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Decision 036/2024

Decision Notice 036/2024: Development on banks of Loch Lomond

Authority: Scottish Enterprise
Case Ref: 202101181


Summary

The Applicant asked the Authority for the full agreement reached between the Authority and Flamingo Land Ltd

relating to a proposed development on the banks of Loch Lomond.  The Authority disclosed some information and

withheld the remainder, claiming that disclosure would prejudice substantially commercial confidentiality.  The

Commissioner investigated and found that the Authority correctly withheld the information.


Relevant statutory provisions

Freedom of Information (Scotland) Act 2002 (FOISA) sections 1(1), (2) and (6) (General entitlement); 2(1)(b)

(Effect of exemptions); 39(2) (Health, safety and the environment); 47(1) and (2) (Application for decision by

Commissioner)

The Environmental Information (Scotland) Regulations 2004 (the EIRs) regulations 2(1) (definition of “the Act”,

“the applicant”, “the Commissioner” and “environmental information”) (Interpretation); 5(1) (Duty to make

environmental information available on request); 10(1), (2) and 5(e) (Exceptions from duty to make environmental

information available); 17(1), (2)(a), (b) and (f) (Enforcement and appeal provisions)

The full text of each of the statutory provisions cited above is reproduced in Appendix 1 to this decision. The

Appendix forms part of this decision.


Background

1.    On 16 March 2021, the Applicant made a request for information to the Authority.  The Applicant asked for

the full agreement reached (including any supplementary documents or appendices) between the Authority and

Flamingo Land Ltd, as described in the Authority’s press release of 22 December 2020, relating to a proposed

development on the banks of Loch Lomond.

2.    The Authority responded on 26 April 2021.  The Authority confirmed it held information within the scope of

the Applicant’s request and provided some of it, but withheld the remainder under regulations 10(5)(e)

(confidentiality of commercial or industrial information) and 11(3A)(a) (personal data) of the EIRs.  The

Authority also explained that it did not consider there to be a public interest in releasing information which

could have an adverse effect on its commercial interests and those of third parties.

3.    On 22 June 2021, the Applicant wrote to the Authority requesting a review of its decision.  The Applicant

stated that he was dissatisfied with the decision because he considered the Authority’s use of the exception under

regulation 10(5)(e) to be excessive and it was difficult to see why, for example, the whole list of suspensive

conditions in the missives could be said to affect commercial interests.  The Applicant also disputed the

Authority’s position that it had commercial interests itself and argued that, as a public authority, it should not

have commercial interests as such.  (The Applicant did not contest the redactions made under regulation 11(3A)(a)

(personal data) of the EIRs.)

4.    The Authority notified the Applicant of the outcome of its review on 21 July 2021, fully upholding its

original decision.  The Authority maintained that the information was commercially sensitive, and that disclosure

would substantially prejudice its own commercial interests and those of Flamingo Land Ltd, through breaching its

obligation of confidentiality and through diminishing its links with private sector partners and customers,

neither of which was in the public interest.  The Authority also explained that the Enterprise and New Towns

(Scotland) Act 1990 establishes its obligation to obtain best value in relation to properties within its

portfolio.

5.    On 20 September 2021, the Applicant wrote to the Commissioner, applying for a decision in terms of section

47(1) of FOISA.  By virtue of regulation 17 of the EIRs, Part 4 of FOISA applies to the enforcement of the EIRs as

it applies to the enforcement of FOISA, subject to specified modifications.  The Applicant stated he was

dissatisfied with the outcome of the Authority’s review for the same reasons he raised in his request for review.

 

Investigation

6.    The Commissioner determined that the application complied with section 47(2) of FOISA and that he had the

power to carry out an investigation.

7.    On 26 October 2021, the Authority was notified in writing that the Applicant had made a valid application.  

The Authority was asked to send the Commissioner the information withheld from the Applicant.  The Authority

provided the information and the case was subsequently allocated to an investigating officer.

8.    Section 49(3)(a) of FOISA requires the Commissioner to give public authorities an opportunity to provide

comments on an application. The Authority was invited to comment on this application and to answer specific

questions.  These related to the reasons for applying the exception in regulation 10(5)(e), why the whole list of

suspensive conditions could be said to affect commercial interests, the public interest in withholding the

information and why the Authority referred to itself as having commercial interests.

9.    During the course of the investigation, following a fresh review of the withheld information, the

Authority disclosed some information to the Applicant which had previously been redacted. The Authority explained

that due to the passage of time it was content to disclose the information to the Applicant.

 

Commissioner’s analysis and findings

10.    The Commissioner has considered all of the submissions made to him by the Applicant and the Authority,

including all of the information which was withheld following the Authority’s response to the request for review.


Application of the EIRs

11.    The Commissioner is satisfied that the information covered by this request is environmental information,

as defined in regulation 2(1) of the EIRs (paragraphs (a) and (c) of the definition of "environmental

information").  The information relates to a proposed development on the banks of Loch Lomond.

12.    The Applicant has not disputed the Authority’s handling of the request under the EIRs, and the

Commissioner will consider the information solely in terms of the EIRs in what follows.


Regulation 5(1) and 2(b) of the EIRs – Duty to make available environmental information on request

13.    Regulation 5(1) of the EIRs requires a Scottish public authority which holds environmental information to

make it available when requested to do so by any applicant.  This obligation relates to information that is held

by the authority when it receives the request.

14.    On receipt of a request for environmental information, therefore, the authority must ascertain what

information it holds falling within the scope of the request.  Having done so, regulation 5(1) requires the

authority to provide that information to the requester, unless a qualification in regulation 6 to 12 applies

(regulation 5(2)(b)).

15.    Under the EIRs, a public authority may refuse to make environmental information available if one or more

of the exceptions in regulation 10 applies.


Regulation 10(5)(e) of the EIRs – Confidentiality of commercial or industrial information

16.    Regulation 10(5)(e) provides that a Scottish public authority may refuse to make environmental information

available to the extent that its disclosure would, or would be likely to, prejudice substantially the

confidentiality of commercial or industrial information where such confidentiality is provided for by law to

protect a legitimate economic interest.

17.    The Aarhus Convention: An Implementation Guide , which offers guidance on the interpretation of the

Convention from which the EIRs derived, notes (at page 88) that the first test for considering this exception is

whether national law expressly protects the confidentiality of the withheld information.  The law must explicitly

protect the type of information in question as commercial or industrial secrets.  Secondly, the confidentiality

must protect a “legitimate economic interest”: this term is not defined in the Convention, but its meaning is

further considered below (at paragraph 42).

18.    Having taken this guidance into consideration, the Commissioner’s view is that, before regulation 10(5)(e)

can be engaged, authorities must consider the following matters:

(i) Is the information publicly available?

(ii) Is the information industrial or commercial in nature?

(iii) Does a legally binding duty of confidence exist in relation to the information – express or implied?

(iv) Would disclosure of the information cause, or be likely to cause, substantial harm to a legitimate economic

interest?


The Authority’s submissions about the exception

Is the information publicly available?

19.    The Authority stated the content of the missives is not publicly available.

Is the information commercial or industrial in nature?

20.    The Authority explained the information requested comprises the content of concluded missives pertaining

to a property transaction and was, therefore, commercial in nature.

Does a legally binding duty of confidence exist in relation to the information?

21.    The Authority stated that the missives contain a confidentiality clause, but recognised that this alone

that did not create a legally binding duty of confidence.  However, the Authority considered that the following

relevant criteria at common law would be fulfilled:

  • the necessary quality of confidence, and
  • the obligation to maintain confidentiality.

22.    Regarding the first criterion, the Authority recognised that the existence of an agreement between itself

and Flamingo Land Ltd was in the public domain, but the detailed legal missives were not.  The Authority explained

that the missives were developed under circumstances from which it should reasonably have been inferred their

content was produced on a commercial in-confidence basis.  The Authority therefore considered that the information

has the necessary quality of confidence.

23.    Regarding the second criterion, the Authority stated the information was received under an implicit and

explicit obligation to maintain confidentiality of the details of the missives.  The Authority noted this

expectation is normal legal practice in such transactions.


Would disclosure of the information cause, or be likely to cause, substantial harm to a legitimate economic

interest?

24.    The Authority stated that the transaction between it and Flamingo Land Ltd is “live and ongoing”, with a

number of suspensive conditions in the agreement.  The Authority further explained that the implementation of

proposals within the missives can only proceed with the granting of planning permission, a process which is live

and ongoing.

25.    Given this, the Authority stated there is a risk of substantial prejudice to its economic interests were

the complete missives disclosed at this time: for example, the details of the types of, or how it calculates,

abnormal costs, deductions or allowances for one site or building, could be used by a prospective purchaser of

another site or building elsewhere in its portfolio to negotiate down the price.

26.    The Authority further submitted that disclosure of the information requested would be detrimental to the

general public interest in confidences being maintained, cause likelihood of commercial damage to Flamingo Land

Ltd through disclosure of sensitive information and create a possibility that Flamingo Land Ltd’s competitors

could analyse and identify the risk profile assumed by both it and Flamingo Land Ltd to the future detriment of

both.

27.    The Authority also noted that, while property sale prices generally become public domain a few months

after a transaction settles, the method of calculation of that price is not released to the public and instead

remains its commercial information.

28.    In response to the Applicant’s view that as a public authority, the Authority should not have commercial

interests as such, the Authority explained that it has a very distinctive role amongst other public bodies, within

Scotland and strategically as part of the Scottish economy.  

29.    The Authority commented that it was established as a non-departmental public body of the Scottish

Government, with specific public functions laid down in the Enterprise and New Towns (Scotland) Act 1990, and to

deliver those functions it is required as a matter of necessity to work with, support and operate alongside a

range of private sector entities.  The effective operation of the Authority requires those public sector entities

to be able to share commercial or sensitive information with it, within a private space where required.

30.    The Authority set out a number of the functions it fulfils including; the provision of finance to persons

intending to carry on industrial undertakings, promoting the private ownership of interests in industrial

undertakings by the disposal of securities and other property held by itself, or any of its subsidiaries, and

otherwise promoting or assisting the establishment, growth, modernisation or development of industry or any

undertaking in an industry.

31.    The Authority noted that in addition to land transactions, its commercial interests include its ability to

work, in a meaningful way with companies in Scotland to explore investment opportunities and deliver its functions

under the 1990 Act.  This also includes engaging in commercial activities in its own right, leverages in private

sector investment and the generation of significant income from its investment portfolio.

32.    The Authority argued that it cannot conduct its functions effectively and seek best value in its

investments or land transactions if it does not pay due attention to the commercial considerations of those

activities.

The Applicant's submissions about the exception


33.    The Applicant disagreed with the Authority’s use of the exception as he thought it had been applied too

broadly.  Specifically, the Applicant stated that it had been applied to whole sections of the agreement and it

was difficult to see why, for example, the whole list of the suspensive conditions could be said to affect

commercial interests and that the extent of the redactions was such that no reasonable person could tell whether

they relate to commercial matters or not.

34.    The Applicant also argued that the Authority should not have commercial interests, as such, of its own,

and it should not have applied the argument that disclosure of the withheld information would harm its economic

interests.


The Commissioner's view about the exception

Is the information publicly available?

35.    Based on the submissions from the Authority, and commercial missives generally being confidential, the

Commissioner is satisfied that the information is not publicly available.

Is the information commercial or industrial in nature?

36.    As the information requested comprises the content of concluded missives pertaining to a property

transaction, the Commissioner is satisfied it is commercial in nature.


Does a legally binding duty of confidence exist in relation to the information?

37.    In the Commissioner's view, confidentiality "provided for by law" will include confidentiality imposed on

any person under the common law of confidence, under a contractual obligation or by statute.  For a duty of

confidence to be owed under the common law, it is necessary for certain criteria to be met. These are:

(i) the information must have the necessary quality of confidence about it.  It must not be generally accessible

to the public already.

(ii) the information must have been communicated in circumstances importing an obligation of confidentiality.  The

obligation may be express (for example, in a contract or other agreement), or implied from the circumstances or

the nature of the relationship between the parties; and

(iii) unauthorised use or disclosure of the information would be to the detriment of the party communicating it.  

Detriment may be potential rather than actual and need not be financial.

38.    Regarding point (i), the Commissioner accepts that the information requested is not generally accessible

to the public, will only have been viewed by a limited number of individuals and was clearly received under

circumstances from which it would reasonably have been inferred it was confidential.

39.    Regarding point (ii), the Commissioner accepts that the Authority received the information in

circumstances which imposed an obligation on it to maintain confidentiality, with the missives containing an

explicit clause of confidentiality and it being normal legal practice to expect confidentiality in such

transactions.

40.    Regarding point (iii), the Commissioner accepts that the potential harm the Authority outlined at

paragraph 25 that it considered would result from disclosure of the withheld information.

41.    The Commissioner is therefore satisfied a legally binding duty of confidence exists in relation to the

information.

Would disclosure of the information cause, or be likely to cause, substantial harm to a legitimate economic

interest?

42.    The term "legitimate interest" is not defined in the EIRs.  In the Commissioner's view, the interest in

question should be financial, commercial or otherwise economic in nature.  The prejudice to that interest must be

substantial: in other words, it must be of real and of demonstrable significance.

43.    As noted above, the Applicant was not satisfied that the Authority had commercial interests in its own

right.  Having considered the submissions from the Authority, the Commissioner is satisfied that the Authority

does have commercial interests in relation to the information contained in the “Offer to Grant Lease” document.

44.    It is evident to the Commissioner from reading the “Offer to Grant Lease” document that this was prepared

as part of the agreement between the Authority and Flamingo Land Ltd for the transaction relating to the provision

of land at Loch Lomond.

45.    Having considered the information that has been redacted from the “Offer to Grant Lease” document, the

Commissioner accepts that disclosure of the information would have caused, or would be likely to cause,

substantial prejudice to a legitimate economic interest.

46.    The Commissioner recognises the point made by the Applicant that the Authority had an exclusivity

agreement with Flamingo Land Ltd which means, by definition, there are no longer any relevant competitors and that

disclosure of the information he requested would therefore not advantage competitors of Flamingo Land Ltd.

47.    The Commissioner agrees that this agreement is likely to mitigate the risks of harm to the respective

commercial interests of the Authority and Flamingo Land Ltd, but considers they would still exist if the withheld

information was disclosed now: for example, while the risk of immediate competition is reduced, the possibility of

competitors adjusting their strategies based on the disclosed information is not eliminated.

48.    The Commissioner also notes that the status of the planning application for the proposed development

remains live and ongoing and accepts the information, including the suspensive conditions, remains commercially

confidential and that premature disclosure would have a detrimental effect on proceedings.

49.    The Commissioner is therefore satisfied disclosure of the information would, or would be likely to,

prejudice substantially the confidentiality of commercial information where such confidentiality is provided for

by law to protect a legitimate economic interest.  


The public interest test – regulation 10(5)(e)

50.    Having accepted that the exception in regulation 10(5)(e) applies to the withheld information, the

Commissioner is required to consider the public interest test in regulation 10(1)(b) of the EIRs.  This states

that a Scottish public authority may only withhold information to which an exception applies where, in all the

circumstances, the public interest in making the information available is outweighed by the public interest in

maintaining the exception.

The Authority’s submissions about the public interest

51.    The Authority noted that it has a duty to be open and transparent, but stated there cannot be a public

interest in those duties operating to the detriment of its commercial interests and those of Flamingo Land Ltd

through the release of commercially confidential information.

52.    The Authority submitted that there is significant public interest in public bodies maintaining

confidentiality and protecting the legitimate economic interests of commercial organisations where it has been

agreed that information would be held confidentially.

53.    The Authority explained that disclosure of the requested information would make it less able to fulfil its

duty to obtain value for money through the management of contracts, sales and economic development projects in the

future.

54.    The Authority also noted that, under section 8(1)(g) of the Enterprise and New Towns (Scotland) Act, it

has a statutory duty to obtain best value:

“in addition to any power exercisable under subsection (1)(f) of section 4 of this Act, holding land acquired by

it and disposing of or otherwise dealing with such land, so however that, except with the consent of the Secretary

of State (whether or not given by virtue of subsection (5) of that section) and subject to section 7(b) of this

Act, neither body shall dispose of land, or grant a lease of land, for a consideration less than the best that

reasonably can be obtained” (emphasis added)

55.    The Authority concluded that the public interest in disclosure is therefore outweighed by the public

interest in avoiding substantial harm to legitimate economic interests.


The Applicant's submissions about the public interest

56.    The Applicant argued that, as the Authority is a public body with no commercial interests of its own,

there should be a limited range of circumstances in which any commercial interests override the public interest.

57.    The Applicant set out several arguments on why the public interest in the withheld information is wide-

ranging:

  • The agreement relates to the transfer of a large area of well-known and iconic land from the ownership of

an accountable public body to ownership of a private company;

  • There is a live planning application under consideration by Loch Lomond and the Trossachs National Park,

which has drawn a record number of comments and received significant national media coverage and demonstrates the

need for accurate information and transparency;

  • Drumkinnon Woods, a large area of protected Ancient Woodland, initially formed part of the above planning

application but was removed from the planned development following successful campaigning and more restrictive

planning policy in National Planning Framework 4.  This means the woods do not form part of the panning

application but will still be sold to a private company, meaning the public cannot be certain of the threat to a

well-loved and ecologically important woodland;

  • The Authority claimed that the agreement is part of its obligation to maximise economic development

benefit from sites it owns, but it is far from clear that such benefit exists with this agreement and more

scrutiny would help demonstrate whether the Authority is fulfilling this duty;

  • A number of local people have come together to put together a plan for a community buyout of the site and

are forming an appropriate community business structure. However, the lack of clarity on the status of the land in

question poses severe difficulties to them in forming their plans and a business case for community ownership.

The Commissioner's view on the public interest

58.    The Commissioner accepts that there is a general public interest in transparency and accountability,

particularly where this involves the transfer, and development, of a large area of well-known and iconic land from

the ownership of an accountable public body to ownership of a private company.

59.    The Commissioner also recognises the concerns that exist around the future of Drumkinnon Woods, although

he notes that the Authority is not a body with a remit for nature conservation and that access rights should be

unaffected by ownership.

60.    However, the Commissioner must also take into account the harm he has identified above, and his acceptance

that the information was provided in confidence.  There is a clear public interest in confidences not being

breached.

61.    The Commissioner notes the Authority’s statutory duty to obtain best value, which he agrees there is

public interest in the Authority achieving and which would be made more difficult if the information requested

were to be disclosed now.

62.    The Commissioner also takes account of the live nature of the planning process (which is transparent and

should address any legitimate concerns about the nature of the development proposals).

63.    Having carefully considered the public interest arguments put forward by both the Applicant and the

Authority, the Commissioner has concluded that the public interest in making the information available is, on

balance, outweighed by the public interest in maintaining the exception in regulation 10(5)(e) of the EIRs.

64.    The Commissioner is therefore satisfied that the Authority was, and is, entitled to withhold the

information under regulation 10(5)(e).

 

Decision

The Commissioner finds that the Authority complied with the Environmental Information (Scotland) Regulations 2004

in responding to the information request made by the Applicant.

 

Appeal


Should either the Applicant or the Authority wish to appeal against this decision, they have the right to appeal

to the Court of Session on a point of law only. Any such appeal must be made within 42 days after the date of

intimation of this decision.

 

David Hamilton
Scottish Information Commissioner


19 March 2024


 

Appendix 1: Relevant statutory provisions

Freedom of Information (Scotland) Act 2002

1     General entitlement

(1)     A person who requests information from a Scottish public authority which holds it is entitled to be given

it by the authority.

(2)     The person who makes such a request is in this Part and in Parts 2 and 7 referred to as the “applicant.”

(6)    This section is subject to sections 2, 9, 12 and 14.

 

2     Effect of exemptions

(1)     To information which is exempt information by virtue of any provision of Part 2, section 1 applies only to

the extent that –


(b)     in all the circumstances of the case, the public interest in disclosing the information is not outweighed

by that in maintaining the exemption.

 

39     Health, safety and the environment

(2)     Information is exempt information if a Scottish public authority-

(a)     is obliged by regulations under section 62 to make it available to the public in accordance with the

regulations; or

(b)     would be so obliged but for any exemption contained in the regulations.


47     Application for decision by Commissioner

(1)     A person who is dissatisfied with -

(a)     a notice under section 21(5) or (9); or

(b)     the failure of a Scottish public authority to which a requirement for review was made to give such a

notice.


may make application to the Commissioner for a decision whether, in any respect specified in that application, the

request for information to which the requirement relates has been dealt with in accordance with Part 1 of this

Act.

(2)     An application under subsection (1) must -

(a)     be in writing or in another form which, by reason of its having some permanency, is capable of being used

for subsequent reference (as, for example, a recording made on audio or video tape);

(b)     state the name of the applicant and an address for correspondence; and

(c)     specify –

    (i)    the request for information to which the requirement for review relates;

    (ii)    the matter which was specified under sub-paragraph (ii) of section 20(3)(c); and

    (iii)    the matter which gives rise to the dissatisfaction mentioned in subsection (1).



The Environmental Information (Scotland) Regulations 2004

2     Interpretation

(1)     In these Regulations –

“the Act” means the Freedom of Information (Scotland) Act 2002;

“applicant” means any person who requests that environmental information be made available;

“the Commissioner” means the Scottish Information Commissioner constituted by section 42 of the Act;

“environmental information” has the same meaning as in Article 2(1) of the Directive, namely any information in

written, visual, aural, electronic or any other material form on -

(a)    the state of the elements of the environment, such as air and atmosphere, water, soil, land, landscape and

natural sites including wetlands, coastal and marine areas, biological diversity and its components, including

genetically modified organisms, and the interaction among these elements;

(c)     measures (including administrative measures), such as policies, legislation, plans, programmes,

environmental agreements, and activities affecting or likely to affect the elements and factors referred to in

paragraphs (a) and (b) as well as measures or activities designed to protect those elements;


5     Duty to make available environmental information on request

(1)     Subject to paragraph (2), a Scottish public authority that holds environmental information shall make it

available when requested to do so by any applicant.


10     Exceptions from duty to make environmental information available

(1)     A Scottish public authority may refuse a request to make environmental information available if-

(a)     there is an exception to disclosure under paragraphs (4) or (5); and

(b)     in all the circumstances, the public interest in making the information available is outweighed by that in

maintaining the exception.

(2)     In considering the application of the exceptions referred to in paragraphs (4) and (5), a Scottish public

authority shall-

(a)     interpret those paragraphs in a restrictive way; and

(b)     apply a presumption in favour of disclosure.

(5)     A Scottish public authority may refuse to make environmental information available to the extent that its

disclosure would, or would be likely to, prejudice substantially-


(e)     the confidentiality of commercial or industrial information where such confidentiality is provided for by

law to protect a legitimate economic interest;


17     Enforcement and appeal provisions

(1)    The provisions of Part 4 of the Act (Enforcement) including schedule 3 (powers of entry and inspection),

shall apply for the purposes of these Regulations as they apply for the purposes of the Act but with the

modifications specified in paragraph (2).

(2)     In the application of any provision of the Act by paragraph (1) any reference to -

(a)     the Act is deemed to be a reference to these Regulations;

(b)     the requirements of Part 1 of the Act is deemed to be a reference to the requirements of these

Regulations;

(f)    a notice under section 21(5) or (9) (review by a Scottish public authority) of the Act is deemed to be a

reference to a notice under regulation 16(4); and