Cases

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Barrister
Year
Representing the Appellant in a land value matter, instructed by Maddocks Lawyers.
For the appellants in a case concerning constitutional questions around the dismissal of a complaint by the Anti-Discrimination Tribunal (Tasmania) for want of jurisdiction without addressing merits of defence. Led by D Batt QC, instructed by Page Seager Lawyers.
This proceeding concerned questions referred for consideration by the Court of Appeal of the Supreme Court of Victoria which necessarily raised the correctness of the Court’s previous judgment in Halwood Corporation v Roads Corporation (Halwood). In that case, the Court had determined that under the relevant provisions of the Planning…
Acting for Mr N O’Bryan AM QC, instructed by MinterEllison. Contradictors are commonly appointed to assist the court in determining whether to approve a class action settlement, there being no other party with an interest in, or inclination to, argue against the settlement. What steps can such a contradictor take…
Bulgana Wind Farm (BWF) had entered into a engineering, construction and procurement contract (EPC Contract) with Siemens (SGRE) to build 56 wind turbine generators and a battery storage solution located in central Western Victoria, known as the Bulgana Green Power Hub. The EPC Contract required practical completion of the wind…
This case concerned the application of counting rules, in particular s 44(3) of the Interpretation of Legislation Act 1984. That section provides that where the time limited by an Act for the doing of any act or thing falls on a day that is a holiday (including a Saturday or…
Year
Counsel
The proceeding concerned a site valuation of the land on the corner of Elizabeth and Bourke Streets, where the old General Post Office (GPO) building is located. Site value is the value of land in its undeveloped state, and is used amongst other things to assess land tax. As the…
For the Second and Third Defendants, led by David Batt KC, instructed by Norton Rose Fulbright.
Year
Counsel
This case involved a managed investment scheme and the recovery of scheme loans.
This matter involved equity; misleading or deceptive conduct; and practice and procedure.
This case involved contractual and accounting questions in relation to whether a dividend should be paid.

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