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Why Legal Dimension

Knowledge of law helps engineers in their


practice
Many of engineers actions or inactions could
have legal implications for your organisation
Engineers need know enough about the legal
aspects of engineering practice to recognize when
need to take certain actions or to know when
legal counsel would be prudent
Engineering your future, S.G. Walesh
The Hong Kong Polytechnic University

Professional and legal considerations


Basic principles and broad guidelines of law
needed by entry level engineers/technical
professionals
1. Preparing contracts for services
2. Interpretation of contracts once a project is
underway
3. Managing to minimise personal and
organisational liability
Dunham, C.W, RD Young and JT Bockrath, 1979. Contracts, specifications and law for engineers, 3rd Ed/ New York:
2
McGraw-Hill Book Company.
The Hong Kong Polytechnic University

Professional and legal considerations


4. Anticipating and/or preparing for expert witness
testimony
5. Being aware of requirements in laws and rules
6. Being aware of the ways in which government
may provide funding for clients projects
7. Being aware of relevant pending or recent
legislation and possible impacts on projects

Dunham, C.W, RD Young and JT Bockrath, 1979. Contracts, specifications and law for engineers, 3rd Ed/ New York:
3
McGraw-Hill Book Company.
The Hong Kong Polytechnic University

Professional and legal considerations

Breach:

Fraud:

Intentionally deceitful practice aimed at depriving


another person of his rights or doing him injury in
some respect

Negligence:

Violation of a right, a duty or a law, either by an act


of commission or by nonfulfillment of an obligation

breaches..duty to exercise requisite care and


expertise..below the appropriate standard of care.

Liability

Being bound or obligated according to law or equity

Dunham, C.W, RD Young and JT Bockrath, 1979. Contracts, specifications and law for engineers, 3rd Ed/ New York:
4
McGraw-Hill Book Company.
The Hong Kong Polytechnic University

Some engineering services can expose


the firm to liability
Participating in necessary conferences & preliminary
studies
Breach: contract promised X meeting, only had Y

Interpreting physical restrictions as to the use of the land


Negligence: failed to allow for building set backs

Preparing drawings or verifying and interpreting existing


drawings or construction
Negligence: proposed water main conflicts with natural gas line
Breach: drawings late

Assisting in procuring of financing for project


Fraud: steers client to certain lender in return fro kick-back
from lender The Hong Kong Polytechnic University
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Some engineering services can expose


the firm to liability
Assisting in presentation of a project before
bodies possessing approval-disapproval power
Fraud: falsely claim that lower level authorities
approval

Preparing drawings and specifications for


architectural, structural plumbing, heating,
electrical and other mechanical work
Negligence: inadequate thermal insulation leads to fire

Preparing cost estimates


Negligence: numerical error
The Hong Kong Polytechnic University

Some engineering services can expose


the firm to liability
Obtaining bid from contractors
Fraud: alter a bid to favour a contractor

Inspecting the contractors work on regular


basis
Negligence: failing to note an unsatisfactory
change (e.g. 1981 Kansas City Hyatt failure)

Keeping accurate books and records


Breach: failing to do and submit when
required
The Hong Kong Polytechnic University

Some engineering services can expose


the firm to liability
Preparing as-built drawings which show
construction changes and final locations of
mechanical and electrical lines
Negligence: incorrectly locating buried electric
line leading to later excavation accident

Issuing certificates of payment


Negligence: failing to verify work was
performed

And many more


The Hong Kong Polytechnic University

Question: Is it good to use these


expressions in contracts and agreements?

High quality reports


The highest level of quality
Highly trained professionals
All existing information will be gathered
Only the best
Guarantee successful project completion

The Hong Kong Polytechnic University

Avoid using these


expressions in
contracts and
agreements

Reference:
W.M. Hayden, Jr.
Quality by Design
Newsletter, May
1987

The Hong Kong Polytechnic University

10

Legal Dimension (1)


Engineers owe well-defined duties under
the law of contract to their immediate
clients, and under the law of tort to those
persons whom they should reasonably have
in contemplation as likely to suffer injury or
loss as a result of acts of negligence.

The Hong Kong Polytechnic University

11

Legal Dimension (2)


Why do engineers owe duties to the public?
Why the above duties are not likely in
general enforceable to engineers by law of
contract and/or torts negligence on behalf of
members of the public?
How can individual and engineering ethical
code act as legal backing to ensure engineers
to observe the above duties to the public?
Check HKIE & ICAC Ethics in Practice
The Hong Kong Polytechnic University

12

Basic Legal Definitions


Rule of Law in Hong Kong
Refers to some fundamental principles of
law that govern the way in which power is
exercised in Hong Kong
Law as expressed in legislation and judicial
decisions made by independent courts
Legality and equality before the law are two
fundamental facets of the rule of law
The Hong Kong Polytechnic University

13

Basic Law
Ensures that the legal system in the
HKSAR will continue
Will continue to give effect to the rule of
law (i.e. the common law, rules of equity,
ordinances, subordinate legislation and
customary law)

The Hong Kong Polytechnic University

14

Classification of law (1)


Common law made by judges applying the
same rules to everyone
Statue law laid down by an Act of
Legislative Council in HK (Parliament in the
UK)
Codified Law basic principles contained in
code
Public law regulates the relationship
between legal individuals and the state
The Hong Kong Polytechnic University

15

Classification of law (2)


Private law regulates the relationship
between legal individuals
Criminal law regulates behavior that the
society considers to be wrong
Civil law resolves all matters that are not
a crime

The Hong Kong Polytechnic University

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Courts of Justice in Hong Kong


Court of Final Appeal
High Court (Court of Appeal + Court of
first instance)
District Court
Magistrates Court
Coroners Court
Juvenile Court
Tribunals
http://www.doj.gov.hk/eng/legal/
The Hong Kong Polytechnic University

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Basic Legal Definition of Concern


Civil Law
- involves actions against individual or
groups of individuals less than the general
public
- brought by a plaintiff against defendant
- a claim of a committed civil wrong
- compensation for a loss suffered or
prevention of a loss from being suffered
The Hong Kong Polytechnic University

18

Tort (1)
- an offense against an individual in the form
of injury to his personal or property rights
- actions arise from duties and natural rights
which exist between parties
- proof of intent may not be important

The Hong Kong Polytechnic University

19

Tort (2)
Three elements must be proven in a tort
action
- the defendant owed the plaintiff a duty
- the duty was breached by the defendant
- the damage resulted from the breach of
this duty

The Hong Kong Polytechnic University

20

Tort (3)
Tort due to negligence is defined as
- the omission to do something
which a reasonable man guided by
those ordinary considerations or
which ordinarily regulated human
affairs would do
- negligence is present if harm could have
been foreseen and prevented
The Hong Kong Polytechnic University

21

Breach of Contract
Contract is an agreement between two or
more parties that creates for each party a
duty to do something or not to do something
Breach of Contract refers to that
a partys failure to perform some contracted-for
or agreed-upon act, or
failure to comply with a duty imposed by law
which is owed to another or to society
more
The Hong Kong Polytechnic University

22

Morality and law1


To discharge ones legal responsibilities is not
necessarily to discharge ones oral
responsibilities;
Morality and law share concerns over matters of
basic social importance and often have in
common certain principles, obligations and
criteria of the evidence.
Law is the publics agency for translating
morality into explicit social guidelines and
practices and for stipulating punishments for
offenses.
1

Business law & Ethics, Pearson; ethical theory and business practice, Ethical Theory Business, Beauchamp & Bowie

The Hong Kong Polytechnic University

23

Morality and Law (contd)


Moral evaluation needs to be distinguished from
legal evaluation Let the lawyers decides; if its
legal, its moral
Despite an intersection between morals and law,
the law is not the sole repository of a societys
moral standards and values, even when the law is
directly concerned with moral problems.
something is legally acceptable doesnt imply that it is
morally acceptable. E.g.
The doctrine of employment at will permits employers
to fire employees for unjust reasons and is (within
certain limits) legal, yet such firings are often morally
unacceptable.
The Hong Kong Polytechnic University

24

Morality and law (contd)


The courts have often been accused with
some justification of causing moral
inequities through court judgements
rendered against corporations;
E.g. Although whooping cough vaccine
indisputably reduces the risk of this disease for
children who receive the vaccine, almost no
manufacturer will produce it for fear of costly
suits brought under product liability laws
The Hong Kong Polytechnic University

25

The rule of conscience


let your conscience be your guide has
long been what morality is all about
But consciences vary radically from person
to person and time to time
The reliability of conscience is then not
self-certifying
Moral justification must be based on a
source external to conscience.
The Hong Kong Polytechnic University

26

Engineering Ethics:
Do engineers owe duties
to the public?
John Uff CBE QC FREng
Nash Professor of Engineering Law,
Kings College, London

Engineering Ethics:
Do engineers owe duties to the public?
John Uff CBE QC FREng
Nash Professor of Engineering Law,
Kings College, London

Contents
Introduction

Codes of Conduct and the Institutions

Legislation governing safety and environment

Duties arising in contract

Limits on enforceability

Duties arising in tort

10

Ethical duties recognised by the law

11

Provisional conclusion as to public duties

12

Warnings of preventable disasters

13

Publication of relevant research and data

14

Can disclosure be restrained?

15

Consequences of unauthorised disclosure

16

Other means of securing disclosure

17

Amicus action by Institutions

17

Ethics in other roles of the Engineer

18

Conclusions

20

Acknowledgment

20

Engineering Ethics: Do engineers owe duties to the public?


John Uff

ISBN 1-903496-05-5

The information contained in this publication has been published in good faith and the opinions expressed are those
of the author not of The Royal Academy of Engineering. The Academy can not accept any responsibility for any error
or misinterpretation based on this information.
Published by
The Royal Academy of Engineering
29 Great Peter Street, Westminster, London, SW1P 3LW
Telephone 020 7222 2688 Facsimile 020 7233 0054
www.raeng.org.uk
The Royal Academy of Engineering is a Registered Charity (No. 293074)

James Hunkin

Engineering Ethics: Do engineers owe duties to the public?

John Uff CBE QC FREng


Nash Professor of Engineering Law,
Kings College, London

Professor John Uff CBE QC FREng is an internationally renowned barrister and arbitrator and an
authority on construction law. Having graduated with a BSc in Engineering from King's College
London in 1963, he went on to gain a PhD in Geotechnics in 1966 and was called to the Bar in
1970. During the 1980s he served on the Council of the Institution of Civil Engineers and has
played a role in new ICE contract forms and arbitration procedures. In 1987 he established the
Centre for Construction Law and Management at King's College where he continues teaching and
research activities. He is perhaps best known publicly for chairing the Yorkshire Water Enquiry in
1996, the Southall Railway Accident Enquiry in 1999 and the Joint Public Enquiry into Railway
Safety in 2000.

The Royal Academy of Engineering 3

Engineering Ethics:
Do engineers owe duties to the public?
Introduction
The subject of "Engineering Ethics" is no longer novel: there is a growing body of literature, both in the
United Kingdom1 and elsewhere,2 particularly in the USA.3 The subject still lacks any generally accepted
definition and its scope remains uncertain. However, a convenient summary of the practical objectives of
the subject is to be found in the Codes of Conduct promulgated by the Engineering Institutions. The
Codes currently in operation within the United Kingdom are briefly reviewed below. Taking these Codes
as a starting point, I have selected for examination the narrow but significant question that underlies
much of their content: "Do Engineers owe duties to the public?" In addressing this question, I shall
examine both the nature and scope of any such duty as well as the means by which it may be
implemented. In the course of this inquiry, I shall also address a number of specific ethical questions
that arise.
It is then necessary to define an objective for any duty to the public. In this respect, the literature is
largely focused on safety issues coupled increasingly with the need to avoid damage to the environment,
and it is convenient to examine the postulated duty initially in this context. It needs to be borne in mind,
however, that there are many other objectives that may equally merit inquiry, only some of which will be
touched on. Duties in relation to safety and the environment will plainly be owed to particular individuals
and perhaps to wider groups. In this context, the question to be considered might be stated more fully as
whether Engineers individually owe duties to the public at large to act or to refrain from acting so as to
promote or secure the safety of the public or the maintenance of the environment. In addition to
individual Engineers, it is necessary to consider the role of Engineers acting collectively, through their
Institutions, either as the voice of the profession or in the alternative role of setting and enforcing
standards of conduct. This inquiry will, therefore, seek to cover both the role of individual Engineers and
their Institutions.
Any postulated ethical duty must take account of existing recognised legal duties. One aim of this inquiry
will be to examine whether such legal duties are consistent with and conducive to the wider ethical duties
that are promulgated by the Engineering Institutions. In classic legal terms, Engineers owe well-defined
duties under the law of contract to their immediate clients, and under the law of tort to those persons
whom they should reasonably have in contemplation as likely to suffer injury or loss as a result of acts of
negligence. The latter category plainly includes some sections of the public, and the Courts, both in the
UK and the USA, while acknowledging the existence of the "floodgates" argument, have consistently
ignored it when allowing further extensions to the categories of persons to whom such duties are owed.
However, the question is whether the duty of the Engineer extends to the ordinary members of the public
who potentially suffer as a result of technical mishaps. This constitutes the individuals who may suffer
delay, disappointment and financial loss as part of the wider effects of any major accident; or who have a
legitimate interest in knowing just how safe are our transport systems, buildings and structures or power
stations and process plants.

Ethics in Engineering, Brian Tomkins and Ian Howard, Ingenia Nov 2001, p65; Preventing Disasters: proceedings of a
Conference organised by the Fellowship (now Royal Academy) of Engineering, 1991. The morality of safety, PAD Sheen,
Engg Mgmt Journ April 1999. For academic work in the UK see http:www.surrey.ac.uk/news/releases-ethics,html

The Institution of Engineers, Australia, has an established code of ethics, together with detailed enforcement procedures.

For a general review and list of further authorities see Ronald R Klein, Ethical Issues in Engineering : Beyond Disaster
Ethics (2000) at http://www3.itu.edu.tr/~sosbil/Sciencesemnars2.html. Several U.S. web-sites contain extensive
bibliographies as well, including those of the National Society of Professional Engineers (NSPE) at
http://www.nspe.org/ethics/eh5-rel.asp and the Online Ethics Center for Engineering and Science at http://onlineethics.org/.

The Royal Academy of Engineering

Engineering Ethics: Do engineers owe duties to the public?

A further distinction must be drawn at the outset, which may in part be a function of language. As the
terms are commonly used in the United Kingdom "Engineering" covers a vast range of activities carried
out by a wide variety of individuals and organisations, only some of which are properly described as
"Engineers". While the law would undoubtedly take a pragmatic view and examine the function rather
than the professional standing of the individual, the identification of any ethical principles should
properly concentrate on the profession.
Engineering Ethics, particularly in terms of potential disasters, may affect whole populations. The range of
Engineering activities is indeed representative of the whole of organised society, which it essentially
underpins. The range includes static construction such as buildings and structures, which will be used
directly by many individuals; dynamic devices including all modes of transport, which affect all users;
and processes, including manufacturing, power generation and transmission, mining and processing
plants, which directly involve few individuals but have the potential to affect whole populations. All such
activities and more fall within the realm of Engineering and involve vital decisions being taken by
Engineers at all stages of their planning, design, construction, operation, refurbishment and ultimately
their decommissioning.
Engineering ethics covers a range of factors which may impact upon the process of decision making by
individual Engineers as well as the actions of their Institutions. Given that such decisions are often
primarily economic and that certain duties will be implanted by the law, the question is how additional
ethical principles can play a part in determining the actions of Engineers. The subject of accountability
and public duties of Engineers is regularly aired in the informed press. As a recent example, an article in
The Chemical Engineer has drawn attention to the ethical dimension involved in many complex technical
decisions that are typically made under time and economic constraints. Clear failures by Engineers to act
in a manner which hindsight now plainly indicates are shown by examples such as the revelation of
forged testing documentation for spent nuclear fuel rods, the spectacular chemical process disasters of
Flixborough, Bohpal, Seveso and the massive discharges into the Swiss Rhine, to which may be added the
explosions at the Milford Haven Texaco Oil Refinery and more recently at the Port Talbot Steelworks. The
author of the article comments that in the light of these events and the huge publicity that they rightly
generate, public disillusionment with science and engineering as a means of solving societys problems has
developed into occasional hostility. The author suggests that we should not be surprised if the public do
not trust scientists and Engineers.4 Engineering Ethics has many challenges to face and much ground to
catch up.
Codes of Conduct and the Institutions
As a condition of qualification, Engineers are required to accept and be bound by published Codes or
rules of conduct of their particular professional body. Such Codes are variously expressed, but contain
certain common features in regard to the public interest. In the 1970s an attempt was made to unify the
United Kingdom Institutions through the former Engineering Council which also, before its demise,
prepared draft Guidelines for Institution Codes of Conduct. The unifying role of the Council has to some
extent been taken over by The Royal Academy of Engineering (originally the Fellowship of Engineering),
which encompasses a full range of mainstream Engineering subjects as well as some on the periphery. The
Royal Academy has made its particular contribution to Codes of Conduct, specifically in terms of
Guidelines for Warnings of Preventable Disasters.
Individual Institutional Codes of Conduct vary in terms of their stated purpose, and include as objectives
"the respect in which the community holds persons who are engaged in the profession";5 the need to
"safeguard the public interest in matters of safety and health";6 and ensuring that the fair and proper
interests of the community prevail over personal interests.7 Some of the rules refer expressly to "broad

4
5
6
7

Chris Kent: Guest column in The Chemical Engineer, January 2002.


Institution of Mechanical Engineers.
Institution of Structural Engineers.
Institutions of Electrical Engineers and Chemical Engineers.

The Royal Academy of Engineering 5

The Lloyds Register Lecture

ethical principles" and there is evidently a general consensus which sees the codes or rules as expressing
an intention beyond that required by strict application of the law. Examples of specific requirements
relevant to public duties are the following:

A member shall at all times so order his conduct as to safeguard the public interest, particularly in matters
of Health & Safety and the Environment8

A member shall:
At all times take all reasonable care to ensure that their work and the products of their work constitute
no avoidable danger of death or injury or ill-health to any person;
Take all reasonable steps to avoid waste of natural resources, damage of the environment, and wasteful
damage or destruction of the products of human skill and industry9

Every corporate member shall.safeguard the public interest in matters of Health & Safety and
otherwise10

Members of the Institution in their responsibility to the profession shall have full regard to the public
interest11

A member shall have full regard for the public interest, particularly in relation to the environment and to
matters of Health & Safety12

A member when discharging his professional duties shall, if his professional advice is not accepted, take all
reasonable steps to ensure that the person over-ruling or neglecting his advice is aware of the possible
danger which he believes may result from such over-ruling 13

It is difficult to see any justification for the existence of different sets of rules. At least there may be
discerned a number of common principles relating to health, safety and the environment, which can be
linked to specific duties created by common law or statute. However, there are two significant differences
between the Codes of Conduct and the underlying legal principles:
(a) no distinction or limitation is made in relation to the persons who might potentially suffer or be at risk
in relation to the conduct of the Engineer;
(b) the duty is placed upon the individual Engineer irrespective of his or her situation or status.
It may also be noted that some at least of the rules contain express reference to the "public interest". This
raises further questions as to the scope of any such duty, where it is seen as extending beyond the
relatively clear issues of health, safety and the environment. For example, is the Engineer to have regard
to the public interest in reliability of transport systems, where these are provided by private corporations?
As regards the public, Engineering Institutions perform a multiple role. On one hand, through their
learned society function, they represent the informed collective opinion of the profession; while in their
qualifying role they aim to maintain standards, including their Codes of Conduct. In promulgating rules
and Codes of Conduct, they must be taken to represent to the public that their members will be required
to comply with such requirements, including safeguarding the public interest as regards matters of health
and safety and the environment as well as more general issues. Institutions do not enjoy any degree of
immunity or legal protection.14 An Institution might be vulnerable to action in negligence for failure to
8
9
10
11
12
13
14

Institution of Mechanical Engineers, Rule 33.6


Institution of Electrical Engineers, Rules 1 and 2.
Institution of Structural Engineers, Code of Conduct, Rule I.
Institution of Structural Engineers, Rules of Conduct, Rule I.
Institution of Civil Engineers, Rules of Professional Conduct, Rule 3.
Institution of Chemical Engineers, Rules of Professional Conduct, Rule 3
Compare section 39 of the Arbitration Act 1996 which gives such immunity to arbitral institutions. An arbitrator enjoys
similar immunity.

The Royal Academy of Engineering

Engineering Ethics: Do engineers owe duties to the public?

take steps to prevent an incompetent Engineer from being held out as qualified.15 Similarly, while proof of
damage may pose problems, an Institution might conceivably also be held to account by members of the
public who suffer damage through failure to take steps to enforce a wider duty of members to uphold the
public interest. While such an action would be likely to be grounded in negligence, other causes of action
could not be ruled out.16 This role of Institutions is discussed further below in relation to sanctions. The
point needs to be made at this stage, that such bodies cannot regard their role as secondary or as being
limited to giving advice and encouragement. Their role must encompass some degree of monitoring and
enforcement and they should not wait for the courts to define that role for them.
Legislation Governing Safety and Environment
An ethical duty bearing upon safety and environment issues must take account of the increasingly
complex statutory network which now exists. For well over a century, statutes aimed at promoting safety
have played a significant role, initially in terms of piecemeal legislation covering particular trades and
activities. Wider duties were imposed by general Acts such as the Factories Acts and Public Health Acts. A
comprehensive code intended to apply across all industries was brought in by the Health and Safety at
Work etc Act 1974. Under this Act detailed regulations have gradually replaced the former specialised
legislation. Meanwhile, with UK domestic Health & Safety law continuing to evolve, the European
Community has made its contribution, largely since 1987. In particular, the EC Framework Directive
89/391 sets out the policy underlying all subsequent Directives and implementing Regulations, by placing
new duties on employers for the avoidance, evaluation and tackling of risks to health and safety. Many
detailed Directives have followed, together with implementing European Regulations, either having direct
effect or separately enacted by the UK Parliament. An example of the latter which has had considerable
impact on the construction industry is the Construction (Design and Management) Regulations 1994.
These measures have undoubtedly led to enhanced awareness of health and safety issues as well as a vast
increase in bureaucracy directed to implementation and enforcement. Regrettably, there are regular
reports of regulation proving to have only limited effect and in some cases (for example deaths and
injuries on construction sites) showing little sign of improvement. Another effect of relevance to the
present inquiry is that Engineers, as a general profession, have not been required to take on any special
duty or responsibility in relation to health and safety. While the increasing awareness of health and safety
has produced a general safety ethos affecting all Engineers, the existence of so much detailed legislation
has, it is suggested, had two further effects. First, those on whom duties and responsibilities are laid by
statute will be more concerned with satisfying the letter of the law, by setting up systems and procedures
that satisfy the legislation, rather than any other objective. It has been observed that this is not necessarily
conducive to the actual achievement of higher levels of safety. Secondly, those on whom responsibility for
compliance has been placed have developed new roles as health and safety specialists, leading to a
situation in which the degree of expertise and corresponding duties placed on Engineers of other
disciplines is diluted. Thus, the question whether legislation has contributed to ethical duties of Engineers
is difficult to answer positively and the general effect may arguably prove to be negative.
It is to be noted that the sections of the Health and Safety at Work etc. Act 1974 that prescribed general
statutory duties on Employers (Section 3), Manufacturers (Section 6) and other persons (Section 4) are
expressed in terms of avoiding "risk". While all such duties are subject to the limitation of what is
"reasonably practicable" it is important to note that, while convention normally limits prosecution to the
occurrence of injury and damage, the offence is committed by creating or permitting a risk to safety.17

15

16
17

On a similar note, the House of Lords in Marc Rich & Co. v Bishop Rock Marine Co. Ltd [1996] A.C. 211 recognised that an
association might owe a duty of care to third-parties in discussing whether a classification society owed a duty of care to
cargo owners when surveying a vessel. See also Welton v. North Cornwall D.C. [1997] 1 W.L.R. 570.
Although presently speculative, the possibility exists of action under the Human Rights Act 1998, alternatively for Judicial
Review. As to the latter see R v. Takeover and Mergers Panel ex parte Datafin [1987] Q.B. 815 (CA).
See R v Board of Trustees of the Science Museum [1993] 3 AER 853 CA.

The Royal Academy of Engineering 7

The Lloyds Register Lecture

Section 3(1) of the Act creates absolute criminal liability and it has been held that it is no defence that
management had taken all reasonable care to delegate the supervision of the work in question.18 Thus,
legislation has created an impressive armoury of weapons aimed at avoiding risk. Regrettably, health and
safety enforcement continues to operate largely after the event. Enforcement is principally through the
Health & Safety Executive, via one of their specialist departments.19 Government funding of HSE has
placed severe limits on its ability to investigate even serious accidents. The individual Engineer, when
considering what steps should be taken in the public interest, may look to HSE for guidance but not
necessarily for action.
Many of the same points are to be made in relation to the increasing impact of environment legislation.
The history of the two topics has many parallels, running from substantial indifference or unawareness
throughout most of the 19th Century to a gradual development of recognisable principles largely through
Public Health Acts, mostly in the first half of the 20th Century, to the explosion of concern in the last
decades of the 20th Century. There is, however, one major difference. While health & safety matters,
historically, have buried their victims beyond further concern, neglect of the environment has created new
spectres of historical contamination which are now becoming matters of increasing economic concern, in
addition to any legal or even ethical dimension. Specifically, the Environment Protection Act 1990
contains extensive measures controlling both current activities in relation to the emission of waste20 and
even more controversial measures for identifying and dealing with historical waste on or in what is now
formally designated "contaminated land".21 Environment law has also been the subject of a series of
European Action Programmes but, unlike economic measures, pollution and contamination know no
boundaries, particularly as much of it ends up (and often originates) in the seas and coastal waters. Thus,
environment issues are peculiarly international and depend, for their effectiveness, on international
recognition and cooperation. Given the nature of decisions that will affect environment issues, this may
indeed be a fruitful area in which further exploration of Engineering ethics would be timely. Enforcement
action in the UK is primarily through local authorities. As in the case of the Health & Safety Executive,
the Environment Agency is primarily a source of information.
Duties arising in Contract
It is now proposed to consider duties placed on the Engineer by the law, in order to examine further the
extent to which they are consistent with and conducive to wider ethical duties. The inquiry begins with
the law of contract which will usually underpin the particular role being undertaken. Engineers have no
special status under the law of contract and, with certain exceptions, may be held to any contractual duty
or promise which they undertake. The professional codes of conduct are not usually incorporated into
contracts of engagement. Even if they were, the client could recover compensation only for his own loss,
and members of the public would have no right to enforce the contract for their own benefit.
For many years Engineers, in common with most professionals (notably doctors and lawyers), undertook
commissions on a simple exchange of undertakings which often set out no details other than the nature of
the project and the remuneration to be paid for the services. The law supplied all the missing terms by
implication, including an implicit duty to act with reasonable skill and care commensurate with the task
in hand. Legal authority established a truly level playing field in that the same duty of care and skill was
expected of the novice.22 But equally the highly skilled and famous had only to supply the usual degree of
ordinary competence.23 The duty implied by the law could be enhanced by special circumstances, such as
an Engineer performing professional work for a client who was himself under the higher duty of fitness
for purpose.24 It remains the case that the parties can, with limited exceptions, make and enforce any
bargain they wish. This has indeed been seen in recent years, not in terms of the duties undertaken, but
18
19
20
21
22
23
24

R v British Steel Plc [1995] ICR 586.


For example the Railways Inspectorate, the Nuclear Inspectorate or the Construction Inspectorate.
Part II.
Part IIA, inserted by the Environment Act 1995.
See Wilsher v Essex Area HA [1987] QB 730.
Duchess of Argyll v Beuselinck [1972] 2 Lloyds Rep. 172.
Greaves v Bayham Meikle [1975] 1 WLR 1095.

The Royal Academy of Engineering

Engineering Ethics: Do engineers owe duties to the public?

in terms of fees, which have become subject to the commercial practices of the market place, if not the
bazaar.
The fee to be paid for Engineering services does indeed give rise to ethical issues in that the pursuit of
ever lower professional fees by clients, strongly encouraged by government during the 1980s, has given
rise to Engineering commissions which could not be performed economically on the basis of what were
once regarded as normal professional standards. While the evidence for this is largely anecdotal, there can
be little doubt that many Engineers have been faced with the choice between developing new and
progressive designs at enhanced cost to themselves and adopting or adapting an existing design at a more
economic cost. The government itself has become well aware of the "innovation trap" and has sought to
adapt its guidelines, now favouring adoption of the "best value" tender. In some cases, elaborate grading
systems have been devised to select between competitive design tenders, necessarily including the price.
Fee competition is, however, here to stay and its impact both on professional standards and on the scope
of ethical duties beyond the strict letter of the contract is a matter of concern which should fall within the
remit of the Institutions. The amount and adequacy of the remuneration payable for Engineering services
is irrelevant to the standard of duty required. As noted below, substantially the same duty will be
demanded for gratuitous services. The Engineer has nothing to gain by reducing his fee.
Limits on enforceability
The law of contract touches on ethical issues in terms of contracts that may be unenforceable under
English Law on the grounds of public policy. As regards safety or environment issues, the principle may
apply to Engineering services being undertaken, and may also be of relevance to the actions of the
Engineer who subsequently discovers information concerning breach of safety or environment law that he
considers it his duty to make public. The legal principle covers contracts for an objective which is illegal,
immoral or contrary to the operation of justice. The precise boundaries of the principle, and indeed its
scope remain uncertain and in many cases the effect is that the Courts will refuse enforcement of only
part of the contract. Public policy may thus prevent enforcement where:
"it would be an affront to public conscience to grant the plaintiff the relief which he seeks because the Court
would thereby appear to assist or encourage the plaintiff in his illegal conduct or to encourage others in
similar acts".25
An example of the principle in operation occurred in the case of Initial Services Limited v Putterill.26 This
concerned a former employee who had disclosed to the National Newspapers information about his
former employer as to the existence of a liaison system between laundries aimed at keeping up prices in
apparent breach of the law.27 The agreement should have been registered and referred to the Monopolies
Commission. The employer brought proceedings for damages and an injunction, which was initially
granted on a temporary (interlocutory) basis. The Defendant then served a Defence in which he repeated
the allegations of breach of the law. The Plaintiff applied to strike out the Defence (which would
otherwise be reported in the press). The Court of Appeal refused the application. It was accepted that
there was an implied obligation not to disclose information received in confidence, as would be the case
with an Engineer employed or engaged on a project. The court held that this did not apply in the case of
misconduct of such a nature that it ought, in the public interest, to be disclosed, where there existed a
proper interest in receiving the information. Lord Denning in his judgment said:
"Thus it would be proper to disclose a crime to the Police, or a breach of the Restrictive Trade Practices Act
to the Registrar. There may be cases where the misdeed is of such a character that the public interest may
demand, or at least excuse, publication on a broader field, even to the press".

25
26
27

Euro-Diam v Bathurst [1990] QB 1 per Kerr LJ.


[1968] 1 QB 396.
Restricted Trade Practices Act 1956, Section 6

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Lord Justice Salmon commented that the argument (for the Plaintiff) that the press was not the proper
authority for the receipt of confidential information:
"raises questions of great importance with far reaching consequences about which there is very little
relevant authority. I think that it would be quite impossible to strike out a defence on the narrow ground
that, although there is an exception in this case, the exception does not avail the Defendant because he
went to the wrong person to disclose the information".
There is ample scope for the application of the doctrine to issues of health and safety and to
environmental issues arising under construction contracts, where Engineers are involved both in the
performance and the supervision and approval of the work. It is clear that the Courts would not directly
enforce an obligation under a contract which has the effect of contravening health and safety law or
environment law. There may be difficulty in drawing a distinction between contracts which necessarily
involve illegality and those which only permit performance in an illegal manner. The point is illustrated
by the leading case of St. John Shipping Corporation v Joseph Rank28 in which cargo owners resisted a claim
for the payment of freight on the ground that the carriers had illegally overloaded the ship. Although this
amounted to a statutory offence, Devlin J held that the legality of the contract was unaffected and that the
statute29 prohibited merely the act and not the contract under which the act was done. Under
construction contracts, however, much more complex situations may arise. What is the position when an
unforeseen safety risk becomes apparent and the removal of this risk requires the re-execution of
otherwise satisfactory work? The question of payment and legal liability will ultimately be resolved by
legal process.30 But the ethical issues arising in the course of finding a solution are complex, and further
illustrated by some of the examples which follow.
Duties arising in tort
The law of tort renders certain conduct actionable by persons who suffer loss. All Engineers may owe
duties under the law of tort, or more precisely in the present context, under the law of tortious
negligence. Given that the law of contract operates only where an agreement can be identified or inferred,
it is of particular relevance to inquire whether the law of tort supports the existence of a wider duty to the
public. The law operates to impose a duty of care as between individuals who are in a sufficient state of
proximity such that, in the reasonable contemplation of one person, his negligent act may be likely to
cause damage to the other. This branch of English law started quietly in 1932 with the celebrated speech
of Lord Atkin in which the rule that you are to love your neighbour was first translated into legal terms.31
The law remained largely undisturbed until a sudden development in 197232 led to a series of landmark
cases in which the House of Lords were compelled to examine the roots of every element in the concept
of tortious negligence, particularly those concerning proximity, duty and damage. At its zenith, the law of
negligence seemed entirely to supersede the law of contract.33 Yet over the next eight years the House of
Lords doubted and then reversed its previous decision,34 firmly but not entirely closing the floodgates.
What is left is potential liability to some individuals in some circumstances for particular elements of their
damage, plainly falling well short of a general duty to the public.
In the case of Engineers, however, their tortious liability has throughout been grafted onto a different
stock35 in which, in particular, the ability to recover purely economic loss as opposed to loss consequent
on physical damage, has never been a relevant barrier. The liability of those tendering advice is viewed on
an analogous footing to advice given pursuant to contract where the Courts seem to regard the existence
of a contract and its parties as almost immaterial. The result is that Engineers will be held to account for
28
29
30
31
32
33
34
35

10

[1957] 1 QB 267.
Merchant Shipping (Safety and Load Line Conventions) Act 1932.
See Townsend v Cinema News [1958] 20 BLR 118 and generally Keating on Building Contracts para. 6-62, 62A.
Donoghue v Stevenson [1932] AC 562.
Dutton v Bognor Regis UDC [1972] 1 QB 373.
Junior Books v Veitchi [1983] AC 520.
Murphy v Brentwood DC [1991] 1 AC 398.
Hedley Byrne v Heller [1964] AC 465.

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Engineering Ethics: Do engineers owe duties to the public?

the consequences of their advice (including design and most other activities short of physical
construction) almost on the same footing as though they had been commissioned to carry out the task in
question. There are indeed many situations in which Engineers (and other professionals as well) can be
worse off as a result of gratuitous advice than they would be having charged a fee for their services. This
needs to be borne in mind when considering the extent to which Engineers might be thought to owe a
duty to volunteer their advice, e.g., when they see a situation giving rise to danger. This aspect of ethics is
further illustrated by the examples which follow below.
Ethical duties recognised by the Law
Given that the primary duty of the Engineer is to serve the interests of his client, exercising appropriate
skill and care, there are a number of situations in which the law may be seen as recognising wider duties
which may have an ethical rather than commercial basis. For this purpose it makes no practical difference
whether the wider duties are regarded as based on the law of contract or tortious negligence. Thus, where
a Contractor, possessed of competent Engineering skills, becomes aware of danger arising from the design
of the works, even where those works are under the control of a competent Engineer, the law may impose
an obligation to the ultimate client, as part of the ordinary duty of skill and care, to warn of the danger
which they should perceive. This was the result in a recent Court of Appeal judgment36 in which May LJ
referred to the Contractors, who had become aware of a risk in the design for which they had no primary
responsibility, as "not mere bystanders". The same principle will apply to another Engineer involved in
the project. The result in other cases has not always been the same, however. In an even more recent case,
Dyson J. declined to hold specialist contractors liable for failing to advise of a potential danger on another
part of the project, on the grounds that other contractors then engaged in the work could have performed
it safely. He considered it relevant to the question whether there was a duty to warn that the client was
being advised by a professional person.37 The cases, therefore, do not support a universal duty to warn
clients and would not seem to support such a duty to the public at large.
However, where acts or omissions of the Engineer may lead to personal injury or death, the likelihood of
a wide ranging duty being imposed becomes higher. There is little doubt that an Engineer in charge of a
construction site will be held liable for failing to warn those on site about concealed dangers of which he
is or should be aware.38 In the much publicised and difficult case of Eckersley v Binnie & Partners,
Engineers were held liable for the consequences of a methane explosion in a pumping station some years
after its completion, where the design had failed to take into account the possibility of methane build-up
in a transfer tunnel. In this case, a party of 38 people from a nearby village were taken on a tour of the
Abbeystead Pumping Works. While in the valve house an explosion occurred in which 16 people died. At
the trial, Rose J. held the consulting Engineers (Binnie), the contractor (Nuttalls) and the operator (North
West Water) respectively 55%, 15% and 30% to blame. On appeal to the Court of Appeal,39 Nuttall and
the Water Authority were held not liable. A majority held Binnie liable on the basis that the trial judge
had been entitled to find on the evidence that there was a risk of methane being present which should
have been taken into account in the design. In a powerful dissenting Judgment, Bingham LJ (now Lord
Bingham) held that the evidence did not support any finding of negligence against Binnie. Of particular
interest is that the trial judge had suggested that the designer might be under a continuing duty, after
completion of the project, to advise on new information that might indicate a danger. While not being
prepared to rule out such a possibility, Bingham LJ said:
"What is plain is that if any such duty at all is to be imposed, the nature, scope and limits of such a duty
require to be very carefully and cautiously defined. The development of the law on this point, if it ever occurs,
will be gradual and analogical. But this is not a suitable case in which to launch or embark on the process of
development, because no facts have been found to support a conclusion that ordinarily competent engineers in

36
37
38
39

Plant Construction v Clive Adams Associates [2000] BLR 137.


Aurum Investments v Avonforce [2001] CILL 1729.
Clay v Crump [1964] 1 QB 533.
[1988] 18 Con LR 1.

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the position of the first defendants would, by May 1984, have been alerted to any risk of which they were
reasonably unaware at the time of handover. There was, in my view, no evidence to support such a conclusion.
That being so, I prefer to express no opinion on this potentially important legal question."
The case has not yet been followed by others and the development of this particular principle remains
uncertain. Were the principle to become established, it would have far reaching consequences in terms of
the duty of individual Engineers who might succeed those in the same firm or company who were
involved at the time of design.
Provisional Conclusion as to Public Duties
Having reviewed the legal background to public duties, it may be concluded that while the law may
recognise and support ethical action, it affords no support to the existence of a general duty owed by
individual Engineers to the public at large. The civil law is concerned solely with duties owed by
Engineers to individuals or to groups or classes whom the Engineer ought reasonably to contemplate as
likely to suffer, particularly in terms of physical injury, as a result of his negligence. Such a duty is
enforceable by the person or group suffering relevant loss. The range of persons and the circumstances
which the Engineer ought reasonably to consider as affected by his actions or inactions is wide and may
lead to potential liability to very large numbers of people. But the law affords no support to a general duty
enforceable by or at the suit of the public at large. This is consistent with and reinforced by the increasing
range of statutory duties, some placed upon specific persons, in regard to matters of health and safety and
the environment.
If a general duty to uphold the public interest, as set out in Institutional rules and codes, is not
enforceable directly as a matter of law, it becomes necessary to consider how effect is to be given to such
rules. The absence of direct enforcement by process of law points firmly to the Institutions, which publish
the codes and rules, as the appropriate bodies to take action to enforce compliance, where necessary. This
may be seen as underpinned by the possibility of legal liability falling on the Institution itself, as discussed
above. Institutions have the power, subject to their members, to enforce duties created by their Codes of
Conduct, through appropriate sanctions, ultimately amounting to depriving those who breach the rules of
their professional membership. Such enforcement procedures are more familiar in other professions,
particularly medicine. The type of conduct which may be expected to lead to a medical practitioner being
struck off the register and prevented from engaging in practice is established, in broad terms, by
precedent. There is no such body of precedent in the UK Engineering profession, partly through lack of
any body of reported disciplinary proceedings and also, partly, because there are few areas in Engineering
where professional registration is a requirement of practice.40 It appears that practices, as regards
enforcement of professional codes, varies between countries.41 It is important that the question of
enforcement by the UK Institutions, if it is to be enlarged, should be approached in a systematic manner,
avoiding the tendency of fragmentation between different Institutions. Lessons should also be learned
from experience abroad. The support of both members of the profession and the public will be vital to the
establishment of a credible and respected procedure.
Having now reviewed the issue of public duties and enforcement, it is appropriate to turn to what might
be regarded as the converse issue, namely direct action taken by individual Engineers in response to
ethical issues. Indeed, this might be regarded as the more appropriate starting point for any discussion on
Engineering ethics. This topic concerns primarily actions in response to what is perceived to be an
impending but preventable disaster. As will be seen, the Engineering professions in many countries have
an honourable tradition of direct action where an individual considers that a preventable situation will
endanger public safety or otherwise prejudice the public interest. Such actions can breach the Engineers
terms of employment and result in serious economic harm. Many different ethical as well as practical
issues flow from such actions.
40
41

12

See, e.g., Reservoirs Act 1975 s.4, repeating provisions in the former Reservoirs (Safety Provisions) Act 1930.
The Institution of Engineers, Australia, is reported to receive over 150 complaints each year, from fellow members as well
as the public, which are pursued in accordance with detailed disciplinary regulations, including an initial filtering system
and an appeals procedure. The accused member is often legally represented and results of the proceedings are publicised,
in similar manner to medical disciplinary proceedings.

The Royal Academy of Engineering

Engineering Ethics: Do engineers owe duties to the public?

Warnings of Preventable Disasters


A great deal of the literature published in the USA on Engineering ethics is concerned with the actions of
individual Engineers in the face of actual disasters which can be seen to have been preventable. Perhaps
the most appalling and thoroughly researched incident was the loss of the space-shuttle Challenger in
1986, following clear warnings by Engineers from the Morton-Thiokol company, manufacturers of the
solid-fuel booster rockets, as to the danger of launching the vehicle at low temperature. The Engineers
warnings were overruled by a management decision. The cases raises fundamental issues as to the actions
which ought to be taken by those in a position fully to understand the implications of foreseen technical
hazards. Likewise, numerous cases concerning the nuclear industry, airlines, the motor industry and most
other branches of Engineering, have provided a rich source of practical materials which forms the basis of
the study and teaching of Engineering ethics in the USA.
The UK has suffered its share of Engineering disasters. Few have given rise to issues comparable to the
space-shuttle Challenger, but many have revealed deep seated management problems, particularly a
succession of serious railway accidents which have been fully investigated and reported.42 All such
accidents can be seen to have been preventable in hindsight, often by timely action by professional
Engineers. In 1991 the Royal Academy of Engineering (then the Fellowship) published proceedings of a
conference on Preventing Disasters including "draft" Guidelines for Warnings of Preventable Disasters. The
Guidelines were offered to the professional Institutions for consideration.43 The Guidelines note that
Engineers:
"are placed under a professional duty to uphold the safety of the public and the environment by the code of
conduct of their Institutions and organisations. A reciprocal responsibility is placed on the Institutions and
organisations to assist any member who turns to them for help in furthering this duty"
The Guidelines note that many organisations have established procedures and that Engineers should work
within those procedures where they exist. The guidelines emphasise the need for the Engineer to stay
within his existing framework of responsibility by passing on warnings to others in a position to take
action and to those ultimately responsible for resolving the situation. Individual Engineers are encouraged
to consult others or obtain guidance from the relevant Chartered Engineering Institution. The notes state
that informal warnings should be followed by a formal written statement and that this process may
involve senior executives or ministers. Guidelines and notes are, however, infused with concern about
legal liability as well as confidentiality.44 The document represents an important if somewhat
circumscribed recognition of the action which individual Engineers should take in practice, given the
practical constraint of working in an employed role.
The papers published in the volume of proceedings bear out the complexity of any real life situation in
which an Engineer is faced with the burden of passing on a warning of perceived danger. The papers
indeed demonstrate the way in which even well-expressed principles and guidance can be of little
assistance when faced with the need for practical action. The most valuable contribution in the collection
is a paper by the late Dr Edmund Hambly FREng,45 describing two situations in which, as an independent
consultant, he had been driven to act and the difficulties in the path of attaining appropriate action,
inevitably involving serious economic consequences. Dr Hamblys examples concerned major structures
where, largely through the effect of carefully considered action, appropriate remedial steps were taken in
time to avert disaster. The papers contain other examples of warnings delivered, but acted on too late,
including the case of High Alumina Cement (HAC) on which Professor Adam Neville CBE FREng FRSE
had given clear published warnings in the 1960s. Despite this, a series of collapses in the 1970s still took
the industry and the public by surprise.

42
43
44
45

These include the public enquiries into the railway accidents at Clapham Junction (1988), Southall (1997) and Ladbroke
Grove (1999).
The Institutional Rules quoted above are those current at the date of this Paper. In most cases no significant amendments
have been made since the Royal Academy draft.
The document itself ends with a complete disclaimer on behalf of the Fellowship.
Subsequently President ICE.

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The issue of warning of preventable disasters has also been considered by the Standing Committee on
Structural Safety (SCOSS).46 The 13th Report of SCOSS issued in May 2001 includes a section on duties
to warn and to heed warnings, which are to be regarded as essential elements in ensuring structural safety.
The Royal Academy of Engineering Draft Guidelines for Warnings of Preventable Disasters are endorsed by
the SCOSS report, which discusses three types of situation in which professional Engineers can find
themselves under a duty to warn or to heed warnings. These are:
(1)

when the Engineer is part of a group of professionals, where warnings should be given to the group;

(2)

when the Engineer has direct responsibility for the relevant work either by checking or certifying
the design or construction or monitoring the structure;

(3)

in more complex situations such as where a warning has been given to a proper person, but is
being ignored; where the control of the unsafe structure is out of the Engineers direct
responsibility; where the Engineer is a member of the public; or where an unsafe situation has
passed, but could recur or arise elsewhere.

It is emphasised that in all these situations the Engineer must deal with each of the questions.
whether to warn
when to warn
who to warn
how to warn
The report points out that there is a corresponding duty on persons to heed warnings both in the
immediate and in the long term, and also to consider the significance of warning in relation to other
projects.
The question of warning of preventable disasters gives rise to many further issues, notably the following:
1.

Can research and data relevant to safety or environment issues be assured of prompt publication or
dissemination to those having a proper interest?

2.

Can disclosures of safety or environment information be restrained by legal proceedings?

3.

What consequences are likely to follow unauthorised disclosure and what redress is available?

4.

Are there more satisfactory means of achieving appropriate disclosure?

5.

Is further action by the professional Institutions needed?

These issues are now addressed.


Publication of relevant research and data
Publication of information relevant to safety or environment issues is primarily in the hands of the
individual research worker or team and subject to the overriding control of the organisation for whom the
research is carried out and the client who may have commissioned it. There is no guarantee that relevant
work will be published. That is a matter for the ethical judgment of the professional Engineers involved.
There is, of course, every difference between research work being reported to the organisation or client for
which it was carried out and publication.
There is anecdotal evidence that significant information relevant to safety or environment issues is created
for the purpose of litigation or arbitration and never published. In many cases, particularly those
46

14

The Standing Committee was established jointly between the Institutions of Civil and Structural Engineers (and Municipal
Engineers before their merger) following the partial collapse at Ronan Point, Newham, in 1968.

The Royal Academy of Engineering

Engineering Ethics: Do engineers owe duties to the public?

involving accidents or failures, expert evidence comprising original research and testing involves novel or
original material which, in the ordinary course of science and Engineering, would be disclosed by
publication. In the case of arbitration and litigation, the material is subject to strict confidentiality at the
suit of the client, often an insurer. In some cases, such material will be reported in the technical press to
the extent it is produced during court proceedings.47 However, in arbitration proceedings, such
documents remain confidential; and in cases which settle the evidence may never see the light of day. In
1985 SCOSS launched an initiative by which they sought to persuade those who "owned" such important
technical expertise to permit its publication in the public interest. Strenuous efforts produced little more
than a voluntary code of conduct by which the Law Society were prepared to advise solicitors to request
their clients, in appropriate cases, to give consideration to disclosure in the public interest. No actual
cases are known in which this led to any disclosure and it does not appear that the matter has progressed
further. Expertise continues to accumulate in confidential files without any public access.
Can disclosure be restrained?
It has been suggested above that a contract purporting to restrain the disclosure of confidential
information which should be disclosed in the public interest would not be enforced by the Courts.
However, the way in which such an issue arises depends on the particular steps taken by the parties and
the procedural rules applicable. In the case of Initial Services Ltd v Putterill,48 the issue came before the
Court on an application by the plaintiff to strike out the defence which asserted that the confidential
information in question disclosed a breach of the law. After a full hearing, the Court of Appeal refused to
strike out the defence (see above). Not all Defendants can be expected to take such a robust line.
Although not known to be the subject of any reported decisions of the Court, it was widely reported in
the press that, after the untimely death of the late Robert Maxwell and the ensuing revelations of serious
financial misconduct, successive journalists who sought to reveal Maxwells business methods had been
restrained by substantial numbers of injunctions. This device apparently achieved its purpose, to the
serious financial detriment of those whose pension funds were lost. At no point did these matters reach a
full hearing before the Court.49 Mr Maxwell did not invent this procedure, nor has it disappeared from the
lawyers armoury of weapons with his passing.
It is relevant to consider the extent to which defamation proceedings could be maintained under English
law where safety or environment issues are at stake. While a corporation can be defamed under English
law,50 it seems that a local authority cannot.51 It has been held in South Africa that a public authority
responsible for the railways could not sue in respect of a publication alleged to have injured its reputation
as the authority responsible for running the railways.52 A libel on a thing (which is not actionable) may
amount to a libel on a person in some circumstances,53 for example a statement that a ship is unseaworthy
necessarily imputes a charge of mismanagement and is defamatory. It is clear how this might apply in the
case of railways, but in other circumstances it might depend on the precise facts. In all such cases the
person seeking to warn would be vulnerable to being silenced by temporary injunction.
A defence may be available on the ground of qualified privilege, relying on a reciprocal duty or interest in
giving and receiving the information. If the Engineer has some form of ethical duty to warn the general
public of an imminent catastrophe, privilege may well apply. The question has been stated as being:
"Would the great mass of right-minded men in the position of the defendant have considered it their duty
under the circumstances to make the communication?" 54
47
48
49

50
51
52
53
54

As an example, the expert evidence produced in Eckersley v Binnie (op. cit) contained original work on the origin of
methane contamination which was of wider interest and of substantial relevance to safety issues.
[1968] 1QB 396.
Subject to the unreported decision of the CA in Maxwell Communications plc v Newspaper Publishing plc 1 August 1991, in
which it was held by the CA that, in case of doubt, the court must lean in favourof the right of publication since the law
favours freedom of publication in the absence of a clear and lawful objection to it.
See Clerk and Lindsell on Torts at 22-32.
Derbyshire County Council v Times Newspapers [1993] AC 534.
Die Spoorbond v SA Railways [1946] AD 999.
See Clerk and Lindsell 22-23.
Stuart v Bell [1891] 2 QB 341.

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Privilege applies "Where a person is so situated that it becomes right in the interest of society that he should tell to
a third person certain facts".55 The practical question is whether a claim of privilege was sufficiently
compelling to dissuade the court from restraining the disclosure by injunction.56 Where the injunction is
refused the Engineer would still face the burden of establishing the defence at trial, with the consequence
of heavy costs, unless the defence was so meritorious as to justify summary dismissal of the claim.57 It
should be added that English law of defamation pays more regard to the rights of the person defamed
than in other jurisdictions. In the USA, normally in the vanguard of more extreme classes of civil action,
public interest in disclosure is afforded much more weight, such that it is claimed that the gagging
procedures of Robert Maxwell would not be possible.
Consequences of unauthorised disclosure
If an Engineer takes it upon himself to deliver a warning to the public in relation to issues of safety or
environment he exposes himself to personal risks beyond the threat of legal proceedings. It is the actions
by Engineers in such circumstances which have given rise to major activity in the field of Engineering
Ethics in the USA. There are many reported cases of Engineers acting in a responsible manner, assuming
the existence of a duty to warn members of the public, and of suffering personal hardship in
consequence, frequently through being victimised as "whistleblowers". While extensive state and federal
legislation exists in the USA,58 publications on ethical issues report numerous cases of hardship following
loss of employment and other forms of victimisation. It is abundantly clear from the American experience
that Engineers acting in pursuit of a supposed public duty are not necessarily perceived as heroes and
there seem few instances of appropriate recognition being accorded to them.59
In England relief is now available in such circumstances through the Public Interest Disclosure Act 1998.60
The Act prohibits dismissal in relation to certain disclosures defined as "qualifying disclosures". These
include information which, in the reasonable belief of the employee, tends to show one or more of the
following:
(a)
(b)
(c)
(d)
(e)
(f)

that criminal offence is being committed;


that a person is failing to comply with a legal obligation;
that a miscarriage of justice is occurring;
that the health or safety of an individual is being endangered;
that the environment is being damaged;
that information is being concealed.

A qualifying disclosure is a "protected disclosure" when made in accordance with the procedure under the
Act. In most cases the employee is obliged to go first to his employer but in some circumstances may go
over his head. These include where the worker reasonably believes he will suffer a detriment if he goes to
the employer or that evidence will be concealed. Going direct to the public might also be justified where
the matter is of an exceptionally serious nature. Where a disclosure is protected the employer is
prohibited from subjecting the employee to detriment, dismissing him or making him redundant on the
grounds of the disclosure. The Act follows experience in the USA which, as noted above, has not been
55
56
57
58

59

60

16

Per Blackburn J in Davies v Snead [1870] LR 5 QB 608 at 611.


See Clerk and Lindsell 22-124
Defamation Act 1996 s.8; and see also Loutchansky v The Times [2002] 2 WLR 640; Branson v Bower [2002] 2 WLR 452.
Whistleblower protection on the federal level in the U.S. is scattered throughout various statutes, including the
environmental laws (such as Superfund, 42 U.S.C. 9610, the Water Pollution Control
Act, 33 U.S.C. 1367, and the Atomic Energy and Energy Reorganization Acts, 42 U.S.C. 5851), the employment laws (such
as the Occupational Safety and Health Act, 29 U.S.C. 660(c), the Federal Mine Health and Safety Act, 30 U.S.C. 30 U.S.C.
815 (c) (1977) and the National Labor Relations Act, 29 U.S.C. 158(a)(4)), and in a number of other subject areas.
See, e.g., Rachel Davis, For Whistleblowers, Ethical Mile is a Hard Walk (Mar. 2001) at the NSPE
website at http://nspe.org/etweb/13-01feature.asp and Walter Elden, Curtailing Ethical Harassment (Feb. 1996) at the IEEE
website at http://caffeine.ieee.org/INST/feb96/ethics.html.
By insertion of a new Part IV A of the Employment Rights Act 1996.

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Engineering Ethics: Do engineers owe duties to the public?

wholly successful in preventing victimisation of "whistleblowers". The effect of the English Act remains to
be established.
Other means of securing disclosure
The importance of disclosure, and the adverse consequences which may flow from it, dictate that all other
avenues should be explored to find more satisfactory means of passing on significant information. The
most useful procedures presently available take the form of limited confidential reporting systems. Such
reporting does not guarantee either publicity or action, but does have the advantage of informality and
avoids accusations of disloyalty.
The 13th Report of SCOSS noted the existence of proposals for a confidential reporting system for the
construction industry and that such systems had been developed in other sectors particularly in air
transport61 and in shipping.62 A confidential reporting system has been set up for the Rail Industry,
initiated by the University of Strathclyde and subsequently adopted across the whole network as a result
of government initiatives and public enquiries.63 At a different level, SCOSS itself welcomes warnings
from Engineers relating to long term dangers which it may itself pursue. However, where an Engineer
becomes aware of facts which might lead to imminent disaster there is little alternative to the more direct
procedure discussed above and illustrated by the examples quoted from the paper by Dr Hambly.
Amicus action by Institutions
Given the difficulties faced by individual Engineers in regard to disclosure, it is to be expected that the
Institutions will themselves consider action in support of Engineers who themselves publish warnings. As
a result of pioneering activities within the Ethics movement in the USA, it seems that such action is
available in the form of amicus curiae or intervention proceedings in an existing court action relating to
the issue. The existing action has usually comprised action by the Engineer following dismissal, but it
might also involve proceedings against the Engineer, as already discussed, to restrain disclosure. The
purpose of amicus or intervention proceedings is to afford to the Institution, or other appropriate body,
the opportunity of placing material before a Court supporting the actions of the Engineer and of
upholding the public interest.
Amicus curiae means literally a "friend of the Court". Historically, this title referred to those individuals
and entities who were independent of the parties and who provided advice and information to the Court
in particular cases. In England, the Courts have retained this more traditional notion of amicus curiae and
in most cases restrict amicus submissions to those requested by the Court, although the request may be at
the instigation of one of the parties. A Guidance Memorandum has recently been issued by the Attorney
General and the Lord Chief Justice on requests for appointment of what is now (since the abolition of
Court Latin) renamed an "Advocate of the Court".64 Since the original term remains more generally
understood, it will be retained here. Frequently the Court requests an amicus curiae to advise on an issue
of law but, of particular relevance to this paper, may also request information on issues of fact and
expertise.65 English Courts also have the discretion to permit additional parties to "intervene" in litigation
where they demonstrate a sufficient interest in the proceedings but these parties are not considered amicus
curiae.66 It may be noted that the term "intervener" and "amicus curiae", are beginning to fuse in other
jurisdictions with the growth of outside intervention in litigation.
61
62
63
64
65

66

Tait P "Confidential Reporting in the UK Commercial Air Transport Industry" HSE Seminar, 1998.
Beedel R "International Marine Accident Reporting Scheme: Lessons from MARS" Conference, London, October 1999.
The railway version is known as the Confidential Incident Reporting and Analysis System (CIRAS).
Published in Counsel: February 2002 with an explanatory article by the Attorney General.
Under English Law, there is no settled rule as to whether amicus curiae can place evidence before the Court. See Gaskill v
Gaskill [1921] P 425 and Keys v Keys [1921] P 204 but see also Re: H per Booth J. However, the Courts very request for
factual information indicates that the amicus filing will be considered as evidence by the Court.
In the recent and widely publicised Pinochet case, the Divisional Court and the House of Lords permitted Amnesty
International to intervene as an interested party an intervener, as well as appointing an amicus curiae to assist the Court
R v Bow Street Magistrates ex. parte Pinochet Ugarte [1998] 4 AER 897.

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17

The Lloyds Register Lecture

One of the earliest examples of intervention or amicus curiae in the field of Engineering occurred in the
celebrated case of Holger Hjortsvang v San Francisco Bay Area Rapid Transit District,67 brought in the State
Court of California. The US Institute of Electrical and Electronics Engineers (IEEE) was granted leave to
file an amicus brief on behalf of three Engineers who were sacked for "whistle blowing". The plaintiff, with
two colleagues, had expressed concerns about the safety of the Rapid Transit System to the Board. Their
concerns were dismissed, but not long afterwards, a BART train malfunctioned because of the problem
pointed out by the Engineers, and overran a station, injuring passengers. The Engineers brought
proceedings against their former employer in which the IEEE intervened. The petition to the Court stated
that:
"California Courts recognise this principle and discretion should be liberally applied to favour Amicus
Curiae intervention. The Court has broad discretion to permit the filing of an Amicus Curiae briefbecause
IEEE has a particular expertise with respect to Engineers obligation to provide public safety".
The case settled and shortly afterwards the IEEE set up a formal amicus curiae review mechanism whereby
Engineers could request the IEEE to file an amicus brief in a particular case when an ethical question was
raised.68 This procedure is now provided for in the Institutes Policy and Procedures Manual, which
provides that the amicus statements submitted to the Court will be those judged "to be objective,
verifiable and properly coming within the purview of the IEEE".69 After over twenty years in operation,
twenty-three amicus requests have been made to the IEEE under this mechanism, but for varying reasons
(including settlement) none of these requests have led to the filing of amicus briefs in ethical support
cases. Even so, there is much to learn from IEEEs experience.
After more than two decades following the BART case, experience in the USA has seen a blurring of the
line between intervener and amicus, coupled with an exponential increase in the use of such briefs. This
was the impetus behind several Federal and State Courts prescribing the manner in which such briefs
were to be submitted. At the Federal level in the United States, the amicus practice is now regulated by
procedural rules which require that private entities and individuals seeking to participate in a case as
amicus curiae must either gain the consent of all parties or, if such consent is refused, file a request with
the Court which describes the applicants interest in the case and whether any portion of the brief was
authored or funded by a party.70 This separation of the lobbyist brief from the true amicus brief is now
essential when it is considered that amicus filings before the United States Supreme Court have increased
eight-fold in the last fifty years and that amicus briefs were filed in over 85% of all Supreme Court cases in
the period 1985 to 1996.71
There is, as yet, no similar development within the UK, which is still at an early stage in considering the
usefulness of amicus briefs in aid of the maintenance of ethical standards. The experience from the USA
indicates that caution will be required when seeking to establish appropriate procedures and that there
will be a need to distance true ethical considerations from the interests of pressure groups.
Ethics in other roles of the Engineer
The inquiry thus far has concentrated largely on health and safety and environment issues arising in the
course of the Engineers normal advising role, where it has become evident that many different ethical
issues can arise. While this paper has already become over-long, the opportunity to comment on the

67
68
69
70

71

18

Walter Elden, Curtailing Ethical Harassment, on the IEEE website at http://caffeine.ieee.org/INST/feb96/ethics.html.


Walter Elden, IEEEs Member Conduct Committee 20 Years of Operation at
http://www.spectrum.ieee.org/INST/feb98/conduct.html.
IEEE Policy and Procedures Manual 7.13 Preparation and Filing of Amicus Curiae Briefs at
http://www.ieee.org/about/whatis/policies/p7-13.html.
SUP.CT.R.37 and FED. R.APP. P.29. Many of the State Courts in the United States also have rules permitting the
submission of amicus requests. However, the rules vary and in some cases are much more restrictive than Federal Court
practice. For a sampling of State Court practice, see Nancy Bage Sorenson, The Ethical Implications of Amicus Briefs
(1999) 30 St. Marys LJ 1219.
Joseph Kearney, The Influence of Amicus Curiae Briefs on the Supreme Court (2000) 148 U.PA. L. REV. 743, 752 753

The Royal Academy of Engineering

Engineering Ethics: Do engineers owe duties to the public?

ethical issues involved in other roles undertaken by Engineers is not to be missed. Two roles in particular
invite consideration. First, the role of appointed administrator under a construction contract (as The
Engineer) plainly involves important ethical issues in the requirement to act in a fair and balanced way
when giving an opinion on matters which involve opposed interests between Contractor and Owner. The
difficulty arises because the Engineer is engaged or even employed by the Owner, to whom he will owe
other duties, including a duty to act in the Owners best interests. Despite this, the role has been
acknowledged and accepted universally,72 and may be seen as an implicit recognition of the existence and
operation of ethical principles. The debate which has taken place, and which continues, concerns the
ability of the individual Engineer to withstand the inevitable pressures to which he may be subjected,
often from both parties to the contract. As an exception to the general position, a breach by the Engineer
of his duty of independence will be susceptible to legal remedy,73 since the duty in question is owed in
law as well as ethics.74
The second role of the Engineer which involves important ethical dutes is that of acting as an expert
witness. Express provisions governing this role can be found within the Code of Ethics of the Institution
of Engineers of Australia.75 The general problems involved in placing scientific and technical evidence
before Courts and Tribunals have been recently reviewed in a seminar held at the Royal Society, London,
whose proceedings are now available in published form.76 The particular ethical problem is that expert
witnesses, whether Engineers or from other technical disciplines, while purporting to act "independently",
invariably support the case of the party by whom they are instructed. The problem has been the subject of
many judicial observations including, notably, a detailed list of duties to be followed by expert witnesses
laid down in The Ikarian Reefer.77 The essence of these rules is that the expert is said to owe a duty to the
Court or Tribunal, rather than to the parties. There are various difficulties about this including the
obvious fact that the expert in question is vulnerable to negligence proceedings at the suit of the original
client, while breach of any duty to the Court is unlikely to lead to more than rejection of the evidence.
Despite all attempts to improve the situation, expert witnesses instructed by individual parties continue to
support the case advanced by that party, often in the form of thinly disguised technical advocacy. The
situation in other jurisdictions, notably in the USA is reportedly even worse than that in the UK, but the
problem is universal.
Solutions in the form of using a single joint expert, whether appointed by the parties or by the Court are
generally successful in the sense of ensuring that the evidence given is genuinely independent.78 The
success of this approach plainly indicates that the root of the problem lies in the expert being instructed
by one party only, when it becomes almost impossible for him to act in a truly independent fashion. This
exposes two ethical issues at least. The first is whether experts who accept instructions from one party
only should continue to hold themselves out as "independent", knowing the inevitable result of accepting
such an appointment. Second, and more fundamental, is the question whether it is acceptable for
Engineers to take instructions exclusively from one party, so as to become aware of the objectives and
interests of that party in the matters in dispute. It is at this level that possible action on ethical grounds
might offer a solution.
It is not the purpose of this paper to seek to define how ethical principles might govern Engineers acting
as experts. It is suggested, however, that the public interest does require that Engineering evidence should
be objectively independent and that this will not be achieved without appropriate regulation. At the root
of such regulation should be a requirement that the expert is not pre-disposed to support any particular
conclusion or viewpoint. In practice, that is likely to be achieved only by avoiding any direct contact with
interested parties. Ideally, the expert should be unaware of, and should be indifferent to, which party
instructs him.

72
73
74
75
76
77
78

See the English House of Lords case Sutcliffe v Thackrah [1974] AC 727.
See Hickman v Roberts [1913] AC 229.
See Pacific Associates v Baxter [1990] 1 QB 993 on the issue whether the Engineer owes a duty to the Contractor.
2000 edition, Guidance Notes
Science and Technology in the eye of the law: Conference 21st March 2000.
National Justice Compania Navieria SA v Prudential Assurance Co Ltd [1993] 2 Lloyds Rep 68 per Creswell J.
Civil Procedure Rules 1998, Part 35.

The Royal Academy of Engineering

19

The Lloyds Register Lecture

Conclusions
This paper has attempted to investigate one aspect of Engineering ethics in terms of the underlying
assumption of many individual codes and institutional rules that Engineers owe a duty to the public. An
examination of the law of contract and of tortious negligence confirms that legal duties are owed to a wide,
but limited class of persons and that duties to the public are not in general enforceable against individual
Engineers by or on behalf of members of the public. The inquiry has, however, identified many separate
ethical issues which merit further research. In addition, a number of ethical dimensions have been identified
within existing legal principles, particularly in terms of the limits on the extent to which the Courts will
enforce contractual obligations where the public interest is involved.
The lack of legal backing as respects the action of individual Engineers requires consideration of other means
by which the assumption of a duty to the public may be given appropriate effect. The first approach is
through appropriate disciplinary action by the Institution by whom any offending member is held out as
qualified. While the general absence of compulsory registration in regard to Engineering activities deprives
such disciplinary action of the effect which it would have in a more closely regulated profession, the
possibility of action being taken against Institutions by individuals who suffer loss due to the negligence of
accredited members means that the Institutions have a real interest in pursuing disciplinary measures. If more
systematic enforcement is to be considered by the UK Institutions, it is important that they should avoid the
tendency to fragment, and that the opportunity is taken to learn from experience elsewhere, notably Australia.
Plainly, if the UK Institutions are to take this enhanced role seriously, they must begin by speaking with one
voice, as proposed by the Engineering Council in one of its last acts. There is, in addition, growing interest in
the UK in an alternative sphere of action by which professional Institutions may seek to intervene in Court
proceedings involving Engineering issues, where the public interest is thought to provide justification. Such
proceedings have developed rapidly in the USA to such extent that the Courts there are now somewhat
stringent in permitting this form of intervention. Such experience will no doubt be considered carefully by the
UK Institutions when deciding whether to follow this example.
The most significant area of activity in terms of public duty and the maintenance of ethical standards in
Engineering is in relation to the giving of warnings about preventable disasters. This has been the subject of
considerable activity and thought in the UK. Given that Engineers in responsible positions continue to be
motivated by a public duty, many subsidiary questions arise as to how individual Engineers should conduct
themselves and as to how those who seek to act in the public interest should be appropriately protected
against the consequences of their actions. This paper has reviewed the major issues and current guidelines
available.
It can be concluded that a duty to the public, assumed and required in many Institutional Codes and rules,
exists both in the letter to the extent that Institutions are prepared to take enforcement action, and in the
spirit, through the selfless action taken by individual Engineers in the public interest. The task of translating
public duty in particular circumstances into appropriate action can be difficult, complex and risky both for
the individual and for the corporate bodies involved. While support systems exist they remain fragmented
and piecemeal and there can be little doubt that the principal burden will remain on the individual Engineers.
It is thus a matter of the highest importance that individual Engineers should continue to acquire their
training and experience on the footing that a duty to the public does exist which, on occasions, transcends all
other duties under which the Engineer operates.
Given the high profile accorded to the debate on medical (now re-named bio) ethics in the last decade, it is
fitting and timely that Engineering ethics should be accorded a status appropriate to its public importance.
The Engineering Institutions must take a lead in this process. In doing so, the most important condition is
that they should act together, a feat which is almost without precedent. Only by these means will Engineers
and the public they serve be able to establish the bond of trust that presently seems to be lacking.
Acknowledgment
I would like to acknowledge the considerable assistance received in preparing this paper from many
individuals, notably Ms Juliette La Chapelle on US practice, Mr Toni de Fina on Australian practice, Professor
Charles Turner FREng on amicus issues and the staff of the Royal Academy of Engineering on UK materials.
20

The Royal Academy of Engineering

The Royal Academy of Engineering


The objectives of The Royal Academy of Engineering are to pursue, encourage and maintain
excellence in the whole field of engineering in order to promote the advancement of the
science, art and practice of engineering for the benefit of the public.
The Academy comprises the United Kingdoms most eminent engineers of all disciplines. It
is able to take advantage of their wealth of knowledge and experience which, with the
interdisciplinary character of the membership, provides a unique resource with which to
meet the objectives.
Its activities include an extensive education programme, research chairs and fellowships,
visiting professorships, industrial secondments and international travel grants. It provides
expert advice on engineering matters to government and other bodies and administers the
UKs premier annual prize for innovation in engineering, The Royal Academy of Engineering
MacRobert Award.
The Royal Academy of Engineering
29 Great Peter Street, Westminster, London SW1P 3LW
Telephone: 020 7222 2688 Facsimile: 020 7233 0054 Website www.raeng.org.uk
Registered Charity No. 293074

Lloyd's Register of Shipping


Lloyds Register (LR) is the worlds premier ship classification society, founded in 1760. The
concept of ship classification originated in the eighteenth century, when the practice began
of awarding different classes to ships according to their condition.
LR not only serves the shipping industry, through classification and technical services, but
provides offshore and industrial advisory and inspection services. LRQA, a subsidiary
company, is a leading internationally recognised certification body for quality,
environmental and safety management systems. LRs impartiality and integrity stem from its
complete financial, commercial and political independence.
LR operates from more than 200 exclusively staffed offices world-wide, with 4,500 technical
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Lloyd's Register of Shipping
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Telephone: 020 7709 9166 Website: www.lr.org

Intellectual Property in Hong Kong


This material is taken from Intellectual Property in Hong Kong 2004 and is used with the permission
of the Government of the Hong Kong Special Administrative Region.

http://www.info.gov.hk/ipd/eng/information/publication/ip/iphk_e.pdf

Contents
Introduction
Intellectual Property Protection in Hong Kong
Intellectual Property Law
Trade Marks
Patents
Copyright
Registered Designs
Layout-Design (Topography) of
Integrated Circuits
Plant Varieties Protection
Intellectual Property Department

Introduction
Why is Intellectual Property Protection Important?
Protection of intellectual property rights protects creativity. The efforts of writers, artists,
designers, software programmers, inventors and other talents need to be protected so as in
order to create an environment where creativity can flourish and hard work can be
rewarded.
Hong Kong is a creative place. Our film production, television production, sound
recordings production, publications, fashion and jewellery design and graphical design
and production skills are known world-wide and enjoy a ready market overseas. Hong
Kong is an international trading centre, we need to provide the necessary intellectual
property rights protection to our investors to assure them of a free and fair environment in
which to do business. Thus it is in our very interest to protect intellectual property rights.

What is protected?
Not all ideas, inventions or creations are protected. For example, to balance the interest of
intellectual property rights owners and the society as a whole, while a pharmaceutical
invention may be protected by patent registration, a special medical treatment of a disease
is not protected. Also the incorporation of a famous cartoon character into a
commercial is illegal.
The shade part of the picture briefly illustrate what is protected and what is not.

Intellectual Property Protection in Hong Kong


Our Commitment
The Government of the Hong Kong Special Administrative Region (SAR) attaches great
weight to the contribution that the creation of intellectual property makes to the economy.
We have been involved in an on-going effort to ensure that Hong Kong people and
overseas investors in Hong Kong can be assured of intellectual property protection as
good as and even better than in any other economy in the world.

Basic Law and Intellectual Property Rights


Recognising the importance of intellectual property protection in the Hong Kong SAR,
Hong Kongs mini-constitution - the Basic Law - specifically provides in Articles 139
and 140 that the Hong Kong SAR should on its own develop appropriate policies and
afford legal protection for intellectual property rights.
Against this background, we have developed a new body of intellectual property law
which aims to reach the highest international standards, and put the Hong Kong SAR at

the leading edge of intellectual property development and protection.

Intellectual Property Department


To underline the commitment of intellectual property protection, the government
established the Intellectual Property Department on 2 July 1990. The Intellectual Property
Department is responsible for advising the Secretary for Commerce, Industry and
Technology on policies and legislation to protect intellectual property in the Hong Kong
SAR; for operating the Hong Kong SARs Trade Marks, Patents, Registered Designs and
Copyright Licensing Bodies Registries, and for promoting intellectual property protection
through public education.

Customs & Excise Department


The Customs and Excise Department is responsible for enforcing the criminal aspects of
infringement of intellectual property rights. It investigates complaints alleging
infringement of trade marks and copyright and complaints alleging false trade
descriptions. The department has extensive powers of search and seizure, and cooperates
with overseas enforcement authorities and owners of trade marks and copyright in a
concerted effort to combat infringement of intellectual property rights. The department
has received many commendations for its work from both public and private institutions.
In accordance with Hong Kongs obligations under the World Trade Organisation Agreement on Trade Related Aspects of Intellectual Property Rights (WTO - TRIPS
Agreement), the Customs and Excise Department will help rights-owners to enforce their
rights in relation to copyright and trademark goods through border enforcement
measures.

Intellectual Property Law


What is Intellectual Property Law?
The law creates rights in intellectual property by providing protection in different
categories of monopolies. Broadly speaking, intellectual property law:
defines rights by ring-fencing the monopolies granted,
defines permitted acts by creating certain legal exceptions to the monopolies in the
public interest,
defines remedies which set out the way the right owner or the government can enforce
rights by civil or criminal proceedings, and
sets out ways that rights can be acquired, for example through registration, and how
rights can be assigned or licensed by one party to another.

So for example:
the owner of a registered trademark can attach his mark to his goods or services, and he
can stop anyone else from attaching the mark to their goods or services;
the owner of a patent can manufacture products incorporating his patented invention,
and can exclude anyone else from using that invention; and
the owner of a copyright can copy, publish, perform or import his works, and can stop
anyone else from doing so.

This system allows creators and subsequent owners of rights to gain economic benefit
from charging other people royalties or a lump-sum for using the marks, products or
works over which they have obtained their legal monopoly.
Just as the law defines offences against ordinary property (real property), for example
stealing a car or breaking into a house, it also sets out offences (infringements) against
intellectual property. For example, selling goods with counterfeit trade marks, trading in
pirated music, video or computer software or showing films or playing music in public
without the right-owners permission are all acts which can infringe intellectual property
rights.

Summary of Intellectual Property Categories


Protected in the Hong Kong SAR
The following table summarises the general characteristics of different categories of
intellectual property protected in the Hong Kong SAR.
Whether registration Enforcement
Types of
available in HKSAR
is required for
subject-matter
normally protected effective protection in
HKSAR
Trade Marks
trade or service
yes
Civil,
names and logos
Criminal
Patents
invention
yes
Civil
Designs
industrial product
yes
Civil
design, fabric design
Plant varieties
new agricultural or yes
Civil
horticultural varieties
no
Civil
Integrated circuit
layout designs of
designs
integrated circuits
(mask works)
no
Civil,
Copyright
literature, drama,
Criminal
music, photographs,
computer software,
films, phonograms,
broadcasts, cable
diffusion
Further details of each category are described in separate sections.

Domestic Protection and International Protection


Intellectual property laws are domestic. For example, a right given under Hong Kong
SAR law only applies in the Hong Kong SAR. However, various international
conventions require member countries or economies to recognise rights of persons from
the other member countries. The main international intellectual property conventions
which have been applied to the Hong Kong SAR by the Peoples Republic
of China are:
the Paris Convention for the Protection of Industrial Property;

the Berne Convention for the Protection of Literary and Artistic Works;
the Universal Copyright Convention;
the Geneva Convention for the Protection of Producers of Phonograms Against
Unauthorised Duplication of Their Phonograms;
the Patent Cooperation Treaty and;
The Convention establishing the World Intellectual Property Organisation.
Hong Kong, China is a member of the World Trade Organisation in its own right, and our
intellectual property protection system meets the standards set out in the WTO TRIPS
Agreement.

Trade Marks
What is a Trade Mark?
A trade mark is a mark or logo used by businesses to identify the goods in which they
trade or the services they provide in the course of business. .

Registered and Unregistered Trade Mark


Trade marks can be either registered or unregistered. Unregistered trade marks may be
protected by the common law action of passing off. A trade mark owner bringing an
action for passing off must prove reputation in the mark and must prove that the other
persons use of the mark will cause him damage. Passing off is usually a more difficult
action to bring than an action for infringement of a registered trade mark. Therefore, we
strongly recommend traders to register their marks in the Hong Kong SAR.

Trade Marks Registered outside the Hong Kong SAR


The Hong Kong SARs trade mark registration system is separate from the system
operating in other parts of China. Trade mark registrations obtained in the Chinese Trade
Marks Office, or elsewhere in the world, do not automatically get protection in the Hong
Kong SAR. Trade marks must be registered in the Hong Kong SAR before they can be
protected in the Hong Kong SAR under the Trade Marks Ordinance (Cap 559).

Trade Marks Ordinance


The Trade Marks Ordinance (Cap 559) came into force on 4 April 2003. The ordinance
provides the framework for the Hong Kong SARs system of registration of trademarks.
It sets out the basis and criteria for registration and the rights attached to a registered
trade mark.
The ordinance has simplified application and examination procedures and the fee for
registration of a trade mark has been substantially reduced. Under the new law, the range
of marks which can be registered as trade marks are broadened, for example by allowing
distinctive sound and smell marks to be registered. Assignment and licensing procedures
have also been simplified, and multi-class applications are allowed.

Owners' Rights
The owner of a registered trade mark has an exclusive right to use the mark on the goods
or the services for which the mark was registered.The owner can take legal action to

prevent anyone from using his registered mark in relation to those goods or services
without his consent.

Infringement
Anyone fraudulently using a trade mark, including selling and importing goods bearing a
forged trade mark, or possessing or using equipment for that purpose also commits a
criminal offence under the Trade Descriptions Ordinance (Cap 362).

Hong Kong Trade Marks Registry


The Hong Kong Trade Marks Registry started operating in 1874, and is one of the
worlds oldest trademark registries. Hong Kong has been registering marks for services as
well as for goods since 1992. Applications to the Trade Marks Registry from April 2002
to March 2003 numbered 20,594. The number of applications has been rising steadily
over the years.

Trade Mark Registration


Normally an applicant for a new trademark will be told within two to three months that
his mark will be published in the Hong Kong Intellectual Property Journal, provided the
criteria laid out in the Trade Marks Ordinance are met. The public then have a period of
three months to oppose if they have lawful grounds for doing so. Where no opposition is
received, the mark can normally be registered in a further one month. The whole
registration procedure takes about six to seven months if there is no objections or
opposition to the mark. The registration is effective from the filing date of the application
to register.

Applied International Conventions


As China has applied the Paris Convention to the Hong Kong SAR, and Hong Kong,
China is a member of the WTO, applicants for trade marks in the Hong Kong SAR can
enjoy Paris Convention priority in respect of their applications.

Patents
What is a Patent ?
Patents protect technical innovations. A patent gives the exclusive right to the inventor of
an invention or its subsequent owner to make use or put the invention on the market. An
invention which is new, involves an inventive step and is capable of being industrially
applied can be patented. The patent system encourages new technology by granting the
inventor a patent which gives him the exclusive right to exploit the invention for a set
term. In exchange, the inventor is required to make the invention public.

Territorial Protection
As with trade marks, Hong Kong SAR patent law is territorial. Patents granted in the
Hong Kong SAR will only get protection in the Hong Kong SAR. The Hong Kong SAR
patent system is separate from the system which operates in other parts of China. Patents
granted by the State Intellectual Property Office (formerly Chinese Patent Office) are not
automatically protected in Hong Kong. However, patent applications published by the
State Intellectual Property Office on or after 27 June 1997 can form the basis for an
application for a standard patent to the Hong Kong SAR Patents Registry.

Previous Law
The previous Registration of Patents Ordinance (Cap 42) provided for the registration in
Hong Kong of United Kingdom patents and of European Patents designating the United
Kingdom.
Under the previous law, anyone who had been granted a patent in the United Kingdom, or
a European Patent designating the United Kingdom, could apply within five years of the
grant of the patent to have it registered here.

Patents Ordinance
The Patents Ordinance came into effect on 27 June 1997. It replaced the previous
Registration of Patents Ordinance and provided the Hong Kong SAR with its own
independent patent law. The new law provides registration of patents granted by the State
Intellectual Property Office and, at the same time, provides continuity with the previous
patent system by allowing continued registration of United Kingdom patents and
European patents designating the United Kingdom.
The registered patent when granted in the Hong Kong SAR is a Hong Kong SAR patent
independent of the Chinese, European or United Kingdom patent. The patent will be
enforced by the Hong Kong SAR courts.

Standard Patent
Standard patents in the Hong Kong SAR have a term of protection of up to 20 years.
Applicants seeking protection of a standard patent must make an application to the Hong
Kong SAR Patents Registry within 6 months after the date of publication of their patent
application at the State Intellectual Property Office, European or United Kingdom Patent
Office.

Short-term Patent
The Patents Ordinance provides for a new type of protection the shortterm patent for
inventions with a short commercial viability. The term of protection is up to eight years.
Applications are made directly to the Hong Kong SAR Patents Registry, and are granted
subject to a formality examination. Short-term patent applications in the Hong Kong SAR
can enjoy Paris Convention priority.

Patent Cooperation Treaty


The Peoples Republic of China has applied the Patent Cooperation Treaty (PCT) to the
Hong Kong SAR. An applicant who has designated China in the international phase of
his PCT patent application can elect to have his application considered in the Hong Kong
SAR, in accordance with the Hong Kong SARs Patents Ordinance, when that
international application enters its national phase in China.

Copyright
What is Copyright?
Copyright law protects the product of human creativity. Copyright can subsist in literary
works such as books and computer software, musical works such as musical
compositions, dramatic works such as plays, artistic works such as drawings, paintings
and sculpture, sound recordings, films, broadcasts, cable programmes and published

editions of literary, dramatic or musical works. Materials available to the public on the
Internet also involve copyright.

Owners' Rights
The owner of a copyright can take legal action against any person who infringes the
copyright in the work. The activities which the owner can prevent will differ depending
on the type of work which is being infringed. Essentially the owner has the exclusive
right to copy the work and to distribute it to the public. The owner may seek an injunction
to prevent an infringement of his copyright and may be able to claim damages, additional
damages or account of profits which the infringer made.

Previous Law
Copyright was previously protected in Hong Kong under the United Kingdom Copyright
Act 1956 and the Hong Kong Copyright Ordinance (Cap 39).

Copyright Ordinance 1997


The Hong Kong SARs new copyright law came into effect on 27 June 1997. It provides
comprehensive protection for recognised categories of literary, dramatic, musical and
artistic works, as well as for films, television broadcasts and cable diffusion, and works
made available to the public on the Internet.
Hong Kong SARs copyright law protects not only underlying works but also the
typographical arrangements of the published editions of literary, dramatic and musical
works (including those in which copyright protection is not available for the underlying
work.).
There are no formalities required to obtain copyright protection for works in the Hong
Kong SAR. Works of authors from any place in the world, or works first published
anywhere in the world, qualify for copyright protection in the Hong Kong SAR.

Applied International Conventions


China has applied the Berne Convention and Universal Copyright Convention to the
Hong Kong SAR, and Hong Kong, China is a separate member of the WTO. The
Copyright Ordinance also provides for border enforcement assistance to
copyright-owners by the customs authorities, as required under the TRIPS Agreement.

Infringement
There are wide-ranging provisions in the law for criminal and civil enforcement of
copyright. Those who indulge in copyright piracy, production of infringing articles on a
commercial scale, or possession of infringing articles for trade or business can be liable
to a maximum fine of HK$50,000 (US$6,140) per infringing article and a term of
imprisonment of up to four years. Import or export of pirated articles is a criminal offence.
It is also an offence to be involved in copyright piracy outside the Hong Kong SAR for
the purpose of importation into the Hong Kong SAR. Sanctions are also available against
those who manufacture and sell technology for defeating technological copyright
protection systems.

Parallel Importation
Parallel importation of a copyright work usually means the importation into Hong Kong
SAR without the permission of the copyright owner, of a copy of that work which was
lawfully made in the place of origin. This is not allowed under the law. A parallel

imported copy is considered to be an infringing copy. After the coming into effect of the
Copyright (Amendment) Ordinance 2003, the restriction on parallel importation no
longer applies to articles which contain a computer program ( commonly known as
computer software products). However, if the principal attraction of a computer software
product is musical sound or visual recordings, movies, television dramas, e-books, or a
combination of them, the restriction continues to apply. The amendment Ordinance took
effect from 28 November 2003. Parallel-importing an article incorporating a copyright
work (except for those computer software products mentioned above) is a criminal
offence during the 18 months starting from the works first publication anywhere in the
world.

Registered Designs
What are Registered Designs
The new visible shape, configuration, pattern or ornament applied to an article by an
industrial process are features capable of protection by design registration. Examples of
registrable designs include fabric patterns, and the outward appearance of watches,
jewellery, toys or mobile phones.

Previous Law
Under the United Kingdom Designs (Protection) Ordinance (Cap 44), designs registered
in the United Kingdom under the Registered Designs Act 1949, as amended, were
automatically protected in Hong Kong. Design owners did not have to register their
designs separately in Hong Kong.

Registered Designs Ordinance


With effect from 27 June 1997, the Hong Kong SAR has its own, independent designs
registry. Applicants can apply for registration of designs directly with the Hong Kong
SAR Designs Registry. Designs are registered subject to a formality examination.
Registered design applications in the Hong Kong SAR can enjoy Paris Convention
priority.

Designs Registered outside the Hong Kong SAR


The Hong Kong SARs designs registration system is separate from the system which
operates in other parts of China. Designs registered in the State Intellectual Property
Office or elsewhere in the world, must be registered in the Hong Kong SAR before they
can be protected in the Hong Kong SAR.
Designs protected in Hong Kong under the law previously in force, enjoy continued
protection beyond their current periods of registration, on application to renew in the
Hong Kong SAR, provided the total period of registration does not exceed that stipulated
under the Registered Designs Ordinance.

Layout-design (Topography) of Integrated


Circuits
9

The Hong Kong SAR has special legislation to protect the original layout-design for
incorporation into an integrated circuit. Subject to certain exceptions, the owner is able to
take civil action to prohibit others from reproducing or distributing his layout-design
without his consent or without payment of royalties. There is no need to register the
layout-design right and protection will be automatic.

Plant Varieties Protection


Plant varieties protection is also known as plant breeders rights. A plant breeder, like
other intellectual property owners, has the exclusive right to authorise reproduction of his
new plant variety. The Plant Varieties Protection Ordinance (Cap 490) confers intellectual
property rights on breeders of plant varieties. The Director of Agriculture, Fisheries and
Conservation is the Registrar of Plant Variety Rights and considers applications for plant
variety rights. A plant variety must be new, distinct, homogeneous and stable in order to
be considered for protection under the law.

Intellectual Property Department


Address : 24 Floor, Wu Chung House, 213 Queen's Road East, Hong Kong
Enquiry Hotline (24-hour) : (852) 2803 5860
Fax : (852) 2838 6276
Website : http://www.info.gov.hk/ipd
E-mail : enquiry@ipd.gov.hk
Full texts of the intellectual property laws are available through the Bilingual Laws
Information System (BLIS) offered by the Department of Justice at the following
website: http://www.justice.gov.hk
Customs Piracy Report Line : (852) 2545 6182

Intellectual Property Department


Government of the Hong Kong Special Administrative Region

February 2004
Hong Kong Special Administrative Region Government 2004

All rights reserved


This publication may be copied, distributed or exhibited in any form for noncommercial
use without the prior permission of the Government of the Hong Kong
Special Administrative Region provided that the following notice appears in the work:
This material is taken from Intellectual Property in Hong Kong 2004 and is used with the
permission of the Government of the Hong Kong Special Administrative Region.

10

Liability

Engineers are responsible for the professional services that they provide either through
their employer or directly to a client. The engineers' services should meet a professional
standard of care.
When a negligent error or omission is made, the engineer should be held responsible.
However, all possible and reasonable steps should be taken to reduce the unnecessary and
unwarranted liability exposure of engineers.
It supports legislative action to repeal joint and several liability, place caps on
contingency fees, impose tighter standards on punitive damage awards, and promote the
use of alternative dispute resolution methods.

Background
Joint and several liability makes every defendant in a lawsuit liable for the entire amount of the
plaintiffs damages regardless of the defendants degree of fault or responsibility. This poses
particularly serious problems for engineers and other professionals. Proportionate liability holds
defendants responsible only for the damages caused by their own negligence.
Product liability laws are intended to protect consumers from injury because of manufacturing
and sale of unsafe products. Absolute liability encourages accident prevention by holding
manufacturers liable for injuries caused by their products. However, the standard unfairly holds
them liable for any injury regardless of their ability to foresee an imminent injury or the
consumers ability to prevent it.
In recent years, the Supreme Court has expressed serious concern about punitive damages awards,
which are frequently out of proportion to the damage done. Punitive damages are awarded in
addition to civil damages that might be imposed. In 1996, the court ruled in BMW of North
America v. Gore (517 US 559, 5/20/96) that the punitive damages award is grossly excessive and
therefore exceeds the constitutional limit. However, the court did not establish a limit and the
problem of excessive damages persists.
Alternative dispute resolution (ADR) is a relatively new mechanism for resolving lawsuits. It
often includes arbitration and mediation. The two most common forms of early neutral evaluation
and conciliation. As litigation balloons, the costs of litigation rise and time delays continue to
frustrate litigants, more states are experimenting with ADR programs. Some are voluntary, while
others are mandatory.

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