The Convergence of Tort and Contract: Jane Swanton
The Convergence of Tort and Contract: Jane Swanton
JANE SWANTON*
The fact that the boundaries between the fields of tortious and
contractual liability are becoming increasingly blurred has recently been
the subject of considerable discussion both in legal treatises and more
particularly in the periodical literature. The purpose of this article is simply
to give an overview of the respects in which this convergence is seen
to be occurring, and to outline some of the problems created thereby.
The primary reason for the phenomenon is the dramatic expansion
during this century of the scope of the tort of negligence. The main develop-
ments are the House of Lords decisions in Donoghue v. Stevenson1 and
Hedley Byrne & Co. Ltd. v. Heller & Partners Ltd2. The former recognized
that, contrary to popular belief, the circumstance that conduct constitutes
a breach of contract towards X is no bar to its also constituting a tort
towards Y. The latter opened the door to the recovery of damages in
the tort of negligence for purely economic loss unaccompanied by physical
damage to person or property; hitherto it had been thought that recovery
for economic loss was primarily the province of the law of contract.
The encroachment of tort on contract is manifested in a number
of ways. For example there are an increasing number of situations in
which the law recognizes that a defendant may be concurrently liable
for his negligent conduct both in tort and contract. Then there is the
recognition that in some circumstances liability may arise in tort for
economic loss caused by a breach of contract to a stranger to the contract,
thereby sidestepping the doctrine of privity of contract. Another develop-
ment is the imposition of liability in the tort of negligence for state-
ments made in the course of negotiations for a contract, even though,
because of the strictness of the rules with respect to incorporation or
implication of terms, there may be no liability for breach of contract.
The extent to which the law of tort will further impinge on the law of
contract depends mainly on how far the courts are prepared to extend
the range of circumstances in which an action in the tort of negligence
can be brought for purely economic loss.
The first two derive from Winfield's much-quoted definition of tortious liability, namely that it
is liability which "arises from the breach of a duty primarily fixed by law: this duty is towards persons
generally and its breach is redressible by an action for unliquidated damages." (See Winfwld & Jolowicz
on Ton(12th ed. 1984) at 3).
42 SYDNEY LAW REMEW [VOL.12
The "interest in earning or maintaining wealth" as R. Hayes puts it in "The Duty of Care & Liability
for Pure Economic Loss" (1979) 12 Melb. U.L Rev. 79.
5 Winfiehi & Jolowicz on Ton (12th ed. 1984) at 7; G. H. L. Fridman, "The Interaction of Tort
& Contract" (1977) 93 LQ.R 422 at 436; A. J. E. Jaffey, "Contract in Tort's Clothing" (1985) 5
Legal Studies 77 at 92.
6 The Rise & Fall of Freedom of Connact (1979) many of the conclusions of which are dealt with
in summary form in "Contracts, Promises & the Law of Obligations" (1978) 94 LQ.R 193 (for criticisms
see A. S. Burrows, "Contract, Tort & Restitution-A Satisfactory Division or Not?" (1983) 99 LQ.R
217); see also Promks, Morals & the Law (1982) Ch. 7.
MARCH
19891 THE CONVERGENCE OF TORT AND CONTRACT 43
promises, that is, promises which have neither been relied on by the
promisee to his detriment nor induced him to confer a benefit on the
promisor. Clearly the law should, it is argued, compensate a plaintiff
who has relied reasonably to his detriment on a defendant's promise;
and it should restore to him a benefit conferred on the defendant in circum-
stances where the defendant is unjustly enriched at the plaintiffs expense.
But, the argument runs, the law of tort and the doctrine of promissory
estoppel are capable of ensuring compensation for detrimental reliance;
and the law of quasi-contract or restitution is capable of ensuring restitution
of benefits unjustly received. The peculiar province of the law of contract
is therefore the enforcement of the purely executory promise. But the
interest vindicated here is solely the interest in having an expectation
fulfilled. It may be doubted whether such an intangible harm as the
disappointment experienced by a promisee because of non-fulfilment of
a promise is worthy of legal protection.
It can hardly be suggested that in Australian law doctrines of tort,
promissory estoppel and restitution are sufficiently developed to be capable,
in the near future, of succeeding in a take-over bid for all of the province
of the law of contract save the enforcement of purely executory promises.
But it can be argued that the law is tending in this direction. And in
the United States, writers have suggested that this point has nearly been
reached. Grant Gilmore in his famous work The Death of Contract, said
in 1974 that:
"We are fast approaching the point where, to prevent unjust
enrichment, any benefit received by a defendant must be paid for
unless it was clearly meant as a gift; where any detriment reasonably
incurred by a plaintiff in reliance on a defendant's assurances must
be recompensed. When that point is reached, there is really no longer
any viable distinction between liability in contract and liability in
tort . . . the two fields which had been artificially set apart, are
gradually merging and becoming one".7
7 At 88; c$ D. F. Partlett "Economic Loss & the Limits of Negligence" (1986) 60 A.LJ 64 who
maintains that "contract, like Lazarus, has been brought back from the dead and now possesses great
strength and vitality." (at 64).
Negligence is the tort most likely to coincide with breach of contract though other torts such as
trespass and conversion may do so; see Clerk & L i d e U on T o m (15th ed. 1983) at 4. For the extent
to which economic interests are protected by the law of tort generally see B. Kercher & M. Noone,
Remedies (1983) Ch. 10; D. Harris, Remedies in Contract and Tort (1988) Ch. 28.
44 SYDNEY LAW REVIEW [VOL.12
contract does not normally have any other legal effect, such as constituting
a tort. Thus it was no bar to the plaintiffs claim in that case for damages
in tort for illness caused by drinking contaminated ginger beer, that the
defendant manufacturer would presumably have been in breach of contract
towards the original purchaser from him.
The decision and dicta in Donoghue v. Stevenson appeared to be
directed towards claims for physical damage to person or property. The
primary object of the law of tort has, at any rate until quite recently,
been viewed as making reparation for infliction of positive physical harm.g
Contract claims, on the other hand, are usually made in respect of financial
loss. The loss may have been suffered in one of three ways (though these
are not mutually exclusive). The plaintiff may have incurred expenditure
in reliance on the contract (reliance damages) or he may have conferred
a benefit on the defendant which he seeks to have restored (restitution
damages) or he may have failed to make the expected profit from the
transaction (expectation damages). Clearly a claim for breach of contract
may also lie where actual physical damage to person or property results
from the breach (indemnity damages), but financial loss is the normal
complaint in a contract action.
The law of negligence has now moved into the field of compensation
for economic loss.10 The landmark case is of course Hedley Byrne &
Co. Ltd v. Heller & Partners11 where the House of Lords recognised the
possibility of an action in tort being available where a person carelessly
makes a statement (in that case a statement by a bank about the credit-
worthiness of a company with which the plaintiff was proposing to do
business) for which he can be said to have assumed responsibility and
on which the plaintiff relies, foreseeably and reasonably, to his detriment.
Although Hedley Byme involved negligence in word rather than deed
its implications obviously extended beyond this type of negligent behaviour.
The policy underlying the 'exclusory' rule regarding economic loss has been examined by L. L.
Stevens, "Negligent Acts Causing Pure Economic Loss: Policy Factors at w o r k (1973) 23 U Toronto
LJ. 431; D. Partlett, "Recovery of Economic Loss for Negligence in Australia" (1980) 9 Syd L Rev.
121; P. S. Atiyah, "Negligence and Economic Loss" (1967) 83 LQ.R 248; F. A. Trindale & P. Cane,
The Law of Torsi in Australia (1985) at 297-9. For an analysis in terms of economic theory see the
exchange between W. Bishop & M. I. Rizzo in (1982) 2 0.J.L.S. 1, 197, 207 & (1982) 11 J. Legal
Studies 281, & W . Bishop in The Law of Ton: Policies & Trends in Liabiliiy for Damage to Property
& Economic Loss, (ed. M. Furmston, 1986) ch. 4.
l o This development has spawned a voluminous periodical literature over the last 25 years. Some
of the leading articles are: P. S. Atiyah, "Negligence & Economic Loss" (1967) 83 LQ.R 248; H.
H. Glass, "Duty to Avoid Economic Loss" (1977) 51 A.LJ. 372; R. Hayes, "The Duty of Care &
Liability for Purely Economic Loss" (1979) 12 Melb. U.L Rev. 79; P. Cane, "Physical Loss, Economic
Loss & Products Liability" (1979) 95 LQ.R 117, "The Metes & Bounds of Hedfey Byrne" (1981)
55 A.LJ. 862; D. F. Partlett, "Recovery of Economic Loss for Negligence in Australia" (1980) 9 Syd
L Rev. 121, "Economic Loss & the Limits of Negligence" (1986) 60 A.LJ. 64; I. A. Smillie, "Negligence
& Economic Loss" (1982) 32 U. of Toronto LJ. 231; I. C. Smith, "Economic Loss & the Common
Law Marriage of Contracts & Torts" (1984) U.B.C.L Rev. 95; M. McGrath, "The Recovery of Pure
Economic Loss in Negligence-an Emerging Dichotomy" (1985) 5 0.J.L.S.350. And see the collection
of papers in 72e Law of T o e Policies & Trends in kbility for Damage to Propei?y & Economic Loss
(ed. M. Furmston, 1986), and in the Symposium on "Recent Developments on Liability for Economic
Negligence" (1987) 12 Can. Bus. L.J. 241.
[I9641 A.C. 465.
MARCH19891 THE CONVERGENCE OF TORT AND CONTRACT 45
will be liable to the plaintiff for purely economic loss caused by negligent
performance of or failure to perform that service.''14
Despite the trend towards recognition of concurrent liability in
contract and the tort of negligence in circumstances where one aspect
of the contractual obligation is a duty to exercise care towards the other
contracting party, a possible retreat should be noted. The Privy Council
recently expressed a preference for a contractual analysis of the duty
owed by a customer to a bank and doubted the usefulness, to the law's
development, in searching for a liability in tort where the parties are
in a contractual relationship.15
l 4 J. A. Smillie, "Negligence & Economic Loss" (1982) 32 U. of Toronto LJ. 231 at 233. The case
law on concurrent liability in tort and contract is examined by C. French, "The ContractlTort Dilemma"
(1983) 5 Otago L Rev. 236; D. A. Free, "Can Parties in Contractual Relations be Liable to Each
other in Tort?" (1978) 3 Auckland U.L Rev. 243; K. Mason, "Contract & Tort: Looking Across the
Boundary from the Side of Contract" (1987) 61 A.LJ. 228; B. Morgan, "The Negligent Contract-Breaker"
(1980) 58 Can Bar Rev. 299; D. F. Partlett, Professional Negligence (1985) Ch. 6.
l5 Tai Hing Conon M ill Ltd v. Liu Chong Hing Bank Ltd [I9861 A.C. 80 at 107; see also for a
criticism of concurrent liability of solicitors, J. M. Kaye "The Liability of Solicitors in Tort" (1984)
I00 LQ.R 680.
l6 See D. Partlett, Professinal Negligence (1985) at 277-94; for criticism of the extension of tort
into this field see F. M. B. Reynolds, "Tort Actions in Contractual Situations", (1985) 11 N.Z.U.L
Rev. 215.
l 7 [I9701 2 Q.B. 223.
l 8 [I9801 Ch. 297; other cases on similar facts are discussed by G. Bates "Liability of Solicitors
for Negligence to Beneficiaries under a Will" (1985) 59 A.LJ. 327.
'9 S. Schwartz, "Hedley Byrne & Pre-Contractual Misrepresentations: Tort Law to the Aid of Contract?"
(1978) 10 Onawa L Rev. 581.
20 [I9761 Q.B. 801.
MARCH19891 THE CONVERGENCE OF TORT AND CONTRACT 47
( 4 ) Defective structures
There has been considerable development in the law with respect
to liability for defective structures. The position has been reached, in
English law at any rate, where a duty of care in tort is owed, not only
by such persons as builders, architects and d e v e l ~ p e r s ~
but
l even local
authorities who have statutory power to supervise and inspect building
work (Anns v. Merton London Borough Council22).Moreover liability has
been imposed not only where the negligence results in actual damage
to person or independent property or to the structure itself, but also where
the only 'damage' is the expenditure required to render the building safe.
There is some disagreement about whether, in the latter circumstances,
the loss or damage is appropriately classified as financial or physical.23
Some would argue that a claim for expenditure incurred in order to forestall
the occurrence of physical damage in the future can be described as
a claim in respect of physical damage. However this argument cannot
prevail if the complaint is not that the building is unsafe, but simply
that, because of the negligence, it is less valuable than it should be. In
other words, if the structure is only defective but not dangerous, the
plaintiffs loss can only be described as finan~ial.2~
Until recently it was thought that this point marked the boundary
between tort and contract. Where an article was 'safe but shoddy' the
possessor would have no action for damages unless he could establish
a breach of a contract to which he was privy. However in Junior B o o b
Ltd v. Veitchi Co. LtdZ5 the House of Lords imposed liability in tort
on a sub-contractor for negligent construction of a factory floor. The
plaintiff factory owner's contract was of course with the head contractor
2' Dunon v. Bognor Regis U.D.C. [I9721 1 Q.B. 373; Bany v. Metropolitan Property Realhatiom Ltd
[I9781 Q.B. 554; Bowen v. Paramount Builders (Hamilton) Lrd & McKay [I9771 1 N.Z.L.R. 394.
22 I19781 A.C. 728; cf. Surherland Council v. Heyman (1984) 157 C.L.R. 424 (discussed by D. G.
Gardiner, "An End to the Short Reign of Anns: The Contracted Liability of Local Authorities in Australia
for Defective Structures" (1986) 2 Q.1.TL.l 1; S. Todd, "The Negligence Liability of Public Authorities:
Divergence in the Common Law" (1986) 102 LQ.R 370).
23 Discussed by S. Todd, "Claims in Tort by Owners or Purchasers of Defective Property" (1984)
4 Legal Studies 312; A. Grubb, "A Case for Recognizing Economic Loss in Defective Building Cases"
(1984) 43 Cambridge LJ. 11 1; J. G. Fleming, The Law of Torts (7th ed. 1987) at 478-9.
24 J. C. Smith, Liabiliry in Negligence (1984), argues that there is no fundamental difference between
physical damage and pure economic loss resulting from an act which has caused or created a risk
of physical damage; the fundamental difference lies between acts which create risks of physical damage
and acts which create risks of only pure financial loss. (at 80)
25 119831 1 A.C. 520.
48 SYDNEY LAW REVIEW [VOL.12
not the defendant sub-contractor, but the plaintiff recovered in tort against
the sub-contractor even though the floor was not in any sense dangerous,
but only defective. The complaint was that the operations of the factory
were more expensive to conduct because of the added cost of maintaining
the floor, and that expenditure would be required to replace it.
The implications of Junior Books are potentially enormous.26 As
yet the principle applied in that case has not been extended to goods,
but logically there seems to be no reason to distinguish realty and
p e r ~ o n a l t y .The
~ ~ possibility arises therefore of the doctrine of privity
of contract being totally sidestepped in circumstances where a breach
of contract is negligent. The position may ultimately be reached where
a person who 'puts into circulation' a defective structure or chattel may
be liable for his negligence, not only to his immediate purchaser in contract
but also to any subsequent possessor who is foreseeably likely to suffer
financial loss.28Negligence may not be difficult to prove with the assistance
of the 'res ipsa loquitur' maxim.
Another important aspect of the decisions on defective structures
is the recognition that liability may arise in the tort of negligence for
nonfeasance as opposed to active misfeasance; for example where a
building inspector negligently omits to make any inspection whatever
of a building under construction.29 As noted earlier liability for failure
to act has generally been considered the province of contract rather than
tort. This aspect of the decisions constitutes a further illustration of the
"general modern tendency for osmosis between contract and tort."30
( 5 ) Relational interests
Traditionally the law of negligence has not applied in circumstances
where the defendant has negligently inflicted personal injury on or
damaged the property of X, and as a result the plaintiff, because of his
relationship with X, has suffered financial loss. In other words, 'relational
26 J. C. Smith, Liability in Negligence (1984) at 68 writes: "If Hedley Byrne v . Heller announced the
engagement of contract and tort, it is Junior Books v . The Veitchi Co. which has solemnized the union;
cf: J. G. Fleming, The Law of Torrs (7th ed. 1987) at 479: "There is now a consensus that the decision
must be confined to its specific facts; J. Holyoak, "Economic Loss in Product and Premises Liability
Cases" [I9881 J. Bus. Law 139 at 145: "For the moment it must be accepted that the Junior Books
principle can only be seen as a restricted one."
27 D. Cohen, "Bleeding Hearts & Peeling Floors: Compensation for Economic Loss at the House
of Lords" (1984) 18 U.B.CL Rev, 289; S. Todd "Claims in Tort by Owners or Purchasers of Defective
Property" (1984) 4 Legal Studies 312 at 331; cf: Lords Fraser & Roskill [I9831 1 A.C. at 533, 546-
7 who thought that reliance would not normally exist between the manufacturer and consumer of a
chattel.
28 These implications were a major reason for Lord Brandon's dissenting opinion.
29 Anns v. Merron London Borough Council [I9781 A.C. 728; the High Court appears to agree with
these dicta in Sutherland Council v . Heyman (1984) 157 C.L.R. 424 at 445, 456-68, 484. See also
Shaddock & Associates Pty. Ltd. v . Parramatta City Council (1981) 150 C.L.R. 225. For criticism of
extension of the 'neighbour principle' to nonfeasance see J. C. Smith & P. Burns, "Donoghuev.Stevenson-
The Not So Golden Anniversary" (1983) 46 Mod L Rev, 147 & J. C. Smith, Liability in Negligence
(1984) Ch. 3.
J. G. Fleming, The Law of Torts (7th ed. 1987) at 170.
MARCH19891 THE CONVERGENCE OF TORT AND CONTRACT 49
interests' are not generally protected. Thus, for example, it has been held
that where a defendant negligently damages an electricity cable, thereby
cutting off the supply of electricity to the plaintiffs business premises,
the plaintiff has no action against the negligent actor if his loss is solely
financial and not consequential on some damage to property.31
However a claim for financial loss resulting from negligent damage
to the property of another did succeed before the High Court of Australia
in Caltex Oil (Australia) Pty. Ltd. v. The Dredge 'Willernst~d'.~~ In that
case the defendant negligently damaged a pipeline which ran across the
bed of Botany Bay and was used to carry oil from a refinery to the
Caltex oil terminal. Although the pipeline was not the property of Caltex,
its claim for damages for the extra cost of transporting the oil by other
means while the pipeline was out of service was successful. The reasoning
of the judges in the High Court was not uniform and the ratio of the
case is still unclear.33However certain members of the Court emphasized
the fact that the circumstances were such that the defendant should have
foreseen damage to the plaintiff individually and not merely as a member
of an unascertained class.34 This feature of the case no doubt allayed
the fear which courts have always had in cases involving purely economic
loss, that allowing the claim may lead to an opening of the floodgates.
Where the defendant injures X or damages the property of X, clearly
financial loss to others such as X's family, employees, contractual privies
or others with whom he has relationships is within the realm of fore-
seeability. But to allow claims on the basis of foreseeability alone would
be to open the door to recovery 'in an indeterminate amount, for an
indeterminate time to an indeterminate class.'35
The Caltex principle has not subsequently been successfully invoked
and the Privy Council and the House of Lords have recently re-affirmed
the rule that the absence of a possessory or proprietary interest is normally
fatal to a claim in tort for damage to goods.36 It would seem therefore
that the policy against allowing recovery for injury to relational interests
is still strongly maintained. However the developments referred to above
in the area of liability for economic loss resulting from negligence in
word must surely have an influence on this area of liability for economic
3' Spartan Steel & Alloys Ltd v. Martin & Co. (Contractors) Ltd 119731 Q.B. 27.
3Z (1976) 136 C.L.R. 529.
33 The Privy Council was unable to extract any single ratio decidendi in Candlewood Navigation
Corporation Ltd. v. Mitsui 0.S.K Lines Ltd [I9861 1 A.C. 1 at 22. B. Kercher & M. Noone, Remedies
(1983) suggest that the ratio is that "recovery is possible in third party property damage cases, in
circumstances where the plaintiff is engaged in a joint venture with the third party and where it is
reasonable to ascribe knowledge to the defendant of the plaintiffs economic dependence upon the
continuation of a service, which has been interrupted by the damage caused by the defendant to the
third party's property."(at 263)
34 Gibbs &Mason J.J.
35 Ultramares Corporation v. Touche (193 1) 174 N.E. 441 at 444 per Cardozo C.J.
36 Candlewood Navigation Corporation Ltd v. Milsui 0.S.K Ltd. [I9861 1 A.C. 1; Leigh & Sillavan
Ltd v. Aliakmon Shipping Co. Ltd 119861 1 A.C. 785.
50 SYDNEY LAW REVIEW [VOL.12
1 PROMISSORY ESTOPPEL
What is the relationship between these developments in the law
of negligence, especially the Hedley Byrne principle, and the doctrine of
promissory estoppel? It seems that what we are seeing in the negligence
cases is the evolution of some sort of doctrine of 'detrimental reliance';
that is, a recognition that there may be a right to damages for reasonable
and foreseeable detrimental reliance by a plaintiff on a representation
or undertaking by the defendant, even though no consideration may have
been furnished by the plaintiff in return for that representation or
undertaking. The absence of some such principle in the law has long
been seen as an unfortunate gap.41 One of the recommendations of the
United Kingdom Law Revision Committee in its report on the doctrine
of consideration in 1937 was that "a promise which the promisor knows,
or reasonably should know, will be relied on by the promisee shall be
37 cf: J . A. Smillie, "Negligence & Economic Loss" (1982) 32 U. of Toronto LJ. 231 who argues
that the traditional rule of no liability should normally be applied to deny recovery of purely economic
loss which results from physical damage to a third person.
'8 [I9321 A.C. 562.
to found a cause of action.46 The typical case for its application was
where a contracting party reneged on a promise not to enforce strict
contractual rights. He would be estopped from doing so if the promisee
had altered his position in reliance on the promise and would incur a
detriment if it was withdrawn. However the High Court of Australia in
Waltons Stores (Interstate) Ltd v. M a h e r 4 7 has now held that the doctrine
is not limited in this way. The ingredients for raising such an estoppel
were stated thus by Brennan J.:48
"In my opinion, to establish an equitable estoppel, it is necessary
for a plaintiff to prove that (1) the plaintiff assumed or expected
that a particular legal relationship exists between the plaintiff and
the defendant or that a particular legal relationship will exist between
them and, in the latter case, that the defendant is not free to withdraw
from the expected legal relationship; (2) the defendant has induced
the plaintiff to adopt that assumption or expectation; (3) the plaintiff
acts or abstains from acting in reliance on the assumption or
expectation; (4) the defendant knew or intended him to do so; (5)
the plaintiffs action or inaction will occasion detriment if the
assumption or expectation is not fulfilled; and (6) the defendant
has failed to act to avoid that detriment whether by fulfilling the
assumption or expectation or otherwise."
The situation in that case was that a proposed lessee allowed the
proposed lessor to assume that exchange of contracts for the grant of
a lease would occur imminently;49 thereby inducing the lessor to demolish
a building and commence construction of another, to the lessee's
specifications, on the subject land. The proposed lessee then purported
to stand on its strict legal rights by refusing to proceed with the transaction
since exchange had not taken place. It was held that an estoppel arose
which bound the lessee to the terms of the proposed lease. Damages
were awarded to the lessor.
46 G. H. Treitel, The Law of Contract (7th ed. 1987) at 91; K. E. Lindgren, J. W. Carter & D.
J. Harland, Contract Law in Australia (1986) at 125-7; C h i v on Contracts Vol. 1 (25th ed. 1983)
at 118-9; Anson S Law of Contract (26th ed. 1984) at 108; Cheshire, Fgoot & Fnrmston's Law of Contract
(1 lth ed. 1986) at 95. But for the view that there is authority which supports the proposition that
promissory estoppel can be used as a sword see M. P. Thompson, From Representation to Expectation:
Estoppel as a Cause as Action" (1983) 42 Cambridge LJ 257; A. S. Burrows, "Contract, Tort &
Restitution-A Satisfactory Division or Not?'(1983) 99 LQ.R 217 at 240; P. J. Millett, "Crabb v.
Arun Dbhict Council-A Riposte" (1976) 92 LQ.R 342; K. C. T. Sutton, Consideration Reconsidered
(1974) who maintains that "the notion of promissory estoppel, as a basis for the enforcement of a
promise and not merely as a weapon of defence, is widely established in English law and is of respectable
antiquity" (at 88). The question is exhaustively examined by D. W. Greig & J. L. R. Davis, The Law
of Contract (1987) Ch. 4.
47 (1988) 62 A.L.J.R. 110.
48 Id. 127.
49 Per Mason C.J., Wilson and Brennan J.J. Deane and Gaudron J.J. considered, as did the Courts
below, that the proposed lessor believed that exchange had occurred and thus the assumption was one
of fact rather than of future intention. However Deane J. thought that an estoppel would arise even
if the lessor's belief was that exchange would occur as a matter of course.
MARCH19891 THE CONVERGENCE OF TORT AND CONTRACT 53
All the members of the Court (except Gaudron J., not deciding)
accepted that the doctrine of promissory estoppel was not limited to
promises not to enforce existing rights but could extend to undertakings
to confer rights. Thus the doctrine could operate, in an appropriate case,
to give legal force to a gratuitous or voluntary promise. But they denied
that the doctrine therefore undermined the doctrine of consideration. The
mere fact of detrimental reliance on a gratuitous promise would not
invariably raise an estoppel. There must be an assumption or understanding
on the part of the representee, induced by the representor, that the repre-
sentation or undertaking was not revocable; and it must be possible to
say that it would be unjust and unconscionable for the representor to
renege. Failure to fulfil a promise would not of itself be unconscionable.
Despite this disclaimer, it is clear that Waltons Stores (Interstate)
Ltd v. Maher50 represents a significent inroad into the doctrine of
consideration.51 It may also ultimately turn out to constitute a major step
towards the evolution in the law of a doctrine whereby representations
become binding and give rise to legal remedies if they are relied on
in such a way that a detriment would be suffered by the representee
if they were not enforced. The tort of negligence is capable of going
some way towards achieving the same purpose. Deane J. in Waltons Stores
floated the idea that an action in negligence might have been available
on the facts there (though this was not argued).52 Another suggestion
that has been made53 is that the Hedley Byme principle could be invoked
where a building contractor relied on a quote from a sub-contractor in
preparing a tender for the construction of a building, and the quote was
subsequently withdrawn (due to a careless mistake having been made
in the preparation of the figures) after acceptance of the tender. In the
United States the builder's remedy would be by way of promissory
e~toppel.5~
But the law of negligence has its limitations. The fact that negligence
must be proved means that a person who deliberately makes and breaks
a promise which he knows or should know will be relied on may not
be caught. Thus it would seem that in the example referred to above
the sub-contractor could be liable if the reason for his refusing to stand
by his quote was that it was negligently prepared and therefore too low,
but not if he simply changed his mind and withdrew his offer. Similarly
53 Cheshire, Fqoor & Fumton's Law of Contract (11th ed. 1986) at 270; J. G. Fleming, The Low
of Torts (7th ed. 1987) at 61 1. J. C. Smith, Liability in Negligence (1984) argues for the development
of the HedlqV Byrne principle so as to result in a law of civil obligation, based on undertakings which
create reliance, which will include equitable estoppel and fill the gap between the traditional law of
negligence and the traditional law of contract. (ch. 6)
54 Drennan v. Star Paving Co. 5 1 Cal. 2d. 409; 333 P. 2d. 757 (1958).
54 SYDNEY LAW REVIEW [VOL.12
QUASI-CONTRACT OR RESTITUTION
A brief reference to the law of quasi-contract or restitution is
appropriate at this point in order to elucidate the argument referred to
earlier that the law of contract is becoming almost redundanL60 The
argument is based on the view that the law of tort and the doctrine of
promissory estoppel are capable of providing a claim for damages in
circumstances where there has been detrimental reliance by the plaintiff
on an undertaking given by the defendant, and that the law of restitution
is capable of ensuring that payment is made for benefits received by
58 AS in such cases as Collen v. Wright (1857) 8 El. & B1. 647; Warlow v. Harrison (1859) 1 E.
& E. 309; Shadwell v. Shadwell (1860) 9 C.B. (N.S.) 159. This course is strongly advocated by P.
S. Atiyah in Consideration in Contracts:A Fundamental Restatement (1971) and "When is an Enforceable
Agreement not a Contract? Answer. When it is an Equity" (1976) 92 LQ.R 174.
s9 (1988)62A.L.J.R. 110at 115.
60 P. S. Atiyah, The Rise & Fall of Freedom of Contract (1979); G. Gilmore, The Death of Conhacj
(1974).
MARCH19891 THE CONVERGENCE OF TORT AND CONTRACT 55
h ' The Low of Restitution (3rd ed. 1986); see also P. Birks, An Introduction to the Law of Restitution
(1985). The 'unifying legal concept' of unjust enrichment was recognized by the High Court of Australia
in Pavey & Matthews Pty. Ltd v. Paul (1987) 162 C.L.R. 221; G. Jones (1988) 1 J. Contract Low
8.
56 SYDNEY LAW REVIEW [VOL.12
'6 L. Wilson, "Contract & Benefits for Third Parties" (1987) 11 Syd L Rev. 230; R. Flannigan,
"Privity-The End of an Era (Error)" (1987) 103 L.Q.R. 564. The strictness of the doctrine has been
modified in Australia, but query to what extent: Trident General Insurance Co. Ltd. v. McNiece Bros.
Pry. Ltd (1988) 62 A.L.J.R. 508.
h4 (1980) Ch. 297.
Thongh the duty of care may be only one aspect of the entire contractual obligation: Charlesworth
& Percy on Negligence (7th ed. 1983) at 51 1-2; A. Underwood & S. Holt, Professwnnl Negligence (1981);
R. M . Jackson & J. L. Powell, Professional Negligence (2nd ed. 1987).
67 Junior Books Lrd. v. Veirchi Co. Ltd 119831 A.C. 520 at 533-4 & 546 per Lords Fraser & Roskill;
A. J. E. Jaffey, "Contract in Tort's Clothing" (1985) 5 Legal Studies 77 at 99-100; Leigh & Sillivan
Ltd v. Aliakmon Shipping 119851 1 Q.B. 350per Robert Goff L.J. at 396-8.
b8 Lord Brandon (diss.) in Junior Books Ltd v. Veitchi Co. Ltd [I9831 A.C. 520; Bowen v . Paramount
Builders [I9771 1 N.Z.L.R. 394 per Richmond P. & Woodhouse J. at 407,419.
6y S. Todd, "Claims in Tort by Owners or Purchasers of Defective Property" (1984) 4 Legal Studies
312 at 320-6; P. Cane in The Law of Ton: Policies & Trends in Liabilily for Damage to Propew &
Economic Loss (ed. Furrnston, 1986) at 118-9; cf B. J. Reiter in Studies in Contract Law (eds. B. J.
Reiter & J. Swan, 1980) at 301-10 who argues that the question should turn on what were the reasonable
expectations of the third party.
58 SYDNEY LAW REVIEW [VOL.12
70 N. E. Palmer & J. R. Murdoch, "Expanding Contracts" (1983) 46 Mod L Rev. 213 at 221.
Scruttons Ltd. v, Midland Silicones Ltd [ 19621 A.C. 446; Wilron v. Darling Islnnd Stevedoring &
Lighterage Co. Ltd (1956) 95 C.L.R. 43; criticized by N. H. Andrews, "Does a Third Party Beneficiary
Have a Right in English Law?" (1988) 8 Leg. Stud. 14.
7 2 [I9751 A.C. 154.
MARCH19891 THE CONVERGENCE OF TORT AND CONTRACT 59
73 Lord Denning in Scruttons Ltd. v. Midland Silicones Lid [I9621 A.C. 446; B. J. Reiter in Studies
in Contract Law (eds. B. J. Reiter & 1. Swan, 1980) at 299; G. H . L. Fridman, "The Interaction o f
Tort & Contract" (1977) 93 LQ.R 422 at 440-2; J. Holyoak, "Tort & Contract after Junior Books"
(1983)99 LQ.R 591 at 603; G. Battersby, "Exemption Clauses & Third Parties" (1975) 25 U. Toronto
LJ. 371.
74 On the distinction between this defence and exclusion o f liability in tort by notice see N. C. Seddon,
"Fault Without Liability-Exemption Clauses in Tort" (1981)55 A.LJ. 22.
75 See generally A. S. Burrows, Remedies for Torfs and Breach of Contract (1987);D. Hams, Remedies
in Contract and Torf(1988);B. Kercher & M . Noone, Remedies (1983).
76 [I9691 1 A.C. 350.
77 (1854)9 EX.341.
78 Overseas Tankship (U.K) Ltd v. Morfs Dock & Engineering Co. Ltd I19611 A.C. 388; Overseas
Tankship (U.K) Ltd v. The Miller Steamship Co. Pry. Ltd dl9671 1 A.C. 617.
60 SYDNEY LAW REVIEW [VOL.12
' 9 [I9781 Q.B. 791, criticized by J. M. Steiner, "A Question of Remoteness" (1978) 29 N. Ire. LQ.
282, examined by A. S. Burrows, Remediesfor Torts and Breach of Contract (1987) at 44-5 I .
MARCH19891 THE CONVERGENCE OF TORT AND CONTRACT 61
be such that, in a factual situation where all have the same actual
or imputed knowledge and the contract contains no term limiting
the damages recoverable for breach, the amount of damages
recoverable does not depend upon whether, as a matter of legal
classification, the plaintiffs cause of action is breach of contract
or tort. It may be that the necessary reconciliation is to be found,
notwithstanding the strictures of Lord Reid at pp. 389-390, in holding
that the difference between "reasonably foreseeable" (the test in
tort) and "reasonably contemplated" (the test in contract) is semantic,
not substantial. Certainly, Asquith L.J. in Victoria Laundry (Windsor)
Ltd v. Newman Industries Ltd. [I9491 2 K.B. 528, 535, and Lord
Pearce in C. Czarkikow Ltd. v. Koufos [I9691 1 A.C. 350, 414,
thought so: and I confess I think so too."8*
It seems that the House of Lords in Koufos, in stating firmly that
the remoteness rules in tort and contract differ, did not have in mind
the proliferating cases where a defendant is liable for the same act towards
the plaintiff both in contract and tort; or liable towards one plaintiff in
contract and another in tort; or where a plaintiff has an action for the
same loss against one defendant in contract and another in tort. It seems
probable that the courts, by whatever means, will not permit a party
to exploit the difference between the contract and tort rules to his advantage
where this would give the appearance of absurdity or injustice.
One matter which has not yet been finally settled is whether it is
appropriate to apply the more generous Wagon Mound test in tort cases
where the loss is purely economic. The majority in Parsons rejected Lord
Denning M.R.'s suggestion that where damage is physical the tort rule
applies whether the action is brought in tort or contract. But this did
not foreclose the possibility that it may be considered appropriate to apply
the more demanding contract test in a tort action where the damage
is economic, or where the only risk involved in the wrongful conduct
82 R. W. M. Dias & B. S. Markesinis, Ton Law (1984) at 95; J. C. Smith, Liability in Negligence
(1984) at 165; A. S. Burrows,op. cit. supra n. 79 at 45-6.
8' G. H. Treitel, The Law of Contract (7th ed. 1987) at 747.
R4 Robinson v. Harman (1848) 1 E x . 850 at 855.
MARCH19891 THE CONVERGENCE OF TORT AND CONTRACT 63
The leading exponents of this type of analysis are L. L. Fuller & W. R. Perdue, "The Reliance
Interest in Contract Damages" (1936) 46 Yale LJ. 52, 373. Not all writers distinguish the fourth type,
but see A. I. Ogus, The Law of Damages (1973) Chs. 8, 9; B. Kercher & M. Noone, Remedies (1983)
at 71-6. A. S. Burrows, "Tort, Contract & Restitution-A Satisfactory Division or Not?" (1983) 99
LQ.R 217 prefers to use the term 'status quo' interest to include both the reliance and indemnity
interests.
86 P. Cane, "Negligence, Economic Interests & The Assessment of Damages" (1984) 10 M o m h
L! LRa! 17.
119721 1 Q.B. 60.
A. I. Ogus, The Law of Damages (1973) at 35 1; D. W. Greig & J. L. R. Davis, The Law of Contract
(1987) at 1356-9; cf: M. Owen, "Some Aspects of the Recovery of Reliance Damages in the Law
of Contract" (1984) 4 0.J.L.S. 393.
64 SYDNEY LAW REVIEW [VOL.12
C. & P. Haulage v. Middleton [I9831 1 W.L.R. 1461; C.C.C. Films (London) Ltd v. Impact Quadrant
Films Ltd. [I9851 Q.B. 16.
yo 1. G . Fleming, The Law of Tons (7th ed. 1987) at 615-6; M. Kercher & B. Noone, Remedies
(1983) at 276-8; B. J. Reiter in Studies in Contract Law (eds. B. J. Reiter & J. Swan, 1980) at 261;
J. C . Smith, Liability in Negligence (1984) at 166; A. S. Burrows, "Contract, Tort & Restitution-A
Satisfactory Division or Not?" (1983) 99 LQ.R 217 at 248.
y l [1976]Q.B. 801.
MARCH19891 THE CONVERGENCE OF TORT AND CONTRACT 65
q' Doyle v. Olby (Jronmongers) Ltd. 119691 2 Q.B. 158; Holmes v. Jones (1907) 4 C.L.R. 1692; this
position is criticized by K. M. Stanton, The Law of Ton: Problems & Trends in Liability for Damage
to Propeny & Economic Loss (ed. M . Furmston, 1986) at 19.
Y' A. J. E. Jaffey, "Contract in Tort's Clothing" (1985) 5 Legal Studies 77; Winfield & Jolowicz on
Ton (12th ed. 1984) at 7; Glanville Williams & B. A. Hepple, Foundations of the Law of Ton (2nd
ed. 1984) at 16- 17.
94 [I9801 Ch. 297.
y6 L. L. Fuller & W. R. Perdue, "The Reliance Interest in Contract Damages" (1936) 46 Yale LJ.
52, 373 at 55, 74; P. Cane in The Law of Tort: Policies & Trends in Liability for Damage to Propeny
& Economic Loss (ed. Furmston, 1986) at 116-8.
66 SYDNEY LAW REVIEW [VOL.12
97 Gates v. City Mutual Life Assurance Society Lrd. (1986) 160 C.L.R. 1. See K. M. Stanton in The
Law of Ton: Policies & Trends in Liability for Damage to Propeny & Economic Loss (ed. M. Furmston,
1986) at 18 citing Midland Bank T w t Co. Ltd v. Hen, Stubbs & Kemp 119791Ch. 394; D. W. McLauchlan,
"Assessment of Damages for Misrepresentations Inducing Contracts" (1987) 6 Otago L. Rev. 370.
98 Calfex Oil (Am) Pty. Ltd v. The Dredge 'Willemstad'(lY76) 136 C.L.R. 529.
99 R. Hayes, "The Duty of Care & Liability for Purely Economic Loss" (1979) 12 Me&. U.L Rev.
79.
loo P. Cane, "Economic Loss & the Tort of Negligence" (1980) 12 Melb. UL. Rev. 408.
lo' [I9731 1 Q.B. 233; see also Jackson v. Horizon Holidays Ltd 119751 1 W.L.R. 1468.
MARCH19891 THE CONVERGENCE OF TORT AND CONTRACT 67
contracting party may be better off exercising his right to rescind the
contract, if this is available to him, rather than suing for damages. Or
a decree of specific performance or an injunction or rectification may
be a more beneficial form of relief than damages.
4 . Contributory negligence
Whether contributory negligence is available as a defence to an
action for breach of contract is an issue which arises more frequently
nowadays in view of the increasing number of situations where concurrent
liability in tort and contract is recognized to exist. The question turns
on the construction of the apportionment legislation which is virtually
uniform in all Australian jurisdictions.lO7 The statutes provide that the
plaintiffs damages may be reduced to such extent as the court thinks
just and equitable, in circumstances where both plaintiff and defendant
are at 'fault' as defined in the legislation. Fault means 'negligence, or
other act or omission which gives rise to a liability in tort or would . . .
give rise to the defence of contributory negligence'.
Clearly a possible construction of the legislation is that the defendant
is at 'fault', even though sued for breach of contract, if he would also
be liable in tort had the plaintiff chosen to frame his action in that way.
Another construction of course is that the defendant can only argue that
he is at 'fault' and set up contributory negligence as a defence if the
proceedings are in fact framed in tort. An added difficulty is that there
is no clear authority as to whether contributory negligence ever was a
defence to a contract action at common law (though it would seem that
it was not) and whether therefore the requirement of 'fault' on the plaintiffs
part can be satisfied.
There is as yet no authoritative decision108 on the interpretation
of the legislation in this regard and it is possible that the matter may
be resolved in some jurisdictions by amendment of the legislation before
this occurs. Meanwhile it does seem anomalous that where a defendant
is concurrently liable both in tort and contract the plaintiff should be
able to avoid the defence of contributory negligence by choosing to frame
his action in contract rather than tort. Therefore, at any rate where the
defendant owes the same duty of reasonable care both in contract and
lo' The apportionment legislation is as follows: Law Reform (Miscellaneous Provisions) Act 1965
(N.S.W.) Part 111; Wrongs Act 1958 (Vic.) Part V; Wrongs Act 1936-1975 (S.A.) s. 27a; Law Reform
(Tortfeasors' Contribution Contributory Negligence and Division of Chattels) Act 1952 (Qld.) Part 111;
Tortfeasors' and Contributory Negligence Act 1954 (Tas.) s. 4; Law Reform (Contributory Negligence
and Tortfeasors' Contribution) Act 1947 (W.A.) s. 4; Law Reform (Miscellaneous Provisions) Act 1956
(N.T.) Part V: Law Reform (Miscellaneous Provisions) Ordinance 1955 (A.C.T.) Part V.
'08 The case law and proposals for reform are discussed by K. Mason, "Contract & Tort: Looking
Across the Boundary from the Side of Contract" (1987) 62 A.LJ. 228 at 23 1-4; A. M. Dugdale, "Proposals
to Reform the Law of Civil Contribution" (1984) 2 Canterbury L Rev. 171; N. E. Palmer & P. J.
Davies, "Contributory Negligence & Breach of Contract-English & Australasian Attitudes Compared"
(1980) 29 Int. & Comp. LQ. 415; J. Swanton, "Contributory Negligence as a Defence to Actions for
Breach of Contract" (1981) 55 A.LJ. 278; R. M. Jackson & J. L. Powell, Professional Negligence (2nd
ed. 1987) at 20-3; A. S. Burrows, Remedies for Torts and Breach of Contract (1987) at 73-8.
MARCH19891 THE CONVERGENCE OF TORT AND CONTRACT 69
6 . Collateral contracts
A further issue thrown up by the expansion of the principle in Hedley
Byme & Co. Ltd. v. Heller & Partners Ltd"3 is the relationship between
an action in the tort of negligence in respect of a statement made by
one party to another in negotiations for a contract, and an action on
a collateral contract. On one view of the decision in Hedley Byme the
criteria for determining whether an action in tort lies for pre-contract
negligent misrepresentation would be the same as those which determine
whether a collateral contract exists. Lord Devlin in particular spoke of
there being an action in the tort of negligence where there is a relationship
'equivalent to contract', that is, where, but for the absence of consideration,
there would be a contract.114 Many of their Lordships, though not
7 . Limitation periods1 17
The limitation period begins to run when a cause of action is
complete. In the case of a breach of contract this occurs at the time
of the breach whether or not actual damage has yet been suffered. However
in most tort actions (those deriving from the action on the case where
damage was the 'gist' of the action) there is no concluded cause of action
until damage occurs. Thus if the plaintiff has alternative remedies for
breach of contract and in tort it may happen that, though the former
is barred, the latter is not.
This distinction has generated some litigation on the question of
whether tort and contract remedies co-exist. For example in Midland Bank
Trust Co. Ltd. v. Hett, Stubbs & Kemp"8 the plaintiffs solicitor negligently
failed to register an option granted to the plaintiff over certain land, with
"5 Howard Marine & Dredging Co. Ltd v. A. Ogden & Sons (Excavations) Ltd [I9781 1 Q.B. 574.
1'6 For the argument that the availability of an action for negligent misrepresentation is to be encouraged
so as to avoid the 'subterfuge' of resort to a collateral contract, see B. J. Reiter in Studies in Confract
Law (eds. B. J . Reiter & 1. Swan, 1980) at 261-3; G . H. L. Fridman, "The Interaction of Tort & Contract"
(1977) 93 LQ.R 422 at 443-4; D. W. Greig, "Misrepresentations & Sales of Goods" (1971) 87 LQ.R
179; F. M. B. Reynolds, "Ton Actions in Contractual Situations" (1985) 1 1 N.Z,U.L Rev. 215 at 219.
11' D. F. Partlett, Professional Negligence (1985) at 350-64; Jackson & Powell, op. cit. supra n. 108
at 29-45.
" 8 119791 Ch. 384.
MARCH19891 THE CONVERGENCE OF TORT AND CONTRACT 71
the result that when the property was sold some years later, the optionee's
rights were lost. It was held that, whether or not the plaintiffs contractual
claim against his solicitor was statute barred, he had a cause of action
in tort which did not accrue until the damage was suffered, that is, when
the property was sold.
Developments in the law of negligence have thrown up difficult
cases where it is not obvious at what point the damage should be considered
to have been suffered. For example, in connection with defective structures
there has been some doubt about whether the limitation period begins
to run when some actual structural damage occurs, albeit that it might
be undetectable, or whether time begins to run only when the defect
is discovered or could with the exercise of reasonable care have been
discovered. The House of Lords fixed on the date when some actual
damage occurs, whether discovered or discoverable or not, as the relevant
date, in Pirelli General Cable Works Ltd. v. Oscar Faber & Partners.119
However the decision in Junior Books Ltd v. Veitchi Co. Ltd.120
is hard to square with this analysis.121Junior Books recognizes that liability
can arise for negligence in creating a defective structure, even though
the defect does not cause any physical damage at all, either to person(s)
or independent property or to the structure itself. The damage in that
case was purely economic as the plaintiff was in effect complaining that
the floor was worth less than it would have been but for the negligence.
It seems therefore that in some cases concerning defective structures
liability is dependent on, and the cause of action accrues on the occurrence
of, actual damage, while in other cases actual physical damage is not
essential. In cases of the latter type presumably the damage occurs and
the cause of action accrues on the completion of the structure.
Further difficulties may arise if land on which a defective structure
is erected passes into different hands. Does a new cause of action accrue
to each purchaser as he acquires the land, thus possibly extending the
limitation period indefinitely? In Pirelli the House of Lords thought not.
Lord Fraser said:
"I think the true view is that the duty of the builder and of the
local authority is owed to owners of the property as a class, and
that if time runs against one owner, it also runs against all his
' I 9 [I9831 2 A.C. 1; but if the structure was 'doomed from the start' the limitation period would
run from the completion of construction (at 16, 18). The case is criticized by C. J. Rossiter & M.
Stone, "Latent Defects in Buildings: When Does the Cause of Action Arise?" (1985) 58 A.LJ. 606;
M. A. Jones, "Defective Premises & Subsequent Purchasers" (1984) 100 L.Q.R. 413. The House of
Lords has held that the mere fact that a building is constructed in such a way that damage is bound
to occur eventually is not sufficient to render it 'doomed from the start': Keneman v. Hansel Properties
Ltd [I9871 2 W.L.R. 312.
I 2 O [1983] 1 A.C. 520.
12' S. Todd, "Claims in Tort by Owners or Purchasers of Defective Property" (1984) 4 Legal Studies
312 at 326-7; A. Grubb, "A Case for Recognizing Economic Loss in Defective Building Cases" (1984)
43 Cambridge LJ. 1 1 1 .
SYDNEY LAW REVIEW [VOL.12
8. Miscellaneous matters
The availability of alternative claims in tort and contract may require
consideration of a variety of other aspects of the law where the rules
in tort and contract differ, thus making it more beneficial to frame an
action in one way or the other. The rules of tort and contract may differ
with respect to such matters as costs, the effect of bankruptcy, liability
of minors, assignment of causes of action, conflict of laws, service of
process outside the jurisdiction, fatal accidents and vicarious liability.
In some cases it has been said that where tort and contract rules
differ in a particular respect, it is necessary to discover the 'gist' or
'gravamen' of the complaint in order to decide which applies. But such
statements cannot be regarded as of general application because in other
cases the attitude has been that the plaintiff is free to elect to pursue
whichever claim is most beneficial to him. The latter would seem to
be the better view.lZ4It is probably only in circumstances where particular
legislation requires a claim to be classified as contractual or tortious,
for example for the purpose of determining the appropriate scale of costs,
that a search for the 'gist' or 'gravamen' of the claim is justified.
In some situations it may not appear unjust that the plaintiff should
be allowed to choose whether to avail himself of a tort or contract rule
where these differ, as for example if the object is to save a claim from
being barred by the running of a limitation period. But, as pointed out
I z 2 [I9831 1 A.C. at 18; criticized by G. Robertson, "Defective Premises & Subsequent Purchasers"
(1983) 9 9 LQ.R 559 and A. Grubb, " A Case for Recognizing Economic Loss in Defective Building
Cases" (1984) 43 Cambridge LJ. 111 at 126.
I z 3 C. J. Rossiter & M. Stone, "Latent Defects in Buildings: When Does the Cause of Action Arise?"
(1985) 58 A.LJ. 606; Latent Damage Act 1986 c. 37 (U.K.).
I Z J J. G. Fleming, 7he Law of Torts (7th ed. 1987) at 169-70; F. A. Trindade & P. Cane, The Law
of Torts in Ausrralia (1985) at 18; Charleswonh & Percy on Negligence (7th ed. 1983) at 5 14; cJ Chitty
on Contracts (25th ed. 1983) Vol. 1 at 10 & C. French, "The ContractlTort Dilemma" (1983) 5 Otago
L Rev. 236 at 261-2 where it is pointed out that the courts have adopted no one single attitude: in
some cases they have allowed the plaintiff a full and free choice, in others they have sought to discover
the true "substance" of the action, in others they have determined the issue of characterisation by
the way the case is pleaded, and in others still they have simply inquired whether the requirements
of a particular statute have been met.
MARCH19891 THE CONVERGENCE OF TORT AND CONTRACT 73
above, the right to elect can give rise to anomalies where the plaintiff
seeks, by the way in which he pleads his case, to defeat the policy of
the law with respect to such matters as contributory negligence or
remoteness of damage. It has been suggested that the best solution is
for the law to ensure that the same rules apply in these overlapping
situations so that such a possibility does not arise and that: "The general
modern tendency for osmosis between contract and tort would favour
this development."l25
CONCLUSION
Historically tort and contract have common origins in 'the action
on the case'.126 The modern law of contract grew out of the form of
action known as 'assumpsit'. Most tort actions (other than the trespassory
ones) grew out of the various forms of the action on the case, some
nominate such as trover, nuisance, negligence, deceit and defamation,
others remaining innominate or being labelled by the case in which they
were first recognized (such as the 'rule in Rylands v. Fletcher'). Legal
historians agree that it was only during the nineteenth century that tort
and contract came to be regarded as separate compartments of the law.
What we are seeing now is viewed by some as a trend towards a 're-
absorption of contract into the mainstream of tort,'l27 or a reversion to
a 'law of obligations' encompassing the traditional fields of tort, contract
and quasi-contract (or restitution).I28
What has occurred so far can only be described as a relatively modest
encroachment of tort on the field of contract. It is possible to conceive
of the tort of negligence ultimately expanding to the point where all
negligent breaches of contract could be regarded as tortious wrongs
towards persons foreseeably affected thereby.129 But faultless breaches
of strict contractual duties cannot be subsumed within the field of tort.
The law of contract will not be superseded or enveloped by other doctrines
unless three momentous developments occur in the law. First there would
need to evolve, by whatever means, a doctrine of detrimental or injurious
reliance whereby damages are payable for foreseeable, detrimental reliance
on a promise. Secondly there would need to be the recognition of a general
principle of reversal of unjust enrichment. Thirdly Professor Atiyah's
12* P. S. Atiyah, The Rise & Fall of Freedom of Contract (1979); B. J. Reiter in Studies in Contract
L a w (eds. 6. J. Reiter & J. Swan, 1980) Ch. 8; G. H. L. Fridman, "The Interaction of Tort & Contract"
(1977) 93 LQ.R 422; J. C. Smith, Liability in Negligence (1984); but cf J. Holyoak, "Tort & Contract
after Junior Books" (1983) 99 L Q R 591, D. F. Partlett, "Economic Loss & the Limits of Negligence"
(1986) 60 A.LJ. 64 and A. S. Burrows, "Contract, Tort & Restitution-A Satisfactory Division or Not?"
(1983) 99 LQ.R who argue that contract is alive and well.
12' G. H. L. Fridman, "The Interaction of Tort & Contract" (1977) 93 LQ.R 422 at 436; A. J.
E. Jaffey, "Contract in Tort's Clothing" (1985) 5 Legal Studies 77 at 92; Winf~ld& Jolowicz on Tort
(12th ed. 1984) at 7.
74 SYDNEY LAW REVIEW [VOL.12
I 3 O The Rise & Fall of Freedom of Contract (1979); "Contracts, Promises & the Law of Obligations"
(1978) 94 LQ.R 193.
1 3 ' C. Fried, Contract as Promise (1981); G . H . Treitel, The Law of Contract (7th ed. 1984) at 6;
Anson's Law of Contract (26th ed. 1983) at 1-3; Chitty on Contracts (25th ed. 1983) Vol. 1 at 1;
A. S. Burrows, "Contract, Tort & Restitut~on-A Satisfactory Division or Not?" (1983) 99 LQ.R 217;
L. L. Fuller & W. R. Perdue, "The Reliance Interest in Contract Damages" (1936) 46 Yale LJ. 52,
373 at 57-66; F. M. B. Reynolds, "Tort Actions in Contractual Situations" (1985) 11 N.Z.U.L Rev.
215 at 230-1.
"2 c$ D. Hams & C. Veljanovski in The Law of Tort Policies & Trends in Liability for Damage
to Property & Economic Loss (ed. M. Furmston, 1986) at 59 who consider that using the law of torts
to plug gaps left by contract law is a 'second-best' solution to the more rational way forward which
would be to widen the legal category of 'contract' to cover cases like Junior Book and Hedley Byme
(though this would probably need legislation); similarly, B. S. Markesinis, "An Expanding Tort Law-
The Price of a Rigid Contract Law" (1987) I03 L.Q.R. 354.
MARCH19891 THE CONVERGENCE OF TORT AND CONTRACT 75
1 3 ) Advocated by B. J. Reiter in Studies in Contract Law (eds. B. J. Reiter & J. Swan, 1980) at 264-
5, J. G . Fleming, The Law of T o m (7th ed. 1987) at 169-70 and M. Bridge, "The Overlap of Tort
and Contract" (1982) 27 McGiN LJ. 872 at 913-4.
P. Cane, "Negligence, Economic Interests and the Assessment of Damages" (1984) 10 Monash
U.L Rev. 17.