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CHATER v. THE UNITED KINGDOM

Doc ref: 11723/85 • ECHR ID: 001-399

Document date: May 7, 1987

  • Inbound citations: 8
  • Cited paragraphs: 0
  • Outbound citations: 0

CHATER v. THE UNITED KINGDOM

Doc ref: 11723/85 • ECHR ID: 001-399

Document date: May 7, 1987

Cited paragraphs only



AS TO THE ADMISSIBILITY OF

Application No. 11723/85

by Ernest CHATER

against the United Kingdom

        The European Commission of Human Rights sitting in private on

7 May 1987, the following members being present:

                    MM. G. SPERDUTI, Acting President

                        J.A. FROWEIN

                        F. ERMACORA

                        G. JÖRUNDSSON

                        G. TENEKIDES

                        B. KIERNAN

                        A. WEITZEL

                        H.G. SCHERMERS

                        G. BATLINER

                        H. VANDENBERGHE

                   Mrs  G.H. THUNE

                   Sir  Basil HALL

                   Mr.  F. MARTINEZ

                   Mr.  K. ROGGE, Head of Division, acting as

                   Secretary to the Commission

        Having regard to Article 25 of the Convention for the

Protection of Human Rights and Fundamental Freedoms;

        Having regard to the application introduced on 4 May 1985

by Ernest CHATER against the United Kingdom and registered on

10 July 1985 under file No. 11723/85;

        Having regard to:

-       reports provided for in Rule 40 of the Rules of Procedure of

        the Commission;

-       the Commission's decision of 14 March 1986 to bring the

        application to the notice of the respondent Government and

        invite them to submit written observations on its

        admissibility and merits;

-       the observations submitted by the respondent Government on

        19 May 1986 and 2 March 1987;

-       the observations submitted by the applicant on 5 August and

        13 November 1986;

        Having deliberated;

THE FACTS

        The facts apparently not in dispute between the parties may be

summarised as follows.

        The applicant is a British citizen, born in London in 1938.

He is a haulage contractor by profession and lives in Hoddesdon in

Hertfordshire.  He is represented before the Commission by

Ms.  M. Carss-Frisk, barrister.

        The application arises from a dispute between the applicant

and planning authorities over the interpretation of the facts of this

case for the purposes of planning legislation, as applied to the

applicant's property in Hoddesdon.

        In 1960 the applicant, with his wife, bought the house in

which he now lives.  His property abuts a road in an established

residential area and forms one of a number of properties dating from

the turn of the century.  There are houses adjacent to and opposite

the property.  To the rear are allotments.  The site comprises about

0.028 hectares on which the principal building is the applicant's

two-bedroomed house.  Attached to the house is a building which could

serve as a garage for two small vehicles, and along one boundary is a

single storey outbuilding of some 44 square metres which has been

used partly as an office and mostly as a workshop and store.  The open

parts of the site are largely laid out as a hard standing.  There is a

single vehicular access, approximately 5 metres wide, to the main

road.

        It seems that between 1910 and 1940 the outbuilding was used

by a blacksmith, who also lived in the house.  In 1951 a dairy was

transferred to the premises, planning permission having been granted

in 1950 for conversion of an existing engineering workshop to a dairy.

It became more of a milk distribution depot rather than a dairy.  On

taking over the property, the applicant and his family lived in the

house.  He gave up his previous job as a bus driver and from 1960 to

1972 was self-employed as a lorry driver with his own lorry, which he

kept, repaired and serviced at the site.  From 1972 to 1977 he ran a

haulage business with three tractor units and four trailers, which he

kept and repaired on the site.  From 1960 until 1977 the applicant

also claims to have repaired vehicles for others on the site at modest

prices and often without invoices.   The haulage business declined and

from 1977 the applicant undertook vehicle repairs on a full-time

basis, although keeping a haulage vehicle on the site, obtaining a

specialised haulage licence in 1979 and doing odd haulage jobs, as

well as a weekly grocery delivery until 1980.

        In 1971 the applicant applied for and was granted planning

permission to build an extension to the house to provide a double

garage with a bedroom over it.  Only the garage was built and it was

subject to the condition that it be used for storing the applicant's

private cars.  At that time the applicant's solicitors assured the

planning authorities that no vehicle repairs were being conducted at

the premises.  (The applicant claims that this statement was true then

because he was in hospital).  However, it seems that the premises were

used for repair work and, in particular, paint spraying.  It was this

latter activity, together with the noise and late hours, seven days a

week, aggravated by traffic congestion caused by customers' vehicles

parked in the main road, which led some of the applicants' neighbours

to complain to the local Council, the competent planning authority.

        At no point did the applicant have planning permission for

his business activities.

        The current Development Plan for the area, including the

applicant's property, designates the area as a Primary Residential

Area and an Environmental Improvement Area.  The effect of these

designations is that Council policy is to improve the local amenities

and the overall quality of the environment, and in general not to

grant planning consent for the introduction, extension or

intensification of commercial activities within the curtilage of

residential properties.

        In March 1980 the applicant was invited to stop repairing and

maintaining motor vehicles at the property, or to apply for a

certificate of established use for light engineering and vehicle

repair purposes.  The applicant applied for such a certificate under

the terms of Section 94(1)(a) of the Town and Country Planning Act

1971 which provides, so far as relevant, as follows:

        "94(1) ... a use of land is established if -

        (a) it was begun before the beginning of 1964

        without planning permission in that behalf and has

        continued since the end of 1963 ..."

        On 9 September 1980 the Council refused to grant the

certificate as they were not satisfied that the vehicle repair use

had begun before 1964 and had continued ever since.  On 14 October

1980 the Council served an enforcement notice on the applicant for him

to cease the vehicle repair and maintenance use within six months because,

in breach of planning controls, he had made a material change in the

use of the property without planning permission.  The applicant

appealed against both the enforcement notice and the refusal to grant

an established use certificate.  He alleged, inter alia, that the

service of the enforcement notice was ultra vires, there being

other alternatives open to the Council, and that a distinction could

not be made between the established haulage use, including the repair

of his own haulage vehicles, and the repair of other people's

vehicles.

        A public inquiry was held on 14 April 1981.  In his report to

the Secretary of State for the Environment, the Inspector appointed to

conduct the inquiry concluded that a material change of use of the

applicant's property had occurred in 1960 without planning permission

when the applicant had begun his haulage business.  The applicant

could not be said to have established a vehicle repair use in its own

right before 1964, the car repair work being minimal compared with

that generated by the haulage business, with its ancillary use of

repairing the haulage vehicles.  A further material change of use

occurred at the property in 1977 when the applicant ceased hauling and

began vehicle repairs full-time.  This change was in breach of

planning control.  Thus the Council's enforcement notice and the

refusal to grant an established use certificate were deemed

well-founded.

        On the planning merits, the Inspector was of the opinion that

a vehicle repair business must significantly detract from the

amenities of the neighbouring properties and the general residential

environment, and was not a use for which planning permission should be

granted.  On 23 April 1982 the Secretary of State informed the

applicant of his decision, upholding the Inspector's conclusions.

        In 1984 the applicant was convicted of two breaches of the

1980 enforcement notice in that he was alleged to be still using the

property for repairing and maintaining motor vehicles.  He was fined

£125 and ordered to pay compensation.  He appealed on the grounds

that the maintenance was part of the haulage business which he had

resumed, and not commercial repair work.  The appeal was dismissed,

although the applicant was given an absolute discharge.

        On 22 March 1984 a second enforcement notice was issued

requiring the applicant to cease use of the site as a haulage depot

within six months.  The applicant appealed to the Secretary of State.

He claimed that the use had been continuous since 1963.  The power to

determine this appeal was transferred to an Inspector appointed to hold

a public inquiry.  The inquiry was held on 25 October 1984.

        The Inspector upheld the findings of the previous planning

inquiry that there had been a material change of use of the property

in 1960 when the haulage business was started without planning

permission.  This use was unlawful.  In 1977 a further unlawful

material change in use of the property occurred with the creation of a

full-time vehicle repair business.  When enforcement action required

the cessation of the latter use, the applicant could not revert to the

haulage business which, being unlawful, required planning permission.

The reversion to this use was, therefore, in breach of planning

control.

        The Inspector did not accept the applicant's contention that

during the period 1977 to 1982 his premises were used for three

separate purposes:  as a dwelling, a motor repair and maintenance

business and a haulage depot.  He noted that between 1980 and 1982 the

applicant had had a 10 cwt. van which was occasionally used for

haulage and that the applicant had wished to resume haulage

contracting.  However, he found no evidence that a significant

proportion of the applicant's premises had actually been used as a

haulage depot during that period and concluded that this previously

established use had been abandoned between 1980 and 1982, if not also

throughout the period 1977 to 1982.  Hence the applicant could not

claim to have used the site as a haulage depot without interruption

since 1960.  The Inspector found that the need to protect the

residential amenities outweighed the personal and economic

considerations relating to the applicant and his customers.  He

therefore dismissed the applicant's appeal and refused planning

permission for a haulage depot.  His decision was notified to the

applicant by letter dated 25 January 1985.

COMPLAINTS

        The applicant complains that he has been deprived of his

livelihood by the interaction of the two enforcement notices, which

prevent him using his premises as either a haulage depot or as a

vehicle repair and maintenance business.  He states that he has been

deprived of his yard and workshop because he is now obliged to use

them for residential purposes for which they are utterly unsuitable.

He also states that he has been deprived of his business which

consisted of mixed user and which continued, albeit in varying

proportions of user, from before 1964 until it was prohibited in 1985.

        He invokes Article 1 of Protocol No. 1, claiming that while a

small industrial site in the middle of a residential area may not be

ideal, he should have been entitled to some form of compensation.

PROCEEDINGS BEFORE THE COMMISSION

        The application was introduced on 4 May 1985 and registered on

10 July 1985.

        After a preliminary examination of the case by the Rapporteur,

the Commission considered the application on 14 March 1986 and decided

to give notice of it to the respondent Government, pursuant to Rule

42, para. 2(b) of its Rules of Procedure.  The Government was also

invited to submit its written observations on the admissibility and

merits of the application and, in particular, on the issues which it

raises concerning the control and deprivation of property in the

general or public interest, within the meaning of Article 1 of

Protocol No. 1.

        The Government's observations were submitted on 19 May 1986,

to which the applicant replied summarily on 5 August 1986 in person,

and fully on 13 November 1986 through his legal representatives, after

two extensions of the time limit for the submission of these latter

observations had been granted by the President of the Commission.  The

applicant was granted legal aid by the Commission on 18 July 1986.

        On 2 March 1987 the Government submitted further observations

on the admissibility and merits of the application on their own

initiative.

SUBMISSIONS OF THE PARTIES

        The Government

Part I: Facts

        The Government's description of the facts has been largely

incorporated in THE FACTS above.

        As regards the Secretary of State's decision of 23 April 1982,

the Government submits that, on its true construction, this decision

was based not on the view that there had been a material change of use

of the site by reason of an increase in the vehicle repair use leading

to a loss of ancillary status, but rather that the vehicle repair use

amounted to the introduction onto the site of a new primary use which,

as a matter of fact and degree, constituted a material change of use.

Part II:  Domestic law and practice

Local planning authority

------------------------

        The competent authority for the planning decisions in this

case is the applicant's local Council (cf.  Section 1 of the Town and

Country Planning Act 1971 ("the 1971 Act"), as amended by the Local

Government Act 1972.)

Planning control

----------------

        Planning permission has been necessary since 1948 for any

development of land, and development includes any material change in

the use of property (cf.  Sections 22 and 23 of Part III of the Town

and Country Planning Act 1947, re-enacted in Part III of the Town and

Country Planning Act 1962, and Section 23(1) of the 1971 Act).

Material change of use

----------------------

        Whether a material change of use amounting to development has

occurred is primarily a matter of fact and degree in each case.  The

case-law has developed to permit the ancillary use of property.  An

ancillary activity is one ordinarily regarded as incidental to a

primary use.  It is not a separate use.  However such ancillary

status may be lost where the activity is conducted on such a scale as

to constitute a separate primary use in its own right.  In

consequence, land may acquire a new primary use or a "composite" or

"mixed" use, for which planning permission will be required.

Lawful and unlawful use of land

--------------------------------

        Since 1948, in general, a use is lawful if it has, and is

conducted in accordance with, planning permission, either express or

implied.  Without such permission the use is unlawful, but may be

established (i.e. immune from enforcement action, see below, p. 8).

If after enforcement action a previous use of land is resumed,

planning permission is not required if that previous use is itself

lawful and immediately preceded the activity against which enforcement

proceedings were taken.

Normal applications for planning permission

-------------------------------------------

        Applications for planning permission are made to local

planning authorities who, having regard to their Development Plans and

any other material considerations, may grant planning permission

either conditionally or unconditionally, or refuse it.  Appeals

against refusal lie to the Secretary of State for the Environment and

then to the courts if the Secretary of State's decision is ultra

vires or has not complied with the relevant requirements.

Enforcement of planning control:  Enforcement notices

-----------------------------------------------------

        The enforcement of planning control is the responsibility of

local planning authorities.  They may issue enforcement notices,

pursuant to Section 87 of the 1971 Act, in order to remedy breaches of

planning control.  The considerable discretion of local planning

authorities to issue enforcement notices in respect of allegedly

unlawful development may be challenged in the courts where it can be

shown to have been exercised arbitrarily or capriciously.  Enforcement

action may not be taken against a breach of planning control

consisting of a material change of use which occurred before the end

of 1963.

Appeals against enforcement notices

-----------------------------------

        Appeals against enforcement notices lie to the Secretary of

State for the Environment (Section 88 of the 1971 Act).  Such appeals

are also deemed to be applications for planning permission for the

development in question.  The Secretary of State has power to grant

planning permission.  Appeals under Section 88 of the 1971 Act are

governed by the Town and Country Planning (Enforcement Notices and

Appeals) Regulations 1981.  The parties have several procedural rights

including a right to be heard, by way of public inquiry, if wished

(Section 282 of the 1971 Act and Section 250 of the Local Government

Act 1972).  The procedure at a public local inquiry is governed by

the Town and Country Planning (Enforcement) (Inquiries Procedure)

Rules 1981.  The Secretary of State appoints Inspectors to hear such

inquiries.  In general it is the Inspector himself who determines the

appeal (Schedule 9 of the 1971 Act and the Town and Country Planning

(Determination of appeals by appointed persons) (Prescribed Classes)

Regulations 1981).  Where the Secretary of State directs that he

himself will decide an appeal, the Inspector reports to him, setting

out his findings of fact, his conclusions and his recommendations.

The Secretary of State and the Inspector must take into account local

Development Plans and any other material considerations.  These may

include the personal circumstances of the person in breach of planning

control.

        The burden of proof (based on the balance of probabilities) in

enforcement notice appeals is on the appellant to establish that

there has been no breach of planning control.

Non-compliance with enforcement notices

---------------------------------------

        Failure to comply with an enforcement notice constitutes a

criminal offence, subject to financial penalties.

Established use

---------------

        A material change in the use of land, made without planning

permission before the beginning of 1964 and which has continued since

the end of 1963, is immune from enforcement action, although it

remains unlawful.  It is termed an established use and a certificate

may be obtained from the local planning authority to this effect

(Section 94 of the 1971 Act;  see above p. 3).  The procedure

governing applications for an established use certificate is

prescribed by the Town and Country Planning General Development Order

1977.        The Secretary of State has accepted that a use might subsist

at the date of such an application, even if not active at that time,

provided it had not been abandoned (Appeal Decision 5411/D/78/111).

An established use may be abandoned if the use has ceased with no

intention that it should be resumed.  Whether land has ceased to be

used for a purpose, and whether an intention to abandon the use may be

inferred, are questions of fact to be determined according to whether

a reasonable man might conclude that the previous use had been

abandoned in the particular circumstances of the case (Hartley v.

Minister of Housing and Local Government (1970) 1 QB 43).  Where an

established use has been abandoned, planning permission would be

required for its lawful resumption.  But the legal concept of

abandonment is inapplicable where one use has been followed by another

without interruption;  a subsequent reversion to the former use may

constitute a material change of use requiring planning permission

(Young v.  Secretary of State for the Environment (1983) 2 AC 662).

These rules apply, mutatis mutandis, where land has more than one

established use.

        In deciding whether to grant an established use certificate it

would not be appropriate, in the Government's opinion, to take into

account considerations of personal hardship, as these proceedings are

solely concerned with the certification of facts.

Appeals against refusal of established use certificate

------------------------------------------------------

        An appeal against refusal of an established use certificate

lies to the Secretary of State (cf.  Section 95 of the 1971 Act, the

Town and Country Planning General Development Order 1977 and the Town

and Country Planning (Enforcement) (Inquiries Procedure) Rules 1981).

Relevance of Development Plan and other planning considerations

---------------------------------------------------------------

        Appeals against an enforcement notice or the refusal of an

established use certificate are all deemed to constitute applications

for planning permission.  In considering whether to grant planning

permission, the Secretary of State must have regard to the provisions

of the Development Plan and any other material considerations.  The

Development Plan outside Greater London consists of a structure plan,

i.e. a broad statement of strategic planning policy for the county,

and local plans containing the implementation details of that policy

for the whole or any part of a district.  It is for the Secretary of

State, or his Inspector, to decide the weight to be given to the

various relevant considerations in each case.

Further appeals to the courts

-----------------------------

        Appeals lie against the Secretary of State's decisions to the

courts.  As regards enforcement notices, decisions may be challenged

before the High Court by reason of illegality, irrationality or

procedural impropriety (cf.  The Council for the Civil Service Unions

v.  Minister for the Civil Service (1985) AC 374, Sections 88, 243(1)

and 246(1) of the 1971 Act and Order 53 of the Rules of the Supreme

Court).

        The validity of a decision of the Secretary of State

concerning an established use certificate may be challenged under

Section 245 of the 1971 Act on the grounds that the decision is not

within the powers conferred by the Act or that there has not been

compliance with relevant requirements.

        An appeal on a point of law under Section 246 of the 1971 Act

and an appeal on the grounds that a decision is not within the powers

of that Act, raise substantially the same issues.  The High Court may

interfere with a decision if the Secretary of State, or his Inspector,

acted on no evidence; or if he came to the conclusion to which, on the

evidence, he could not reasonably come; or if he has given a wrong

interpretation to the words of the statute; or if he has ignored

relevant matters or has taken into account matters which he should not

have; or if the rules of natural justice have not been observed; or if

a decision is unintelligible or inadequate.

        In both cases there is a further right of appeal on a point of

law from the High Court to the Court of Appeal, and, thereafter, with

leave, to the House of Lords.

Compensation

------------

        Part VII of the 1971 Act contains provisions for compensation

when planning permission is refused or only granted conditionally.

However Section 147 of that Act expressly excludes compensation for a

refusal of planning permission for any development involving a

material change in the use of land or buildings.

Part III:  Admissibility and Merits

Article 26 of the Convention

----------------------------

        The Government submits that in respect of the 1980 enforcement

proceedings and the Secretary of State's decision of 23 April 1982,

the application is inadmissible for non-observance of the six months'

rule, these being matters not giving rise to a continuous situation.

Each enforcement notice and each appeal decision involved separate,

self-contained matters, dependent on the facts as determined at the

relevant time.

        Moreover, in respect of those first proceedings and the

enforcement proceedings in 1984/1985 the application is inadmissible

for failure to exhaust domestic remedies, the applicant not having

sought to challenge the validity of the decisions in question before

the High Court or challenge the apparent lack of consideration given

by the competent authorities to his contentions about personal

hardship.

Article 1 of Protocol No. 1

---------------------------

        The Government submits that the applicant has not been

deprived of his property.  The loss of the applicant's business with

its goodwill was an incidental consequence of the enforcement of

planning controls because of the applicant's own unlawful use of his

property, and should not be regarded as a deprivation of possessions.

The "deprivation rule" in Article 1 of Protocol No. 1 concerns

deprivation of ownership rather than restrictions on the use of

property.

        The Government contends that the applicant's property was the

subject of controls in accordance with the general interest, within

the meaning of Article 1 of Protocol No. 1.  The Commission and

Court's case-law recognises a wide margin of appreciation in the

State's appreciation and implementation of planning policies in the

general or public interest (cf.  Eur.  Court H.R., Sporrong and Lönnroth

judgment of 23 September 1982, Series A no. 52 para. 69, and James and

Others judgment of 21 February 1986, Series A no. 98 para. 46).

        The United Kingdom's Town and Country Planning legislation

provides a careful system of checks and balances between the

individual's wishes and the community's needs, i.e., the rights of the

individual and the general interest.  The present case demonstrates

the care taken by the competent authorities in weighing up all the

relevant factors.

        The Government also submits that the enforcement action taken

in the present case was justified under the second paragraph of

Article 1 of Protocol No. 1.  The Contracting States are the sole

judges of the necessity of promulgating legislation controlling the

use of property, as well as of the necessity of particular

implementation measures.  The Convention organs' function is limited

to an examination of the lawfulness and legitimacy of the purpose of

the interference in question, and does not encompass an examination of

its proportionality.  Nevertheless, the enforcement measures were

proportionate in the present case.

        Since 1948 no one has had the right to use land precisely as

he chooses.  The applicant could have verified the planning

possibilities of his property before launching his business even prior

to its purchase (Section 17(1) of the Town and Country Planning Act

1947 and Section 53(1) of the 1971 Act).  The applicant may use his

property as a residence or a dairy.  The vehicle repair and haulage

uses were at all times unlawful, being without planning permission,

even if the haulage use was immune from enforcement action until 1977

when he changed to the vehicle repair use.  In this respect he cannot

be said to have acquired property rights.  In failing to ensure

planning permission for his activities, the applicant risked the

consequences which flow from a breach of planning law.

        It is no part of the purposes of Article 1 of Protocol No. 1

to protect the peaceful enjoyment of the illegal use of land.  The

applicant seeks compensation for losses which are attributable to his

own unlawful acts.  It would be wrong in principle for compensation to

be paid when there has in effect been no interference with the rights

protected by Article 1 of Protocol No. 1.

Part IV:  Conclusions

        The Government requests the Commission to declare the

application inadmissible partly for failure to exhaust domestic

remedies and partly for failure to observe the six months' rule.

Alternatively, it should either be declared inadmissible as being

manifestly ill-founded or the Commission should declare that there has

been no breach of Article 1 of Protocol No. 1.

        The applicant

I.      Facts

        The applicant submits that he did not abandon his haulage

business in 1977, but continued it as far as work was forthcoming.

However, because there was a decline in demand he was obliged to rely

more heavily on the vehicle repair business for income.  Since the two

enforcement procedures he has been unable to  use his property to earn

his living.

        In 1960 when the applicant took over the property there were

no residential properties adjacent to it on either side.  The dwelling

houses now abutting the applicant's property were built in the 1970's

pursuant to the local Council's residential development policy.

II.     Domestic law and practice

        The applicant generally agrees with the Govenment's

description of the domestic law and practice, but emphasises the

following points:

        Section 94(1) of the 1971 Act does not distinguish between

primary and ancillary uses.  An established use certificate cannot be

issued for an ancillary use.

        An established use may acquire immunity from enforcement

action but nevertheless is not deemed to be lawful.  Therefore, it

is unlawful to revert to such a use after enforcement action.

        In respect of the decision to issue an enforcement notice or

grant planning permission, the applicant contends that the planning

legislation makes no provision for the personal circumstances of, or

consequences for, the land owner to be taken into account as a

material consideration.

        Section 147 of the 1971 Act expressly excludes the payment of

compensation for a refusal of planning permission in respect of a

material change of use.

        As regards enforcement notices, Section 246 of the 1971 Act

expressly restricts appeals to the High Court to points of law.

Judicial review is limited to allegations of unlawfulness,

irrationality or procedural impropriety.

        As regards established use certificates, Section 245 of the

1971 Act restricts High Court applications to allegations of ultra

vires or non-compliance with relevant requirements.  It is not

possible to challenge the authorities' findings of fact.

III.    Admissiblity and merits

Article 26 of the Convention

----------------------------

        As regards exhaustion of domestic remedies the applicant

contends that he could not have complained of the deprivation of his

livelihood to the courts as the failure by the competent authorities

to take this into account would not have been deemed to have been an

error of law or irrational.  Moreover, such compensation is expressly

excluded by Section 147 of the 1971 Act.

        Thus domestic law in itself and as applied violated the

applicant's rights.  The applicant contends that he has complied with

this aspect of Article 26 of the Convention.

        As regards the six months' rule, the applicant contends that

his grievance falls within the notion of a "continuing violation"

(De Becker v.  Belgium Dec. 9.6.58, Yearbook 2 p. 244).  The

combination of the Secretary of State's decision of 23 April 1982 and

the Inspector's decision of 25 January 1985 created a continuing

situation in which he is unable to use his property other than for

residential purposes.  Thus the six months' rule has no application in

this case.  Alternatively, the relevant decisions, culminating with

the Inspector's decision of 25 January 1985, all form part of a

continuing process.  Prior to this latter decision the applicant

considered that he was at least able to conduct a haulage business at

his premises.  It was only after the Inspector's decision that the

full implications of the domestic law became apparent to him.

Article 1 of Protocol No. 1

---------------------------

        The applicant submits that his right to the peaceful enjoyment

of possessions has been violated without compensation.  He complains

of certain features of the domestic law and practice:-

(i)     an ancillary use cannot became an established use;

(ii)    reversion to an established use is not possible, as such uses

        are unlawful;

(iii)   the personal consequences for the land owner are not

        obligatorily taken into account by the competent authorities.

        As in the Sporrong and Lönnroth case the possibilities

concerning the exercise of his ownership rights have been reduced even

if there has not been a total deprivation of property (Eur.  Court

H.R., Sporrong and Lönnroth judgment of 23 September 1982, Series A

no. 52 para. 60), and James and Others judgment of 21 February 1986,

Series A no. 98 para. 37).

        The general structure of Article 1 of Protocol No. 1 requires

a fair balance to be struck "between the demands of the general

interests of the community and the requirements of the protection of

individual rights", so that the individual does not have to bear an

excessive  burden (aforementioned Sporrong and Lönnroth judgment

paras. 146 and 173).  The applicant contends that by failing to take

account of the personal consequences for the owner, by excluding

compensation and by maintaining the three features emphasised above,

United Kingdom planning law, as applied in his case, failed to strike

that fair balance and obliged him to bear an excessive burden.

        The applicant also claims that the measures taken against him

were disproportionate, for conditions could have been attached to the

business use of his property in order to improve neighbourhood

amenities.

IV      Conclusions

        The applicant requests the Commission to reject the

Government's contentions under Articles 26 and 27 of the Convention,

and to declare his application admissible.

THE LAW

1.      The applicant has complained of a deprivation of his property

rights, without compensation, by virtue of the interaction of planning

control decisions regarding his premises.  He has invoked Article 1 of

Protocol No. 1 (P1-1) which provides as follows:

        "Every natural or legal person is entitled to the peaceful

        enjoyment of his possessions.  No one shall be deprived of

        his possessions except in the public interest and subject to

        the conditions provided for by law and by the general

        principles of international law.

        The preceding provisions shall not, however, in any way

        impair the right of a State to enforce such laws as it deems

        necessary to control the use of property in accordance with

        the general interest or to secure the payment of taxes or

        other contribrutions or penalties."

2.      The Government has contended that the application should be

rejected partly for non-observance of the six months' rule and partly

for non-exhaustion of domestic remedies, within the meaning of Article

26 (Art. 26) of the Convention.  Alternatively, it is contended that

the application is manifestly ill-founded within the meaning of

Article 27 para. 2 (Art. 27-2) of the Convention.

3.      As regards the question of the observance of the six months'

rule, the Commission notes that there were two sets of enforcement

proceedings against the applicant:-

a)      from March 1980 until April 1982, when the applicant was

required to cease using his premises for vehicle repair and

maintenance work;

b)      from March 1984 until January 1985, when the applicant was

required to cease using his premises for a haulage business.

        Although these proceedings could technically be said to be

separate, the Commission considers it necessary to take account of

the first enforcement measures as part of the relevant history of the

applicant's property, and in order to evaluate the consequences of the

second enforcement measures upon the applicant's property rights.  The

interaction of these proceedings did have an impact on the applicant's

business activities and, in the particular circumstances of the case,

can be deemed to be part of a continuous action by the competent

planning authorities to ensure the reversion of the applicant's

property to a lawful use.  In the light of these considerations, the

Commission does not find that the part of the application concerning

the first enforcement proceedings should be rejected for

non-observance of the six months' rule, pursuant to Article 26

(Art. 26) of the Convention.  The final decision in the present

application was that of the Inspector, in his letter of 25 January

1985, when the applicant's appeal against the second enforcement

notice was refused and planning permission for a haulage depot

refused.  The applicant lodged his application with the Commission

within six months of that decision.

4.      As regards the Government's contention that the application

should be rejected for non-exhaustion of domestic remedies, the

Commission's notes that one of the applicant's main complaints is of a

deprivation of property without compensation.  The facts of the

present case concern enforcement action and refusals of planning

permission in relation to the material changes of use of the property

in question made by the applicant.  Section 147 of the Town and

Country Planning Act 1971 (the 1971 Act) expressly excludes the

payment of compensation for a refusal of planning permission in

respect of any development involving a material change in the use of

land or buildings.  The secondary remedies' dispute between the

parties (cf. pp. 7, 8, 12 and 13 above) concerning the extent to which

an owner may plead his personal circumstances before the competent

planning authorities, and the extent to which those authorities must

take such pleadings into account as a material consideration, is a

question which the Commission considers linked to the substantive

issues raised in the case, and will be dealt with below (see p. 17

point e) below).

        In these circumstances, the Commission finds that the

application cannot be rejected for non-exhaustion of domestic remedies

pursuant to Article 26 (Art. 26) of the Convention.

5.      Turning to the substantive issues raised by the present

application, the Commission first finds that there has been an

interference with the applicant's peaceful enjoyment of possessions,

within the meaning of Article 1 of Protocol No. 1 (P1-1).  In principle the

owner of a house with adjacent premises has the right to use that

property for whatever purpose he sees fit.  Limitations on that use

require justification, either in the public interest, if they amount

to a deprivation of possessions, or in the general interest, if they

constitute the control of the use of property.

6.      The Commission next finds that the present case does not

disclose any deprivation of the applicant's property, within the

meaning of the second sentence of the first paragraph of Article 1 of

Protocol No. 1 (P1-1).  The interference with property rights disclosed by

this application falls solely within the ambit of the second paragraph

of Article 1 of Protocol No. 1 (P1-1), the contested decisions in the case

being taken to enforce planning legislation deemed necessary, by the

competent authorities, "to control the use of property in accordance

with the general interest".

        The Commission's task under the second paragraph of Article 1

of Protocol No. 1 (P1-1) is to supervise the lawfulness, purpose and

proportionality of the restrictions in question (see e.g.  No. 10378/83

Dec. 7.12.83, D.R. 35 p. 235).  The question of proportionality, which

is an inherent aspect of the whole Convention, requires the Commission

to determine whether, whilst recognising the wide margin of

appreciation afforded to States in the planning field, a fair balance

was struck between the general interest of the community and the

protection of the individual's rights (cf. mutatis mutandis

aforementioned Sporrong and Lönnroth judgment para. 69, and Comm.

Report 8.10.83 in the same case para. 105).

        With regard to the lawfulness of the enforcement proceedings

and planning restrictions imposed on the applicant's property, the

Commission notes that the applicant does not seriously dispute that

they were lawful and complied with the relevant planning legislation

and domestic case-law, in particular the Town and Country Planning Act

1971.  In this context note must be taken of the applicant's complaint

that it is the state of domestic law itself, which provides no

compensation for someone in his position, which violates his property

rights.

        As regards the purpose of planning controls, the Commission

acknowledges that they are necessary and desirable in order to

preserve and improve the amenities of residential areas.  The

Development Plan, i.e. planning policy, of the applicant's local

planning authority is thus, prima facie, in accordance with the

general interest.

        Concerning the proportionality of the measures taken against

the applicant, which required him to cease using his premises for

vehicle repairs or a haulage business, the Commission takes account of

the following factual considerations:-

a)      The applicant at no time applied for planning permission to

use his premises for vehicle repair or haulage work.  At all times

these uses were unlawful (although for a certain period the haulage

business was immune from enforcement action, i.e., it was an

established use).

b)      The applicant apparently never inquired, either prior to the

purchase of his property or afterwards, whether he would require

planning permission for these uses or whether, if so, he would be

likely to be granted it.

c)      Thus, although certain of the houses near the applicant were

built after he had purchased the premises in question and some of the

complainants to the local Council arrived in the neighbourhood after

the applicant, he failed to guarantee the lawfulness of his activities

at the outset, at a time when these other legitimate property and

environmental interests had not arisen.

d)      The domestic authorities held that the applicant lost the

benefit of the established use of a haulage business between 1980 to

1982, if not from 1977 to 1982, and, therefore, could not revert to

it, as it had throughout been an unlawful use of property.  The

applicant did not challenge this finding of fact as being irrational,

arbitrary or grounded on no evidence before the domestic courts.

There is, therefore, no basis in this case for the Commission to doubt

its well-foundedness.

e)      The Commission is satisfied that the domestic law permits the

competent planning authorities to take into account, as a material

consideration, the personal circumstances for the owner, as a result

of a possible adverse planning decision.

f)      The vehicle repair and maintenance business which the

applicant wished to pursue had obvious detrimental effects on his

neighbours' amenities, with its resultant noise and air pollution, as

well as traffic congestion.

g)      Although the applicant's premises have always been used for

business activities, the last use for which planning permission was

granted in 1951 related to a dairy business, a relatively inoffensive

activity compared with a haulage or garage trade.  Given the

legitimate policy of the applicant's local planning authority to

improve the amenities of the essentially residential area, the

Commission finds no evidence of arbitrariness in the authority's

refusal to allow the applicant to continue these trades.

        Finally, the Commission is of the opinion that, as a general

principle, the protection of property rights ensured by Article 1 of

Protocol No. 1 (P1-1) cannot extend to the granting of compensation for the

cessation of an unlawful use of property.

        In the light of the above considerations, the Commission finds

that a proper balance has been struck between the applicant's personal

interests and the general interest.  The control of the applicant's

property, which prevents him using his premises for vehicle repairs or

a haulage business, is, therefore, in accordance with the

requirements of Article 1 of Protocol No. 1 (P1-1).

        It follows that the application is manifestly ill-founded

within the meaning of Article 27 para. 1 (27-1) of the Convention.

        For these reasons, the Commission

        DECLARES THE APPLICATION INADMISSIBLE.

Head of Division, acting as Secretary   Acting President of the Commission

         to the Commission

            (K. ROGGE)                          (G. SPERDUTI)

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