Category Archives: Nuisance

Tree Disputes

In 1998, the NSW Law Reform Commission published Report 88, Neighbours and Neighbour Relations. The report identified the deficiencies of the common law of trespass and nuisance when dealing with noise and trees that damage or encroach upon neighbouring properties. Specifically, the common law mostly provides remedies for after the damage has occurred; does not recognize the right to access to light and views; and allows access to a neighbours land in very limited circumstances.

 

The Executive Director of the Law reform Commission remarked:

 

The Commission received a significant amount of evidence that trees and noise are common sources of friction between neighbours. However, the remedies proposed in the report should be regarded as remedies of last resort. Neighbours must talk to each other to try and find mutually acceptable solutions when disputes first arise. Community justice centres are available to help in this process. Reaching agreed solutions in this way is more likely to produce a better outcome and enable the neighbours to continue to live in reasonable harmony. It also avoids the delay, stress and expense of having to go to court to resolve the matter.

 

Following the report of the NSW Law Reform Commission, the Trees (Disputes Between Neighbours) Act 2006 (NSW) (“the Trees Act”) was introduced in 2007[1].

 

The Trees Act provides a mechanism “for proceedings in the Land and Environment Court for the resolution of disputes between neighbours concerning trees”. The Act takes into account not just the interests of the parties to a dispute, but also the impact on the natural and human environment and public amenity.

 

The Land and Environment Court is authorized to make orders for an intervention concerning a tree that either causes or is likely to cause damage or injury[2]; and of a hedge that obstructs sunlight or views.[3]

 

Applications under the Trees Act may be made at the Registry of either the Local Court or the Land and Environment Court. Before an application may be lodged, an applicant must have given at least 21 days notice of the orders sought to the neighbouring landowner, relevant authority or any other person they believe will be affected by the orders.[4]

 

Disputes can only be considered between “adjoining”[5] properties and situated on land that is zoned “residential”, “rural-residential”, “village”, “township”, “industrial” or “business” under an environmental planning instrument[6].

 

The court does not have the jurisdiction to consider an application unless certain conditions are met under the Act.

 

Damage or injury principles

 

The Court’s jurisdiction to consider an application for orders under Part 2, s7 of the Trees Act is enlivened if one or more of the following tests[7] can be satisfied:

 

  • Has the tree caused damage to the applicant’s property?

 

  • Is the tree now causing damage to the applicant’s property?

 

  • Is the tree likely in the near future to cause damage to the applicant’s property?

 

  • Is the tree likely to cause injury to any person?

 

The application will be dismissed if none of these tests are satisfied. If one or more of the tests are satisfied, the Court will consider the “discretionary question”[8] of:

 

  • Is the damage or risk sufficiently serious to warrant the Court intervening?

 

  • If so what should the Court order?

 

  • Who should pay the cost for carrying out the orders?

 

Since 2007, principles that have emerged from Part 2 tree damage or injury decisions include:

 

  • An adjoining property includes a property directly separated by a road: P Baer Investments Pty Limited v University of New South Wales [2007] NSWLEC.

 

  • Ordinarily, a Court will not order an intervention regarding falling leaves, fruit and small amounts of deadwood as such maintenance is a responsibility expected of one living in an urban area having the environmental and aesthetic benefits of trees: Barker v Kyriakides [2007] NSWLEC 292; see also Hendry & Anor v Ollson & Anor [2010] NSWLEC 1302 with respect to cleaning of paths.

 

  • Vines are not considered as trees: Buckingam v Ryder [2007] NSWLEC 458.

 

  • Where trees existed before the construction or erection of a structure that has been damaged, consideration is to be given as to whether there were alternative opportunities available at the time of construction: Black v Johnson (No 2) [2007] NSWLEC 513.

 

  • When considering whether or not “damage is likely in the near future”[9], a 12 month “rule of thumb” is to be adopted: Yang v Scerri [2007] NSWLEC 592.

 

  • Damage from the tree excludes animals, including birds, reptiles and insects: Robson v Leischke [2008] LEC 152; see also Immarrata v Mourikis [2007] NSWLEC 601 with respect to bees.

 

  • A tree is situated principally on the property it has more than 50% of the base of its trunk at ground level: Brown & Anor v Weaver [2007] NSWLEC 738.

 

  • An applicant is not estopped (ie prevented) from making further applications if the circumstances change in the future: Hinde v Anderson and Anor [2009] NSWLEC 1148.

 

  • Orders of the Court do not prevent a local council from permitting something else to be done under a tree preservation order: Ghazal v Vella (No 2) [2011] NSWLEC 1340.

 

Sunlight or views principles

 

The Court’s jurisdiction to consider an application for orders under Part 2A, s14A of the Trees Act is enlivened if one or more of the following tests[10] can be satisfied:

 

  • Are the plants that are the subject of the application trees within the meaning of the Trees Act?

 

  • If the plants are trees, are there two or more trees?

 

  • Were the trees planted (as opposed to being self-sown or remnants of original native vegetation)?

 

  • If the trees were planted, were they planted to form a hedge?

 

  • Is there a view from the applicant’s property from the point concerning which the application is made and, by necessary inference, what comprises the view from that point?

 

  • If there is a view, is that view obstructed by the hedge?

 

  • If there is a view and the hedge obstructs it, is the obstruction of that view severe?

 

Since 2010, key principles to have emerged from Part 2A sunlight cases include:

 

  • The Court may consider council development control plans for guidance regarding overshadowing: Ball v Bahramali & Anor [2010] NSWLEC 1334.

 

  • The trees must be severely obstructing the applicant’s view at the time of the hearing: Tooth v McCombie [2011] NSWLEC 1004; Grantham Holdings Pty Ltd v Miller [2011] NSWLEC 1122.

 

  • “Forming a hedge” means “there must be a degree of regularity and arrangement, in a linear fashion, of the trees being considered”: Wisdom v Payn [2011] NSWLEC 1012 AT [45].

 

  • A triangularly arranged group of three trees is considered to be a hedge: Salisbury v Harrison & Anor [2011] NSWLEC 1069.

 

  • The Trees Act does not specify a height to which all plants must be maintained; the 2.5m height threshold merely enlivens the Court’s jurisdiction: McLaren v Lewis [2011] NSWLEC 1170.

 

  • The Trees Act does not allow for orders that would create a view that was not available to the applicant at the time their property was purchased: McDougall v Philip [2011] NSWLEC 1280.

 

Types of orders and their enforcement

 

The Court has the power to order the removal of a tree. In the cases it has decided to date, outright removal orders are rare. The court more frequently orders pruning or inspection.

 

If a landowner does not comply with an tree order, their affected neighbour may apply to the local council to have the orders carried out. An authorised person from the council may, after giving written notice, enter the land to carry out the work if the land owner has failed to comply with the order[11].

[1] The Trees Act commenced on 02.02.2007.

[2] Trees Act, Part 2, s7.

[3] Trees Act, Part 2A, s14A.

[4] Trees Act, s8.

[5] Trees Act, s7.

[6] Trees Act, s4.

[7] Trees Act s10(2)(a); see Wheeler v McDonald [2007] NSWLEC 383 at [3].

[8] see Wheeler v McDonald at [4].

[9] Trees Act, s10(2)(a).

[10] Trees Act, s14E; see Haindl v Daisch [2011] NSWLEC 1145.

[11] Trees Act, s17.

Manasseh v Segal & anor [2016] NSWLEC 1014

ON 20 JANUARY 2016, the Land and Environment Court of New South Wales delivered Manasseh v Segal & anor [2016] NSWLEC 1014 http://www.austlii.edu.au/cgi-bin/sinodisp/au/cases/nsw/NSWLEC/2016/1014.html.

Pursuant to the Trees (Disputes Between Neighbours) Act 2006, the Court ordered that Manasseh’s neighbours, Segal and another, engage and pay for a suitably qualified arborist to install a bracing cable between two stems of a Queensland Brushbox on their property so as to prevent the risk of branch failure.

Lawyers 1300 00 2088

Overseas Tankship (UK) Ltd v The Miller Steamship Co Pty (The Wagon Mound No 2) [1966] UKPC 1 | 25 May 1996

ON 25 MAY 1966, the Privy Council delivered Overseas Tankship (UK) Ltd v The Miller Steamship Co Pty (The Wagon Mound No 2) [1966] UKPC 1 (25 May 1966).

Negligence – reasonably forseeable

http://www.bailii.org/uk/cases/UKPC/1966/1.html

A person is negligent if they fail to prevent a real risk that is reasonably foreseeable. A real risk is one in the mind of a reasonable person “which he would not brush aside as far-fetched”. This does not depend on the actual risk of occurrence.

Lawyers

Sydney, Australia

1300 00 2088

Miller v Jackson [1977] EWCA Civ 6 | 6 April 1977

ON THIS DAY in 1977, the England and Wales Court of Appeal delivered Miller v Jackson [1977] EWCA Civ 6 (06 April 1977).  A cricket club was sued in negligence and nuisance caused by cricket balls landing on a neighbour’s property.  Whilst ordering damages, the court refused to grant an injunction to cease the action or further action as the game of cricket itself was considered to be in the public interest.

Lord Denning began with the following:

“In summertime village cricket is the delight of everyone. Nearly every village has its own cricket field where the young men play and the old men watch. In the village of Lintz in County Durham they have their own ground, where they have played these last seventy years. They tend it well. The wicket area is well rolled and mown. The outfield is kept short. It has a good club-house for the players and seats for the onlookers. The village team play there on Saturdays and Sundays. They belong to a league, competing with the neighbouring villages. On other evenings after work they practice while the light lasts. Yet now after these 70 years a Judge of the High Court has ordered that they must not play there anymore, lie has issued an injunction to stop them. He has done it at the instance of a newcomer who is no lover of cricket. This newcomer has built, or has had built for him, a house on the edge of the cricket ground which four years ago was a field where cattle grazed. The animals did not mind the cricket. But now this adjoining field has been turned into a housing estate. The newcomer bought one of the houses on the edge of the cricket ground. No doubt the open space was a selling point. Now he complains that, when a batsman hits a six, the ball has been known to land in his garden or on or near his house. His wife has got so upset about it that they always go out at weekends. They do not go into the garden when cricket is being played. They say that this is intolerable. So they asked the Judge to stop the cricket being played. And the Judge, I am sorry to say, feels that the cricket must be stopped: with the consequences, I suppose, that the Lintz cricket-club will disappear. The cricket ground will be turned to some other use. I expect for more houses or a factory. The young men will turn to other things instead of cricket. The whole village will be much the poorer. And all this because of a newcomer who has just bought a house there next to the cricket ground.”

http://www.bailii.org/ew/cases/EWCA/Civ/1977/6.html

Lawyers

1300 00 2088

Burnie Port Authority v General Jones Pty Ltd [1994] HCA 13 | 24 MARCH 1994

ON THIS DAY IN 1994, the High Court of Australia delivered Burnie Port Authority v General Jones Pty Ltd [1994] HCA 13; (1994) 179 CLR 520; (1994) Aust Torts Reports 81-264; (1994) 120 ALR 42; (1994) 68 ALJR 331 (24 March 1994). The rule in Rylands v Fletcher was abolished so that the determination of liability for harm caused by dangerous substances or activities on premises comes under the principles of negligence rather than strict liability.

http://www.austlii.edu.au/au/cases/cth/HCA/1994/13.html

Lawyers

Sydney, Australia

1300 00 2088

State Government Insurance Commission v Trigwell [1979] HCA 40 | 19 September 1979

ON 19 SEPTEMBER 1979, the High Court of Australia delivered State Government Insurance Commission v Trigwell [1979] HCA 40; (1979) 142 CLR 617 (19 September 1979).

The High Court confirmed the English common law rule of Searle v Wallbank “that the owner or occupier of a property adjoining the highway is under no legal obligation to users of it so to keep and maintain his hedges, fences and gates as to prevent animals from straying on to it, and that he is not under any duty as between himself and users of it to take reasonable care to prevent any of his animals, not known to be dangerous, from straying on to it” (at 631).

Since this decision, State legislatures have passed laws to make farmers liable for the actions of their animals.

Lawyers

Sydney, Australia

1300 00 2088

Civil Liability Act 2002 (NSW) | 18 June 2002

ON 18 JUNE 2002, the NSW Civil Liability Act 2002 was enacted.

http://www.austlii.edu.au/au/legis/nsw/consol_act/cla2002161/

The substantive provisions commenced retrospectively on 20 March 2002. There have been successive amendments, notably those which commenced in December 2002 and 2004 and June 2006.

The Act modifies the Australian common law with respect to civil liability claims in New South Wales, except those set out in s3B.

The Act limits the circumstances in which people may recover damages for civil wrongs and the amount of damages and costs they recover.

The significant features of the Act include:

  • Statement of principles for determining negligence.
  • Modification of causation test.
  • No duty to warn of obvious risk.
  • No liability for materialisation of inherent risk.
  • No liability for harm suffered from obvious risks of dangerous recreational activities.
  • No duty of care for risk warning of dangerous recreational activity.
  • Standard of care for professionals.
  • Contributory negligence can defeat a claim.
  • Fixing damages for economic and non-economic loss, including thresholds, discounts and maximum limits.
  • Limiting interest.
  • Restrictions for persons in custody.
  • Restrictions for mental harm.
  • Allocation of proportionate liability for concurrent wrongdoers.
  • Limiting liability of public authorities.
  • Restricting recovery for intoxicated persons.
  • Exclusion of liability for persons acting in self defence, good Samaritans, food donors or volunteers.
  • Apologies not to affect liability.
  • Limiting damages for birth of a child.
  • Exclusion of liability for trespass or nuisance by ordinary use of aircraft.
  • Costs restrictions.

The Act does not apply to claims (or parts of claims) regarding:

  • Intentional acts with the intent to cause injury or death or sexual assault or other sexual misconduct.
  • Dust diseases.
  • Tobacco.
  • Motor Accidents and public transport accidents.
  • Workers, Victims and Sporting Injuries compensation.

 

Lawyers

Sydney, Australia

1300 00 2088

Civil Liability Act 2002 (NSW)

ON 18 JUNE 2002, the NSW Civil Liability Act 2002 was enacted.

http://www.austlii.edu.au/au/legis/nsw/consol_act/cla2002161/

The substantive provisions commenced retrospectively on 20 March 2002. There have been successive amendments, notably those which commenced in December 2002 and 2004 and June 2006.

The Act modifies the Australian common law with respect to civil liability claims in New South Wales, except those set out in s3B.

The Act limits the circumstances in which people may recover damages for civil wrongs and the amount of damages and costs they recover.

The significant features of the Act include:

  • Statement of principles for determining negligence.
  • Modification of causation test.
  • No duty to warn of obvious risk.
  • No liability for materialisation of inherent risk.
  • No liability for harm suffered from obvious risks of dangerous recreational activities.
  • No duty of care for risk warning of dangerous recreational activity.
  • Standard of care for professionals.
  • Contributory negligence can defeat a claim.
  • Fixing damages for economic and non-economic loss, including thresholds, discounts and maximum limits.
  • Limiting interest.
  • Restrictions for persons in custody.
  • Restrictions for mental harm.
  • Allocation of proportionate liability for concurrent wrongdoers.
  • Limiting liability of public authorities.
  • Restricting recovery for intoxicated persons.
  • Exclusion of liability for persons acting in self defence, good Samaritans, food donors or volunteers.
  • Apologies not to affect liability.
  • Limiting damages for birth of a child.
  • Exclusion of liability for trespass or nuisance by ordinary use of aircraft.
  • Costs restrictions.

The Act does not apply to claims (or parts of claims) regarding:

  • Intentional acts with the intent to cause injury or death or sexual assault or other sexual misconduct.
  • Dust diseases.
  • Tobacco.
  • Motor Accidents and public transport accidents.
  • Workers, Victims and Sporting Injuries compensation.

Lawyers

Sydney, Australia

1300 00 2088

Lewis v The Council of Mosman [2001] NSWSC 1144

Lewis v The Council of Mosman [2001] NSWSC 1144 (13 December 2001).

http://www.austlii.edu.au/au/cases/nsw/NSWSC/2001/1144.html

Lawyers

Sydney, Australia

1300 00 2088

Burnie Port Authority v General Jones Pty Ltd [1994] HCA 13

ON 24 MARCH 1994, the High Court of Australia delivered Burnie Port Authority v General Jones Pty Ltd [1994] HCA 13; (1994) 179 CLR 520; (1994) Aust Torts Reports 81-264; (1994) 120 ALR 42; (1994) 68 ALJR 331 (24 March 1994). The rule in Rylands v Fletcher was abolished so that the determination of liability for harm caused by dangerous substances or activities on premises comes under the principles of negligence rather than strict liability.

http://www.austlii.edu.au/au/cases/cth/HCA/1994/13.html

Lawyers

Sydney, Australia

1300 00 2088