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The Doctrine of Causation

6 min read

The Doctrine of Causation: Nexus between Action and Injury #

The Doctrine of Causation is a foundational principle in both the Law of Torts and Criminal Law, serving to establish the necessary legal link between the defendant’s wrongful act (or omission) and the resulting harm suffered by the plaintiff or victim. Without establishing this causal nexus, no liability can attach, regardless of the defendant’s breach of duty.

The inquiry into causation is twofold, requiring the satisfaction of both: Factual Causation (Cause-in-Fact) and Legal Causation (Remoteness of Damage).

I. Factual Causation (Cause-in-Fact) #

Factual Causation addresses the scientific or physical link between the defendant’s conduct and the injury. It determines whether the harm would have occurred but for the defendant’s act.

A. The ‘But-For’ Test (Conditio Sine Qua Non) #

This is the primary test:

“But for the defendant’s breach of duty, would the claimant have suffered the injury?”

If the answer is ‘No’ (i.e., the injury would not have happened without the act), factual causation is established.

B. Limitations and Advanced Concepts #

The ‘But-For’ test struggles when dealing with complex, multi-source injuries:

  1. Multiple Sufficient Causes: Where two or more independent events could each have caused the harm (e.g., two fires merging to burn a house). If the ‘But-For’ test fails for both individually, courts often apply a Substantial Factor Test or acknowledge Concurrent Causes, holding all parties liable.
  2. Successive Causes: Where a second, independent tortious act completely overtakes and renders the first injury irrelevant. The first defendant is liable only up to the point of the second injury.
  3. Material Contribution Test (Advanced Tort): Developed in cases of complex medical or industrial diseases (e.g., asbestos-related illness) where scientific evidence cannot prove causation on a ‘But-For’ basis, but can show the defendant’s breach materially increased the risk or materially contributed to the injury (e.g., Fairchild v. Glenhaven Funeral Services Ltd in English law).

II. Legal Causation (Remoteness of Damage) #

Legal Causation is a policy tool used to place a reasonable limit on the liability arising from a breach, even if factual causation is established. The central question is: Is the damage too remote a consequence of the wrongful act?

A. The Evolution of the Remoteness Rule #

  1. The Direct Consequence Test (Overruled): Laid down in Re Polemis & Furness, Withy & Co (1921). Under this rule, a defendant was liable for all direct consequences of a negligent act, regardless of whether those consequences were foreseeable. This test was overly harsh, imposing potentially unlimited liability.
  2. The Foreseeability Test (Current Law): Established in Overseas Tankship (UK) Ltd v. Morts Dock & Engineering Co Ltd (The Wagon Mound No. 1) (1961). The current rule, universally applied in India and other common law jurisdictions, is that a defendant is only liable for damages that are a foreseeable consequence of their breach of duty.

Case Analysis 1: The Wagon Mound No. 1 (1961) #

Aspect Description
Facts The defendants (charterers of the SS Wagon Mound) negligently allowed furnace oil to spill into Sydney Harbour. The oil drifted to the plaintiff’s wharf, where welding operations were taking place. Molten metal from the welding fell onto floating cotton debris, which ignited the oil, causing extensive fire damage to the wharf and ships.
Issue Was the damage caused by the fire (an unforeseeable consequence of the oil spill) too remote to attract liability?
Rule The test for legal causation is reasonable foreseeability. The defendant is only liable for the injury if the type of damage was reasonably foreseeable at the time of the breach.
Application The court found that while a pollution/fouling injury was foreseeable, damage by fire was not, as the ignition of furnace oil on water was highly unlikely and not generally known. Since the type of damage was unforeseeable, it was too remote.
Conclusion The defendants were held not liable for the fire damage, marking the decisive shift in English and Commonwealth law from the direct consequences test to the foreseeability test.

III. Novus Actus Interveniens (Intervening Act) #

This advanced concept deals with an independent, voluntary act or event that occurs after the defendant’s negligence and breaks the chain of causation, thereby relieving the original defendant of liability for the ultimate harm.

The intervening act must be something extraordinary or unforeseeable. Common categories include:

  1. Act of a Third Party: An independent negligent or intentional act by a third party (e.g., a doctor’s gross negligence in treating the initial injury).
  2. Act of the Plaintiff: The plaintiff’s own unreasonable conduct that exacerbates the injury.
  3. Act of Nature: An extraordinary natural event (e.g., a massive earthquake) that acts upon the original damage.

The Thin Skull Rule (Eggshell Skull Rule) #

This rule is a crucial exception to the foreseeability test. It dictates that the defendant must take the victim as they find them (‘A tortfeasor must take his victim as he finds him’).

If the type of injury is foreseeable (e.g., physical harm), but the extent of that injury is much greater due to the plaintiff’s pre-existing frailty (e.g., a thin skull, latent heart condition, or hemophilia), the defendant remains liable for the full extent of the damage. The rule applies to the extent of injury, not the type.

IV. Causation in Indian Jurisprudence (Focus on Criminal Law) #

While Indian Tort law generally follows The Wagon Mound‘s foreseeability test, the concept of Novus Actus Interveniens is vividly examined in criminal law, particularly concerning murder or culpable homicide, providing a clear illustration of the breaking of the causal chain.

Case Analysis 2: R. v. Palani Goundan (1919) (Indian Context) #

Aspect Description
Facts The accused inflicted a severe blow to his wife’s head, causing her to fall unconscious. Believing her to be dead, the accused, to conceal the crime, hung her body from a beam. Medical evidence showed the wife died later from hanging (asphyxia), not from the blow.
Issue Could the accused be held liable for murder, given that the cause of death (hanging) was a subsequent, independent act performed under the mistaken belief that the victim was already dead?
Rule The causal chain is broken by an intervening act only if that act is independent of the initial wrongful conduct. However, in this case, the hanging was part of the same series of actions stemming from the initial illegal intention.
Application The Court observed that the act of hanging was prompted by the mistaken belief caused by the initial blow. The cumulative set of actions, performed with the intention to cause death or knowing it was likely, was treated as a single transaction designed to cover up the crime.
Conclusion The accused was held liable for murder. Although technically the immediate cause of death was the hanging, the initial malicious act was deemed the proximate cause of the victim’s plight, and the entire sequence was viewed as a continuous transaction of criminal intent. This case highlights the complexity of proximate cause when multiple actions are connected by a single, continuing criminal mens rea.
Updated on 9 November 2025

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Table of Contents
  • The Doctrine of Causation: Nexus between Action and Injury
    • I. Factual Causation (Cause-in-Fact)
      • A. The 'But-For' Test (Conditio Sine Qua Non)
      • B. Limitations and Advanced Concepts
    • II. Legal Causation (Remoteness of Damage)
      • A. The Evolution of the Remoteness Rule
      • Case Analysis 1: The Wagon Mound No. 1 (1961)
    • III. Novus Actus Interveniens (Intervening Act)
      • The Thin Skull Rule (Eggshell Skull Rule)
    • IV. Causation in Indian Jurisprudence (Focus on Criminal Law)
      • Case Analysis 2: R. v. Palani Goundan (1919) (Indian Context)
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