agree
with the conclusion reached by both of them that the appeal should be
dismissed. I only add this short concurrence to state my view, briefly, on
an issue that has divided the Court.
94. For the reasons set out in Section D of Mr Justice Ribeiro
PJ’s judgment and in paragraphs [112] to [139] of Mr Justice Gummow
NPJ’s judgment, the dispute between the parties as to whether, on the true
interpretation of clause 14.2 of the operative agreement, its stipulations
had been complied with so that the underlying dispute between the parties
could proceed to arbitration, was one which, in accordance with clause
14.3 of the agreement, should be finally settled by the arbitral tribunal.
The appellant’s application to set aside the tribunal’s partial award on the
basis of Article 34(2)(a)(iii) of the Model Law was therefore properly
dismissed by the Court of First Instance and that decision correctly upheld
by the Court of Appeal.
95. As Mr Justice Gummow NPJ observes, the Court of Appeal
stated that it would have dismissed the appeal to it on the basis that the
dispute between the parties on the question of fulfilment of the pre-
- 41 -
arbitration procedural requirement under clauses 14.2 and 14.3 was
clearly a dispute falling within the terms of the submission to arbitration
under Article 34(2)(a)(iii) of the Model Law. On this basis, the appeal
could have been disposed of without regard to the distinction between
admissibility and jurisdiction. Like Mr Justice Gummow NPJ, I agree that
the reasoning in the Court of Appeal’s judgment at [61] is correct and
leads to the dismissal of the appeal in any event.
96. The area of disagreement concerns the appropriateness of the
adoption of the jurisdiction/admissibility distinction as a means to assist in
determining which disputes are properly subject to court review under the
Arbitration Ordinance. Adopting it supports the conclusion that the
appellant’s challenge to the arbitrator’s determination as regards the
fulfilment of the pre-arbitration procedural requirement is not subject to
court review.
97. For the detailed reasons set out in Section C of Mr Justice
Ribeiro PJ’s judgment, I agree that the jurisdiction/admissibility
distinction provides a useful principle by which to distinguish between
those issues that are reviewable by a supervising court and those that are
not. As his Lordship points out, the distinction has gathered such support
as to be widely recognised across several jurisdictions, including England
and Wales, Singapore and New South Wales, and in leading academic
texts on arbitration law and practice. For Hong Kong to reject the
distinction now would risk placing this jurisdiction at variance with other
jurisdictions which, like Hong Kong, promote international arbitration and
limit the extent of court intervention in the arbitral process and, for my
part, I would decline to do so.
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Mr Justice Lam PJ:
98. I have the benefit of reading the draft judgments of Mr
Justice Ribeiro PJ and Mr Justice Gummow NPJ. I am also of the view
that the appellant had not made good a challenge under Art 34(2)(a)(iii) of
the UNCITRAL Model Law on International Commercial Arbitration for
setting aside the award and the appeal should be dismissed. Clause 14.2 of
the contract is clearly wide enough to confer authority on the arbitral
tribunal to determine a dispute on whether its pre-arbitration condition has
been fulfilled. Applying the approach of Lord Hoffmann in Fiona Trust &
Holding Corp v Privalov97, in the absence of explicit provision for judicial
review of the determination of such a dispute, the determination of the
issue by the arbitral tribunal cannot be regarded as not falling within the
terms of the submission to arbitration or going beyond the scope of the
submission to arbitration.
99. In light of the difference between Mr Justice Ribeiro PJ and
Mr Justice Gummow NPJ on the utility of the “jurisdiction/admissibility”
distinction, I would succinctly express my views on the topic.
100. I confess that I was initially attracted by Mr Justice Gummow
NPJ’s opinion that the only question is whether the contention raised by
the appellant is within one of the grounds on which Art 34 of the Model
Law permits recourse to judicial review 98 . As my Lord observed,
previously the courts were able to apply Art 34(2)(a)(iii) without any
reference to the “jurisdiction/admissibility” distinction. Placing too much
reliance on such distinction carries with it the risk of inadvertent
substitution of the grounds laid down in Art 34(2)(a)(iii) with a
97
[2007] 4 All ER 951 at [6]-[7].
98
See [152] of the judgment of Mr Justice Gummow NPJ.
- 43 -
consideration if the challenge of a party is one goes to admissibility as
opposed to jurisdiction.
101. However, Mr Chapman submitted that “admissibility” was
just a label and the distinction could be useful in determining whether a
ground of challenge raised by a party is really a jurisdictional question. If
an applicant raised a real jurisdictional question, the court could conduct a
de novo review of the question. On the other hand, if what purported to be
a jurisdictional question does not really go to jurisdiction, the court should
not review a decision of the arbitral tribunal on such question.
102. In this connection, I agree with Mr Justice Ribeiro PJ that Art
34 of the Model Law and Section 81 of the Arbitration Ordinance should
be construed in a manner which is coherent with the other provisions in
the Model Law as adopted under the Arbitration Ordinance. In particular,
in light of the provisions in Art 16 of the Model Law as applied under
Section 34 of the Arbitration Ordinance, the concept of judicial review of
the jurisdiction of the arbitral tribunal is also relevant in the context of an
application to set aside an award under Art 34(2)(a)(iii).
103. In the present case, the appellant had requested the issue of
jurisdiction be determined by the arbitral tribunal as a preliminary
question. However, the arbitral tribunal did not do so. Thus, the procedure
under Art 16(3) for a further request to the court for such determination
was not applicable and the appellant had to seek to set aside the award
under Art 34(2)(a)(iii) of the Model Law.
104. In these circumstances, I accept that an application could be
made under Art 34(2)(a)(iii) to put forward a jurisdictional challenge99.
99
See Bantekas and others, UNCITRAL Model Law on International Commercial
Arbitration (2020) p.299-300. Art 34(2)(a)(iii) can also be relied upon to
challenge an award made by a tribunal that had jurisdiction to deal with the dispute
- 44 -
105. For my part, the important consideration is whether the use of
the “jurisdiction/admissibility” distinction as an aid for determining if an
issue falls within the terms of the submission to arbitration or goes beyond
the scope of the submission to arbitration is objectionable for the reason
that such distinction distorts the grounds set out under Art 34(2)(a)(iii).
106. The critical question is whether there is any risk of distortion?
107. Mr Justice Ribeiro PJ made a powerful case for the utility of
such distinction. In section C.1 of his judgment Mr Justice Ribeiro PJ
elaborated on the substance of the “jurisdiction/admissibility” distinction
by reference to the distinction between a challenge to the tribunal and a
challenge to the claim. “Admissibility” concerns challenges which do not
negate consent to the tribunal’s authority. The distinction does not hinge
merely on the parties’ labelling of the nature of a dispute. Further, in the
context of the present appeal which focused on pre-arbitration conditions
in multi-tiered dispute resolution clauses, His Lordship adopted the view
that pre-arbitration conditions should be regarded as presumptively non-
jurisdictional.
108. In formulating the distinction between objections aiming at
the tribunal and those aiming at the claim, Professor Paulsson referred to
an earlier article of Professor Rau 100 in which the latter pinpointed the
fundamental question as the parties’ consent to arbitral authority. Instead
of relying on labels or metaphors, one should enquire whether in a given
but exceeded its powers by dealing with matters that had not been submitted to it
by any party, see Bantekas op. cit., p.880. This is not relevant for present purposes.
100
A.S. Rau, “Everything You Really Need to Know About ‘Separability’ in Seventeen
Simple Propositions” (2003) 14 The American Review of International Arbitration
1. Cited by Professor Paulsson in his article “Jurisdiction and Admissibility” in
Global Reflections on International Law, Commerce and Dispute Resolution (2005)
at p.615.
- 45 -
case the parties have agreed that contentions regarding any particular issue
should be decided conclusively by the arbitrators.
109. Likewise, the grounds laid down in Art 34(2)(a)(iii) also
focused on the parties’ consent to arbitral authority. For present purposes,
the terms of submission to arbitration are to be determined by the common
intention of the parties as set out in the arbitration agreement. In such
exercise, as acknowledged by Mr Justice Ribeiro PJ as well as Mr Justice
Gummow NPJ, the approach of Lord Hoffmann in Fiona Trust & Holding
Corp v Privalov provided helpful guidance. The presumption adopted by
Mr Justice Ribeiro PJ can be regarded as a specific application of that
approach in respect of pre-arbitration conditions.
110. Viewed in this light, the analysis of Mr Justice Ribeiro PJ is
firmly based on the grounds laid down in Art 34(2)(a)(iii).
111. For these reasons, I respectfully agree that it is sound in
principle and useful to adopt a distinction between a challenge to the
tribunal and a challenge to the claim as well as a presumption that
challenge based on non-fulfilment of pre-arbitration condition is non-
jurisdictional. Since the distinction only operates as a presumptive aid to
the construction of an arbitration clause, it is open to the parties to draft a
clause in a manner which clearly overrides the effect of such presumption
in respect of the fulfilment of pre-arbitration conditions. The availability
of judicial recourse is therefore ultimately dependent upon the proper
construction of the parties’ agreement. If on proper construction the
parties have agreed that a dispute on the fulfilment of pre-arbitration
conditions should be determined conclusively by the court instead of an
arbitral tribunal, such an award could be challenged under Art 16(3) (read
together with Section 34(2)(b) of the Arbitration Ordinance) or Art
34(2)(a)(iii).
- 46 -
Mr Justice Gummow NPJ:
112. This appeal from the Court of Appeal concerns the operation
of provisions of the Arbitration Ordinance (Cap 609) (“the Ordinance”)
respecting a challenge in the Court of First Instance to an arbitral award
made in Hong Kong. If an arbitration agreement stipulates a pre-
arbitration condition precedent, is the determination of the arbitral tribunal
that the condition was satisfied, “subject to recourse to the Court” under
the Ordinance? However, there is some ambiguity here. The provisions
of the Ordinance set out below at [126]-[127] indicate that it is the award
which is subject to recourse to the Court not the dispute which led to the
award.
The dispute
113. The appellant C is a Hong Kong company which owns and
operates satellites. The respondent D is a Thai company which is a
satellite operator in the Asia Pacific region.
114. On 15 December 2011 these parties entered into a written
agreement (“the Agreement”), essentially that by the deployment of
Satellite A, C would develop its business in the PRC, while D would do so
outside the PRC. The governing law of the Agreement was Hong Kong
law. On 6 December 2018, C issued certain commands to Satellite A
which D considered a breach of the Agreement. Clauses 14.2 and 14.3 of
the Agreement provided for dispute resolution by negotiation between the
parties, and if this was not achieved, for arbitration in Hong Kong in
accordance with the UNCITRAL Arbitration Rules:
“14.2 Dispute Resolution. The Parties agree that if any controversy, dispute or
claim arises between the Parties out of or in relation to this Agreement,
or the breach, interpretation or validity thereof, the Parties shall attempt
in good faith promptly to resolve such [dispute] by negotiation. Either
Party may, by written notice to the other, have such dispute referred to
- 47 -
the Chief Executive Officers of the Parties for resolution. The Chief
Executive Officers (or their authorized representatives) shall meet at a
mutually acceptable time and place within ten (10) Business Days of
the date of such request in writing, and thereafter as often as they
reasonably deem necessary, to attempt to resolve the dispute through
negotiation.
14.3 Arbitration. If any dispute cannot be resolved amicably within sixty
(60) Business days of the date of a Party’s request in writing for such
negotiation, or such other time period as may be agreed, then such
dispute shall be referred by either Party for settlement exclusively and
finally by arbitration in Hong Kong at the Hong Kong International
Arbitration Centre (‘HKIAC’) in accordance with the UNCITRAL
Arbitration Rules in force at the time of commencement of the
arbitration (the ‘Rules’) …”
115. On 18 April 2019, D issued a notice of arbitration under
clause 14.3. The Tribunal, in its extensive written Partial Award issued
on 21 April 2020, rejected the submission by C that the precondition to
arbitration set up by clauses 14.2 and 14.3 had not been satisfied. It went
on to hold that C was liable to pay damages to D in an amount to be
assessed. The contention then advanced by C that the Partial Award be
set aside by the Court of First Instance was rejected and C’s appeal to the
Court of Appeal was dismissed on 7 June 2022.
The legislation
116. The Ordinance states in section 4 that the provisions of the
UNCITRAL Model Law on International Commercial Arbitration (“the
Model Law”) which are “expressly stated” in the Ordinance as having
effect “have the force of law in Hong Kong subject to the modifications
and supplements as expressly provided for in this Ordinance”.
117. An appreciation of the attitude of the courts to arbitration is
assisted by the observations of Lord Hoffmann in Fiona Trust & Holding
Corporation v Privalov101. His Lordship noted (at [6]) that:
101
[2007] 4 All ER 951.
- 48 -
“… The parties have entered into a relationship, an agreement or what is
alleged to be an agreement or what appears on its face to be an agreement,
which may give rise to disputes. They want those disputes decided by a
tribunal which they have chosen, commonly on the grounds of such matters as
its neutrality, expertise and privacy, the availability of legal services at the seat
of the arbitration and the unobtrusive efficiency of its supervisory law.
Particularly in the case of international contracts, they want a quick and
efficient adjudication and do not want to take the risks of delay and, in too
many cases, partiality, in proceedings before a national jurisdiction.”
118. Lord Hoffmann went on (at [7]) to ask:
“… whether the parties, as rational businessmen, were likely to have intended
that only some of the questions arising out of their relationship were to be
submitted to arbitration and others were to be decided by national courts.”
119. These general statements are to be read with the remarks of
Lord Collins of Mapesbury in Dallah Real Estate and Tourism Holding
Co v Ministry of Religious Affairs of the Government of Pakistan102. His
Lordship observed (at [83]) that:
“The principle that a tribunal has jurisdiction to determine its own jurisdiction
does not deal with, or still less answer, the question whether the tribunal’s
determination of its own jurisdiction is subject to review, or, if it is subject to
review, what that level of review is or should be.”
120. Lord Collins then went on (at [85]) to refer to Articles 16 and
34 of the Model Law. He observed that these provisions illustrated the
proposition that the power of the tribunal to determine its jurisdiction was
not exclusive, given the power of the court to set aside an award on the
specified grounds in Article 34.
121. In BG Group Plc v Republic of Argentina103, Breyer J in the
opinion of the United States Supreme Court observed (at p. 34) that:
“… courts presume that the parties intend arbitrators, not courts, to decide
disputes about the meaning and application of particular procedural
preconditions for the use of arbitration.”
102
[2011] 1 AC 763.
103
572 US 25 (2014).
- 49 -
These included “time limits, notice, laches, estoppel, and other conditions
precedent to an obligation to arbitrate.”
122. Section 3(1) of the Ordinance states “the object” of the
Ordinance as the facilitation of “the fair and speedy resolution of disputes
by arbitration without unnecessary expense”. Section 3(2) states that the
Ordinance is based on two principles. Paragraph (a) provides that “the
parties to a dispute should be free to agree on how the dispute should be
resolved”, subject to necessary safeguards in the public interest.
Paragraph (b) states the principle that “the court should interfere in the
arbitration of a dispute only as expressly provided for in the Ordinance”.
In this way, section 3 implements the general principle that, save as
regards the public interest, the parties are free to avoid the expense and
delay of litigation and to provide for arbitration. Questions concerning
matters governed by the Model Law but not expressly settled in it are to
be settled in accordance with the “general principles” on which the Model
Law is based (section 9 of the Ordinance). Those “general principles”
include those in section 3, as discussed above.
123. Section 34 of the Ordinance gives effect to the provision in
Article 16(1) of the Model Law that:
“The arbitral tribunal may rule on its own jurisdiction, including any objections
with respect to the existence or validity of the arbitration agreement …”
Article 16(3) as applied to the Ordinance provides that if the arbitral
tribunal rules as a preliminary question that it has jurisdiction, any party,
within thirty days of receipt of notice of that ruling, may request the Court
of First Instance to decide the matter and its decision shall be subject to no
appeal. Article 16(3) indicates that the “jurisdiction” upon which the
tribunal rules as a preliminary question is that which attracts curial
intervention.
- 50 -
124. Section 12 of the Ordinance adopts the important principle in
Article 5 of the Model Law, that:
“In matters governed by this Law, no court shall intervene except where so
provided in this Law.” (emphasis added)
Section 81, adopting Article 34 of the Model Law, limits the grounds of
recourse to a court to challenge an arbitral award. The relevant text of
Article 34 is set out below at [126]-[127]. The relationship between
Articles 16 and 34 is discussed in the concluding portion of these reasons,
at [157].
125. The use of the mandatory word “shall” in Article 5 indicates
that the Model Law provides exhaustively and exclusively for the grounds
of curial intervention: see UNCITRAL Model Law on International
Commercial Arbitration: A Commentary (Cambridge University Press,
2020) (“the Commentary”) at p. 92 et seq. Returning to section 3(2) of
the Ordinance, the view that paragraph (b) must give way to paragraph (a),
so that the court may have a power of intervention solely and sufficiently
based on the terms of the agreement of the parties, is inconsistent with the
scheme of the Model Law. By contrast, the United Kingdom Arbitration
Act 1996 (“the 1996 Act”) did not adopt the mandatory word “shall” in
Article 5 of the Model Law, instead using in section 1(c) the word
“should”. Lord Mance JSC described this as a “deliberate departure”
from Article 5: AES Ust-Kamenogorsk Hydropower Plant LLP v Ust-
Kamenogorsk Hydropower Plant JSC [2014] 1 All ER 355 at [33]. This
topic will be referred to further at [154].
126. Article 34(1) of the Model Law (adopted by section 81 of the
Ordinance) provides that recourse to a court against an arbitral award may
be made “only” in reliance upon the grounds laid out in the balance of that
- 51 -
Article. Article 34(2) states that an arbitral award may be set aside “only
if” paragraphs (a) or (b) apply. Paragraph (b) is in these terms:
“(b) the court finds that:
(i) the subject-matter of the dispute is not capable of settlement by
arbitration under the law of this State; or
(ii) the award is in conflict with the public policy of this State.”
127. Paragraph (a) contains four grounds. Ground (iii) is of
particular importance to this case, but all grounds (i)-(iv) should be set out:
“(a) the party making the application furnishes proof that:
(i) a party to the arbitration agreement referred to in article 7 was
under some incapacity; or the said agreement is not valid under
the law to which the parties have subjected it or, failing any
indication thereon, under the law of this State; or
(ii) the party making the application was not given proper notice of
the appointment of an arbitrator or of the arbitral proceedings or
was otherwise unable to present his case; or
(iii) the award deals with a dispute not contemplated by or not
falling within the terms of the submission to arbitration, or
contains decisions on matters beyond the scope of the
submission to arbitration, provided that, if the decisions on
matters submitted to arbitration can be separated from those not
so submitted, only that part of the award which contains
decisions on matters not submitted to arbitration may be set
aside; or
(iv) the composition of the arbitral tribunal or the arbitral procedure
was not in accordance with the agreement of the parties, unless
such agreement was in conflict with a provision of this Law
from which the parties cannot derogate, or, failing such
agreement, was not in accordance with this Law …” (emphasis
added)
128. As regards the particular ground at issue, namely, ground (iii),
it would appear that it is concerned with whether the arbitral tribunal
improperly embarked on deciding a dispute on matter that had not been
submitted to it. In other words, it is concerned with the ambit of the
- 52 -
submission to arbitration, not the merits of the relevant dispute or matter.
Upon reviewing the ambit of the submission to arbitration, if the court
finds that the arbitral award deals with a dispute or matter falling outside
of such ambit, the court may set aside the award but does not go on to
review the merits of such dispute or matter.
129. As the Singapore Court of Appeal put it in CRW Joint
Operation v PT Perusahaan Gas Negara (Persero) TBK104 (at [31]):
“… Art 34(2)(a)(iii) … applies where the arbitral tribunal improperly decided
matters that had not been submitted to it or failed to decide matters that had
been submitted to it. In other words, Art 34(2)(a)(iii) addresses the situation
where the arbitral tribunal exceeded (or failed to exercise) the authority that the
parties granted to it (see Gary B Born, International Commercial Arbitration
(Wolters Kluwer, 2009) at vol 2, pp 2606–2607 and 2798–2799) …”
The Court continued to observe (at [33]):
“… it is trite that mere errors of law or even fact are not sufficient to warrant
setting aside an arbitral award under Art 34(2)(a)(iii) of the Model Law (see
Sui Southern Gas Co Ltd v Habibullah Coastal Power Co (Pte) Ltd [2010] 3
SLR 1 at [19]–[22]). In the House of Lords decision of Lesotho Highlands
Development Authority v Impregilo SpA and others [2006] 1 AC 221, which
concerned an application to set aside an arbitral award on the ground of the
arbitral tribunal’s ‘exceeding its powers’ (see s 68(2)(b) of the Arbitration Act
1996 (c 23) (UK) (‘the UK Arbitration Act’)), Lord Steyn made clear (at [24]–
[25]) the vital distinction between the erroneous exercise by an arbitral tribunal
of an available power vested in it (which would amount to no more than a mere
error of law) and the purported exercise by the arbitral tribunal of a power
which it did not possess. Only in the latter situation, his Lordship stated, would
an arbitral award be liable to be set aside under s 68(2)(b) of the UK
Arbitration Act on the ground that the arbitral tribunal had exceeded its
powers. In a similar vein, Art 34(2)(a)(iii) of the Model Law applies where an
arbitral tribunal exceeds its authority by deciding matters beyond its ambit of
reference or fails to exercise the authority conferred on it by failing to decide
the matters submitted to it, which in turn prejudices either or both of the parties
to the dispute …”
The above understanding of Article 34(2)(a)(iii), as expounded in CRW,
has since been followed in numerous Singapore decisions, and is
104
[2011] 4 SLR 305.
- 53 -
consistent with the approach adopted in two recent judgments of Lord
Mance delivered as an International Judge, namely CBX v CBZ 105 and
CKH v CKG106.
130. It is true that a different stance appears to have been taken by
the Singapore Court of Appeal in Swissbourgh Diamond Mines (Pty) Ltd v
Kingdom of Lesotho107. The Court appeared to be making the point that in
Article 34(2)(a)(iii) the expressions “a dispute not contemplated by or not
falling within the terms of the submission to arbitration” and “matters
beyond the scope of the submission to arbitration” indicate distinct
grounds for curial intervention, one pertaining to the ambit of the
submission to arbitration and the other going beyond that issue. However,
it appears that the different wording is designed to accommodate the
gradation of disputes submitted to arbitration rather than to create distinct
grounds for intervention. This construction is supported in the
Commentary, the work referred to above at [125]. At p. 882 of the
Commentary it is said:
“The first two limbs of article 34(2)(a)(iii) consider respectively the case of: (1)
an award that ‘deals with a dispute not contemplated or not falling within the
terms of the submission to arbitration’; and (2) an award that ‘contains
decisions on matters beyond the scope of the submission to arbitration’. While
similar, these two situations are not identical. In the first scenario, the provision
refers to a ‘dispute’ … In the second scenario, instead, the dispute may well
have fallen within the terms of the parties’ agreement, but the award rules on
‘matters’ beyond its scope. In other words, the arbitrators made a mistake not
by retaining jurisdiction over the dispute (which was, in principle, covered by a
valid agreement), but by including in the award issues that did not belong with
that dispute and that the parties had not agreed to arbitrate.” (emphases added)
131. Article 34(2)(a)(iii) follows closely the wording of Article
V(1)(c) of the 1958 Convention on the Recognition of and Enforcement of
105
[2022] 1 SLR 47 at [11].
106
[2022] 2 SLR 1 at [11].
107
[2019] 1 SLR 263 at [65]-[79].
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Foreign Arbitral Awards (“New York Convention”). Article V(1)(c)
states:
“Recognition and enforcement of the award may be refused, at the request of
the party against whom it is invoked, only if that party furnishes to the
competent authority where the recognition and enforcement is sought, proof
that:
(c) The award deals with a difference not contemplated by or not
falling within the terms of the submission to arbitration, or it
contains decisions on matters beyond the scope of the
submission to arbitration, provided that, if the decisions on
matters submitted to arbitration can be separated from those not
so submitted, that part of the award which contains decisions on
matters submitted to arbitration may be recognized and enforced
…”
The commentary on Article V(1)(c) in the UNCITRAL Secretariat Guide
on the New York Convention (2016 Edition) (at p. 183), is consistent with
the view that this provision only pertains to the ambit of submission to
arbitration:
“Where article V (1)(a) concerns the existence of a valid arbitration agreement
which is binding on all the parties addressed by an award, article V (1)(c)
assumes the existence of a valid arbitration agreement between the parties and
is concerned instead with whether an award has gone beyond the scope of the
subject matter the parties intended to submit to arbitration.”
The Court of Appeal
132. Much consideration was given in the Court of Appeal’s
judgment to a distinction between “admissibility” and “jurisdiction”.
Consideration of the utility of such a distinction in construing section 81
of the Ordinance (adopting Article 34 of the Model Law) will be made
later in these reasons at [140]-[156]. This consideration of the distinction
extends to that length, given its importance for Hong Kong arbitrations.
That importance is exemplified in the article by Leung and Hui “Making
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Sense of Jurisdiction-Admissibility Distinction: When Day Becomes
Night” in the issue of Hong Kong Lawyer for April 2023.
133. However, the Court of Appeal added (at [61]):
“For the sake of completeness, we should mention that we would have reached
the same conclusion even if we disregard the distinction between admissibility
and jurisdiction, and consider the question simply as a matter of construction
and application of Art 34(2)(a)(iii). We consider it to be clear that the dispute
between the parties on the question of fulfilment of the pre-arbitration
procedural requirement under Clauses 14.2 and 14.3 is a dispute falling within
the terms of the submission to arbitration under Art 34(2)(a)(iii). Clause 14.3
provides that ‘any’ dispute which cannot be resolved amicably within 60
business days … shall be referred by either party for settlement exclusively and
finally by arbitration. The disputes which may be settled by arbitration under
Clause 14.3 are those referred to in Clause 14.2, namely, ‘any controversy,
dispute or claim [arising] between the Parties out of or in relation to this
Agreement, or the breach, interpretation or validity thereof’. There is no reason
to confine the scope of arbitrable disputes under Clause 14.3 to substantive
disputes arising out of or in relation to the Agreement, and exclude from it
disputes on whether the pre-arbitration procedural requirement under Clauses
14.2 and 14.3 has been fulfilled.”
134. The reasoning in this passage is, with respect, correct and
leads to the dismissal of C’s appeal. It should be noted that this passage
accords with the understanding of Article 34(2)(a)(iii) set out above at
[128]-[131]. This ground is concerned with the ambit of the submission
to arbitration. It does not afford any room for the court to review the
merits of a particular dispute, including a dispute as to compliance with a
pre-arbitration condition. The conclusion to which the reasoning in this
passage leads is simply that the award cannot be set aside.
135. We should deal with two further matters which are the
subject of intense debate on this appeal. The first concerns what may be
identified as the “condition precedent” submission by C. The second
concerns the significance both parties, albeit with different conclusions,
attached to the “admissibility/jurisdiction” distinction.
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The “condition precedent” submission
136. C contends that clauses 14.2 and 14.3 provided a “condition
precedent” to the agreement to arbitrate, the compliance with which was a
“jurisdictional issue” attracting the ground in paragraph (iii) of Article
34(2)(a) that “the award deals with a dispute not contemplated by … the
terms of the submission to arbitration”. The premise of C’s argument is
that if the “condition precedent” had not been fulfilled, the contractual
dispute as to whether C was in breach of the Agreement would not fall
within “the terms of the submission to arbitration”. Hence, the essence of
C’s case is that the satisfaction of clauses 14.2 and 14.3 was a
“jurisdictional issue” and was to be finally determined not by the Tribunal
but by the Court.
137. C’s contention is misplaced for two reasons. First, as D
submits, as a matter of contractual construction, the precondition
contained in clauses 14.2 and 14.3 was directed to the obligation to
arbitrate with respect to the specific claim in question, not to the
agreement to arbitrate.
138. Secondly, and more fundamentally, C’s argument is premised
on a misunderstanding of Article 34(2)(a)(iii). It invites the Court to
review the correctness of the Tribunal’s ruling that the pre-arbitration
procedural requirements had been complied with, contending that non-
compliance with such requirements deprived the Tribunal of its
jurisdiction to deal with the contractual dispute by virtue of it falling
outside the “terms of the submission to arbitration”. Such a contention
goes against the permissible extent of curial intervention under Article
34(2)(a)(iii), as explained above at [128]-[131] and [134].
139. As noted above at [112], it is the award which is subject to
recourse to the Court.
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The “admissibility/jurisdiction” distinction
140. C contends that the answer to the question whether the Court
may review the issue of satisfaction of a condition precedent to arbitration
does not lie in seeking to fit the issue into the classification of
“admissibility” or “jurisdiction”. On the other hand, D contends that the
distinction can be applied in construing Article 34(2)(a)(iii). But D also
contends that the Tribunal correctly determined that the precondition in
clauses 14.2 and 14.3 was satisfied in this case and thus no question of
curial intervention under Article 34(2)(a)(iii) arose. The term
“admissibility” is not used here in the sense understood by common
lawyers and exemplified by the Evidence Ordinance (Cap 8); rather it
refers to defects of a temporary quality upon decision making by tribunals
(as opposed to those of a permanent quality).
141. Since the adoption of the Model Law in 1985 there have been
many decisions of courts in various jurisdictions which have adopted the
Model Law into their legislation and they have applied Article 34(2)(a)(iii)
without any attention to a distinction between “admissibility” and
“jurisdiction”. An example from Hong Kong is Brunswick Bowling &
Billiards Corp v Shanghai Zhonglu Industrial Co Ltd108, a judgment of
Johnson Lam J. An example from the Singapore Court of Appeal is PT
Prima International Development v Kempinski Hotels SA109. Moreover,
the statements in 2007 by Lord Hoffmann in Fiona Trust set out above at
[117]-[118] were made when dealing with the question whether a dispute
(in that case, a dispute that certain charterparties were void for inducement
by bribery) fell within the scope of an arbitration clause and therefore was
to be determined by arbitration. The House of Lords held that it did. In
urging the broad interpretation of arbitration clauses Lord Hoffmann was
108
[2011] 1 HKLRD 707 at [21]-[22].
109
[2012] 4 SLR 98 at [28]-[29].
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not addressing any question as to whether the court could review the
arbitrator’s determination on a dispute, a question on which the Court of
Appeal in the present case sought to invoke the distinction between
“jurisdiction” and “admissibility”. The point was made in a case note on
the judgment of the Court of Appeal: Matos, “Jurisdiction, Admissibility
and Escalating Dispute Resolution Agreements: C v D” [2023] LMCLQ
18 at 19-20.
142. However, in 2020 the Singapore Court of Appeal in BBA v
BAZ 110 considered the writings of Professor Jan Paulsson (in particular
“Jurisdiction and Admissibility”, published in 2005111) when deciding (at
[80]-[84]) whether the finding of the arbitral tribunal on the issue that the
claim was time barred as a matter of limitation was beyond judicial
challenge under the Singapore adoption of Article 34(2)(a)(iii). The Court
decided (at [82]) that issues which arise on the expiry of statutory
limitation periods “go towards admissibility”, not “jurisdiction”. Thus,
the application of the distinction to interpret the Model Law considerably
post-dates the adoption of the Law itself.
143. The Singapore judgment was referred to in another Model
Law jurisdiction in the judgment of a single Judge of the New South
Wales Supreme Court in The Nuance Group (Australia) Pty Ltd v Shape
Australia Pty Ltd112. But this was for the unsurprising proposition that a
time bar does not go to the jurisdiction of the arbitrator, and without
adoption of the “admissibility/jurisdiction” distinction. Thus, it would not
appear that New South Wales is a jurisdiction in which the distinction has
gathered support.
110
[2020] 2 SLR 453 at [77].
111
In Global Reflections on International Law, Commerce and Dispute Resolution
(ICC Publishing, 2005).
112
(2021) 395 ALR 720 at [132].
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144. In Republic of Sierra Leone v SL Mining Ltd113, a decision of
the English High Court, it was said to be “common ground” that there was
a distinction “between a challenge that a claim was not admissible before
arbitrators (admissibility) and a challenge that the arbitrators had no
jurisdiction to hear a claim (jurisdiction)”. Section 30(1) of the 1996 Act
defined the term “substantive jurisdiction” and provided in paragraph (c)
that unless otherwise agreed between the parties, the arbitral tribunal may
rule as to what matters have been submitted to arbitration in accordance
with the arbitration agreement. The question of prematurity of the referral
to arbitration was clearly not a matter of “substantive jurisdiction”
described above. As the judge observed at [16], “at the end of the day the
matter comes down at English law to an issue as to whether the question
of prematurity falls within section 30(1)(c) of the 1996 Act”.
145. Returning to the Singapore case, what is significant is that on
a fair reading of the terms of Article 34(2)(a)(iii) itself, as explained above
at [128]-[131] and [134], the operation of a statutory limitation bar as it
did in BBA does not present a decision on a matter beyond the ambit of
the arbitration submission. This conclusion is apparent without any need
first to classify the issue as going to “admissibility” rather than
“jurisdiction”. As noted above at [141]-[144], the adoption of the
distinction involves a disruption in the uniform application of the Model
Law.
146. Further, it would appear that the distinction between
“admissibility” and “jurisdiction” arose from a different setting to that in
which Article 34(2) of the Model Law appears. As noted above, the
distinction was developed in scholarly writings, in particular by Paulsson.
He explained that the distinction between “jurisdiction” and
“admissibility” had a pedigree in decisions of international courts and
113
[2021] Bus LR 704 at [8].
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arbitral tribunals, such as the International Court of Justice (“ICJ”) and
tribunals constituted under the International Centre for Settlement of
Investment Disputes (“ICSID”). The adoption of the “admissibility”
criterion in cases where the applicable domestic arbitration law did not
contain an explicit distinction, as Paulsson put it, would be consistent with
“an international consensus that decisions of arbitrators having
jurisdiction are final”.
147. There are, however, at least two difficulties in applying the
“admissibility/jurisdiction” distinction to Article 34(2)(a)(iii) of the Model
Law in the context of the setting aside of arbitral awards in the domestic
context.
148. First, given the international origin of the distinction as noted
above at [146], one should be alert to the context in which the
“admissibility/jurisdiction” distinction arose. The question usually raised
was whether compliance with a procedural requirement, such as the
exhaustion of local remedies, as set out in the relevant international
treaties considered by the ICJ or in the ICSID dispute resolution clauses in
bilateral investment treaties, went to the parties’ consent to submit the
dispute to the relevant adjudicative organs for resolution. For example, in
the context of investment treaty arbitrations, the pre-arbitration procedural
requirements in a bilateral investment treaty constitute the terms of a
unilateral offer from the State to arbitrate. Compliance with such terms
by the investor is necessary for the arbitration agreement between the
State and the investor to come into being. Consent, in this context, is used
in a sense which is analogous to the existence of a valid arbitration
agreement for the purpose of Article 34(2)(a)(i) of the Model Law. It is
against this background that the distinction between “jurisdiction” and
“admissibility” was discussed in these cases. In contrast, in the present
case, where the existence or validity of an arbitration agreement is not in
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question, there is no issue with the parties’ consent to arbitrate (in the
sense discussed above). Is it then correct to transplant the
“admissibility/jurisdiction” distinction, developed in the context of
ascertaining whether there is consent on the part of the parties to submit
the dispute for resolution to the relevant court or tribunal, to the context of
the setting aside of arbitral awards under Article 34(2)(a)(iii) of the Model
Law where the existence or validity of the arbitration agreement (and
hence, the parties’ consent to arbitrate) is not in dispute?
149. Secondly, in the absence of any express provision in the
relevant instrument on the reviewability of arbitral awards (i.e. when and
under what circumstances arbitral awards may be subject to curial
intervention), the “admissibility/jurisdiction” distinction may, in
Paulsson’s words, serve to police against “an unjustified extension of the
scope for challenging awards” so as not to “frustrate the parties’
expectation that their dispute be decided by the chosen neutral tribunal”.
But as Paulsson indicates, domestic law may expressly deal with the
finality of arbitral awards. Thus, in a domestic context such as the present
case, where the circumstances in which arbitral awards may be set aside
are clearly delineated by legislation, there is no need to import into the
Model Law the “admissibility/jurisdiction” distinction, a concept
developed by international courts and arbitral tribunals.
150. In Hong Kong the Ordinance is an instance of a domestic
arbitration law with detailed elaboration on the scope of curial
intervention in arbitrations. As has been seen, of central importance to
this appeal is section 81 of the Ordinance, which incorporates Article 34
of the Model Law. Article 34(1) provides that recourse to a court against
an arbitral award may “only” be made by an application for setting aside
under Article 34(2) and (3). Relevant to this appeal is Article 34(2)(a), set
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out above at [127], which enumerates four situations under which an
arbitral award may be set aside, in particular that in paragraph (iii).
151. As the analysis of the Court of Appeal demonstrates in the
passage set out above at [133], the same result can be reached under the
Model Law without resorting to concepts such as “jurisdiction” and
“admissibility”. The inquiry is simply this: whether the dispute as to the
fulfilment of a pre-arbitration procedural requirement falls within the
ambit of the submission to arbitration. The question whether an arbitral
award is captured by Article 34(2)(a)(iii) can be answered by construing
the relevant clauses in the arbitration agreement (in this case, clauses 14.2
and 14.3 of the Agreement), without engaging in any juristic analysis as to
whether the dispute which the arbitral award dealt with should be
classified as going to “jurisdiction” or “admissibility”.
152. The question is not whether an issue is one of “admissibility”
and therefore not a subject of curial challenge to “jurisdiction” but
whether the applicant can bring itself within at least one of the grounds on
which Article 34 permits recourse to a court to set aside an arbitral award.
If none of those grounds applies then recourse to a court is not permitted,
not because of classification of the issue as one of “admissibility”, but
because Article 34 the Model Law (adopted by section 81 of the
Ordinance) mandates that result.
Designation by the parties of a dispute as “jurisdictional”
153. It has been suggested that the parties may, by unequivocal
language, designate a particular dispute as so-called “jurisdictional” by
providing that the court may review the tribunal’s decision on such
dispute. But there are two difficulties in this suggestion, commercial
reality aside.
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154. First, applying the “admissibility/jurisdiction” distinction this
way is liable to produce an outcome contrary to what Article 34(2)(a)(iii)
mandates. As mentioned above at [122] and [124]-[125], the “general
principles” to be discerned from sections 3 and 9 do not displace sections
12 and 81 of the Ordinance. If the ambit of the submission to arbitration
is wide enough to encapsulate a dispute, notwithstanding the parties’
designation in the way suggested, a proper understanding of Article
34(2)(a)(iii), explained above at [128]-[131] and [134], does not allow an
arbitral award which includes a decision on such dispute to be set aside.
Nor does that Article afford any room for the court to review the
tribunal’s decision on the merits of such dispute. Insofar as it is suggested
that the merits of such dispute are liable to be reviewed by the court, the
application of the “admissibility/jurisdiction” distinction distorts the
proper scope of curial intervention under Article 34(2)(a)(iii).
155. Secondly, to accept the proposition that if the parties agree
that an issue is subject to court review, they have thereby made that issue
one of “jurisdiction”, misuses that term insofar as the decision on that
issue does not affect a tribunal’s authority to deal with the dispute by
arbitration.
156. It may well be that by an express provision the parties may
bring the decision on certain disputes within a ground in Article 34. They
may, for example, expressly state that the dispute bears on the existence or
the validity of the arbitration agreement or that the dispute falls outside
the ambit of submission to arbitration. But the availability of curial
intervention in such a situation is entirely dependent on the proper
construction of the parties’ agreement and the provisions of Article 34. It
does not depend on whether the parties use the label “jurisdiction” or
“admissibility”, still less whether they agree the tribunal’s decision on a
dispute is subject to court review. The distinction as was applied in other
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jurisdictions might be thought to be helpful in describing the conclusion
of the constructional exercises described above, but it does not aid in
arriving at that conclusion.
Parenthesis
157. Something should be said here concerning the relationship
between Articles 16 and 34 (sections 34 and 81 respectively), the text of
which is set out at [123] and [126]-[127]. Does the phrase in Article 16(1)
that the tribunal “may rule on its own jurisdiction” broaden what
otherwise are the precise grounds of curial intervention in Article 34, as to
include what the parties have chosen in the agreement to identify as
“jurisdictional”? The better view is that the Articles operate in tandem so
that the scope of curial intervention under Article 34 is epexegetical of
Article 16(1). But it should be emphasised that the scope of curial
intervention arising from a tribunal ruling under Article 16(1) has not
been the subject of focussed submission by the parties to this appeal.
Conclusion
158. When questions arise as to the permissible scope of curial
intervention under the Ordinance, the court should, on the one hand,
properly construe the relevant arbitration agreement, bearing in mind the
exhortations of Lord Hoffmann in Fiona Trust quoted above at [117], and
on the other hand, properly construe the relevant statutory provision,
bearing in mind the principle in sections 3(2)(b) and 12 of the Ordinance
quoted above at [122] and [124].
159. In sum, when determining whether the court may set aside an
arbitral award under section 81 of the Ordinance, the
“admissibility/jurisdiction” distinction is an unnecessary distraction and
presents a task of supererogation: there is no need to find the answer
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somewhere else when it is supplied by construing and applying the statute
to the facts of the case.
Order
160. The appeal should be dismissed with costs on an indemnity
basis.
Chief Justice Cheung:
161. Accordingly, the court unanimously dismisses the appeal and
makes a costs order nisi on an indemnity basis in favour of the respondent.
(Andrew Cheung) (R A V Ribeiro) (Joseph Fok)
Chief Justice Permanent Judge Permanent Judge
(M H Lam) (William Gummow)
Permanent Judge Non-Permanent Judge
Mr Benjamin Yu SC, Ms Bonnie Y K Cheng and Mr Brian Lee, instructed
by Baker & McKenzie, for the Plaintiff (Appellant)
Mr Simon Chapman, Solicitor Advocate, of Herbert Smith Freehills, for
the Defendant (Respondent)