Re MacTiernan; Ex parte Coogee Coastal Action Coalition Inc

Case

[2005] WASCA 109

14 JUNE 2005

No judgment structure available for this case.

RE MacTIERNAN; EX PARTE COOGEE COASTAL ACTION COALITION INCORPORATED [2005] WASCA 109



(2005) 30 WAR 138
SUPREME COURT OF WESTERN AUSTRALIACitation No:[2005] WASCA 109
THE COURT OF APPEAL (WA)
Case No:CIV:2331/20043 MARCH 2005
Coram:WHEELER JA
MCLURE JA
PULLIN JA
14/06/05
37Judgment Part:1 of 1
Result: Order nisi discharged
Declaratory relief refused
A
PDF Version
Parties:COOGEE COASTAL ACTION COALITION INCORPORATED
THE HONOURABLE ALANNAH MacTIERNAN MLA, MINISTER FOR PLANNING & INFRASTRUCTURE, MINISTER FOR LANDS
THE WESTERN AUSTRALIAN PLANNING COMMISSION
CITY OF COCKBURN
CONSOLIDATED MARINE DEVELOPMENTS (AUSTRALIA) PTY LTD (ACN 008 755 084)
PORT CATHERINE DEVELOPMENTS PTY LTD (ACN 070 096 927)
ANCHORAGE INDUSTRIES PTY LTD (ACN 008 860 428)
REGISTRAR OF TITLES

Catchwords:

Administrative law
Return of order nisi for prerogative relief
Whether certiorari available
Amendment to Metropolitan Region Scheme
Scope of s 33 of Metropolitan Region Town Planning Scheme Act
Bias
Whether intended grant or transfer of land under Land Administration Act derogates from common law public rights of fishing and navigation
Whether application to prohibit or prevent issue of title premature

Legislation:

Associations Incorporation Act 1987 (WA), s 4(1)(d), s 4(1)(e)
Environmental Protection Act 1986 (WA)
Land Administration Act 1997 (WA)
Metropolitan Region Town Planning Scheme Act 1959 (WA), s 33, s 37A
Town Planning and Development Act 1928 (WA)
Western Australia Constitution Act 1890, 53 & 54 Vict Ch 26, s 3
Western Australian Planning Commission Act 1985 (WA), s 18, s 19, s 20

Case References:

Ainsworth v Criminal Justice Commission (1992) 175 CLR 564
Annetts v McCann (1990) 170 CLR 596
Attorney-General (British Columbia) v Attorney-General (Canada) [1914] AC 153
Australian Conservation Foundation v The Commonwealth (1980) 146 CLR 493
Australian National Industries Ltd v Spedley Securities Ltd (in liq) (1992) 26 NSWLR 411
Bass v Permanent Trustee Co Ltd (1999) 198 CLR 334
Batemans Bay Local Aboriginal Land Council v Aboriginal Community Benefit Fund Pty Ltd (1998) 194 CLR 247
Blue Mountains City Council v Prospect County Council (1992) 74 LGRA 129
Bridgetown/Greenbushes Friends of the Forest Inc v Executive Director of Conservation and Land Management (1997) 18 WAR 102
Bridgetown/Greenbushes Friends of the Forest Inc v Executive Director of Conservation and Land Management (1997) 18 WAR 126
British Medical Association v The Commonwealth (1949) 79 CLR 201
Commonwealth of Australia v Yarmirr (2001) 208 CLR 1
CREEDNZ Inc v Governor-General [1981] 1 NZLR 172
Croome v Tasmania (1997) 191 CLR 119
Ebner v Official Trustee in Bankruptcy (2000) 205 CLR 337
Fejo v Northern Territory of Australia (1998) 195 CLR 96
Gumana v Northern Territory of Australia [2005] FCA 50
Harper v Minister for Sea Fisheries (1989) 168 CLR 314
Hot Holdings Pty Ltd v Creasy (1996) 185 CLR 149
Hot Holdings Pty Ltd v Creasy (No 2) (2002) 210 CLR 438
Johnson v Johnson (2000) 201 CLR 488
Kioa v West (1985) 159 CLR 550
Laws v Australian Broadcasting Tribunal (1990) 170 CLR 70
Minister for Immigration and Multicultural Affairs v Jia Legeng (2001) 205 CLR 507
Nicholls & Arrow Ltd v Tea Tree Gully City Council (1989) 69 LGRA 121
Oshlack v Richmond River Council (1998) 193 CLR 72
Pyneboard Pty Ltd v Trade Practices Commission (1983) 152 CLR 328
R v Arnaud (1846) 9 QB 806
R v Corporation of the City of Whyalla; Ex parte Kittel (1979) 20 SASR 386
R v Sevenoaks District Council; Ex parte Terry [1985] 3 All ER 226
R v St Edmundsbury Borough Council; Ex parte Investors in Industry Commercial Properties Ltd [1985] 1 WLR 1168
Re Beggs; Ex parte Helena Valley/Boya Association (Inc); State Planning Commission (1990) 2 WAR 422
Re MacTiernan; Ex parte Coogee Coastal Action Coalition Incorporated [2004] WASC 264
Re Western Australian Planning Commission; Ex parte Leeuwin Conservation Group Inc [2002] WASCA 150
Real Estate Institute of New South Wales v Blair (1946) 73 CLR 213
Salomon v A Salomon & Co Ltd [1897] AC 22
Shop Distributive & Allied Employees Association v Minister for Industrial Affairs (1995) 183 CLR 552
Sidney Harrison Pty Ltd v City of Tea Tree Gulley (2001) 112 LGERA 320
State of South Australia v Clark (1997) 68 SASR 327
Victorian Chamber of Manufacturers v The Commonwealth (1943) 67 CLR 335
WA Field & Game Association Inc v Minister for Conservation and Land Management and the Environment (1992) 8 WAR 64
Webb v The Queen (1994) 181 CLR 41

Alfred F Beckett Ltd v Lyons [1967] 1 Ch 449
Arnhemland Aboriginal Land Trust v Director of Fisheries (Northern Territory) (2000) 170 ALR 1
Attorney-General (Southern Nigeria) v John Holt & Co (Liverpool) Ltd [1915] AC 599
Attorney-General v Wright [1897] 2 QB 318
Ball v Consolidated Rutile Ltd [1991] 1 Qd R 524
Blount v Layard [1891] 2 Ch 681
Blundell v Catterall (1821) 5 B & Ald 268
Bodney v Westralia Airports Corp Pty Ltd (2000) 109 FCR 178
Bonton v City of South Perth [1982] WAR 213
Bread Manufacturers of New South Wales v Evans (1980) 180 CLR 404
Brighton and Hove General Gas Co v Hove Bungalows Ltd [1942] 1 Ch 372
Brinckan v Matley [1904] 2 Ch 313
Builders' Registration Board of Queensland v Rauber (1983) 57 ALJR 376
Bycon Pty Ltd v Moira Shire Council [1998] VSC 25
Chu v Minister for Immigration and Ethnic Affairs (1997) 78 FCR 314
Coastal Water Alliance of Western Australia Inc v Environmental Protection Authority (1996) 90 LGERA 136
Corporation of the City of Whyalla; Ex parte Kittel (1979) 20 SASR 386
Costa v Shire of Swan [1983] WAR 22
Cudgen Rutile (No 2) Pty Ltd v Chalk [1975] AC 520
Day v Pinglen Pty ltd (1981) 148 CLR 289
Ferguson v Union Steamship Co of NZ Ltd (1884) 10 VLR 279
Hall v Development Assessment Commission (No 3) (2001) 113 LGERA 471
Hoffman-La Roche & Co v Secretary of State for Trade and Industry [1975] AC 295
Ideal Laundry Ltd v Pentone Borough [1957] NZLR 1038
Jones v Shire of Perth [1971] WAR 56
Lord Fitzhardinge v Purcell [1908] 2 Ch 139
Lower Hutt City Council v Bank [1974] 1 NZLR 545
Mayor and Corporation of Carlisle v Graham (1869) LR 4 Exch 361
Minister for Immigration, Local Government & Ethnic Affairs v Mok (1994) 55 FCR 375
National Companies and Securities Commission v News Corp Ltd (1984) 156 CLR 296
New South Wales v The Commonwealth of Australia (1975) 135 CLR 337
Nicholas v Western Australia [1972] WAR 168
Peltier v Darwent (1870) 9 SCR (NSW) 133
Pyneboard Pty Ltd v Trade Practices Commission (1983) 152 CLR 328
Queensland v Beames (2002) 120 LGERA 309
R v Anderson; Ex parte Ipec-Air Pty Ltd (1965) 113 CLR 177
R v Australian Stevedoring Industry Board; Ex parte Melbourne Stevedoring Co Pty Ltd (1953) 88 CLR 100
R v Betts (1850) 16 QB 1022
R v Home Secretary; Ex parte Fire Brigades Union [1995] 2 AC 513
R v Marion City Corp; Ex parte Independent Grocers' Co­operative Ltd (No 2) (1984) 37 SASR 436
R v Optical Board of Registration; Ex parte Qurban [1933] SASR 1
R v Ward (1837) 111 ER 832
Re City of Joondalup; Ex parte Mullaloo Progress Association Inc [2003] WASCA 293
Re Refugee Tribunal; Ex parte Aala (2000) 204 CLR 82
Re Smith; Ex parte Rundle (1992) 5 WAR 295
Simpson v Attorney-General [1904] AC 476
South Australia v Clark (1997) 68 SASR 327
Southern Centre of Theosophy Inc v South Australia [1982] AC 706
Steeples v Derbyshire CC [1985] 1 WLR 256
Union Steamship Company of New Zealand Limited v Ferguson (1969) 119 CLR 191
Williams v Wilcox (1838) 8 Ad & E 1314
York Brothers (Trading) Pty Ltd v Commissioner for Main Roads [1983] 1 NSWLR 391

JURISDICTION : SUPREME COURT OF WESTERN AUSTRALIA TITLE OF COURT : THE COURT OF APPEAL (WA) CITATION : RE MacTIERNAN; EX PARTE COOGEE COASTAL ACTION COALITION INCORPORATED [2005] WASCA 109 CORAM : WHEELER JA
    MCLURE JA
    PULLIN JA
HEARD : 3 MARCH 2005 DELIVERED : 14 JUNE 2005 FILE NO/S : CIV 2331 of 2004 MATTER : An application for writs of certiorari and prohibition, and for declarations and related relief against the Honourable ALANNAH MacTIERNAN MLA, Minister for Planning & Infrastructure, Minister for Lands EX PARTE

    COOGEE COASTAL ACTION COALITION INCORPORATED
    Applicant

    AND

    THE HONOURABLE ALANNAH MacTIERNAN MLA, MINISTER FOR PLANNING & INFRASTRUCTURE, MINISTER FOR LANDS
    First Respondent

    THE WESTERN AUSTRALIAN PLANNING COMMISSION
    Second Respondent


(Page 2)
    CITY OF COCKBURN
    Third Respondent

    CONSOLIDATED MARINE DEVELOPMENTS (AUSTRALIA) PTY LTD (ACN 008 755 084)
    Fourth Respondent

    PORT CATHERINE DEVELOPMENTS PTY LTD (ACN 070 096 927)
    Fifth Respondent

    ANCHORAGE INDUSTRIES PTY LTD (ACN 008 860 428)
    Sixth Respondent

    REGISTRAR OF TITLES
    Seventh Respondent



Catchwords:

Administrative law - Return of order nisi for prerogative relief - Whether certiorari available - Amendment to Metropolitan Region Scheme - Scope of s 33 of Metropolitan Region Town Planning Scheme Act - Bias - Whether intended grant or transfer of land under Land Administration Act derogates from common law public rights of fishing and navigation - Whether application to prohibit or prevent issue of title premature




Legislation:

Associations Incorporation Act 1987 (WA), s 4(1)(d), s 4(1)(e)


Environmental Protection Act 1986 (WA)
Land Administration Act 1997 (WA)
Metropolitan Region Town Planning Scheme Act 1959 (WA), s 33, s 37A
Town Planning and Development Act 1928 (WA)
Western Australia Constitution Act 1890, 53 & 54 Vict Ch 26, s 3
Western Australian Planning Commission Act 1985 (WA), s 18, s 19, s 20

(Page 3)

Result:

Order nisi discharged


Declaratory relief refused


Category: A


Representation:


Counsel:


    Applicant : Dr J T Schoombee
    First Respondent : Mr R M Mitchell
    Second Respondent : Mr R M Mitchell
    Third Respondent : Mr D W McLeod
    Fourth Respondent : Mr J Garas
    Fifth Respondent : M C L Zelestis QC & Mr M J Feutrill
    Sixth Respondent : Mr J Garas
    Seventh Respondent : No appearance


Solicitors:

    Applicant : Environmental Defender's Office (WA) Inc
    First Respondent : State Solicitor
    Second Respondent : State Solicitor
    Third Respondent : McLeods
    Fourth Respondent : Allens Arthur Robinson
    Fifth Respondent : Hager & Partners
    Sixth Respondent : Allens Arthur Robinson
    Seventh Respondent : No appearance



Case(s) referred to in judgment(s):

Ainsworth v Criminal Justice Commission (1992) 175 CLR 564
Annetts v McCann (1990) 170 CLR 596
Attorney-General (British Columbia) v Attorney-General (Canada) [1914] AC 153
Australian Conservation Foundation v The Commonwealth (1980) 146 CLR 493
Australian National Industries Ltd v Spedley Securities Ltd (in liq) (1992) 26 NSWLR 411


(Page 4)

Bass v Permanent Trustee Co Ltd (1999) 198 CLR 334
Batemans Bay Local Aboriginal Land Council v Aboriginal Community Benefit Fund Pty Ltd (1998) 194 CLR 247
Blue Mountains City Council v Prospect County Council (1992) 74 LGRA 129
Bridgetown/Greenbushes Friends of the Forest Inc v Executive Director of Conservation and Land Management (1997) 18 WAR 102
Bridgetown/Greenbushes Friends of the Forest Inc v Executive Director of Conservation and Land Management (1997) 18 WAR 126
British Medical Association v The Commonwealth (1949) 79 CLR 201
Commonwealth of Australia v Yarmirr (2001) 208 CLR 1
CREEDNZ Inc v Governor-General [1981] 1 NZLR 172
Croome v Tasmania (1997) 191 CLR 119
Ebner v Official Trustee in Bankruptcy (2000) 205 CLR 337
Fejo v Northern Territory of Australia (1998) 195 CLR 96
Gumana v Northern Territory of Australia [2005] FCA 50
Harper v Minister for Sea Fisheries (1989) 168 CLR 314
Hot Holdings Pty Ltd v Creasy (1996) 185 CLR 149
Hot Holdings Pty Ltd v Creasy (No 2) (2002) 210 CLR 438
Johnson v Johnson (2000) 201 CLR 488
Kioa v West (1985) 159 CLR 550
Laws v Australian Broadcasting Tribunal (1990) 170 CLR 70
Minister for Immigration and Multicultural Affairs v Jia Legeng (2001) 205 CLR 507
Nicholls & Arrow Ltd v Tea Tree Gully City Council (1989) 69 LGRA 121
Oshlack v Richmond River Council (1998) 193 CLR 72
Pyneboard Pty Ltd v Trade Practices Commission (1983) 152 CLR 328
R v Arnaud (1846) 9 QB 806
R v Corporation of the City of Whyalla; Ex parte Kittel (1979) 20 SASR 386
R v Sevenoaks District Council; Ex parte Terry [1985] 3 All ER 226
R v St Edmundsbury Borough Council; Ex parte Investors in Industry Commercial Properties Ltd [1985] 1 WLR 1168
Re Beggs; Ex parte Helena Valley/Boya Association (Inc); State Planning Commission (1990) 2 WAR 422
Re MacTiernan; Ex parte Coogee Coastal Action Coalition Incorporated [2004] WASC 264
Re Western Australian Planning Commission; Ex parte Leeuwin Conservation Group Inc [2002] WASCA 150
Real Estate Institute of New South Wales v Blair (1946) 73 CLR 213
Salomon v A Salomon & Co Ltd [1897] AC 22
Shop Distributive & Allied Employees Association v Minister for Industrial Affairs (1995) 183 CLR 552
Sidney Harrison Pty Ltd v City of Tea Tree Gulley (2001) 112 LGERA 320


(Page 5)

State of South Australia v Clark (1997) 68 SASR 327
Victorian Chamber of Manufacturers v The Commonwealth (1943) 67 CLR 335
WA Field & Game Association Inc v Minister for Conservation and Land Management and the Environment (1992) 8 WAR 64
Webb v The Queen (1994) 181 CLR 41

Case(s) also cited:



Alfred F Beckett Ltd v Lyons [1967] 1 Ch 449
Arnhemland Aboriginal Land Trust v Director of Fisheries (Northern Territory) (2000) 170 ALR 1
Attorney-General (Southern Nigeria) v John Holt & Co (Liverpool) Ltd [1915] AC 599
Attorney-General v Wright [1897] 2 QB 318
Ball v Consolidated Rutile Ltd [1991] 1 Qd R 524
Blount v Layard [1891] 2 Ch 681
Blundell v Catterall (1821) 5 B & Ald 268
Bodney v Westralia Airports Corp Pty Ltd (2000) 109 FCR 178
Bonton v City of South Perth [1982] WAR 213
Bread Manufacturers of New South Wales v Evans (1980) 180 CLR 404
Brighton and Hove General Gas Co v Hove Bungalows Ltd [1942] 1 Ch 372
Brinckan v Matley [1904] 2 Ch 313
Builders' Registration Board of Queensland v Rauber (1983) 57 ALJR 376
Bycon Pty Ltd v Moira Shire Council [1998] VSC 25
Chu v Minister for Immigration and Ethnic Affairs (1997) 78 FCR 314
Coastal Water Alliance of Western Australia Inc v Environmental Protection Authority (1996) 90 LGERA 136
Corporation of the City of Whyalla; Ex parte Kittel (1979) 20 SASR 386
Costa v Shire of Swan [1983] WAR 22
Cudgen Rutile (No 2) Pty Ltd v Chalk [1975] AC 520
Day v Pinglen Pty ltd (1981) 148 CLR 289
Ferguson v Union Steamship Co of NZ Ltd (1884) 10 VLR 279
Hall v Development Assessment Commission (No 3) (2001) 113 LGERA 471
Hoffman-La Roche & Co v Secretary of State for Trade and Industry [1975] AC 295
Ideal Laundry Ltd v Pentone Borough [1957] NZLR 1038
Jones v Shire of Perth [1971] WAR 56
Lord Fitzhardinge v Purcell [1908] 2 Ch 139
Lower Hutt City Council v Bank [1974] 1 NZLR 545
Mayor and Corporation of Carlisle v Graham (1869) LR 4 Exch 361


(Page 6)

Minister for Immigration, Local Government & Ethnic Affairs v Mok (1994) 55 FCR 375
National Companies and Securities Commission v News Corp Ltd (1984) 156 CLR 296
New South Wales v The Commonwealth of Australia (1975) 135 CLR 337
Nicholas v Western Australia [1972] WAR 168
Peltier v Darwent (1870) 9 SCR (NSW) 133
Pyneboard Pty Ltd v Trade Practices Commission (1983) 152 CLR 328
Queensland v Beames (2002) 120 LGERA 309
R v Anderson; Ex parte Ipec-Air Pty Ltd (1965) 113 CLR 177
R v Australian Stevedoring Industry Board; Ex parte Melbourne Stevedoring Co Pty Ltd (1953) 88 CLR 100
R v Betts (1850) 16 QB 1022
R v Home Secretary; Ex parte Fire Brigades Union [1995] 2 AC 513
R v Marion City Corp; Ex parte Independent Grocers' Co­operative Ltd (No 2) (1984) 37 SASR 436
R v Optical Board of Registration; Ex parte Qurban [1933] SASR 1
R v Ward (1837) 111 ER 832
Re City of Joondalup; Ex parte Mullaloo Progress Association Inc [2003] WASCA 293
Re Refugee Tribunal; Ex parte Aala (2000) 204 CLR 82
Re Smith; Ex parte Rundle (1992) 5 WAR 295
Simpson v Attorney-General [1904] AC 476
South Australia v Clark (1997) 68 SASR 327
Southern Centre of Theosophy Inc v South Australia [1982] AC 706
Steeples v Derbyshire CC [1985] 1 WLR 256
Union Steamship Company of New Zealand Limited v Ferguson (1969) 119 CLR 191
Williams v Wilcox (1838) 8 Ad & E 1314
York Brothers (Trading) Pty Ltd v Commissioner for Main Roads [1983] 1 NSWLR 391


(Page 7)

1 WHEELER JA: I have had the advantage of reading in draft the reasons for decision of McLure JA. I agree with those reasons, save for some reservations which I would express in relation to the question of standing.

2 So far as standing is concerned, this case raises once again the question of whether an incorporated association has standing in relation to a matter because it has taken actions and made submissions which may be relevant to that matter, or because it has members, some or all of whom would themselves have standing.

3 As to the first of those issues, I have already, in an earlier matter, expressed reservations about any test for standing which relies upon governmental funding or recognition of a body to confer standing upon it: Bridgetown/Greenbushes Friends of the Forest Inc v Executive Director of Conservation and Land Management (1997) 18 WAR 102 at 114 - 115. Those reservations appear to have been shared by Murray J in Bridgetown/Greenbushes Friends of the Forest Inc v Executive Director of Conservation and Land Management (1997) 18 WAR 126 at 134, and by Anderson J in Re Western Australian Planning Commission; Ex parte Leeuwin Conservation Group Inc [2002] WASCA 150 at [1]. Similar considerations would apply in relation to a group such as the present applicant, to the extent that it appears that the various activities which it has undertaken are pointed to as implying some recognition by relevant authorities of its status.

4 Alternatively, perhaps it is simply suggested that the expression of concern by the applicant in a variety of public forums would suffice to give it standing. Logically, however, if the holding of certain beliefs and concerns is not sufficient to confer standing upon a person or body, it is difficult to see how the mere expression of those beliefs and concerns (however frequently that may be done) would give rise to a relevant special interest.

5 The more difficult question, in my view, relates to the question of the interrelationship, if any, between the standing of, or possible standing of, individual members of an incorporated association, and the standing of the association itself. In very broad terms, one of the most fundamental characteristics of a body corporate is that it is an entity separate from those who are its members: R v Arnaud (1846) 9 QB 806; Salomon v A Salomon & Co Ltd [1897] AC 22. The Associations Incorporation Act 1987 (WA) is, as its name suggests, an Act "to provide for the incorporation of associations", and an association incorporated under it becomes a separate legal entity.


(Page 8)

6 In my earlier decision of Bridgetown/Greenbushes Friends, I accepted that the interests of the members, at least when taken together with other circumstances, were capable of conferring standing upon an incorporated association of this type (at 114). There is certainly authority in this Court for that proposition; in addition to the two cases cited by McLure JA, I would add WA Field & Game Association Inc v Minister for Conservation and Land Management and the Environment (1992) 8 WAR 64 at 70 (per Malcolm CJ). Unless some challenge is made to the authority of those Full Court decisions, I would follow them. However, I think it is necessary to record my concern that in this respect the law in this State may have run ahead of both High Court authority, and of principle. My reasons for saying that are as follows.

7 In Shop Distributive & Allied Employees Association v Minister for Industrial Affairs (1995) 183 CLR 552, the High Court found that an association of shop assistants had standing to seek a declaration. Although when I earlier cited this case (in Bridgetown/Greenbushes Friends) I took it as authority for the proposition that at least an association of that kind - that is, a union of employees - might have standing because its members had standing, a closer reading of the decision suggests that it was founded, in that respect, upon a concession. The relevant passage is to be found at 557. It reads:


    "The Minister … submits that the union lacks the necessary interest to give it standing in the matter. In raising the question of standing the Minister does not rely on the fact that the union is an association. The submission is put on the basis that the union has the same interest as its members."

8 Dicta in earlier decisions of the High Court appear to be to the effect that a corporate body does not acquire standing because its members possess it. In Australian Conservation Foundation v The Commonwealth (1980) 146 CLR 493, Gibbs J said (at 531):

    "If it is the fact that some members of the Foundation have a special interest … it would not follow that the Foundation has locus standi, for a corporation does not acquire standing because some of its members possess it."
    His Honour cited for that proposition Victorian Chamber of Manufacturers v The Commonwealth (1943) 67 CLR 335 at 343 per Starke J, Real Estate Institute of New South Wales v Blair (1946) 73 CLR 213, at 224 per Latham CJ, 226 per Starke J, 228 per Dixon J, and


(Page 9)
    British Medical Association v The Commonwealth (1949) 79 CLR 201, at 257 per Dixon J. It appears that in none of those cases cited was it necessary to determine the question, either because no issue was taken in relation to standing, or because (as in British Medical Association) there were individual plaintiffs who did have standing. The British Medical Association case was cited in Croome v Tasmania (1997) 191 CLR 119, at 126 per Brennan CJ, Dawson and Toohey JJ and 137 per Gaudron, McHugh and Gummow JJ, but it was not in that case necessary for their Honours to consider the doubt expressed by Dixon J about the standing of the association, although that doubt was noted.

9 In Batemans Bay Local Aboriginal Land Council v Aboriginal Community Benefit Fund Pty Ltd (1998) 194 CLR 247, the Court proceeded on the basis that the "sufficient material interest" test for standing to obtain an injunction persisted. There was some apparent divergence of view, in that case, as to the desirability of a less restrictive view. Gaudron, Gummow and Kirby JJ, who were concerned to ensure that public interest in due administration was not unduly constricted by such a requirement, expressed the view that it should be considered as "an enabling, not a restrictive, procedural stipulation" (at 267). McHugh J, while noting that a "flexible" approach to the identification of special interest had been adopted in recent decisions (at 283), nevertheless also considered that, given divergent opinions as to whether the public interest was best served by maintaining the Attorney-General as the primary protector of public rights, it was prudent for the Court to maintain current doctrine and to leave it to the legislature to alter that doctrine if it saw fit (at 280).

10 It seems to me that when considering questions of what is a sufficient interest for the purposes of conferring standing, and whether an associated incorporation should be held to have standing because some of its members may possess a sufficient interest, questions of public policy, particularly as costs may be concerned, arise. In the Batemans Bay case, one of the observations made by Gaudron, Gummow and Kirby JJ, in support of the proposition that a broader approach to standing may well be appropriate, was that "the plaintiff would be at peril of an adverse costs order if the action failed".

11 However, the practical reality of conferring standing upon an associated incorporation such as the present applicant, is that in the event of its action being unsuccessful, the associated incorporation is most unlikely to have funds available to satisfy any order for costs. Because of the separate legal personality of that association, the individual members,


(Page 10)
    whose interests and concerns have given rise to the action, will not be at risk of costs. The end result would be, in a case such as the present, that the whole body of taxpayers of Western Australia, who may or may not share the concerns of the members of the applicant, will meet the costs of the respondent. In the absence of statutory authority (cfOshlack v Richmond River Council (1998) 193 CLR 72 at 90), one might ask whether it is appropriate for the Court to fashion a principle of standing which has the result that one set of taxpayers can cause the funds of all to be expended without hope of recovery. Taxpayers' funds, of course, are often expended on projects with which some proportion of them may disagree, but that is generally done through the political process where there is political redress. Other considerations would arise where the respondent is a private individual or a corporation, which may or may not have significant funds.

12 It might, of course, be argued that in permitting the incorporation of associations for the purpose of, inter alia, "promoting the interests of a local community" (s 4(1)(d)) or "for political purposes" (s 4(1)(e)), the Associations Incorporation Act contemplates the results described above. It might also be argued that appropriate principles might exist or be developed in relation to security for costs in such cases. These are all questions which, it seems to me, do not directly arise in the present case.

13 The authority of the decisions of the Full Court relating to incorporated associations, to which McLure JA and I have referred, have not been put in issue in this case. In any event, I would discharge the order nisi for the other reasons given by McLure JA. However, I would add my voice to those of the many other Judges and commentators, who have suggested that the present state of the law of standing in relation to an application such as the present is highly unsatisfactory and that legislative direction is overdue.

14 MCLURE JA: This is the return of an order nisi for writs of certiorari and prohibition and related relief against the Minister for Planning and Infrastructure and for Lands (first respondent), the Western Australian Planning Commission (second respondent) and the City of Cockburn (third respondent) relating to decisions made, and to be made, concerning the development of land in South Coogee. I granted the order nisi on 10 December 2004 (Re MacTiernan; Ex parte Coogee Coastal Action Coalition Incorporated [2004] WASC 264). In my reasons for granting the order nisi, I set out the relevant background, the statutory context and other relevant matters. For convenience, I propose to incorporate much of that material in these reasons.


(Page 11)

15 The application primarily relates to Amendment No 1010/33 to the Metropolitan Region Scheme ("scheme amendment"), which amendment is made pursuant to s 33 of the Metropolitan Region Town Planning Scheme Act 1959 (WA) ("Scheme Act"). The effect of the scheme amendment is to change the zoning of the land in question.

16 The land the subject of the scheme amendment ("development area") is located at South Coogee and is known as Port Catherine, parts of which are contaminated. The majority of the development area is Crown land or owned by Crown agencies, including the Commission. The development area includes foreshore and seabed ("the Coogee beach and sea area"), which is unallocated Crown land under the control of the Minister under the Land Administration Act 1997 (WA) ("LAA"). The seabed has been rezoned from a waterways reservation to urban under the Metropolitan Region Scheme ("MRS"). It is the Coogee beach and sea area that is the focus of this application. The issues that arise for determination are whether the Western Australian Planning Commission ("Commission") is disqualified from making decisions under s 33(2) of the Scheme Act because of a reasonable apprehension of bias and whether the Minister has power under the LAA to grant or transfer unencumbered title to the sea bed.

17 The Coogee area (north and south) was a site for noxious industries. The desire of successive State and local governments has been to relocate the noxious industries from South Coogee and to redevelop that area, which has been the subject of numerous planning studies and reports in the last 20 years.

18 A residential development at Port Catherine was first proposed in the mid-1980's and the notion of creating a residential marina development gained official recognition in 1992 when the then State government accepted a proposal from Consolidated Marine Developments (Australia) Pty Ltd (the fourth respondent) contingent upon obtaining environmental and planning approval. The Port Catherine development was embodied in a Master Plan released in February 1993, the essential elements of which were covered in Improvement Plan No 26 gazetted in June 1994 pursuant to s 37A of the Scheme Act.

19 In March 1996 the Commission entered into a heads of agreement with the fourth respondent and the fifth respondent, Port Catherine Developments Pty Ltd ("PCD"). The heads of agreement outlined the principles and commitments between the Commission, Consolidated Marine Developments and PCD.


(Page 12)

20 Consolidated Marine Developments, PCD and the sixth respondent, Anchorage Industries Pty Ltd, entered into an agreement in writing with the Commission dated 7 May 1997 ("first agreement") which superseded the heads of agreement. The first agreement was superseded by the Port Catherine Project Agreement No 2 between the same parties dated 28 June 2000 ("Agreement"). The development contemplated in the Agreement includes a marina and residential development on reclaimed "fingers" of the sea bed. Cabinet authorised the Commission to sign the Agreement on behalf of the Government.

21 In February 1999, the Perth Region Planning Committee, acting under delegated authority from the Commission, resolved to proceed with Amendment 1010/33 in accordance with s 33 of the Scheme Act. The amendment was referred to the Environmental Protection Authority ("EPA") for advice as to whether environmental assessment of the amendment was required. The EPA advised that formal assessment was required and an environmental review (which included a concept plan outlining proposed land uses) was prepared and advertised for public submission. In August 2002 the EPA advised that the implementation of the proposed amendment would not compromise environmental objectives provided specified environmental conditions were included. Environmental conditions were included, which conditions required the preparation and implementation of a series of management programmes and plans to be implemented at different stages of the planning process, including a waterways environmental management programme prior to the approval of the local town planning scheme amendment.

22 I infer the scheme amendment was submitted to the Minister for her consent to public submissions and she consented (in accordance with s 33(2)(a) and (b)). The scheme amendment was advertised (with the Environment Review) for public submissions from 22 November 2001 to 1 March 2002. Over 500 submissions were received, the majority of which supported the scheme amendment.

23 The Perth Region Planning Committee, acting under delegated authority from the Commission, and following preliminary consideration of the matters raised in the submissions, resolved to form a Hearings Committee. The Hearings Committee provided a report and made recommendations. The Commission accepted some but not all of the Hearings Committee's recommendations.

24 The Commission considered the submissions and submitted to the Minister the amendment to which the submissions relate, with such



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    modifications as it thought fit to make, together with a copy of the submissions and a report by the Commission on those submissions in its "Report on Submissions" dated June 2004 ("Report"). In that Report the Commission recommended that:

      "The proposed Amendment No. 1010/33 to the Metropolitan Region Scheme should proceed with Determinations as shown in Adopted Figure 1. The Determinations to the amendment are not considered to be of such a substantial nature as to warrant re-advertising.

      That the Minister for Planning and Infrastructure consider Amendment No 1010/33 as shown on the Western Australian Planning Commission plan number 3.1236/6 and reported in the Commission's Report on Submissions and forward the amendment to His Excellency the Governor for approval in accordance with section 33(1) of the Metropolitan Region Town Planning Scheme Act."

25 On 2 June 2004 Cabinet resolved to support the presentation of the modified amendment to the Governor in Council for his approval and endorsement. On or about 22 June 2004 the Minister presented the scheme amendment for approval by the Governor in Council. On the same day the Governor in Council approved the scheme amendment which was published in the Government Gazette on 23 June 2004 and 26 October 2004.

26 On 21 January 2003 the City of Cockburn initiated an amendment to its Town Planning Scheme No 3 to rezone the development area to a Development Zone and to provide a detailed local structure plan for the development proposal. Advertising of the amendment and structure plan closed on 24 December 2003. On 16 March 2004 Council resolved to adopt the amendment, subject to modifications and adopt a modified structure plan to that advertised. The main modifications included the creation of a public beach within the marina, the reduction of residential marina lots and an increase in the number of public boat pens. At the time of the hearing the Commission had not made a decision to approve the City's Town Planning Scheme Amendment ("TPS3 amendment") and Structure Plan.

27 The applicant seeks certiorari to quash the Commission's recommendations in its Report, the approval of the scheme amendment and resulting rezoning and prohibition against the Minister preventing her



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    from approving the TPS3 amendment, from causing deeds of title to issue for the Coogee beach and sea area and approving the transfer of those titles. The relevant terms of the grant of the order nisi are as follows:

      "1. The Second Respondent show cause before the Full Court why a writ of certiorari should not be issued quashing the following decisions and recommendations in its report dated June 2004 into the Metropolitan Region Scheme Amendment No 1010/33: 'Port Catherine', Volume 1: Report on Submissions ('the Report'), purportedly made under section 33(2)(g) of the Metropolitan Region Town Planning Scheme Act 1959 (WA) ('the MRTPS'), namely that:

        (a) the proposed Amendment No 1010/33 to the Metropolitan Region Scheme ('the Amendment') should proceed with determinations as shown in Adopted Figure 1 (at Attachment 4 of the Report);

        (b) the Minister for Planning and Infrastructure consider Amendment No 1010/33 as shown on the Western Australian Planning Commission plan number 3.1236/6 and reported in the Report and forward the Amendment to His Excellency the Governor for approval in accordance with section 33(1) of the MRTPS;


      upon the ground that the decisions and recommendations of the Second Respondent are affected by a reasonable apprehension of bias and prejudgement by reason of the WAPC having been a party to the Port Catherine Project Agreement No 2 dated 28 June 2000 ('Agreement No 2') and a party to the prior agreement between the same parties relating to the same project, namely the Port Catherine Project Agreement dated 7 May 1997 ('Agreement No 1').

      2. The First Respondent, in her capacity as Minister for Planning and Infrastructure, show cause before the Full Court why a writ of certiorari should not be issued:


        2.2 quashing the approval on 23 June 2004 of the Amendment by the Governor-in-Council ('the

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    amendment approval'), purportedly pursuant to section 33(2)(l) of the said Act;
    2.3 quashing the resultant rezoning purportedly effected by the publication of MRS Amendment no 1010/33 in the Government Gazette of 23 June 2004 and 26 October 2004 ('the rezoning')
    upon the ground that the amendment approval and the rezoning were each premised upon the decisions and recommendations of the WAPC referred to in paragraph 1 above which are themselves invalid and of no force and effect upon the grounds set out in paragraph 1. above with the result that there was no compliance with s 33 of the MRTPS.

    3. The First Respondent, in her capacity as Minister for Planning and Infrastructure, show cause before the Full Court why a writ of prohibition should not issue or alternatively an injunction be granted against her, prohibiting her from approving, pursuant to section 35A of the Metropolitan Region Scheme Town Planning Scheme Act 1959 (WA) or section 7 of the TPDA, the proposed Amendment No 3 to City of Cockburn Town Planning Scheme No 3, adopted by the City of Cockburn on or about 16 March 2004 ('the Cockburn scheme amendments'), upon the following grounds:


    Grounds.

    A. The Cockburn scheme amendments mirror the amendments of the MRS set out above and were adopted by the City of Cockburn to maintain consistency between its relevant town planning scheme and the MRS. The MRS amendments are invalid and of no force and effect on the ground set out in paragraph 2. above and the Cockburn scheme amendments premised upon them are accordingly themselves invalid and of no force and effect.

    4. The Third Respondent show cause before the Full Court why a writ of certiorari should not issue quashing the


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    Cockburn scheme amendments upon the grounds set out in paragraph 3A. above.
    5. The First Respondent, in her capacity as Minister of Lands, show cause before the Full Court why a writ of prohibition should not issue or alternatively an injunction be granted against her, prohibiting her:

      5.1 causing a deed or deeds of title to issue in respect of the Coogee beach and sea area;

      5.2 approving the transfer and transferring, pursuant to s 75 of the LAA or otherwise, the Coogee beach and sea area to the WAPC for transfer to the developer, whether by Crown grant or otherwise, and taking any steps to implement the same, on the grounds set out below.


      Grounds

      A. In implementation of Agreement No 2 the First Respondent stands to transfer, purportedly under the LAA, the Coogee beach and sea area to the WAPC for transfer to the developer but she cannot lawfully do so in derogation of the following common law rights:

        (a) the common law rights of the public including members of the applicant to access and use the Coogee beach and sea area in the exercise of their common law rights of fishing and navigation, and ancillary uses such as the anchoring, launching or beaching of fishing boats in the area, and the landing and processing of catch."
28 Grounds 2, 3 and 4 are derivative on the alleged invalidity of the decisions challenged in ground 1 and stand or fall on the outcome to ground 1.

29 Three discrete issues arise in the determination of whether the Commission's decisions and recommendations in the Report ("decisions") are affected by a reasonable apprehension of bias. The first is whether the



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    challenged decisions involve the exercise of a statutory power which was a precondition to the approval of the scheme amendment. If the answer to that question is in the affirmative, the second and third issues arise which are whether the Commission's decisions are affected by a reasonable apprehension of bias and whether the necessity principle applies. I will start with the first issue which involves the construction of s 33(2) of the Scheme Act.




The Scheme Act

30 Under s 33E of the Scheme Act, when the Commission resolves to formulate an amendment to the MRS, it is required to forthwith refer that amendment to the EPA. When the EPA has acted under the Environmental Protection Act 1986 (WA) in relation to a proposed amendment, the Commission, if it wishes to proceed with the amendment, must undertake an environmental review of that amendment and is not permitted to submit the amendment to the Minister for her consent to public submissions being sought until certain conditions are satisfied (s 33F).

31 Section 33 of the Scheme Act provides the procedure for making substantial alterations to the MRS. Section 33(1) provides:


    "The Scheme may be varied or amplified by an amendment to the Scheme … formulated by the Commission submitted and approved in accordance with this section."

32 Section 33(2) identifies the procedure the Commission is required to follow to amend the MRS. The amendment, when formulated by the Commission, shall (after ss 33E and 33F have been complied with) be submitted, together with such reports, surveys and other material as the Commission considers desirable, to the Minister for her consent to public submissions being sought (s 33(2)(a)).

33 If the Minister consents to public submissions being sought, the Commission is required to deposit copies of the amendment for public inspection at nominated places (s 33(2)(b)).

34 As soon as practicable after the deposit of copies of the amendment, the Commission is required to publish a notice of, inter alia, where the amendment may be inspected and notify all persons who desire to make submissions that they may be made to the Commission in writing (s 33(2)(c)).


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35 Paragraphs (f), (g), (gaa), (ga), (h), (i) (k), (ka), (l) and (m) of s 33(2) are of particular relevance and provide:

    "(f) (i) The Commission shall consider all submissions that have been duly lodged and where a submission contains an objection to the amendment the Commission shall not dismiss the objection until the person making the submission or his agent has been given the opportunity of being heard on the objection by the Commission or by a committee of the Commission established under section 19 of the Western Australian Planning Commission Act 1985.

    (ii) The Commission shall not uphold an objection to the amendment until it has given every person who has duly lodged a submission supporting the provision to which the objection relates, or his agent, the opportunity of being heard in support of that provision by the Commission or by a committee of the Commission established under section 19 of the Western Australian Planning Commission Act 1985.

    (iii) Where a submission is made by a group of persons, the group shall appoint one person to represent the group and only he shall be heard under subparagraph (i) or (ii).


      (g) Subject to section 33AB, after sections 33G(1) and 33H have been complied with in relation to the amendment and after considering all submissions that have been duly lodged, the Commission shall submit the amendment to which those submissions relate, with such modifications, if any, as it thinks fit to make, together with a copy of each of those submissions and a report by the Commission on those submissions, to the Minister.

      (gaa) For the purposes of paragraph (g) the Commission may adopt a report by a committee referred to in paragraph (f) and submit it as, or include it in, the report of the Commission.


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    (ga) If the report of the Commission, or, in the case of an amendment that would apply to land in the Swan Valley, a report of the Swan Valley Planning Committee under section 33AB(2), submitted with an amendment under paragraph (g) recommends that the amendment should not be proceeded with, the Minister may, instead of presenting the amendment to the Governor for his consideration, withdraw the amendment.

    (h) Before presenting the amendment to the Governor for his consideration, if the Minister is of opinion that any modification made to the amendment by the Commission is of such a substantial nature as to warrant such action, he may direct the Commission to again deposit the amendment as so modified, or that portion of the Scheme which is so modified, for public inspection at such time and at such places as he directs.

    (i) The Minister may direct the Commission to publish such notices in connection with the amendment as he deems appropriate.

    (j) …

    (k) A person who desires to make any submissions on any modifications so made by the Commission may notify the Minister in writing in the form prescribed by the Commission in any notice of the modification published pursuant to paragraph (i), and the Minister shall direct the Commission to consider and report on the submission to the Minister in accordance with the procedure set out in paragraphs (f) and (g).

    (ka) If the report submitted with an amendment under paragraph (g) as read with paragraph (k) recommends that the amendment should not be proceeded with, the Minister may, instead of presenting the amendment to the Governor for his consideration, withdraw the amendment.

    (l) The Minister shall then, if he has not withdrawn the amendment under paragraph (ka), present the amendment to the Governor who may approve the amendment with or without such modifications as he deems necessary to make and which he is hereby authorised to make.



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    (m) At any time before the amendment is published in the Gazette pursuant to subsection (3), the Governor may revoke the approval given under paragraph (l)."

36 When the Governor has approved the amendment (and has not revoked it), the amendment must be published in the Gazette and a copy of the amendment, together with a copy of the report of the Commission on the submissions made on the Scheme be laid before each House of Parliament (s 33(3)).

37 Either House may, by resolution of which notice has been given at any time within 12 sitting days of such House after a copy of the amendment has been laid before it, pass a resolution disallowing the amendment (s 33(4)).

38 As soon as the amendment is no longer subject to disallowance, the amendment "shall have effect as though its provisions were enacted by this Act" (s 33(5)).

39 Notice of a disallowance motion was given in relation to the scheme amendment. Debate on the motion took place in September 2004. The resolution was not passed.

40 The fifth respondent contends there is no relevant act or decision of the Commission that is amenable to certiorari. The second and third respondents make a slightly different point. They say the decisions under challenge are surplusage that do not affect the validity of the Report.

41 Certiorari lies against acts and decisions that have legal effect. If there is no act or decision having any relevant legal effect on rights, there is nothing to quash: Ainsworth v Criminal Justice Commission (1992) 175 CLR 564 at 580, 595; Hot Holdings Pty Ltd v Creasy (1996) 185 CLR 149 at 158 - 159, 178. However, this formulation is narrower than the interests to which the rules of natural justice apply with the result that other forms of relief, such as an injunction or declaration, will be available where certiorari is not.

42 A preliminary decision or recommendation, if it is one which constitutes a condition precedent to an exercise of power that will affect legal rights, will have sufficient legal effect upon rights to attract certiorari: Hot Holdings at 164 - 165.

43 The Commission has a number of duties under s 33(2) of the Scheme Act. In this case, the primary focus is on the duties in s 33(2)(f) - (ga).



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    The duties relevantly include a duty to consider all submissions that have been lodged; where a submission contains an objection to the amendment, a duty to uphold or dismiss the objection; a duty to prepare a report on submissions (or adopt a report by a committee established to conduct hearings); and a duty to submit the amendment with such modifications as it thinks fit, together with a copy of each of the submissions and the report on submissions to the Minister.

44 The Commission has no express duty or power to make a recommendation to the Minister on whether to proceed with the amendment. This is linked with the scope of the Minister's duty under s 33(2). If the report of the Commission recommends that the amendment should not be proceeded with, the Minister has a discretion to withdraw the amendment (s 33(2)(ga)). In the absence of a recommendation from the Commission that the amendment not be proceeded with, the Minister's discretion is circumscribed. If the Minister is of the opinion that any modification made to the amendment by the Commission is of such a substantial nature as to warrant the amendment or part of it being resubmitted for public inspection, she may direct the Commission to deposit the amendment as modified for public inspection. If the Minister does not take this course, she must present the amendment to the Governor. That is, if the Commission does not recommend that the amendment not be proceeded with and any modifications are not relevantly substantial, the Minister has no discretion. She is required to act. Further, she is not required to present the Commission's Report to the Governor. She is only required to submit the amendment to the Governor and it is the Governor who has the discretion to approve the amendment (s 33(2)(l)).

45 The challenged decisions identified in the order nisi are the two recommendations in the Report. The first recommendation is, in effect, that the scheme amendment as modified proceed. This recommendation rolls up two matters. It recommends modifications which the Minister must consider to determine whether they warrant depositing the amendment for further public inspection. This aspect cannot be described as outside the Commission's powers or duties. However, it also recommends proceeding with the scheme amendment as modified. The second recommendation is that the Minister consider the scheme amendment and forward it to the Governor for approval. This decision is surplusage in the sense that it is not a necessary step in the procedural chain.


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46 A positive recommendation to the Minister from the Commission to proceed with the amendment is not a statutory precondition to the exercise of any Ministerial or other power under s 33(2)(ga) - (l). Further, the act of submitting the amendment (and the submissions and report) to the Minister is the performance of a mandatory statutory obligation which is not itself capable of being relevantly affected by apprehended bias. The bias rules only apply to discretionary or evaluative decisions or acts. However, it is clear the Commission does have an evaluative role under s 33(2)(f) and following, as illustrated by the duty to uphold or dismiss an objection to the amendment and the power to make modifications to the amendment. The latter power is linked with its duty to rule on objections. It seems the Commission has a further duty, being to decide whether or not to recommend that the amendment not be proceeded with. A decision on that question does not establish the positive, namely, a recommendation that it should be proceeded with. However, it may be implicit in the first of the challenged decisions that the Commission made a positive decision not to recommend that the scheme amendment should not be proceeded with and that decision has a relevant legal effect, being that the Minister's discretion to withdraw the amendment is not activated. However, it is unnecessary to further consider this matter as the applicant did not frame its case in that way before or at the hearing and it was not the subject of submission.

47 The applicant contended at the hearing that the Commission's decision under challenge was the proposed amendment or alternatively the exercise of an implied power to recommend that the amendment be proceeded with. Starting with the latter and assuming there is an implied power to recommend, that is of no consequence because, in the absence of a Commission recommendation that the amendment not be proceeded with, the Minister is obliged to act and only the amendment must be presented to the decision-maker, the Governor.

48 The identification of the impugned decision as the proposed amendment is vague. Firstly, it is unclear whether it encompasses the amendment with the modifications thereto recommended by the Commission. I take it to mean the latter. Secondly, the applicant does not identify the specific act or decision in question. It appears to be the Commission's decision in relation to the nature and extent of any modifications to the amendment.

49 The result in the certiorari claim turns on whether the amendment as modified by the Commission must be considered by the Governor under s 33(2)(l) or simply the amendment as submitted for public submissions.



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    If the latter, nothing the Commission does thereafter (short of recommending that the amendment not proceed) has any relevant legal or practical effect on the operative decision made by the Governor. As already noted, there is no requirement for the Commission's Report to be provided to the Governor in Council. In my view, on a proper reading of subs (2)(h) and (l) the Governor is required to consider the amendment as modified by the Commission. If the amendment in those paragraphs was a reference to the amendment as submitted for public submissions, there would be no rational basis for the Minister having to assess whether the "modification made to the amendment by the Commission" is substantial before "presenting the amendment to the Governor for his consideration" under subs (2)(l). Accordingly, the Commission's decision as to modifications to the scheme is amenable to certiorari.

50 The next question is whether the Commission was disqualified from making the decision on the ground of a reasonable apprehension of bias. The applicant contends that a reasonable apprehension of bias arises from the Agreement and its predecessor, the first agreement. Nothing of significance turns on the detail of the first agreement and I will confine my consideration to the Agreement.


The Agreement

51 The development area is comprised of land variously owned by the fourth and sixth respondents, the State, the Commission and other Crown agencies. The recitals acknowledge that the Commission has been authorised to coordinate negotiations for the sale of the land owned by the State and its agencies (referred to in the Agreement collectively as the "WAPC Land") to PCD to enable PCD to carry out the Project, defined as the subdivision and development of the development area as outlined in the Development Plan annexed to the Agreement as amended from time to time in accordance with the Agreement. The Development Plan is in broad terms and provides for a residential development (including a canal development on reclaimed "fingers" of the seabed), a marina, commercial development (including office, hotel and retail facilities) and community facilities (including public access to the foreshore). The Agreement provides for the reclaimed seabed land to be sold to PCD.

52 It is a condition precedent to the Agreement that PCD obtain, at its cost, amendments to the MRS and to the town planning scheme of the City of Cockburn for the implementation of the Project ("initial approvals"); in the event the initial approvals are obtained, and subject to



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    the terms of the Agreement, PCD covenants to complete the Project in accordance with the Development Plan (cl 2.1).

53 By cl 2.4 the parties acknowledge that the Project overall needs to be commercially viable and the Development Plan will take into account the need for commercial viability and will include the elements to which I earlier referred. Commercially viable and commercial viability are defined to mean:

    "PCD being able subject to good and appropriate management and corporate practices to complete the Project in accordance with the Development Plan and the standards required by WAPC having regard to the planning objectives and responsibilities of WAPC and in accordance with good land development and management practices without prejudicing the ongoing solvency and reasonable profit expectations of PCD and without exposing WAPC to obligations, expenditure or risk in excess of the obligations of WAPC pursuant to this Agreement."

54 Clauses 2.12, 2.13, 2.14 and 3.2 are of particular relevance and materially provide:
    "Amendment to the Metropolitan Region Scheme

    2.12 PCD has applied for an amendment to be made to the Metropolitan Region Scheme to allow for the implementation of the Project and WAPC shall assist PCD in pursuing such application.

    Re-zoning

    2.13 PCD and WAPC agree to use their respective best endeavours to pursue the amendment to the Metropolitan Region Scheme and the City of Cockburn's Town Planning Scheme necessary for the Project without in any way fettering the statutory discretion of either WAPC or the City of Cockburn.

    WAPC to Act Reasonably

    2.14 WAPC agrees that in circumstances where PCD is required to obtain WAPC's approval or consent for the purposes of clause 2.12, WAPC will not unreasonably


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    withhold its approval or consent in circumstances where the granting of such approval or consent does not involve the exercise by WAPC of any of its statutory obligations relating to planning or discretions vested in WAPC.

    3.2 The obligations, powers and discretions of WAPC as a statutory planning authority or any other Authority in considering any application by PCD for any approval or authorisation required from WAPC or any other Authority in relation to or incidental to the Project shall not be limited or restricted by this Agreement."


55 Best endeavours or reasonable endeavours is defined to mean:

    "(a) in respect of WAPC all reasonable efforts within the Party's statutory or corporate powers to obtain or facilitate the required result including in the case of Crown land where WAPC is obliged under this Agreement to obtain LAA Approvals, the obtaining of the LAA approvals; and

    (b) …

    without in any way limiting or restricting the obligations, powers and discretions of any Party in accordance with any of the duties, responsibilities and objectives vested in such Party."


56 PCD can request variations to the Development Plan and in certain circumstances the Commission must give reasonable consideration to granting the request and in additional circumstances is obliged to approve the variation (cl 3.3). It will be obliged to approve the variation if, inter alia, there are changed circumstances that materially impact upon the commercial viability of the Project and it materially improves the quality of the Project (cl 3.3).

57 Under cl 5.2 the Commission authorises PCD to apply for the "Approvals" (defined to mean all rezoning, approvals, authorisations, etcetera, required to enable PCD to carry out the Project) in relation to the WAPC land as if it were the registered proprietor of the WAPC land. Under cl 23.2 the Commission represents and warrants that it is authorised to deal with the WAPC land save and except in the case of Crown land which is subject to LAA approvals. Clause 5.3 materially provides:



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    "WAPC agrees to provide such assistance to PCD in applying for and seeking the Approvals as PCD shall reasonably require. Nothing in this Agreement contained or implied shall limit the powers or discretion of WAPC or any Relevant Approving Authority (defined to include the first and third respondents) in considering and making its determination in respect of any application for an Approval. …"

58 If any application for an Approval relating to the WAPC land is refused or granted on unacceptable conditions to PCD, the Commission authorises PCD to pursue any appeal available (cl 5.4).

59 If PCD is unable to obtain any initial approval or obtains an initial approval on conditions unacceptable to it, PCD can, if certain conditions are met, terminate the Agreement (cl 5.8).

60 Under cl 6, the Commission has to confirm that the WAPC land is available. The clause provides:


    "6.1 Within one month from the Initial Approvals Date WAPC shall:

      (a) use its reasonable endeavours to convert all WAPC land which is within the Development Plan Area (save and except the Sea Bed Land) to freehold within one month from the Initial Approvals Date; and

      (b) inform PCD whether it is able to arrange for the transfer of any of the WAPC land within the Development Plan Area subject to the terms of this Agreement to PCD upon PCD exercising the Call Options. If WAPC gives notice … that it is unable to arrange for the transfer of any part of the WAPC land … which is not registered in the name of or vested in [the Commission] or is Crown land then either party may subject to the terms of this Agreement invoke variation provisions contained in clause 28 [which provides for a revised Development Plan deleting, inter alia, the sea bed land]."

61 Under cl 6.2, within three months from the Initial Approvals Date, PCD is required to give notice to the Commission as to whether it wishes


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    to proceed with the Project and if it fails to give notice of its wish to proceed, then the Agreement will be terminated.

62 If PCD elects to proceed with the Project, the Agreement provides for call and put options for the purchase by PCD of the WAPC land. However, the grant by the Commission to PCD of the option to purchase some or all of the WAPC land is subject to obtaining LAA approvals under cl 6.1.


Reasonable Apprehension of Bias

63 The applicant contends that the Commission's decisions are invalid because of a reasonable apprehension of bias by virtue of a conflict of interest and prejudgment. The applicant relies on corporate bias and not the bias of any individual involved in the decision.

64 A decision-maker exercising a statutory power affecting rights or interests has a duty to accord procedural fairness and generally one of the incidents of that duty is the absence of the actuality or the appearance of disqualifying bias: Hot Holdings Pty Ltd v Creasy (No 2) (2002) 210 CLR 438 at [21] per Gleeson CJ.

65 The general test of bias is whether the relevant circumstances are such as would give rise, in the mind of a fair-minded and informed member of the public, to a reasonable apprehension of a lack of impartiality on the part of the decision-maker: Webb v The Queen (1994) 181 CLR 41.

66 However, the content of the test or its application can vary according to the circumstances: Hot Holdings No 2 (supra) at [70] per McHugh J; Ebner v Official Trustee in Bankruptcy (2000) 205 CLR 337 at [4] per Gleeson CJ, McHugh, Gummow and Hayne JJ; Minister for Immigration and Multicultural Affairs v Jia Legeng (2001) 205 CLR 507 at [99] per Gleeson CJ and Gummow J.

67 In the case of a Judge exercising judicial power, the test is whether a fair-minded lay observer might reasonably apprehend that the Judge might not bring an impartial and unprejudiced mind to the resolution of the question he or she is requested to decide: Johnson v Johnson (2000) 201 CLR 488; Ebner (supra) at [6] per Gleeson CJ, McHugh, Gummow and Hayne JJ.


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68 In deciding whether a judicial officer might not bring an impartial mind to the resolution of a dispute the question is one of possibility (real and not remote), not probability: Ebner at [7].

69 The application of the test or the standard to be applied in a particular case requires consideration of the nature of the decision-making process, the task committed to the decision-maker and the position of the person making the decision; that is so whatever the ground of disqualification, whether it be, for example, by reason of prejudgment, interest or association: Jia Legeng at [78] and [187].

70 In Jia Legeng the issue was whether the Minister for Immigration and Multicultural Affairs was actually biased or there was a reasonable apprehension of bias in the form of prejudgment. The approach taken by Gleeson CJ and Gummow J in Jia Legeng on the question of prejudgment by the Minister is illustrative. They said (at [102] - [105]):


    "It would be wrong to apply to [the Minister's] conduct the standards of detachment which apply to judicial officers or jurors. There is no reason to conclude that the legislature intended to impose such standards upon the Minister, and every reason to conclude otherwise.

    In CREEDNZ Inc v Governor-General Cooke J, in the context of a claim that in advising on an Order in Council relating to a development proposal Ministers had been in breach of the requirements of natural justice, said:


      'The references in the amended statement of claim to a real probability or suspicion of predetermination or bias are beside the point in relation to a decision of this nature at this governmental level. Projects of the kind for which the National Development Act 1979 (NZ) is intended, whether Government works or private works, are likely to be many months in evolution. They must attract considerable public interest. It would be naive to suppose that Parliament can have meant Ministers to refrain from forming and expressing, even strongly, views on the desirability of such projects until the stage of advising on an Order in Council.'

    The Minister was obliged to give genuine consideration to the issues raised by ss 501 and 502 [of the Migration Act 1958



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    (Cth)], and to bring to bear on those issues a mind that was open to persuasion. He was not additionally required to avoid conducting himself in such a way as would expose a judge to a charge of apprehended bias."

71 Lower and foreign courts have considered the test that applies to decisions made by policy bodies such as planning authorities that exercise numerous statutory functions. The approach taken is to raise the threshold from a real possibility of bias to a probability or likelihood or to proof of actual bias: Blue Mountains City Council v Prospect County Council (1992) 74 LGRA 129 at 133 per Cripps J; R v Sevenoaks District Council; Ex parte Terry [1985] 3 All ER 226 at 229 per Glidewell J; R v St Edmundsbury Borough Council; Ex parte Investors in Industry Commercial Properties Ltd [1985] 1 WLR 1168. However, as I read Jia Legeng (particularly in citing CREEDNZ Inc v Governor-General [1981] 1 NZLR 172 with approval) and Webb (supra) at 76 per Deane J, the variable is the level or standard of impartiality applicable in the circumstances, not the standard of proof (for want of a better description).

72 Where interest is relied on as a ground of disqualification, the fact that a decision-maker has an interest in the relevant subject matter does not establish apprehended bias. What must be considered is the particular nature of the interest and the way in which it might lead to a departure from an impartial exercise of power: Ebner (supra) at [8]; Hot Holdings No 2 at [69].

73 The third respondent contended that the duty to accord procedural fairness, or at least so much of the duty as relates to bias, was statutorily excluded. It was alone in advancing this submission. A legislative intention to exclude natural justice requires clear manifestation and plain words of necessary intendment: Kioa v West (1985) 159 CLR 550 at 584; Annetts v McCann (1990) 170 CLR 596 at 598. There is no express or implied intention in s 33 of the Scheme Act to exclude or modify the bias rules. Indeed, giving members of the public the right to be heard on the amendment (s 33(2)(f)) and requiring the Commission to rule on objections supports a contrary intention.

74 Courts in South Australia have reached a contrary view in relation to similar powers: Nicholls & Arrow Ltd v Tea Tree Gully City Council (1989) 69 LGRA 121 at 129 applied in State of South Australia v Clark (1997) 68 SASR 327; R v Corporation of the City of Whyalla; Ex parte Kittel (1979) 20 SASR 386. However, these cases were decided before the flexibility in standards of impartiality was recognised. Further, the



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    consequence of excluding the rules against bias is to permit actual bias, a result unlikely to be intended by the legislature. I am satisfied that the duty to avoid the actuality or appearance of bias have not been excluded.

75 In determining whether the Commission is disqualified because of a reasonable apprehension of bias based on interest and prejudgment, it is necessary to refer to the broad statutory framework in which the Commission operates and the factual context in which the decision came to be made.

76 Under the Western Australian Planning Commission Act 1985 (WA) ("Commission Act") the Commission's functions include providing advice and assistance to any body or person on land use planning and development; strategic planning for the metropolitan region; doing all things necessary to carry out the Scheme Act and the MRS; advising the Minister on planning and development; and planning for the coordinated provision of infrastructure for land development (s 18(1)). The Commission is an agent of the Crown and is subject to Ministerial direction in the performance of all its functions (ss 4(3), 18(4) of the Commission Act).

77 In relation to the MRS, the Commission has the powers of a responsible authority under the Town Planning and Development Act 1928 ("Planning Act") (s 37(1) of the Scheme Act). The Planning Act is incorporated in the Scheme Act and thus applies to the MRS and the Commission (s 3 of the Scheme Act). Accordingly, the Commission may acquire land for the purpose of the MRS and, subject to that scheme, has all the powers of an owner in respect of such land (ss 13 and 14 of the Planning Act). In addition, the Commission has broad powers concerning planning, development and dealings in land the subject of an improvement plan under s 37A of the Scheme Act. In particular, the Commission may acquire, develop and sell land and enter into agreements with owners of land for the redevelopment of that land (s 37A(4) of the Scheme Act). In considering the correct standard of impartiality to apply, the focus is on the general nature of the Commission's functions and powers, not on whether a particular transaction is within power (see City of Whyalla at 390 per King CJ).

78 In the exercise of its functions under s 18 of the Commission Act, the Commission undertook planning studies of the Coogee area. Planning for that area has been a long evolutionary process which commenced in the early 1980's. State governments have had a significant involvement in the process. Cabinet specifically authorised the Agreement. A proposed



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    amendment to the MRS was formulated and submitted to the EPA in February 1999. That was done by a Committee acting under delegated authority of the Commission. However, the significant point is that the Scheme Act places all the obligations on the Commission. Thereafter the amendment was submitted to the Minister for consent to advertising for public submissions and, with that consent, the amendment was advertised in November 2001.

79 I am satisfied that the standard of impartiality a reasonable and informed observer would require of the Commission in the exercise of its powers in s 33(2)(f) and (g) is less than that demanded of a judicial officer and equivalent to that identified by the High Court in Jia Legeng. I have reached this conclusion having regard to the Commission's very extensive functions and powers in relation to planning, including the power to itself participate, including as owner, in the development and redevelopment of land for the purposes of the MRS. Added to that is the Commission's early involvement in strategies and planning for the area and its power to formulate a proposed amendment to the MRS and to submit an amendment to the Minister for consent to advertising for public submissions. In those circumstances it would be naïve to suppose that Parliament can have meant the Commission to refrain from forming and expressing views on the desirability of the scheme amendment.

80 The source of the disqualifying bias, both in relation to interest and prejudgment, is stated to be the Agreement and Cabinet's authority for the Commission to enter into that Agreement. The applicant does not precisely identify the interest which it says gives rise to the disqualification. I assume it is the fact that the Commission is a party to an agreement which envisages that if the necessary approvals are obtained, the WAPC land may be sold to PCD and developed in accordance with the Development Plan. No particular reliance is placed on the fact that some of the land is registered in the Commission's name. The interest ground overlaps with the prejudgment ground.

81 The Agreement does not commit the parties to the sale or development of the relevant land until conditions precedent, being the amendment to the MRS and TPS3 have been satisfied. Indeed, in relation to the Coogee beach and sea area, the grant of the option is subject to the Minister exercising powers under the LAA in relation to that land. The statutory powers of the Minister concerning disposition of Crown land area are unaffected by the Agreement. I am not persuaded that Cabinet approval of the Agreement is of any additional significance beyond the existence of the Agreement itself.


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82 Further, although the Commission agrees to assist PCD in applying for the amendment to the MRS, the Agreement expressly provides that this does not affect the exercise of the Commission's statutory obligations and discretions relating to planning. I have previously decided that the Agreement does not expressly or impliedly fetter the Commission's discretions under s 33(2) of the Act. That decision is not challenged.

83 In the case of prejudgment, the question is whether there is a reasonable apprehension that the Commission is so committed to a conclusion already formed as to be incapable of alteration, whatever evidence or arguments may be presented. An alternative formulation is whether a reasonable and informed member of the public would conclude there was a possibility that the Commission was not open to persuasion, bearing in mind it could properly form a preliminary view (even a strong preliminary view) as to the planning merits of the proposed development. The clear answer to both formulations of the question is in the negative.

84 The same approach applies to the interest ground of disqualification. Regard must be had to the nature of the task and what is permissible in that context (Jia Legeng at [187] - [191]). This is not the usual scenario where the impugned interest is an irrelevant consideration in the performance of the decision-maker's exercise of duty or power. Having regard to the Commission's statutory functions and its proper role in seeking a planning solution for the area, the potential avenue for development the subject of the Agreement is a relevant consideration. This is important in considering the next step, which is the way in which the interest might lead to a departure from an impartial exercise of the power. It cannot be in taking into account an irrelevant consideration in the exercise of its powers and duties under s 33(2) because the potential for development contemplated in the Agreement is relevant. In my view it is the possibility of prejudgment with which I have already dealt.

85 For these reasons, I am satisfied that the circumstances do not give rise to a reasonable apprehension of bias. Accordingly, I would dismiss orders 1, 2, 3 and 4.




Necessity

86 There are a number of exceptions and limitations to the bias rule, one of which is the doctrine of necessity. There is no helpful judicial formulation of the rule which is invoked to allow an otherwise disqualified decision-maker to exercise the relevant power or duty. The High Court's consideration of the doctrine has been inconclusive: Laws v



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    Australian Broadcasting Tribunal (1990) 170 CLR 70 at 88 - 89 and 96; Ebner (supra) at 359, 368 and 398.

87 However, it seems reasonably clear that the doctrine does not apply where there is an alternative decision-maker that is not disqualified: Sidney Harrison Pty Ltd v City of Tea Tree Gulley (2001) 112 LGERA 320 at 326; Australian National Industries Ltd v Spedley Securities Ltd (in liq) (1992) 26 NSWLR 411; Jia Legeng (supra) at 558 - 559 per Kirby J. An issue that arises in this case is whether the powers of delegation of the Commission's functions under ss 19 and 20 of the Commission Act provide such an alternative. We were not addressed on this question. In those circumstances, and as I have concluded there was no reasonable apprehension of bias, I do not propose to further consider the question of necessity.


Disposition of Crown Lands by Minister (Order 5)

88 The applicant seeks prohibition or an injunction preventing the Minister from causing a grant of fee simple of the Coogee beach and sea area to issue and from transferring title to that land to the Commission for transfer to PCD. The ground relied on is that implementation of the Agreement will result in a derogation of the public common law rights of fishing and navigation. In the alternative, the applicant seeks a declaration that the grant or transfer of land below the high water mark by the Minister under the LAA does not abrogate the common law public rights of fishing and navigation.

89 It is not contested in this application that there are common law public rights to fish and navigate in the Coogee beach and sea area and such rights can only be abrogated by statute: Harper v Minister for Sea Fisheries (1989) 168 CLR 314 at 330; Attorney-General (British Columbia) v Attorney-General (Canada) [1914] AC 153 at 169. It is also accepted that not all interferences with the common law rights of navigation and fishing constitute an infringement of those rights: Commonwealth of Australia v Yarmirr (2001) 208 CLR 1 at [96]; Gumana v Northern Territory of Australia [2005] FCA 50 at [65]. The Crown's rights in relation to the sea bed have been described as analogous to a radical title: Yarmirr (supra) at [70]; Gumana (supra) at [62].

90 The LAA applies to land below the low water mark: s 3(1) - (5). The Minister is empowered to dispose of Crown lands, including land below the low water mark: ss 75, 86, 87 LAA. Further, the Minister is also empowered to subdivide and develop any Crown land and enter into joint ventures for the purpose of developing and selling it: ss 27, 78 LAA.


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91 The fifth respondent contends it is premature to attempt to examine the particular powers that the Minister may exercise in relation to the Coogee beach and sea area or the manner and terms on which they may ultimately be exercised. There is substance in this submission. There are a number of potential avenues open under the LAA. The Agreement does not purport to bind the Minister in any way, although cl 6.1 contemplates the possibility of a transfer of the land to PCD at some stage. The answer to the question whether the LAA abrogates the common law rights of fishing and navigation is likely to depend on the precise terms of the particular power relied on.

92 Further, there is undoubted statutory power to dispose of Crown land and I am not persuaded the applicant will be relevantly prejudiced if any disposition takes place. If a disposition has the effect of abrogating the common law rights, that will be because the statute authorises that result. On the other hand, if on its proper construction, the power relied on does not have the effect of extinguishing the common law rights, the applicant will suffer no prejudice from the refusal to grant relief at this stage. Common law public rights differ in this respect from native title rights: Fejo v Northern Territory of Australia (1998) 195 CLR 96 at [53].

93 The applicant contended that if the relevant power under the LAA authorised the abrogation of common law rights over the Coogee sea and beach area, the Minister is in a position akin to a trustee and to transfer the land would be a breach of trust which can be restrained. In my view, this submission is without merit. It is not explained how the exercise of a statutory power which on its proper construction has the effect of abrogating the rights in question can be a breach of trust. The legislative purpose of a section which has that effect is to defeat such common law rights regardless of how one seeks to characterise the Minister's position prior to disposition of the land. The applicant has been unable to identify any other irreparable damage to the rights and interests claimed which would flow from the mere disposition of the land under the LAA.

94 There is one further matter. At the time of the hearing, the final version of the development the subject of the structure plan had not been finalised. In those circumstances, it is premature to make any determination as to whether the intended use of the land will constitute a relevant interference with the common law public rights.

95 For these reasons I am satisfied that the application is premature and I would decline to grant the relief sought in order 5 or declaratory relief.


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Standing

96 The fifth respondent challenges the applicant's standing to bring the application. It contends the applicant has no sufficient special interest capable of being adversely affected by the scheme amendment or the future possible exercise of power by the Minister under the LAA.

97 The applicant was incorporated on 7 March 2003 under the Associations Incorporation Act 1987 (WA). Its objects include:


    "to promote the interests of the Coogee and Spearwood beach community by ensuring the protection, preservation and rehabilitation of the Coogee beach coastal zone in accordance with best practice coastal management and ensure its retention for recreational use."

98 Since incorporation, it has held meetings and rallies and published information about the proposal and organised a petition to Parliament. It lodged a submission to the Parliamentary Accounts Committee inquiring into the proposed development and made a submission to the third respondent in relation to the proposed TPS3 amendment and structure plan. Further, it relies on action taken by what is described as "an interim steering committee" prior to incorporation which included making a submission to the Commission on the proposed scheme amendment in 2002.

99 The applicant has approximately 145 members, the majority of which live within three kilometres of the development area. There is evidence that different members of the applicant have views of the development area from their residences and use the Coogee beach and sea area for boating, fishing, swimming and other recreational activities.

100 The test of standing is whether the applicant has a special interest in the subject matter of the action over and above that enjoyed by the public generally (see Re Beggs; Ex parte Helena Valley/Boya Association (Inc); State Planning Commission (1990) 2 WAR 422; Bridgetown/Greenbushes Friends of the Forest Inc v Executive Director of Conservation and Land Management (1997) 18 WAR 126).

101 The Helena Valley/Boya Association case concerned the alteration of the zoning of land from rural to urban pursuant to s 33A of the Scheme Act. One of the applicants was an association that was incorporated after the impugned decision was made. The Court (Ipp J with whom Pidgeon J agreed) reached the conclusion that the association had standing having


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    regard to, inter alia, the representative character of the association, the purpose for which it was formed and the special interests of its members. Taking the same approach, I am satisfied that the applicant has standing to bring this application.


Conclusion

102 For the reasons outlined above, I would refuse the relief sought and discharge the order nisi.

103 PULLIN JA: I agree with McLure JA as to reasons and outcome. I add the following additional reasons in relation to fishing and navigation rights.

104 The applicant submits that the Minister proposes to transfer Crown land, in fee simple, large parts of the Coogee beach and the sea area for development purposes. The applicant contends that such transfer will deprive or prejudicially affect the exercise of common law rights of the applicant's members. The applicant acknowledges as a possibility that as a matter of law that if such a transfer in fee simple results in registration of such title under the Transfer of Land Act this may defeat common law rights, although this point is not conceded by the applicant.

105 The applicant points out that in English law the rights of the sovereign over tidal waters, whether in the territorial sea or in internal waters were subject to two recognised common law rights, namely that of fishing and navigation and that upon colonisation of Western Australia these common law rights were transposed to Western Australia: Commonwealth of Australia v Yarmirr (2001) 208 CLR 1 at [60]. These rights are however amenable to abrogation by the legislature. See Harper v Minister for Sea Fisheries (1989) 168 CLR 314 at 330 (abrogation of fishing rights).

106 Under s 3 of the Western Australia Constitution Act 1890, 53 & 54 Vict Ch 26, the entire management and control of the wastelands of the Crown in the colony of Western Australia were vested in the legislature of the colony. Since then, the Western Australian Parliament has, via successive Acts, given the custody and control over wastelands vested in Parliament, to the Executive Government of the day.

107 Under s 75 of the Land Administration Act 1997 authority has been given to the Minister to grant an estate in fee simple (referred to as the "transfer of Crown land in fee simple"). If an estate in fee simple is granted pursuant to this legislative power, then it is strongly arguable that


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    public rights will be abrogated by this grant pursuant to statutory authority. This is because an estate in fee simple is the conferral of all interests that one can have in land. See Fejo v Northern Territory of Australia (1998)195 CLR 96. Thus, if the Minister does "transfer Crown land in fee simple", then in my opinion that will defeat the public right to fish and the transferee will obtain an unencumbered and indefeasible title.

108 The applicant submits that a statute should not be construed to take away or authorise the taking away of common law rights unless this occurs by express words or by necessary implication: Pyneboard Pty Ltd v Trade Practices Commission (1983) 152 CLR 328. The applicant submits that the Land Administration Act provides no such authority for the Minister to deal with Crown lands to defeat common law rights in tidal waters and that Parliament could never have intended to leave the continued existence of such important rights to the "say so" of the Minister. I do not accept these submissions. Parliament conferred the express right on the Minister to grant estates in fee simple and has by necessary implication conferred on the Minister the right to defeat the common law public rights. See also Gumana v Northern Territory of Australia [2005] FCA 50 at [69].

109 It is not necessary to say more because the Minister has not yet transferred the land in question and nor has the Minister indicated that the transfer is imminent. The issue is therefore hypothetical at the moment and for that reason this argument cannot sustain the application: Bass v Permanent Trustee Co Ltd (1999) 198 CLR 334 at [47].