Delhi High Court High Court

Federation Of Indian Airlines & … vs Union Of India & Ors. on 4 March, 2011

Delhi High Court
Federation Of Indian Airlines & … vs Union Of India & Ors. on 4 March, 2011
Author: Dipak Misra,Chief Justice
*      IN THE HIGH COURT OF DELHI AT NEW DELHI

                             Judgment Reserved on: 7th January, 2011

%                            Judgment Pronounced on: 4th March, 2011

+      W.P.(C) 8004/2010

Federation of Indian Airlines & Ors.                    ..... Petitioners
                          Through: Mr.Mukul Rohtagi and Mr. N.K.
                                     Kaul, Sr. Advocates with Mr.Buddy
                                     A. Ranganathan, Mr.Bhuvan Mishra,
                                     and Mr. Samar Kachwha, Advocates.

                    versus


Union of India & Ors.                                      ..... Respondents
                             Through     Mr. Gopal Subramanium, Solicitor
                                         General and Mr.A.S. Chandhiok,
                                         ASG with Ms.Anjana Gosain and
                                         Mr.Sandeep Bajaj, Advocates and
                                         Mr. Alok Shekhar, Director for
                                         Respondent Nos.1,2,3 and 8

                                         Mr. Sudhir Chandra, Sr. Advocate
                                         with Mr. Atul Sharma, Mr. Ravi
                                         Varma, Mr.Akhil Sibal, Mr. Abhishek
                                         Sharma and Mr. Sarojananda Jha,
                                         Advocates for Respondent Nos.4 and
                                         6.

                                         Dr. A.M. Singhvi, Sr. Advocate with
                                         Mr. Ankur Chawla, Mr. Ashish Jha
                                         and Ms. Pallavi Langar, Advocates
                                         for Respondent Nos. 5 and 7.

                                         Mr. Ram Jethmalani, Sr. Advocate
                                         with Mr. Ankur Chawla, Mr. Ashish
                                         Jha, Ms. Pallavi Langar and Mr.Karan
                                         Kalia, Advocates for Respondent
                                         No.9.



W.P.(C) 8004/2010                                                  Page 1 of 96
                                             Mr. Rajiv Nayar, Sr. Advocate with
                                            Mr. Gaurav Duggal, Ms. Niti
                                            Sudhakar and Ms. Monali Dutta,
                                            Advocates for Respondent Nos. 10
                                            and 11.

                                            Mr. R.K. Mehta with Mr. Virender
                                            Mehta, Mr.P.K. Ray and Mr. Kunal
                                            Mehta, Advocates for Respondent
                                            No.12.

                                            Mr. Rajiv Nayar, Sr. Advocate with
                                            Mr. Amit Mahajan and Mr. Shashi
                                            Shekhar, Advocates for Respondent
                                            No.13.

       CORAM:
       HON'BLE THE CHIEF JUSTICE
       HON'BLE MR. JUSTICE MANMOHAN

1. Whether reporters of the local papers be allowed to see the judgment? Yes
2. To be referred to the Reporter or not?                                Yes
3. Whether the judgment should be reported in the Digest?                Yes



DIPAK MISRA, CJ


       Invoking the inherent jurisdiction of this Court under Article 226 of

the Constitution of India, the petitioners have prayed for declaring the

circulars AIC No: 7/2007 dated 28.9.2007, AIC No: 15/2008 dated

31.12.2008, AIC No: 6/2009 dated 30.6.2009, AIC No:13/2009 dated

31.12.2009, AIC No:3/2010 dated 2.6.2010 and the Regulations, namely,

Airports Authority of India (General Management, Entry for Ground

Handling Services) Regulations, 2007 (for short „2007 Regulations‟) as ultra

vires the provisions of The Aircraft Act, 1934 (for short „the 1934 Act‟), The

W.P.(C) 8004/2010                                                         Page 2 of 96
 Aircraft Rules, 1937 (for short „the 1937 Rules‟) and The Airports Authority

of India Act, 1994 (for short „the 1994 Act‟) and also ultra vires Articles 14

and 19(1)(g) of the Constitution of India and further to issue a writ of

certiorari for quashment of the same.


THE FACTUAL EXPOSITION AND THE STAND OF THE
PETITIONERS


2.     The petitioner No.1, Federation of Indian Airlines, is a society

registered under the Societies Registration Act, 1860 comprising all the

airline carriers which include the other writ petitioners. It is involved in

promoting and diffusing useful knowledge on the aviation industry in India

and represents the aviation industry before the concerned authorities for the

purpose of resolving the issues and challenges faced by the said industry.

The petitioner Nos.2, 4, 6, 8, 10 and 12 are companies incorporated under

the Companies Act, 1956 and are engaged in the business of providing

scheduled air transport services. As an integral part of their business, they

operate airlines under the brand names SpiceJet, IndiGo, GoAir, Jet Airways

(including Jet Konnect), Jet Lite, Kingfisher (include Kingfisher Red), etc.

The petitioner Nos.3, 5, 7, 9, 11 and 13 are shareholders and / or directors of

their respective companies.


3.     As set forth, the business of running the airlines consists, inter alia, of

owning and / or operating airplanes and provision of ground handling


W.P.(C) 8004/2010                                                    Page 3 of 96
 facilities in relation thereto all of which are undertaken by the personnel

dedicated for the said purpose. Though there are outsourced personnel

engaged by various airlines for the same purpose, yet the choice of whether

to outsource and to whom had been left to the option of the concerned

airlines.


4.     The airlines, like the petitioners, are involved in providing self-ground

handling service and even if they are undertaking ground handling services

through third parties, each airline has the right to conduct self-ground

handling services. Ground handling constitutes an integral and inalienable

part of any airlines‟ business and it is one of the main and unique, selling

proposition of the airlines differentiating the services provided by one

particular airline from their competitors. The ground handling services are

aimed at providing a hassle free experience to the passengers and are akin to

providing hospitality services. Some of the airlines provide self-ground

handling services themselves while some airlines sub-contract the same to

the airports or a handling agent or to another airline. The said exercise is

carried out by an airline after careful consideration of numerous factors

including the capability and competency of the agency to provide ground

handling services, the cost impact, the suitability of the business model and

the reputation and standard maintained in the industry. The purpose of the

said agents are monitored by the airlines by strict service level agreements



W.P.(C) 8004/2010                                                   Page 4 of 96
 bearing, amongst others, financial implications in case of failure to meet the

agreed standards of service.


5.     It is the experience of the petitioners that undertaking ground handling

services themselves have enabled them to maintain the quality, cost and

efficiency, level of performance and also helped in providing comfort and

satisfaction to the passengers.     The decision to undertake the ground

handling services, which includes ramp handling and traffic handling, by

themselves or to outsource is a business decision intrinsic to their business

model and the airlines have the liberty to do so. The ramp handling includes

cabin services like cleaning the plane, replenishing the supplies and

consumables, etc. and traffic handling services include guiding the aircraft

into and out of the parking position, refilling of fresh water tanks, air

conditioning, luggage handling by belt loaders and baggage carts, passenger

stairs (used instead of aerobridges or air stairs), wheel chair lifts, providing

check-in counter services, gate arrival and departure services and airline

lounges, etc. In this regard, reference has been made to the circular AIC

No:3/2010 dated 2.6.2010 issued by the Director General of Civil Aviation

laying down the specific components of the ground handling operations. It

is contended that as per the said circular, the private airlines are given

permission only to be involved in ground handling activities where

passenger interface is required.



W.P.(C) 8004/2010                                                   Page 5 of 96
 6.     As set forth in the petition, if the said circular is given effect to, the

airline operators can only undertake very negligible activities and many

activities intrinsically connected with the business cannot be undertaken by

the operators. It is averred that since the inception of civil aviation in India,

the majority of the member airlines of the petitioner No.1 have been

providing self-ground handling services or sub-contracting it to an airport or

handling agent or another airline who can satisfy the specific tailor-made

requirements of an individual airline. The ground handling services have the

statutory recognition, as is noticed from the notification issued by the

Director General of Civil Aviation („DGCA‟) while granting permit to

operate scheduled passengers air transport services.


7.     It is put forth that the aforesaid requirement is one of the pre-

conditions for the grant of a licence and regard being had to the same, the

petitioners have invested huge amounts of money in employing people on its

rolls and creating the necessary and highly capital-intensive infrastructure to

undertake the ground handling services efficiently to cater to the airlines

operations.


8.     As set forth, on 18.10.2007, the Airports Authority of India („AAI‟)

notified its 2007 Regulations. Prior to that, a circular dated 28.9.2007 was

issued by DGCA for the airports of Delhi, Mumbai, Hyderabad, Bangalore,



W.P.(C) 8004/2010                                                    Page 6 of 96
 Chennai and Kolkata though the airports at Delhi, Mumbai, Hyderabad and

Bangalore are not managed by the AAI. It is contended that the 2007

Regulations ex facie cannot apply to such airports. A reference has been

made to an order dated 21.8.2009 issued by the Bureau of Civil Aviation

Security („BCAS‟) vide AVSEC order No.3/09 stipulating, inter alia, to the

effect that several security functions mentioned therein would have to be

carried out by the airline security personnel themselves and not by any

ground handling agency.       The DGCA by the circular dated 2.6.2010

extended the last date for the airline operators to conduct self-ground

handling to 31.12.2010.


9.     It is averred that the said circular dated 2.6.2010 prevents / prohibits

the airlines to provide ground handling services where there is no passenger

interface. It is contended that the said circular could not have been issued by

the said authority in the absence of an amendment of the ground handling

Regulations 2007 as there is a complete dichotomy between the circular and

the 2007 Regulations in the field.


10.    The impugned circulars and Regulations have been assailed on the

ground that the said circulars / Regulations run counter to Rule 92 of the

1937 Rules. It is contended that the DGCA has no authority to issue the

impugned circulars and that the said circulars have been issued in utter

disregard of the provisions of the 1934 Act, the 1994 Act and the Rules and


W.P.(C) 8004/2010                                                  Page 7 of 96
 Regulations made thereunder. It is further contended that the circulars have

been issued without any application of mind, as an incurable dichotomy

exists between the Regulations and the circulars.         It is urged that the

circulars are absolutely arbitrary, unreasonable, discriminatory and, hence,

offend Article 14 of the Constitution of India; that the circulars / regulations

violate the individual airlines‟ and their shareholders‟ fundamental right to

practise any profession or to carry on any occupation, trade or business as

enshrined under Article 19(1)(g) of the Constitution of India and do not meet

the test of reasonableness enshrined under Article 19(6) of the Constitution

of India; that the circulars do not in any way remotely suggest for

enhancement of security; and that the applicability of the circulars /

Regulations is immensely vague and the same are also not in accord with the

Acts and the Regulations.


11.    It is contended that while the circulars / Regulations permit ground

handling facilities to either an airport operator or the National Aviation

Company Ltd. or their joint venture, similar facility is denied to the airline

operators as a result of which the discrimination gets writ large, inviting the

frown of Article 14 of the Constitution of India and that the circulars /

Regulations admit to endow the National Aviation Co. Ltd. with an

unprecedented and unwarranted benefit at the cost of the petitioners despite

the fact that the National Aviation Company Ltd. is a competitor of the



W.P.(C) 8004/2010                                                   Page 8 of 96
 petitioners in the airline business and, hence, such conferment of benefit is

completely unjustified and arbitrary.      It is further contended that the

impugned circulars / Regulations virtually make it impossible for the

petitioners to undertake their licensed activities at the six airports out of

many as a consequence of which they would have to abandon their own

operations in the said six airports and eventually only restrict their operation

to the remaining airports resulting in tremendous and immensurable decrease

in their business activity.


12.    It is urged that the plea of security is a subterfuge to paralyze the

operational aspects of the petitioners inasmuch as at various sensitive

airports, the petitioners are legally permitted to carry out the ground

handling facilities and further private players have been allowed to carry out

the ground handling facilities; and that the segregation of ground handling

into those involving passenger interface and not involving passenger

interface is wholly unreasonable and unworkable as both have to be operated

in complete harmony and coordination, but the said aspect has not been

taken into consideration by the authorities issuing the circulars and,

therefore, the new policy, if implemented, would result in retrenchment of

ground service personnel, idling of assets and would further put the

reputation and goodwill of the airlines in jeopardy since such a service is an

insegregable facet of running of the business.



W.P.(C) 8004/2010                                                   Page 9 of 96
 13.    It is contended that the circulars and Regulations have made a

maladroit effort to overturn the level playing field that is required to be

maintained between the National Aviation Company Ltd. and the private

airlines and such an activity is contrary to any commercial policy. It is

contended that in the international field, in many an airport in United States

of America, United Kingdom and Australia, the airline operators are

permitted to provide self-ground handling service in both ramp and terminal

side operations but the same has been denied to the private airline operators

as per the impugned circulars in the garb of security though it is basically

incorrect. It is put forth that the circulars fundamentally transgress the basic

facet of Rule 92 of the 1937 Rules as it totally demolishes the concept of

competitive environment which is impermissible in the face of the said Rule.

It is urged that as a result of the issuance of the notifications, the airlines

would be compelled to avail of the services either from the National

Aviation Company Ltd. or the airport operator who would, in turn, demand

monopolistic charges as there is no provision for any kind of checks and

balances.


14.    It is advocated that the circulars in actuality do not achieve any

significant enhancement of security inasmuch as the airlines had been

involved in the ground handling business for a number of years and have

acquired considerable expertise and there are immense protective guidelines


W.P.(C) 8004/2010                                                   Page 10 of 96
 with regard to the ground handling facility carried out by the petitioners and

their staff have been trained in the said regard and at no point of time it has

been pointed out that there has been any security lapse. It is put forth that if

the circulars have been issued to protect the security in the country, then

there is no justification to restrict it to six airports in the metropolitan cities

since security threat is more grave at some other airports and thus, the whole

intention of the circular is to oust the petitioners from operating the ground

handling facility. It is averred that the basic purpose of the circular is to give

more mileage to the airport operators / owners in the guise of security and,

hence, it is basically a cavil between the commercial interest of the

petitioners and that of the private operators which smacks of total

arbitrariness; that the airlines are responsible for the security of their

equipment including aircraft, etc. and, therefore, it is extremely unreasonable

to expect, on one hand, the airline operators to be responsible for the security

of their own equipment and on the other, prevent them from undertaking

ground handling services which also ensures the security of their equipment

and thereby an anomalous situation has been introduced betraying all norms

of rationality and reasonability.


15.    It is further stated that the security aspect in respect of the ground

handling services is subject to the control of BCAS clearances and, hence,

the same cannot be a ground to deprive the petitioners of the said business



W.P.(C) 8004/2010                                                     Page 11 of 96
 facility which is an inseparable facet of their business. It is contended that

the ramp handling as well as passenger handling are an inalienable part of an

airlines‟ operations and cost effect and are also connected with on-time

performance, efficient turnaround time and utilization of the aircraft which

are dependent on factors like time, security, efficiency and effective

handling of passengers and their baggage at the airport and the same cannot

be and should not be handed over to a third party. It is asserted that if any

loss or damage is caused to the luggage, the individual airline operators will

still be held liable, whereas, by virtue of operation of the impugned circulars,

they are not permitted to conduct the ground handling facility and such a

situation would be contrary to the Carriage by Air Act, 1972 and various

rules framed thereunder. It is contended that the private owners or the

proposed independent ground handling operators would require to recruit the

same staff who are now working on behalf of the airline operators and

thereby the security scenario would not improve but there would only be a

diversion of business interest.


THE STANCE IN OPPOGUNATION BY THE RESPONDENT NOS. 1
AND 2


16.    A counter affidavit has been filed by the respondent Nos.1 and 2

contending, inter alia, that prior to 2007, ground handling at Indian airports

was done under the 2000 Regulations and all scheduled airlines were



W.P.(C) 8004/2010                                                   Page 12 of 96
 permitted to undertake ground handling services. At a later stage, ground

handling of flights at the Indian airports became a matter of grave concern

against the backdrop of international terrorism which witnessed hijacking of

Indian Airline passengers, carrying shoe bombs, liquid explosives, etc. The

respondents thought it prudent to consider the practice adopted in several

other countries for civil aviation safety and security by restricting ground

handling services to only the airport authority and the national carrier and

their subsidiaries excluding all private agencies and self-handling airlines.

Apart from the aspect of safety, certain other aspects, namely, minimum

equipment which lies in the operational area, optimal utilization of

equipment and personnel deployed, ground flight safety and minimum

number of people operating equipment on the airside and a choice of world

class operators for airlines at affordable prices in a competitive environment

were also kept in view. It is put forth that Delhi and Mumbai airports have

been restructured through joint ventures entered into by the airport authority

and regard being had to the factum of restructuring, the concerned

authorities were of the view that ground handling services, being an

important element of service standards to be complied by the airport

operators as laid down in Schedule 3 of the Operation Management and

Development Agreement (OMDA) signed with the JVCs, should be a

restricted activity and self-handling of flights by all airlines except Air India

should not be allowed. The ground handling policy was reviewed by the


W.P.(C) 8004/2010                                                    Page 13 of 96
 Cabinet Committee on Security (CCS) in its meeting held on 1.2.2007

wherein, the issues of security and aviation safety, achieving world class

ground handling services, clarity on ground handling, etc. were approved.

The ground handling policy allowed the entities to undertake ground

handling services at all metropolitan airports located at Delhi, Mumbai,

Chennai, Kolkata, Bangalore and Hyderabad. The policy was notified by

the Regulation of 2007 on 18.10.2007 in respect of AAI airports and by the

DGCA vide AIC dated 28.9.2007 for other airports. The policy came into

effect from the date of its notification, except to the extent of the exit of non-

entitled entities, which was scheduled for 1.1.2009.


17.    It is asseverated that a representation was received from the airlines

through the petitioner No.1 on 6.11.2008 raising certain issues and regard

being had to the concern shown, time was extended till 30.6.2009. During

the said period, the respondent No.1 undertook an exercise to consult other

stakeholders, including the airlines and airport operators, in order to

understand and accordingly redress the concerns. The petitioner No.1 made

another representation to the respondents on 5.6.2009 almost at the end of

the extended time period fixed for the exit of non-entitled entities and after

examination of the said representation, time was extended by another six

months, i.e., upto 31.12.2009. In order to finalize the views on the issues

raised by the airlines and the petitioner No.1, the answering respondents



W.P.(C) 8004/2010                                                    Page 14 of 96
 collected the details of the number of employees engaged in ground handling

activities working directly on the rolls of the individual domestic airlines

(excluding Air India) and outsourced / sub-contracted through the other

agencies and the details of the equipment employed for ground handling by

these airlines at all the six major airports. The manpower employed by the

various airlines in the six metropolitan airports has been brought on record

as Annexure R-1/5. It is put forth that the total number of 15,954 persons

were employed by the five domestic airlines excluding Air India at the six

metro airports out of which 6210 were direct employees on the rolls of these

airlines and the rest are outsourced to other sub-contractors. With regard to

the assertions made in the petition pertaining to business facilities and

interest, it is averred that the airlines would require some additional time for

phasing out the ground handling equipments and also to create a proper exit

policy for the manpower employed by them and accordingly, certain

amendments in the Regulations issued in the year 2007 were proposed which

was considered by the CCS in its meeting held on 14.12.2009 and it was

approved in the last Regulations, namely, the 2007 Regulations. It was

decided that no further time would be given beyond 31.12.2010 and all

necessary steps should be taken to implement the approved ground handling

policy by that date. Thereafter, no further representation on the ground

handling policy was received by the respondents. In pursuance of the above

decision, the DGCA issued the AIC No.3/2010 dated 2.6.2010 in succession


W.P.(C) 8004/2010                                                   Page 15 of 96
 to the AIC 07/2007 dated 28.9.2007 and amendment to the 2007 Regulations

was issued on 2.12.2010. The BCAS vide its AVSEC order No.05/2009

dated 29.10.2009 had made the airlines responsible for certain activities

relating to security, like the security of the aircrafts, security of catering

items, etc. which otherwise are part of the ground handling activities. It is

put forth that BCAS would be required to amend the AVSEC order

No.03/2009 dated 21.8.2009 in order to bring it in tune with the decision of

the CCS.


18.    It is the stand in the return that the powers of the respondent No.2

emanate from Section 5A of the 1934 Act read with clause (m) of sub-

section 2 of Section 5 and by no figment of imagination it can be said that

the power does not vest with the said authority. Reference has been made to

Rules 90 and 92 of the 1937 Rules to justify the action taken by the

authorities. Reliance has been placed on Section 42 of the 1994 Act as the

source of power. It is urged that a policy decision has been taken by the

Government keeping in view the security and safety of the aircraft operators

at the airports and in order to achieve economies of scale for proper

utilization of resources and thereby to provide world class standardized

services in ground handling operations and the said power which vests with

the Government does not run counter to any Act or Rules and is not

arbitrary. It is contended that the ground handling policy has been in force



W.P.(C) 8004/2010                                                 Page 16 of 96
 since the year 2007 but not given effect to because of the representations

submitted by the petitioners from time to time. It is put forth that except the

domestic carriers, most of the other airlines are already carrying out their

ground handling operations through the designated ground handling

agencies as is evident from the information available in Annexure R-1/1.

The ground handling services are an important element of the service

standards to be complied by the airport operators as laid down in Schedule 3

of the OMDA signed by the JVCs at Delhi and Mumbai airports (Annexure

R-1/2) and the airport operators are expected to enter into agreements with

the selected ground handling agencies in order to ensure the prescribed

services standards. The airlines would still have the right of choice from the

selected ground handling concessionaries as the said circular and regulations

allow for a minimum of two ground handling agencies in addition to the

national carrier (Air India). That apart, the domestic airline operators are

still permitted to do self-handling at the non-metro airports. The main spirit

of the circulars and regulations is to extend better and uniform services with

adequate safety and security and the policy has been amended to allow the

airlines to carry out the ground handling functions in relation to passenger

interface. It is pleaded that extensions were granted to the petitioners from

time to time to allow the airlines adequate time to create a proper exit policy

for the manpower employed by them but no effective steps have been taken

to redress the problems.


W.P.(C) 8004/2010                                                  Page 17 of 96
 19.    It is contended that Rule 92 has been totally misunderstood and

misinterpreted by the petitioners. As per the said Rule, the airlines operators

have been allowed to engage the services of any ground handling service

provider at the airport without any restriction, subject to permission and

security clearance by the Central Government to provide such services. The

circular that has been brought into force permits three entities, namely,

Aviation Company of India Limited or its subsidiary or joint venture to

handle the ground handling operations at all the airports. The airlines can

avail the ground handling services from any of the above entities under

separate contract in respect of their outsourced agent. That apart, they have

not been denied their right to carry on their trade or business, but reasonable

restrictions on such activities is necessary in view of the present security

situation in India and the world over. Therefore, there is no violation of

Articles 14, 19(1)(g) & 19(6) of the Constitution of India. The Regulations

in no way transgress the 1937 Rules as the same has been issued on the basis

of power vested under the Rules read with the provisions contained in the

1994 Act. It is set forth that there is no discrimination since the respondent

No.1 is concerned with the safety and security of the airports and regard

being had to certain aspects, the ground handling service has been taken

away from the airline operators and the same, being a matter of policy

having a purpose, is not arbitrary or unreasonable. Justification has been



W.P.(C) 8004/2010                                                  Page 18 of 96
 given about the volume of air traffic, the issue of aviation and safety in

metro airports.     Emphasis has been laid on the circular AVSEC order

No.05/2009 dated 29.10.2009 whereby the BCAS has made the airlines

responsible for certain activities pertaining to security.


THE STAND POINT OF THE RESPONDENT NO.3


20.    A return has been filed by the respondent No.3, namely, AAI stating,

inter alia, that the respondent has selected certain bidders subject to

obtaining of security clearance from BCAS, Department of Central

Government. It is put forth that licence for northern region has been granted

to the consortium comprising M/s. Thai Airport Ground Services Bangkok,

Thailand, M/s. Star Consortium Aviation Services Pvt. Ltd., Kolkata and

M/s. Skyline Mercantile Pvt. Ltd., Kolkata. The lead member is M/s Thai

Airport Ground Services, Bangkok. It is also averred that the licence for

western region has been granted to the consortium comprising M/s National

Aviation Services, WLL Kuwait, M/s National Aviation Services India Pvt.

Ltd., Mumbai and M/s DJ Aviation Services Pvt. Ltd., Mumbai. The lead

member is M/s National Aviation Services, WLL Kuwait. It is put forth that

the licence for southern region has been granted to the consortium between

M/s Bhadra International India Ltd. and M/s NOVIA International

Consulting Aps Denmark. The lead member is M/s NOVIA International

Consulting Aps. Denmark. It is also put forth that the licence for Chennai


W.P.(C) 8004/2010                                                Page 19 of 96
 and Kolkata airports has been granted to the consortium between M/s

Bhadra International India Ltd. and M/s NOVIA International Consulting

Aps Denmark. The lead member is M/s. NOVIA International Consulting

Aps. Denmark.


21.    It is set forth that the ground handling services are a very sensitive

part of an activity of airlines and keeping in view the security factor and to

streamline the ground handling service, the Regulations and the circulars

have been brought into force. The airline operator, in terms of the 2007

Regulations, can undertake ramp handling and traffic handling as mentioned

in Regulation 2(e)(i) and (ii) through their bonafide whole time employees at

all airports other than the six airports and, hence, it cannot be said that they

would be out of business. That apart, only a division of services has been

created keeping the national security in view. The threat perception cannot

be totally marginalized to foster the business interest of the petitioners and,

therefore, framing of a comprehensive policy was the warrant and the same

has been accordingly done. The airlines have been permitted to handle till

the interface of passengers and, thereafter, it has to be done by the agency

chosen, as per the Legislation, Regulations and circulars, by the competent

authority. In terms of Rule 92 of the 1937 Rules, the Central Government

has the power to ensure security and safety while granting ground handling

services. The 1994 Act confers immense powers on the respondent and



W.P.(C) 8004/2010                                                   Page 20 of 96
 accordingly, the Regulations have been framed and the circulars have been

issued and there is no transgression of the Act or the Rules. The policy

decision taken by the authorities has a rationale and the restrictions imposed

are reasonable for the reason that the CCS which is the highest executive

authority on national security has approved the said policy and in any case,

there cannot be any compromise with the security of the nation. The airline

operators, who were carrying out the ground handling services, were

outsourcing the same and a review was done and the policy was amended

and the policy, by no stretch of imagination, can be said to be arbitrary or

capricious.


THE POSITION ASSERTED BY THE PRIVATE RESPONDENTS


22.    Affidavits have been filed by the private respondents supporting the

stand of the Union of India and the statutory authorities. It is also asserted in

certain replies that, internationally, ground handling services are considered

to be an extremely specialized state of the art services undertaken at airports

which are carried on by trained manpower with requisite expertise to operate

the equipments. Various examples have been given about the position at

other international airports.   A stand has also been taken that the writ

petition deserves to be thrown overboard on the ground of delay and laches

inasmuch as the 2007 Regulations is challenged in the year 2010 and that

too, after making series of representations to abide by the same. Immense


W.P.(C) 8004/2010                                                    Page 21 of 96
 emphasis has been laid on the decision taken by BCAS under Ministry of

Civil Aviation to highlight that, on the basis of security, the decision has

been taken and, therefore, the spacious plea that security has been used as an

excuse to safeguard the commercial interest of the private respondents is

absolutely erroneous. A similar stand has been taken in the Bombay High

Court by Gulf Air Employees Association and others against the

Government of India and others challenging the circular dated 28.9.2007 to

the extent that restricting ground handling services by excluding self-

handling is illegal but the said challenge did not find favour with the

Bombay High Court which dismissed the writ petition vide order dated

21.4.2009 stating, inter alia, that the petitioners therein had no locus standi

to challenge a policy decision of the Government and if any workman

related issue is in dispute, it is open for the affected party to raise a dispute

before the appropriate legal forum.       Consequent to the privatization of

airports, the responsibility of management, maintenance and operations lies

with the airport operator, and various authorities have prescribed stringent

quality parameters which the airport operators have to mandatorily adhere to

and, hence, a holistic scheme has been brought out which cannot be said to

be arbitrary or unreasonable.


THE STANCE IN THE REJOINDER


23.    A rejoinder affidavit has been filed by the petitioner No.1 to the


W.P.(C) 8004/2010                                                    Page 22 of 96
 counter affidavit filed on behalf of the respondent Nos.4 to 7, 9, 10, 11 and

13. Apart from stating what has been set forth in the writ petition, it is

contended that the airport operators, as have stated earlier, would absorb the

airline employees. The equipment and security clearance would remain the

same and, thus, there would only be a change of employer. But in actuality,

there is no change in the security status. The consequence of the aforesaid

arrangement would create a monopoly in favour of the airport operators and

eventually, a multiple ground handling agency would create chaos and

anarchy. The outsourcing by the airline operators on certain aspects does

not confer a right on the policy makers to create a monopoly in favour of the

private respondents.


24.    It is further stated that the stand in the return that there is an

adjudicatory method about the charges by the Airport Economic Regulatory

Authority is not a justifiable reason for all airlines to necessarily undertake

ground handling services through the nominated service providers. There is

no reason why the airline operators should be made to abandon their

freedom to contract on their own with a service provider of their choice or to

have their own employees. If the arrangement is introduced, the petitioners

who have invested as airline operators would be required to pay to the

service providers despite the infrastructure having been created by them. It

is put forth that the 2007 Regulations still hold the field which completely



W.P.(C) 8004/2010                                                  Page 23 of 96
 bars the airlines from undertaking self-handling of any sort at Chennai and

Kolkata airports and, thus, an incurable anomaly has been brought into

existence. Reliance has been placed on the BCAS circulars to highlight that

the same permits the airline operators to undertake ground handling

activities even through a ground handling agency. But the DGCA circulars

seek to prevent the airline operators from undertaking ground handling

activities themselves.


25.    It is also urged that the circular dated 2.6.2010 enables the cargo

airlines to do self-ground handling activities while the passenger airlines are

not permitted to carry out the same which tantamounts to discrimination.

The contradictions in the circulars issued by the various authorities have

been pointed out. Emphasis has been laid on how security is not the main

reason but a subterfuge inasmuch as there is a complete contradiction

between the security requirements and the ground handling circulars /

regulations. The stance that the circulars / regulations have been issued to

streamline the ground handling operations is far from being true and the

same really requires to be keenly studied and deeply scrutinized to avoid any

kind of anomaly.


26.    It is set forth that the petitioners, as on today, are fully equipped with

specialists and professionals; that they have the potential and the power to

optimize ground handling operations as a consequence of which they are low


W.P.(C) 8004/2010                                                    Page 24 of 96
 cost carriers and are able to offer low fares; and that there is no justification

to deprive the airline operators of self-ground handling. The exclusion of

the airline operators from self-ground handling invites the frown of Article

14 of the Constitution of India being totally arbitrary.


27.      It is contended that the impugned circulars and regulations have been

issued under Section 5A of the 1934 Act and not under any other provision

as the power does not flow from any other enactment, provisions or rules.

The outsourcing of ground handling staff cannot be utilized against the

petitioners as they maintain the security standards and further it is an

inseparable part of their own business model which results in smooth

operation of the airlines. The writ petition is not hit by the doctrine of delay

and laches as the impugned circular was issued in September 2007 and the

petitioners were consistently representing before the governmental

authorities as a result of which the implementation was deferred till 2.6.2010

when the DGCA came out with the modified circular and, therefore, the

challenge is within a reasonable period of time.


28.      Before we proceed to record the submissions of the learned counsel

for the parties, we think it appropriate to refer to the series of circulars issued

by the authorities and the Regulations that have been framed to govern the

field.




W.P.(C) 8004/2010                                                     Page 25 of 96
 THE SERIES OF CIRCULARS THAT HAVE COME INTO THE
FIELD OF OPERATION


29.    The circular dated 19.2.2007 issued by the Bureau of Civil Aviation

provides for instructions on deployment of ground handling agencies at the

airports. It finds mention therein that the Bureau has found a number of

ground handling agencies which are working at the airports in the country

without prior security clearance and background checks and in view of the

current surcharged security environment in the country and threat to civil

aviation from terrorist outfits, induction of private ground handling agencies

into the airports without proper background checks, security clearance from

the appropriate authority and authorization by the AAI/Airport Operator may

lead to serious security and legal problems. In the said circular, certain

instructions have been given which we think it apposite to reproduce:

              "(i)   No ground handling agency shall be allowed to
                     work at the airport in future by the Airport
                     Operator, Aircraft Operator or any other agency
                     which has legitimate functions at the airport,
                     unless prior security clearance is obtained from the
                     BCAS.

              (ii)   As per the Ground Handling Regulations 2000
                     dated 17.1.2000, the AAI/Airport Operator may
                     issue a license only after security clearance from
                     the BCAS to such ground handling agencies on
                     prescribed terms and conditions and eligibility
                     criteria for ground handling agencies and the
                     number of such agencies to be appointed at each
                     airport shall be determined keeping in view the
                     safety, security, demand, available infrastructure,
                     land and other relevant considerations to be laid


W.P.(C) 8004/2010                                                   Page 26 of 96
                       down by the AAI in accordance with the Section 5
                      of the AAI Ground Handling Regulations (2000).

              (iii)   Aircraft operator shall enter into contract with the
                      ground handling agencies only after prior security
                      clearance to these entities from the BCAS and
                      approval from the AAI/Airport Operator.

              (iv)    In case AAI/Airport Operator or Aircraft Operator
                      intend to appoint a new ground handling agency,
                      the details of such agency is required to be sent to
                      BCAS alongwith the profile of such company at
                      least 3 months in advance so that the background
                      check of the ground handling agency can be done
                      by the BCAS through IB and local police.

              (v)     Background

check in respect of the ground
handling agencies working in the airports is
necessary. Therefore, AAI/Aircraft Operator shall
send the details of the each existing ground
handling company, already engaged by them for
ground handling functions alongwith the company
profile and address, telephone numbers etc. of
Board of directors and management so that the
necessary action could be taken by the BCAS to
get the antecedents verified of such agencies. In
case any company comes to adverse notice, the
same shall not be allowed to work at the airport
and shall be liable to be removed from the airport.

(vi) Security related functions as specified by the
BCAS in the National Civil Aviation Security
Programme and amended from time to time shall
not be entrusted to the ground handling agencies
by the AAI Airport and Aircraft Operators.

(vii) Airport Entry Permits to employees of the ground
handling agencies shall not be issued by the BCAS
unless they have completed the BCAS prescribed
Aviation Security Awareness programme, their
background check has been completed and there is
no adverse report against them.”

W.P.(C) 8004/2010 Page 27 of 96

30. The DGCA on 28.9.2007 issued a circular being Sl. No.7/2007 for

grant of permission for providing ground handling services at airports other

than those belonging to the AAI. Clause 1.1 of the said circular defines

“ground handling” to mean:

(i) Ramp handling, which includes the activities specified in Annexure

A;

(ii) Traffic handling, which includes the activities as specified in

Annexure B; and

(iii) Any other activities specified by the Central Government to be a part

of either ramp handling or traffic handling.

31. Clauses 1.2, 1.3, 1.4 and Clause 2(A) on which emphasis has been

laid are required to be reproduced. They read as under:

“1.2 In accordance with the Airports Authority of India
(General Management, Entry for Ground Handling
Services) Regulations, 2000, an airline operator
may carry out ground handling services at an
airport either by itself or engage the services of
any of the following, namely:

                     (i)     Airports Authority of India
                     (ii)    Air India or Indian Airlines; and

(iii) Any other agency licensed by the Airports
Authority of India.

1.3 The Airports Authority of India (General
Management, Entry for Ground Handling
Services) Regulations, 2000, have been made
under Section 42 of the Airports Authority of India
Act 1994 and thus are applicable to the airports
managed by the Airports Authority of India. With

W.P.(C) 8004/2010 Page 28 of 96
the restructuring of certain airports and
development of a few Greenfield airports in the
private sector, it has become imperative for the
Central Government to lay down the eligibility
criteria for various agencies to undertake ground
handling services at non-AAI airports. The
number of such agencies to be permitted at each
airport is also to be determined by the Government
having regard to all the relevant factors such as
demand for such services, available infrastructure
and competitive environment, without
compromising the safety and security aspects.

1.4 Rule 92 of the Aircraft Rules, 1937 provides that
the licensed public aerodromes shall, while
providing ground handling services themselves
ensure a competitive environment and allow the
ground handling service providers permitted by the
Central Government to provide ground handling
services at such aerodromes without any
restriction. These ground handling service
providers shall, however, be subject to security
clearance of the Central Government. As such, it
is for the Central Government to decide the
agencies who can provide ground handling
services at various aerodromes and also the
eligibility criteria for such service providers.

2 It has been decided by the Central Government
that with immediate effect, the following entities
shall be eligible to undertake ground handling
services at airports other than those belonging to
the Airports Authority of India:

(A) All metropolitan airports, i.e., the airports located
at Delhi, Mumbai, Chennai, Kolkata, Bangalore
and Hyderabad

(i) The airport operator itself or its Joint
Venture (JV) partner;

(ii) Subsidiary companies of the national carrier
i.e. National Aviation Company of India

W.P.(C) 8004/2010 Page 29 of 96
Ltd. or their joint ventures specialized in
ground handling services. Third party
handling may also be permitted to these
subsidiaries or their JVs on the basis of
revenue sharing with airport operator subject
to satisfactory observance of performance
standards as may be mutually acceptable to
the airport operator and these companies;
and

(iii) Any other ground handling service providers
selected through competitive bidding on
revenue sharing basis by the airport operator
subject to security clearance by the
Government and observance of performance
standards as may be laid down by the airport
operator.

Note : A minimum of two ground handling service
providers shall be authorized at these airports in
addition to the subsidiaries of National Aviation
Company of India Ltd.”

[Emphasis supplied]

32. Clause 2(B) relates to other airports. Clause 4 deals with “Security

Protocol” which is as follows:

“4. Security Protocol

4.1 Bureau of Civil Aviation Security may impose
such restrictions as may be necessary in this behalf
on grounds of security.

4.2 All concerned agencies as specified in paragraph 2
hereinabove shall be required to follow the
instructions issued by BCAS as contained in
Annexure C or as may be altered / substituted /
modified or amended from time to time.

4.3 Further, all concerned agencies, besides complying
with the above, shall also be required to follow the

W.P.(C) 8004/2010 Page 30 of 96
provisions contained in the Aircraft Act, 1934 and
the rules made thereunder and directions, orders
and circulars issued from time to time.”

33. The said circular stipulated that the same was to come into force

w.e.f.1.1.2009. In Annexure A appended to the said circular, ramp handling,

aircraft servicing, aircraft cleaning, loading and unloading, cargo handling

services and security are mentioned. In Annexure B, traffic handling is the

genus and it includes as its species terminal services, flight operations,

surface transport and security.

34. By Circular No. AIC Sl.No.15/2008 issued by the Joint Director

General of Civil Aviation on 31.12.2008, the grant of permission for

providing ground handling services at airports other than those belonging to

the AAI has been amended. The amended clause provides that the policy

shall come into force with immediate effect. The airline operators or any

other ground handling service providers not covered by the said policy shall

not be allowed to undertake self-handling or third party handling with effect

from 01 July, 2009 or till further orders, whichever is earlier.

35. Circulars to the similar effect being Circular No. AIC Sl. No. 06/2009

and Circular No. AIC Sl. No. 13/2009 were issued on 30.6.2009 and

31.12.2009 restricting self-ground handling or third party handling by airline

operators not covered by the policy with effect from 1.1.2010 and 1.1.2011

W.P.(C) 8004/2010 Page 31 of 96
respectively.

36. The DGCA on 2.6.2010 issued a circular being AIC Sl. No.3/2010 for

grant of permission for providing ground handling services at airports other

than those belonging to the AAI amending its earlier circular dated

28.9.2007 on the same issue. An additional clause (C) is added to para 2 and

para 7 has been amended. The additional provision is reproduced hereunder:

“(C) Additional Provisions :

The provisions contained in (A) and (B) above shall be
subject to the following:

(i) All private airlines, including foreign airlines, may
undertake self handling in respect of “passenger
and baggage handling activities at the airport
terminals” and “traffic service including the
passenger check-in”, which require passenger
interface, at all airports.

(ii) All cargo airlines, which have their own cargo
aircrafts, may undertake self handing in their hub
airports.

(iii) Foreign airlines / private independent ground
handing service providers not be permitted self
ground handling / ground handling at joint user
Defence airfields.”

37. The amended para 7 is reproduced as under:

“7. Coming into force

7.1 This policy shall come into force with immediate
effect.

7.2 The time limit for exit of non-entitled entities shall

W.P.(C) 8004/2010 Page 32 of 96
be 31st December, 2010.”

THE RELEVANT REGULATIONS

38. The Airports Authority of India vide notification dated 17.1.2000, in

exercise of the powers conferred by Section 42 of the 1994 Act with the

previous approval of the Central Government, framed a set of Regulations,

namely, the Airports Authority of India (General Management, Entry for

Ground Handling Services) Regulations, 2000. The Regulations 3 to 5 being

relevant are reproduced below:

“3. An operator or carrier may either carry out ground
handling services at an airport by itself or engage
the services of any of the following:

              (i)     Airports Authority of India

              (ii)    The two national carriers Air India & Indian
                      Airlines

(iii) Any other handling agency licensed by the
Airports Authority of India.

4. Entry into and remaining in the movement area /
terminal building at any airport / civil enclave for
providing ground handling services or for
operating any vehicle or other equipment shall be
restricted to:

(a) the operator or the owner of aircraft(s) or his
bonafide whole time employees or any of the
designated agency under Regulation 3 authorised
by it for handling its own aircrafts;

(b) any other Operator or Agency who or which has
been specially permitted in writing by the
Authority to undertake ground handling activities

W.P.(C) 8004/2010 Page 33 of 96
through their bonafide whole time employees;

(c) the bonafide whole time employees of National
Carriers or any of the designated agencies under
Regulation 3 authorised by them;

(d) the bonafide whole time employees of Airports
Authority of India or a designated agency
authorised by it.

5. The Board of AAI will lay down terms and
conditions (including financial consideration),
eligibility criteria for ground handling agency
(both financial and technical) and number of such
agencies to be appointed at each airport keeping in
view the safety, security, demand, available
infrastructure, land and other relevant
consideration.”

39. On 18.10.2007, in exercise of power conferred under Section 42 of the

1994 Act, a set of Regulations, namely, Airports Authority of India (General

Management, Entry for Ground Handling Services) Regulations 2007 was

issued in supersession of the 2000 Regulations. Regulation 1(3) provides

that the Regulations shall apply to all airports and civil enclaves managed by

the Airports Authority of India. In the dictionary, clauses 2(b), 2(e), 2(f) and

2(i) have been laid emphasis upon and, hence, they are reproduced below:

“2(b) “Authority” means the Airports Authority of India
constituted under sub section (1) of Section 3 of
the Airports Authority of India Act, 1994 (55 of
1994);

2(e) “Ground Handling” means

(i) ramp handling and will include activities or
specified in the Schedule I to these regulations.

W.P.(C) 8004/2010 Page 34 of 96

(ii) traffic handling and will include activities as
specified in the Schedule II to the regulations.

(iii) any other activity designated by the Chairperson to
be a part either or ramp handling or traffic
handling.

2(f) “Joint Venture Company” means a company
established with the objective of providing ground
handling services at an airport and includes its
subsidiary.

2(i) “national Carriers” means any airline or carrier by
the Government of India, Ministry of Civil
Aviation.”

40. Regulation 3 deals with ground handling services at the airports and

Regulation 4 deals with restrictions on entry into airports. To have a

complete picture, Regulation 3 is reproduced below:

“3. Ground handling services at airport (1) A carrier
may carry out ground handling services at
metropolitan airports, that is, the airports located at
Delhi, Mumbai, Chennai, Kolkata, Bangalore and
Hyderabad, by engaging the services of any of the
following namely:

(i) Airports Authority of India or its Joint Venture
Company.

(ii) subsidiary companies of the national carrier, that
is, National Aviation Company of India Limited or
its Joint ventures specialized in ground handling
services;

Provided that third party handling may be permitted to
these subsidiaries or their Joint Ventures on the basis of
revenue sharing with the Authority subject to satisfactory
observance of performance of performance standards as

W.P.(C) 8004/2010 Page 35 of 96
may be mutually acceptable to the Authority and these
companies;

(iii) any other ground handling service provider
selected through competitive bidding on revenue
sharing basis, subject to security clearance by the
Central Government and observance of
performance standards.

(2) At all other airports, in addition to the entitles
specified in sub regulation (1) of regulation 3, self
handling may be permitted to the airlines,
excluding foreign airlines.

(3) All concerned agencies shall ensure that the state
of the art equipment are used and „best practices‟
are followed.

(4) Airlines or entities presently involved in ground
handling which are not governed by these
regulations shall not be permitted to undertake self
handling or third party handling with effect from
the first day of January, 2009.”

41. Schedule I to the Regulations deals with Ramp Handling, Aircraft

Servicing, Aircraft Cleaning, Loading / Unloading, Cargo Handling Services

and Security. Schedule II deals with Traffic Handling whereunder Terminal

Services, Flight Operations, Surface Transport and Representational

Services find mention.

SUBMISSIONS:

42. Mr. Mukul Rohtagi and Mr. N.K. Kaul, learned senior counsel

appearing for the petitioners, have advanced the following proponements:

W.P.(C) 8004/2010 Page 36 of 96

(a) The 2007 circular, which is purported to have been issued under

Section 5A of the 1934 Act, travels beyond the provision and clearly

contravenes the statutory mandate as Section 5A is made applicable to

a limited sphere but the authority concerned has travelled beyond the

said sphere / arena as a consequence of which it is sensitively

susceptible. A circular for direction can be issued in respect of any of

the matters specified in clauses (aa), (b), (c), (e), (f), (g), (ga), (gb),

(gc), (h), (i), (m) and (qq) of sub-section (2) of Section 5 and all of

them must pertain to the satisfaction of interest relating to the security

of India or for securing the safety of aircraft operation and both the

exercise of the power and the satisfaction qua security have to be

specified in reading in juxtaposition but the same not being the case at

hand, the circular is unsustainable.

(b) The circular No.7/2007 issued by the DGCA is in transgression of

Rule 92 of the 1937 Rules inasmuch as there is no power under Rule

92 by which the said authority is entitled to prohibit the airlines from

conducting self-ground handling.

(c) The circulars / regulations are violative of Article 19(1)(g) of the

Constitution of India as the airlines, by virtue of the same, have been

deprived of doing the intrinsic part of their business of running an

airline. The compulsion of having to undertake the ground handling

activities under the aegis of the airport operators is an unreasonable

W.P.(C) 8004/2010 Page 37 of 96
restriction on the rights of the petitioners to carry on a fundamental

and intrinsic part of their business and wherever any unreasonable

restriction is imposed, the same is to be declared ultra vires.

(d) The 2007 Regulations make a differentiation between private airlines

undertaking ground handling on one hand and private third party

agency selected by private airport operators undertaking ground

handling for private airlines on the other which is not an acceptable

classification as there is no intelligible differentia and no rational

nexus between the objects sought to be achieved and the result which

is ultimately achieved.

(e) The 2007 Regulations are absolutely arbitrary and discriminatory

inasmuch as they do not take note of the consistent policy which was

prevalent for long and recognized by the 2000 Regulations. The

Regulations have failed to take note of the fact that ground handling is

an activity which distinguishes performance and efficiency-wise one

airline operator from the other and to destroy the said arrangement is

wholly impermissible, more so, when the Regulations permit other

competitors to do the ground handling as a consequence of which total

commercial chaos is likely to be ushered in and further the same

brings in an anomalous situation which creates a dent in the equality

spectrum. The introduction of the 2007 Regulations is an anathema to

the entire concept of privatization of airline industry and the exclusion

W.P.(C) 8004/2010 Page 38 of 96
of the petitioners to handle the majority of air traffic in India is

arbitrary and unreasonable.

(f) The AAI Regulations 2000 allowed all the airlines to conduct self-

ground handling facilities including outsourcing which was permitted

by the AAI. The 2007 Regulations run counter and are in conflict

with the statutory requirement contained in Rule 134 read with

Schedule 11 of the 1937 Rules. That apart, the conditions of the

licence are statutory in nature and any intervention in the same would

violate the statutory framework.

(g) The Regulations and the circular project a picture of contradiction and

disharmony inasmuch as the Regulations cover four airports whereas

the circular covers six airports. That apart, the airports at Kolkata and

Chennai, which are not managed by private airport owners, could not

have been covered and same goes to show that there has been a total

non-application of mind. The circular, as a policy, smacks of

arbitrariness and unreasonableness as it creates a dent in the integral

part of airline operation which includes ground handling facility and

further does not take note of the fact that Rule 92 of the 1937 Rules is

required to be read in conjunction with Rule 134.

(h) The segregation of ground handling into those involving passenger

interface and those not involving passenger interface is unreasonable

and unworkable as both the activities have to be carried out in

W.P.(C) 8004/2010 Page 39 of 96
complete harmony and coordination and if a discord and dissonance is

brought in, an unworkable situation would crop up which is not

conceived in law.

(i) The 2000 Regulations permitted ground handling service and though

the Regulations and circulars were introduced in the year 2007, yet

they were not given effect to regard being had to their non-workability

and practical difficulties and further, when the petitioners were

brought into the fray of airline business by grant of a licence with

conditions precedent incorporated therein that they have to carry on

the ground handling services and made huge investment on that score,

they had a legitimate expectation that they should be carrying on the

business as a whole, but a bifurcation in a maladroit manner by the

authorities nullifies their legitimate expectation which has the sanction

of law.

43. Mr.Gopal Subramanium, learned Solicitor General appearing for the

Union of India, has proponed the following contentions:

(i) The regulations and the circulars do not transgress any of the

provisions of the 1934 Act or the Rules framed thereunder and, in

fact, are in accord with the provisions contained in Section 5A of the

1934 Act and Section 12A of the 1994 Act. The restrictive

interpretation placed by the petitioners on Section 5A does not

W.P.(C) 8004/2010 Page 40 of 96
commend acceptation and defeats the legislative intendment.

(ii) The security aspect has been the paramount gravamen for making a

uniform policy which is well controlled in view of the fact that it has

become absolutely essential to have access to latest technologies and

management techniques in the matter of security protocol. It is a

matter of fact that Indian Aviation is a target of international terrorism

which makes it imperative on the part of the authorities to take control

of ground handling of flights because the said activity requires the

presence of maximum number of personnel in sensitive areas of

airports.

(iii) The circular No.7/2007 was issued by the DGCA stipulating that the

airports‟ ground handling facilities would be handled by the airport

operator itself or its joint venture partner; subsidiary companies of the

national carrier, i.e., Air India / Indian Airlines or their joint venture

or third party handling provided that they are selected through

competitive bidding and on revenue sharing basis and subject to

security clearance by the Government of India and the said circular

has been issued under Rule 133A of the 1937 Rules and there is no

conflict / discord between the rule and the circular.

(iv) The proponement that a monopoly has been created in favour of all

the private operators is sans substratum since Regulation 3 of the 2007

Regulations clearly stipulates that the ground handling service at

W.P.(C) 8004/2010 Page 41 of 96
airport can be carried out by AAI or it joint venture company or

subsidiary companies of the national carrier, i.e., National Aviation

Company India Ltd. or its joint ventures specialized in ground

handling services. That apart, the Regulation also permits any other

ground handling service provider selected through competitive

bidding on revenue sharing basis subject to security clearance by the

Central Government and observance of performance standards. On a

careful reading of the language employed in the Regulations, it is

clear as crystal that the airline operator is not totally prohibited to

carry out the ground handling services if he satisfies the conditions

enumerated therein.

(v) The attack that the security measure is a subterfuge is totally without

any substance since the Bureau of Civil Aviation Security, on

21.8.2009, has clearly stated that certain aircraft operations cannot be

mixed with ground handling activities and there has to be a protocol.

In this regard, the Cabinet, in its meeting held on 29.12.2009, has

decided to bifurcate, to give certain privileges to the private airline

operators in respect of ground handling services, into two parts.

Keeping in view the security measures, the grievance of the

petitioners centering around its commerce and commercial interest

alone is unacceptable. The stand of the petitioners that their right

under Article 19(1)(g) is affected is not correct as the restriction that

W.P.(C) 8004/2010 Page 42 of 96
has been placed is a reasonable restriction as it pertains to the security

of the country which is indubitably in the interest of the general

public. The nature of activity or the business carried out by the

petitioners has to be viewed in a substantive manner and the safety of

the citizens can never be marginalized for the interest of individual

airline operators and the safety measures for the collective at large

cannot be marginalized for the sake of interest of the individual airline

operators.

(vi) The policy framed by the Respondent, Union of India, on an

appropriate scrutiny, does withstand the scanning on the anvil of

Article 14 of the Constitution of India as it does not smack of

arbitrariness and is not unguided. The claim that there has been

irrational classification between the airline operators and the airport

operators, on one hand, and the cargo operators, on the other, has no

legs to stand upon inasmuch as they are a class apart and there is an

intelligible differentia between the two classes and, thus, the equality

clause in its essential conceptuality does not get attracted.

(vii) The dichotomy that has been highlighted by the petitioners that the

Regulations cover four airports whereas the circulars cover six and

that the Regulations could not have covered all the six in view of the

language employed “managed by AAI” does not stand to reason in

view of the language employed under Section 12A of the 1994 Act

W.P.(C) 8004/2010 Page 43 of 96
which has to be interpreted on a broad canvass.

44. Dr.A.M. Singhvi, learned senior counsel appearing for the respondent

Nos.5 and 7, has advanced the following submissions:

(i) The interpretation placed by the learned counsel for the petitioners on

Section 5A of the Act is totally unacceptable as an effort has been

made to read the provision in a fragmented manner which is not

permissible. The said provision has to be contextually and

conceptually interpreted regard being had to the four facets, namely,

textual language power, boundaries of the power, targets which are

required to be addressed to and the proper exercise of power.

(ii) The proponement by the petitioners to read „in any case‟ with the

satisfaction of the security of India and with the clauses that have been

enumerated earlier is a composite manner is impermissible. The term

„in any case‟ has to be understood in a broader expanse and it can

cover any matter where the security of India or safety of aircraft

operator is a necessity and is not required to have nexus with the

clauses (aa), (b), (c), (e), (f), (g), (ga), (gb), (gc), (h), (i), (m) and (qq)

of sub-section (2) of Section 5.

(iii) The interpretation placed on Rule 92 of the 1937 Rules is an adroitly

artificial one inasmuch as what is provided in the said Rule is that an

airline operator can engage, without any restriction, any of the ground

W.P.(C) 8004/2010 Page 44 of 96
handling service provider permitted by the Central Government and

the said Rule does not convey that the airline operator has the legal

right to carry out self-ground handling service. The Regulations and

the circulars harmoniously co-exist. The stand that the 2007

Regulations is vitiated by including certain airports which are

managed by the AAI though they are not so managed does not

improve the case of the petitioners as the circulars issued by the

DGCA under Section 5A and the Regulations framed under the 1994

Act harmoniously co-exist, and as long as they lawfully co-exist the

question of declaring any one of them ultra vires does not arise and

further, any action taken under the same cannot be flawed.

(iv) The 2007 Regulations and the circulars reinforce each other and there

is no conflict.

(v) The submission to claim a right of ground handling services is

basically fallacious as the petitioners are confused between ground

handling services and self-handling services.

(vi) The stand that there could not have been a variation of the statutory

licence is not tenable as the licence has to be governed and controlled

by the subsequent circulars and Regulations.

(vii) The claim based on the foundation of licence is speculative and lacks

challenge as no right is created. That apart, if the terms and

conditions of the licence are studied with deep ken, it is revealed that

W.P.(C) 8004/2010 Page 45 of 96
it made a stipulation for minimum requirement for grant of permit to

operate scheduled passengers, air transport services and the same can

always be changed. Moreso, keeping in view that the privatization of

airports not being in the horizon, the same was subject to change in

policy, unless it is unreasonable, arbitrary or capricious.

(viii) An airline operator who comes into the fray of business has to adjust

himself with the system of corporate structuralism and cannot claim a

vested right for self-ground handling service.

45. Dr. Singhvi, learned senior counsel appearing for the Respondent Nos.

5 and 7, to buttress his submissions, has placed reliance on the decisions

rendered in Lalu Prasad Yadav v. State of Bihar, (2010) 5 SCC 1, Union of

India v. Venkatesan S. & Anr., (2002) 5 SCC 285, Madhya Pradesh

Ration Vikreta Sangh Society & Ors. v. State of Madhya Pradesh, (1981) 4

SCC 535, Sarkari Sasta Anaj Vikreta Sangh Tehsil Bemitra & Ors. v.

State of Madhya Pradesh, (1981) 4 SCC 471, State of Orissa & Anr. v.

Radheyshyam Meher & Ors., (1995) 1 SCC 652, Hindustan Zinc Ltd. v.

Andhra Pradesh State Electricity Board & Ors., (1991) 3 SCC 299,

Association of Industrial Electricity Users v. State of A.P. & Ors., (2002) 3

SCC 711, M/s Bajaj Hindustan Ltd. v Sir Shadi Lal Enterprises Ltd. &

Anr., (2011) 1 SCC 640 and an unreported decision in Dilip Ranadive &

W.P.(C) 8004/2010 Page 46 of 96
Anr. v. Union of India & Ors., W.P. No. 516/2008 by the High Court of

Bombay.

46. Mr. Sudhir Chandra, learned senior counsel appearing for the

respondent Nos. 4 and 6, has submitted thus:

(i) The circulars issued by the DGCA under Section 5A of the 1934 Act

has a nexus with Section 2(gc) and, therefore, it cannot be said to be

beyond the provisions mentioned in reference to Section 2 in Section

5A.

(ii) Rule 92 of the 1937 Rules does not create a right. Quite apart from

that, to appreciate the validity of the circulars, Sections 2(b), 2(d),

2(nn) and 12A of the 1994 Act have to be kept in view.

(iii) The policy formulated by the Union of India has two aspects, namely,

safety and security and, therefore, it cannot be termed as arbitrary.

(iv) The incorporation of Kolkata and Chennai airports in the Regulations

stands on a different footing and, hence, there is no incompatibility

between the circulars and the Regulations.

(v) The safety and security measures which have been provided by the

expert body cannot be adjudged by the court in exercise of power of

judicial review as there is no manageable judicial standard.

47. Mr.Rajiv Nayar, learned senior counsel appearing for the respondent

Nos. 10, 11 and 13, submitted that the writ petition be thrown overboard on

W.P.(C) 8004/2010 Page 47 of 96
the ground of delay and laches and acquiescence. It is contended by him

that the petitioners have only asked for time from 2007 to get into the

changed mode and in fact at their request, extension was granted thrice.

After consuming time, they have challenged the circulars and the

Regulations which is impermissible. It is urged by him that there has

already been formalization of agreement as a result of which they have spent

huge sums of money keeping in view that the right of self-ground handling

services has been conferred on them.

48. Mr.Ram Jethmalani, learned senior counsel appearing for the

respondent No.9, resisting the contentions canvassed by the learned counsel

for the petitioners, submitted that the petitioners are absolutely unsure on

what grounds they are assailing the Regulations or the circulars. The learned

senior counsel has taken us through the pleadings to highlight that they

suffered from vagueness and on the vagueness of pleadings, the

constitutional validity of the Regulations or the circulars should not be dealt

with. It is urged by him that in the present state of affairs in the country, the

paramount concern is security and when the Regulations and the circulars

have been issued on the foundation or edifice of security, the same cannot be

brushed aside on the basis of individual financial interest of the petitioners.

The challenge on the ground that the right to carry on business has been

interfered with without justifiable reason does not merit consideration

W.P.(C) 8004/2010 Page 48 of 96
inasmuch as their right to carry on business has not been affected and, in

fact, the ground handling facilities have been regulated. The learned senior

counsel would further submit that even the petitioners can enter into the fray

by satisfying the conditions envisaged in the Regulations and the circulars

but they intend to maintain their monopoly and carry on their outsourcing

having scant regard for the security of the country. It is put forth by him that

Section 5A of the 1934 Act, which has been amended, is the repository of

power which authorizes the competent authority to issue circulars and the

circulars being in consonance with the provision cannot be declared ultra

vires. He has placed reliance on the decision rendered in Khoday

Distilleries Ltd. v. State of Karnataka, (1996) 10 SCC 304.

49. Mr.P.K.Ray, learned counsel appearing for the respondent No.12,

while supporting the submissions made by the learned counsel for the other

co-respondents, contended that the petitioners do not have unfettered right to

carry on the ground handling service and if the data of employment is

scrutinized, it is vivid that they really do not avail the manpower by direct

employment but outsource them to a large extent and, hence, the submission

that their rights are infringed is bereft of any substance.

THE CORE ISSUES

50. Though we have enumerated the submissions in detail to appreciate

the controversy in completeness, yet it is thought seemly to concretize the

W.P.(C) 8004/2010 Page 49 of 96
core issues and dwell upon the same. In our considered opinion, the core

issues that really emanate for consideration can be put into the following

compartments:

(a) Whether the writ petition is to be thrown overboard on the ground of

delay and laches?

(b) Whether the circulars issued by the DGCA in exercise of power under

Section 5A of the 1934 Act are unsustainable being violative of the

restrictions imposed in the provision itself and ultra vires Rule 92 of

the 1937 Rules and further, as a policy decision, are unreasonable,

capricious and arbitrary?

(c) Whether the licences granted in favour of the petitioners being

statutory, the terms and conditions incorporated therein could not have

been curtailed by the respondents by way of bringing in such circulars

or Regulations and whether the doctrine of legitimate expectation gets

attracted to protect the rights of the petitioners as far as the ground

handling services are concerned?

(d) Whether there is a dichotomy between the circulars and the

Regulations and, if so, which would prevail or can they, in the

obtaining factual matrix, harmoniously co-exist?

W.P.(C) 8004/2010 Page 50 of 96

(e) Whether the circulars and the Regulations suffer from the vice of

discrimination inasmuch as the petitioners, the airline operators, the

private respondents and the airport operators, have been put in

different categories without any intelligible differentia or any object to

achieve and hence, play foul of Article 14, or invite the frown of

Article 19(1)(g) of the Constitution infringing the rights of the

petitioners to carry on the business, or are the restriction imposed

reasonable?

(f) Whether the 2007 Regulations are in conflict with Rule 134 read with

Schedule 11 of the 1937 Rules and, therefore, do not withstand

scrutiny?

51. First we shall deal with the aspect of whether the writ petition is hit by

the doctrine of delay and laches. It is submitted by Mr.Nayar, learned senior

counsel, that though the circular was issued in the year 2007, yet the

petitioners, instead of challenging the same, sought the intervention of the

Union of India to keep it in abeyance and also for giving effect to the same

and, therefore, the assail to the said circular in 2011 should not be

entertained. In our considered opinion, after the circular came into force, a

Regulation has been framed and that apart, when we have heard the parties

at length, we are not inclined to throw the writ petition over board on the

W.P.(C) 8004/2010 Page 51 of 96
ground of delay and laches. Accordingly, the aforesaid submission, being

sans substance, stands repelled.

52. The next aspect that arises for consideration is whether the circulars

could have been issued by the DGCA in exercise of power under Section 5A

of the 1934 Act and also in transgression of Rule 92 of the 1937 Rules. That

apart, it is to be tested whether the circulars, as policy decisions, are to be

regarded as arbitrary and unreasonable. Section 5A was brought in the

statute book and was substituted by Act 44 of 2007. The said provision,

being differently interpreted by both the sides, is required to be reproduced

in toto:

“5A. Power to issue directions. – (1) The Director-
General of Civil Aviation or any other officer specially
empowered in this behalf by the Central Government
may, from time to time, by order, issue directions,
consistent with the provisions of this Act and the rules
made thereunder, with respect to any of the matters
specified in [clauses (aa), (b), (c), (e), (f), (g), (ga), (gb),
(gc)], (h), (i), (m) and (qq) of sub-section (2) of section 5,
to any person or persons using any aerodrome or engaged
in the aircraft operations, air traffic control, maintenance
and operation of aerodrome, communication, navigation,
surveillance and air traffic management facilities and
safeguarding civil aviation against acts of unlawful
interference], in any case where the Director-General of
Civil Aviation or such other officer is satisfied that in the
interests of the security of India or for securing the safety
of aircraft operations it is necessary so to do.
(2) Every direction issued under sub-section (1) shall
be complied with by the person or persons to whom such
direction is issued].”

W.P.(C) 8004/2010 Page 52 of 96

53. Sub-section 2 of Section 5 especially clauses (aa), (b), (c), (e), (f), (g),

(ga), (gb), (gc)], (h), (i), (m) and (qq) which have been referred to in Section

5A being relevant are reproduced below:

“(aa) the regulation of air transport services, and the
prohibition of the use of aircraft in such services except
under the authority of and in accordance with a licence
authorizing the establishment of the service;

(b) the licensing, inspection and regulation of
aerodromes, the conditions under which aerodromes may
be maintained and the prohibition or regulation of the use
of unlicensed aerodromes;

(c) the inspection and control of the manufacture,
repair and maintenance of aircraft and of places where
aircraft are being manufactured, repaired or kept;

X X X X

(e) the conditions under which aircraft may be flown,
or may carry passengers, mails or goods, or may be used
for industrial purposes and the certificates, licences or
documents to be carried by aircraft;

(f) the inspection of aircraft for the purpose of
enforcing the provisions of this Act and the rules
thereunder, and the facilities to be provided for such
inspection;

(g) the licensing of persons employed in the operation,
manufacture, repair or maintenance of aircraft;
(ga) the licensing of persons engaged in air traffic
control
(gb) the certification, inspection and regulation of
communication, navigation and surveillance or air traffic
management facilities;

(gc) the measures to safeguard civil aviation against
acts of unlawful interference;

W.P.(C) 8004/2010 Page 53 of 96

(h) the air-routes by which and, the conditions under
which aircraft may enter or leave [India], or may fly over
[India], and the places at which aircraft shall land;

(i) the prohibition of flight by aircraft over any
specified area, either absolutely or at specified times, or
subject to specified conditions and excpetions;

X X X X

(m) the measures to be taken and the equipment to be
carried for the purpose of ensuring the safety of life;

X X X X
(qq) the prohibition of slaughtering and flaying of
animals and of depositing rubbish, filth and other
polluted and obnoxious matter within a radius of ten
kilometers from the aerodrome reference point;”

54. It is submitted by the learned senior counsel for the petitioners that

Section 5A of the 1934 Act has to be given a restricted interpretation and, in

fact, the circulars had to be in accord with the sub-sections mentioned

therein and further, the security aspect has to have nexus only with the

postulates mandated in the aforesaid provisions and cannot travel beyond the

said periphery. It is urged that mere compliance of the provisions alone

would not suffice the security facet. In essentiality, it is propounded that

both the aspects have to be read cumulatively and not in isolation.

55. The stipulations engrafted in Section 5A are to be contextually

understood. The text and context have to go hand in hand. In this regard,

we may refer with profit to certain decisions in the field. In Poppatlal Shah

v. State of Madras, AIR 1953 SC 274, the Apex Court, while adverting to

W.P.(C) 8004/2010 Page 54 of 96
the concept of construction of a provision, has opined that it is a settled rule

of construction that to ascertain the legislative intent, all the constituent parts

of a statute are to be taken together and each word, phrase or sentence is to

be considered in the light of the general purpose and object of the Act itself.

56. In State of W.B. v. Union of India, AIR 1963 SC 1241, it has been

ruled that it is the duty of the court to ascertain the intention of the

legislature by directing its attention not merely to the clauses to be construed

but to the entire statute; the court must compare the clause with the other

parts of the law, and the setting in which the clause to be interpreted occurs.

57. In RBI v. Peerless General Finance and Investment Co. Ltd., (1987)

1 SCC 424, it has been opined that the interpretation is best which makes the

textual interpretation match the contextual. Chinnappa Reddy, J., in his

inimitable style, noted the signification of such an interpretation:

“33. Interpretation must depend on the text and the
context. They are the bases of interpretation. One may
well say if the text is the texture, context is what gives
the colour. Neither can be ignored. Both are important.
That interpretation is best which makes the textual
interpretation match the contextual. A statute is best
interpreted when we know why it was enacted. With this
knowledge, the statute must be read, first as a whole and
then section by section, clause by clause, phrase by
phrase and word by word. If a statute is looked at, in the
context of its enactment, with the glasses of the statute-
maker, provided by such context, its scheme, the
sections, clauses, phrases and words may take colour and
appear different than when the statute is looked at
without the glasses provided by the context. With these

W.P.(C) 8004/2010 Page 55 of 96
glasses we must look at the Act as a whole and discover
what each section, each clause, each phrase and each
word is meant and designed to say as to fit into the
scheme of the entire Act. No part of a statute and no
word of a statute can be construed in isolation. Statutes
have to be construed so that every word has a place and
everything is in its place.”

58. In Union of India v. Alok Kumar, (2010) 5 SCC 349, while dealing

with the concept of contextual interpretation, their Lordships have opined

thus:

“The rule of contextual interpretation requires that the
court should examine every word of the statute in its
context, while keeping in mind the Preamble of the
statute, other provisions thereof, pari materia statutes, if
any, and the mischief intended to be remedied. Context
often provides a key to the meaning of the word and the
sense it carries.”

59. Keeping in view the aforesaid pronouncements in the field, we are

required to see whether the authority concerned is empowered to issue

directions for the purpose of giving effect to the provisions of Section 5(2)

only when security aspect is inherently involved. For the aforesaid

interpretation, the learned senior counsel for the petitioners would lay

emphasis on the words “in any case” to convey that the said words really

have the character of condition precedent.

60. In the case of Lalu Prasad Yadav (supra), the term “in any case”

came for interpretation and in that background, their Lordships construed the

W.P.(C) 8004/2010 Page 56 of 96
said words to be of widest amplitude. The question that arose in the said

case was with regard to the interpretation of Section 378 of the Code of

Criminal Procedure wherein sub-section (1) of Section 378 Cr.P.C. has been

used but there is a fetter in the said sub-section itself. In that context, their

Lordships observed as follows:

“45. …..The phrase “in any case” in sub-section (1) of
Section 378, without hesitation, means “in all cases”, but
the opening words in the said Section put fetters on the
State Government in directing appeal to be filed in two
types of cases mentioned in sub-section (2).”

61. While dealing with the issue whether the State of Bihar had the

competence to file an appeal from the judgment passed by Special Judge,

CBI, their Lordships, while interpreting Section 378(1) of the Cr.P.C., held

as follows:

“54. In our opinion, the legislature has maintained a
mutually exclusive division in the matter of appeal from
an order of acquittal inasmuch as the competent authority
to appeal from an order of acquittal in two types of cases
referred to in sub-section (2) is the Central Government
and the authority of the State Government in relation to
such cases has been excluded. As a necessary corollary, it
has to be held, and we hold, that the State Government
(of Bihar) is not competent to direct its Public Prosecutor
to present appeal from the judgment dated December 18,
2006 passed by the Special Judge, CBI (AHD), Patna.”

62. The said decision has been commended to us to highlight that „in any

case‟ does not always mean in all cases. In the obtaining context, as we read

the provision, the language employed in Section 5A is really of wide

W.P.(C) 8004/2010 Page 57 of 96
amplitude. It deals with operation of aerodrome, surveillance, safeguarding

civil aviation. What is argued on behalf of the petitioners is that in the

interest of the security of India or for securing the safety of aircraft

operations, Section 5A has to have insegregable nexus with one of the

provisions contained in Section 5(2) of clauses (aa), (b), (c), (e), (f), (g),

(ga), (gb), (gc)], (h), (i), (m) and (qq) and further the directions can be issued

in respect of the same only if the security measure is involved. On a reading

of the provision on the bedrock of contextual interpretation, the said

submission does not deserve acceptation. We are inclined to think that the

words „in any case‟ are to be construed to cover all categories of cases where

the interest of security of India or securing the safety of aircraft operation is

involved. The same cannot be restricted or constricted to the provisions of

Section 5(2) which find mention therein. In this regard, we may also

fruitfully refer to Section 4A of the Act which reads as under:

“4A. Safety oversight functions. – The Director-
General of Civil Aviation or any other officer specially
empowered in this behalf by the Central Government
shall perform the safety oversight functions in respect of
matters specified in this Act or the rules made
thereunder.”

63. We have referred to the said provision as the same is of immense

importance regard being had to the security facet. In this context and

backdrop, if Section 5A is understood only in the light of sub-section (2), it

would not only be unpurposive but also fundamentally defeat the essential

W.P.(C) 8004/2010 Page 58 of 96
purpose. That is not the legislative intent. Quite apart from the above, the

clauses which find mention in the provision should also not be narrowly

constructed. Mr.Sudhir Chandra, learned counsel for the respondent Nos.4

and 6 has placed heavy reliance on clauses (b), (ga) and (gc) mainly on the

words „regulations of aerodromes‟, „traffic control‟ and „safeguard of civil

aviation‟. The said terms, as we perceive, have to be given wider

connotation, for constricted understanding and application would tantamount

to fragmented interpretation. Thus, the inevitable conclusion is that where

the interest of security of India or safety of aircraft operation is concerned,

the competent authority under Section 5A can issue directions and the

impugned circulars meet the tests enshrined in Section 5A. That apart, the

process of interpretation should adhere to the basic principle that it is the

duty of the court to see the legislative intent and its purposeful

implementation. The two principles – the test of intendment and the test of

purpose cannot be marginalized. That apart, on a studied appreciation the

circular deals with security which has nexus with broader context of the

things that find mention in 2(b), 2(ga), 2(gc) and (m) of Section 5(2). Ergo,

the submission that the same travels beyond the restrictions inherent in the

provision stands repelled.

64. The next limb of the said submission is that the circulars run counter

to Rule 92 of the 1937 Rules. In this regard, we think it appropriate to have

W.P.(C) 8004/2010 Page 59 of 96
a survey of the relevant Rules. Rule 3 of the 1937 Rules deals with

definitions and interpretation. Sub-rule (2) of Rule 3 deals with aerodrome.

Sub-rule (3) of Rule 3 which has been brought into the Act on 22.9.2009

defines aerodrome operator. Sub-rules (2) and (3) of Rule 3 are as follows:

“(2) “Aerodrome” means any definite or limited ground
or water area intended to be used, either wholly or in
part, for the landing or departure of aircraft, and includes
all buildings, sheds, vessels, piers and other structures
thereon or appertaining thereto;

(3) “Aerodrome operator” means a person,
organization or enterprise responsible for operation and
management of an aerodrome.”

65. Part XI of the 1937 Rules deals with aerodromes. The said rules have

been incorporated in the Rules on 2.11.2004. Rule 78 deals with licensing

of aerodromes. Rule 79 provides for the qualifications of licensee. Rule 80

deals with the procedure for grant of licence. Rule 90 provides for entry into

public aerodromes. Rule 92 deals with ground handling services. The said

Rule, being relevant for the present purpose, is reproduced in entirety:

“92. Ground Handling Services. – The licensee shall,
while providing ground handling service by itself, ensure
a competitive environment by allowing the airline
operator at the airport to engage, without any restriction,
any of the ground handling service provider who is
permitted by the Central Government to provide such
services:

Provided that such ground handling service
provider shall be subject to the security clearance of the
Central Government.”

W.P.(C) 8004/2010 Page 60 of 96

66. Relying on the aforesaid Rule 92, it is contended that an airline

operator has an indefeasible right to provide the ground handling service

itself or engage, without any restriction, any ground handling service

provider to prevent unfair competitive environment. It is urged that by

virtue of the circulars coming into force, the right to ground handling service

by the airline operator is taken away and, therefore, the circulars run counter

to Rule 92 despite Rule 92 being in the Rules.

67. The basic test is to determine whether a rule to have effect must have

its source of power which is relatable to the rule making authority.

Similarly, a notification must be in accord with the rules, as it cannot travel

beyond it. In this context, we may refer with profit to the decision in

General Officer Commanding-in-Chief v. Dr. Subhash Chandra Yadav,

AIR 1988 SC 876 wherein it has been held that before a rule can have the

effect of a statutory provision, two conditions must be fulfilled, namely (1) it

must conform to the provisions of the statute under which it is framed; and

(2) it must also come within the scope and purview of the rule making power

of the authority framing the rule. If either of these two conditions is not

fulfilled, the rule so framed would be void.

68. In Additional District Magistrate (Rev.), Delhi Administration v.

Shri Ram, AIR 2000 SC 2143, it has been held that it is a well recognized

principle that conferment of rule making power by an Act does not enable

W.P.(C) 8004/2010 Page 61 of 96
the rule making authority to make a rule which travels beyond the scope of

the enabling Act or which is inconsistent therewith or repugnant thereto.

69. In B.K. Garad v. Nasik Merchants Co-op. Bank Ltd., AIR 1984 SC

192, it has been held that if there is any conflict between a statute and the

subordinate legislation, the statute shall prevail over the subordinate

legislation and if the subordinate legislation is not in conformity with the

statute, the same has to be ignored.

70. In Ashok Lanka v. Rishi Dixit, (2005) 5 SCC 598, it has been laid

down that although the State may delegate its power to an administrative

authority, yet such a delegation cannot be made in relation to the matters

contained in the rule-making power of the State. The matters which are

outside the purview of the Rules only could be the subject-matter of

delegation in favour of the authority. Their Lordships have further opined

that a subordinate legislation must be framed strictly in consonance with the

legislative intent.

71. In Dilip Kumar Ghosh v.Chairman, AIR 2005 SC 3485, their

Lordships have expressed the view that it is well settled principle of law that

circular cannot override the rules occupying the field and if there is a clash

between the Rule and the circular, the circular has to be treated as non est.

W.P.(C) 8004/2010 Page 62 of 96

72. In Punjab Water Supply and Sewerage Board v. Ranjodh Singh,

AIR 2007 SC 1082, their Lordships have observed that a Scheme under

Article 162 of the Constitution of India would not prevail over the statutory

rule. Their Lordships have further clearly held that any departmental letter

or executive instruction cannot prevail over the statutory rule.

73. The language employed in Rule 92, if appositely appreciated, refers to

licensee which means the airport operators who can do the ground handling

themselves. It further postulates that the airport operator has to ensure a

competitive environment and the same can only be done by the airport

operator and not by the airline operator. The said interpretation also gathers

support if its date of introduction, i.e., 5.11.2004 is taken note of, for the

simon pure reason that the rule was amended after the concept of

privatization of the airport was introduced.

74. The submission of the petitioners is that an absolute right is inherent

with the airline operator. The said argument is not acceptable as there is a

distinction between an airport operator and an airline operator. In fact Rule

92 confers no right of self-handling on the airline operators like the

petitioners.

75. The impugned circular, as is manifest, ensures a competitive

environment. The said Rule also stipulates that such ground handling

W.P.(C) 8004/2010 Page 63 of 96
service provider shall be subject to security clearance of the Central

Government. Hence, the emphasis is on competitive environment and

security clearance. The airport operator itself or by its joint venture partner,

the subsidiary companies of the national carrier, i.e., National Aviation

Company of India Ltd. or their joint ventures specialized in ground handling

services or any other ground handling service providers selected through

competitive bidding on revenue sharing basis by the airport operator subject

to security clearance has been made eligible to undertake ground handling

services at all metropolitan airports, namely, the airports at Delhi, Mumbai,

Chennai, Kolkata, Bangalore and Hyderabad. On a scrutiny of the same, the

circulars allow the airline operator to form a joint venture and compete to

perform ground handling service. Thus, we are unable to accept the

submission that the circulars run counter to Rule 92 of the 1937 Rules for

there is a basic fallacy in that submission as the petitioner have conceived to

have an indefeasible right to have been conferred on them for ground

handling service which the language employed in the Rule does not so

convey.

76. The next aspect that requires to be delved into is whether the circulars,

as a policy decision, are arbitrary, unreasonable and nullify the legitimate

expectation of the petitioners and, hence, invite the frown of Article 14 of

the Constitution. In this context, we think it apt to refer to certain authorities

W.P.(C) 8004/2010 Page 64 of 96
as to under what circumstances and on what grounds a policy decision can

be assailed in a court of law and the role of a court in that regard.

77. In P.T.R. Exports (Madras) Pvt. Ltd. v. Union of India, (1996) 5

SCC 268, it has been held that when the executive is satisfied that change in

the policy is necessary in the public interest, it would be entitled to revise the

policy and lay down the new policy. The court would prefer to allow free

play to the Government to evolve the policy regard being had to the public

policy.

78. In Rustom Cavasjee Cooper v. Union of India AIR 1970 SC 564, it

has been held that it is obligatory for the Court to consider the relative merits

of the different political theories or economic policies but the Court will not

sit in appeal over the policy of Parliament in enacting a law.

79. In Premium Granties and another v. State of Tamil Nadu AIR 1994

SC 2233, while dealing with the power of the Court to interfere with the

policy decision, the Apex Court has expressed that it is not the domain of the

Court to embark upon unchartered ocean of public policy in an exercise to

consider as to whether a particular policy is wise or a better public policy

can be evolved. Such exercise must be left to the discretion of the executive

and legislative authorities as the case may be.

W.P.(C) 8004/2010 Page 65 of 96

80. In M.P. Oil Extraction and another v. State of M.P. and others

(1997) 7 SCC 592, it has been held that in matters of policy decision, the

scope of judicial review is limited and circumscribed. The Apex Court has

further held thus:

“41. After giving our careful consideration to the facts
and circumstances of the case and to the submissions
made by the learned counsel for the parties, it appears to
us that the Industrial Policy of 1979 which was
subsequently revised from time to time cannot be held to
be arbitrary and based on no reason whatsoever but
founded on mere ipsi dixit of the State Government of
M.P. The executive authority of the State must be held to
be within its competence to frame a policy for the
administration of the State. Unless the policy framed is
absolutely capricious and, not being informed by any
reason whatsoever, can be clearly held to be arbitrary and
founded on mere ipsi dixit of the executive functionaries
thereby offending Article 14 of the Constitution or such
policy offends other constitutional provisions or comes
into conflict with any statutory provision, the Court
cannot and should not outstep its limit and tinker with the
policy decision of the executive functionary of the State.
This Court, in no uncertain terms, has sounded a note of
caution by indicating that policy decision is in the domain
of the executive authority of the State and the Court
should not embark on the unchartered ocean of public
policy and should not question the efficacy or otherwise
of such policy so long the same does not offend any
provision of the statute or the Constitution of India.”

[Emphasis supplied]

81. In Bajaj Hindustan Ltd (supra) the Apex Court has held thus:

“41. The power to lay policy by executive decisions or
by legislation includes power to withdraw the same
unless it is by mala fide exercise of power, or the
decision or action taken is in abuse of power. The

W.P.(C) 8004/2010 Page 66 of 96
doctrine of legitimate expectation plays no role when the
appropriate authority is empowered to take a decision by
an executive policy or under law. The Court leaves the
authority to decide its full range of choice within the
executive or legislative power. In matter of economic
policy, it is settled law that the court gives a large leeway
to the ex3ecutive and the legislature. Granting licences
for import or export is an executive or legislative policy.
The Government would take diverse factors for
formulating the policy in the overall larger interest of the
economy of the country. When the Government is
satisfied that change in the policy was necessary in the
public interest it would be entitled to revise the policy
and lay down a new policy.”

[Emphasis added]

82. In Radheyshyam Meher (supra), the issue that arose before the Apex

Court was whether the High Court was justified in interfering with a policy

decision of the Government. After referring to the facts, in paragraph 3 of

the decision, the Court took note of the fact that the whole purpose of the

policy and the advertisement to hold a medical store inside the hospital

premises was to make medicines available to the patients day and night and

even at odd hours. In that context, their Lordships ruled thus:

6. In the aforesaid background the question arises
whether, in the absence of any rule or regulation to the
contrary, can the power of the State be abridged on the
basis of an individual interest of certain trader, even to
the extent of restricting the State’s capacity to advance
larger public goods. It can hardly be disputed that the
consideration of availability of the medicines to the
patients should be the uppermost consideration as
compared to the right of a person to derive income and
make profits for his sustenance by running a medical

W.P.(C) 8004/2010 Page 67 of 96
store for the reason that the medical stores are primarily
meant for the patients and not the patients for the medical
stores or those who run the same. The submission of the
respondents that if a medical store is opened within the
campus of the hospital, the same will jeopardise their
interest adversely affecting their business and that they
will not be able to sustain themselves could not be a valid
ground to disallow the appellants to open a shop within
the hospital campus. Undoubtedly, the opening of a
medical store within the hospital campus will provide a
great facility to the patients who may not be having any
attendant of their own in the hospital for their assistance
at odd hours in the event of an emergency to go out to
purchase the medicines. There may be patients having an
attendant who may not find it convenient or safe to go
out of the campus to purchase the medicines in the night
hours. In these facts and circumstances the paramount
consideration should be the convenience of the patients
and protection of their interest and not the hardship that
may be caused to the medical store keepers who may be
having their shops outside the hospital campus. Thus the
intention of the appellants to open a medical store within
the hospital campus is to salvage the difficulties of the
patients admitted in the hospital and this object of the
appellants has direct nexus with the public interest
particularly that of the patients and, therefore, the High
Court should not have interfered with the decision of the
State Government to settle the holding of a medical store
in the Hospital premises.”

[Emphasis supplied]

83. In Hindustan Zinc Ltd. (supra), the question that emanated was with

regard to the justifiability of the hike in the electricity tariff. The Apex

Court, after referring to Wade‟s Administrative Law (6th edn., p.424 and

p.426) and various decisions in the field with regard to the concept of

arbitrariness and discriminatory impact, concurred with the view taken in

Kerala State Electricity Board v. S.N. Govinda Prabhu & Ors., AIR 1986

W.P.(C) 8004/2010 Page 68 of 96
SC 1999 which followed the decision in Shri Sitaram Sugar Co. Ltd. v.

Union of India & Ors., (1990) 3 SCC 223 and held thus:

“The surplus generated by the Board as a result of
revision of tariffs during the relevant period cannot be
called extravagant by any standard to render it arbitrary
permitting the striking down of the revision of tariffs on
the ground of arbitrariness. We have already indicated
that it is not also discriminatory as was the view taken in
Govinda Prabhu, (1990) 3 SCC 223. It has been pointed
out on behalf of the Board that the Board’s action is
based on the opinion of Rajadhyaksha Committee’s
Report submitted in 1980 and the formula of fuel cost
adjustment is on a scientific basis linked to the increase
in the fuel cost. This is a possible view to take and,
therefore, the revision of tariffs by the Board does not fall
within the available scope of judicial review.”

[Underlining is ours]

84. In Ugar Sugar Works Ltd. v. Delhi Administration and others,

(2001) 3 SCC 635, their Lordships opined that the Courts, in exercise of

their power of judicial review, the court ordinarily does not interfere with the

policy decisions of the executive unless the policy can be faulted on grounds

of mala fide, unreasonableness, arbitrariness or unfairness, etc.

85. In State of U.P. and another v. Johri Mal, (2004) 4 SCC 714, while

dealing with the limited scope of judicial review, the Apex Court has laid

down the following guidelines –

“The limited scope of judicial review, succinctly put, is:

(i) Courts, while exercising the power of judicial review,
do not sit in appeal over the decisions of administrative
bodies.

W.P.(C) 8004/2010 Page 69 of 96

(ii) A petition for a judicial review would lie only on
certain well-defined grounds.

(iii) An order passed by an administrative authority
exercising discretion vested in it, cannot be interfered in
judicial review unless it is shown that exercise of discretion
itself is perverse or illegal.

(iv) A mere wrong decision without anything more is not
enough to attract the power of judicial review; the
supervisory jurisdiction conferred on a Court is limited to
seeing that the Tribunal functions within the limits of its
authority and that its decisions do not occasion miscarriage
of justice.

(v) The Courts cannot be called upon to undertake the
government duties and functions. The court shall not
ordinarily interfere with a policy decision of the State.
Social and economic belief of a Judge should not be
invoked as a substitute for the judgment of the legislative
bodies.”

86. In State of NCT of Delhi and another v. Sanjeev alias Bittoo, (2005)

5 SCC 181, it has been held that the power of judicial review can be

exercised in respect of administrative action if the authority acts in total

disregard of norms and exercises power which is in excess or abusive of

discretionary power. If irrelevant considerations are taken into account, the

same would become amenable to judicial review.

87. In Binny Ltd. and another v. V. Sadasivan and others, (2005) 6 SCC

657, it has been held that a writ of mandamus or the remedy under Article

226 is pre-eminently a public law remedy and it is available against a body

or person performing a public law function and is not generally available as

a remedy against private wrongs. It is used for enforcement of various rights

W.P.(C) 8004/2010 Page 70 of 96
of the public or to compel public/statutory authorities to discharge their

duties and to act within their bounds. It may be used to do justice when

there is wrongful exercise of power or a refusal to perform duties

88. In State of Punjab and ors. v. Ram Lubhaya Bagga and others

(1998) 4 SCC 117, the Apex Court has expressed the view that the validity

of governmental policy is concerned in our view it is not normally within the

domain of any court, to weigh the pros and cons of the policy or to scrutinize

it and test the degree of its beneficial or equitable disposition for the purpose

of varying, modifying or annulling it, based on howsoever sound and good

reasoning, except where it is arbitrary or violative of any constitutional,

statutory or any other provision of law.

89. Their Lordships have further opined that it would be dangerous if

court is asked to test the utility, beneficial effect of the policy or its appraisal

based on facts set out on affidavits.

90. From the aforesaid pronouncement of law, it is clear as day that it is

not within the domain of the Courts nor within the scope of judicial review

to embark upon an inquiry as to whether a particular public policy is wise

and acceptable or whether a better public policy could evolve. A policy is

not to be struck down merely because a different policy could have been

fairer, wiser or more logically acceptable. The Courts can only interfere if

W.P.(C) 8004/2010 Page 71 of 96
the policy framed is absolutely capricious, not informed by reasons

whatsoever, totally arbitrary and is found ipse dixit offending the basic

requirement of Article 14 of the Constitution of India.

91. As the present policy lays emphasis on security to appreciate the steps

taken for security, we think it apt to reproduce the order No.03/2009 dated

21.8.2009 issued by the Bureau of Civil Aviation Security in exercise of

powers conferred by Section 5A of the Aircraft Act, 1934 read with para 4

of the DGCA Circular No.9/1/2002-IR dated 28.9.2007 and Regulations 6

and 7 of the 2007 Regulations. By virtue of the said order, the

Commissioner of Security (BCAS), for the purpose of securing the safety of

aircraft operations has directed certain activities pertaining to aircraft

operations to be treated as Aircraft Operators Aviation Security Functions.

They are:

              "i)    Access control to the aircraft.

              ii)    Aircraft security search / security check during
                     normal as well as bomb threat situation.

iii) Screening of registered / unaccompanied baggage,
cargo, mail and company stores etc.

iv) Surveillance of screened baggage till acceptance at
check in counters.

v) Security control of the checked baggage from the
point it is taken into the charge of aircraft operator
till loading into aircraft.

vi) Passengers baggage reconciliation / identification.

W.P.(C) 8004/2010 Page 72 of 96

vii) Security of baggage tag, boarding cards and flight
documents.

viii) Security of mishandled / unaccompanied / transit /
transfer baggage.

ix) Secondary checks at ladder point of aircraft.

x) Security of catering items from pre-setting stage
till loading into aircraft.

xi) Security control of express cargo, courier bags,
cargo, company stores, parcels, mail bags and
escorting from city side up to aircraft.

xii) Receiving carriage and retrieval of security
removed articles.

xiii) Any other security functions notified by the
Commissioner from time to time.”

92. Thereafter, the order provides as follows:

“2. Despite the fact that the above activities are carried
out on ground at the airports, keeping in view the
AVSEC requirements under the current surcharged
security scenario, these AVSEC functions cannot
be mixed up with other ground handling activities,
and these AVSEC functions shall not be allowed
by an aircraft operator / airport operator to be
undertaken by a Ground Handling Agency.

3. The above mentioned security functions shall be
carried out by the concerned airlines security
personnel who possess all competencies required
to perform their duties and are appropriately
trained and certified according to the requirements
of the approved Security Programme of respective
Aircraft Operator and the National Civil Aviation
Security Programme of India.

W.P.(C) 8004/2010 Page 73 of 96

4. Foreign airlines may enter into agreement with
Indian Air carriers having international operation
from that airport only after specific approval from
the BCAS in each case.

5. As approved by Ministry of Civil Aviation (GOI)
vide letter no.AV-24013/004/2007-AAI dated 20th
March, 2008, the in-line screening of hold baggage
to be transported by an aircraft operator from the
airports in India, shall be carried out by trained and
BCAS certified screeners of respective airport
operator or NACIL or their JV at airports having
in-line baggage inspection System.

6. Screening and security control of Cargo
consignments may also be undertaken by trained
and BCAS certified screeners of Regulated Agents
approved by the BCAS in accordance with the
instructions issued by the BCAS from time to time.

7. The responsibility for all security related functions
shall be with the airlines concerned. For this
purpose, a security coordinator shall be designated
by the respective airlines at each airport from
where they shall have operations.

8. This order supersedes all instruction (except BCAS
Cir No.4/2007) on the subject and shall come into
force with immediate effect. Violation of this
order will attract legal action under Section 11A of
the Aircraft Act, 1934.”

[Underlining is ours]

93. The contention of the learned counsel for the petitioners is that the

security facet has been introduced as a subterfuge to curtail the commercial

interests of the petitioners and gradually destroy their existence. Per contra,

the submission of the learned Solicitor General is that strong steps have been

taken to regulate, protect and oversee the security measures regard being had

W.P.(C) 8004/2010 Page 74 of 96
to the global phenomena and the security lapses that have taken place at the

airports. The factum of security cannot be gone into by court of law and

more so when specific aspects have been dwelled upon and delved into by

the Bureau of Civil Aviation Security. The security of a country is

paramount. It is in the interest of the nation. There is no question of any

kind of competition between the commercial interest and the security

spectrum. The plea that in the name of security the commercial interest of

the petitioners is infringed or abridged does not merit consideration and in

any case this Court cannot sit in appeal over the same. The individual

interests of the petitioners must yield to the larger public interest. Judged by

these parameters and the authorities which we have referred to hereinabove

that lay down the test under Article 14 and the role of Court while dealing

with policy decisions of the State, we do not remotely perceive the same to

be arbitrary or unreasonable. It cannot be said that it is not based on well

defined grounds. The very purpose is perceptible and does not suffer from

the vice of unreasonableness. Therefore, we hold that the circular, as a

policy decision, is not arbitrary and unreasonable to invite the frown of the

said limb of Article 14 of the Constitution.

94. The next aspect which we shall advert to whether the circular as a

policy decision destroys the legitimate expectation of the petitioners. The

submission of the learned counsel for the petitioners is that when they came

W.P.(C) 8004/2010 Page 75 of 96
into the business and were granted licence as airline operators, it was a

mandatory requirement to have the self-ground handling service and, hence,

now they cannot be deprived of the said benefit. In this context, we may

note with profit what has been said in Union of India v. Hindustan

Development Corporation, (1993) 3 SCC 499:

“…The legitimacy of an expectation can be inferred only
if it is founded on the sanction of law or custom or an
established procedure followed in regular and natural
sequence. Again it is distinguishable from a genuine
expectation. Such expectation should be justifiably
legitimate and protectable. Every such legitimate
expectation does not by itself fructify into a right and
therefore it does not amount to a right in the conventional
sense.”

In the said decision, it has been further laid down as follows:

“…even if substantive protection of such expectation
may be denied or restricted. A case of legitimate
expectation would arise when a body by representation
or by past practice aroused expectation which it would
be within its powers to fulfil. The protection is limited to
that extent and a judicial review can be within those
limits. But as discussed above a person who bases his
claim on the doctrine of legitimate expectation, in the
first instance, must satisfy that there is a foundation and
thus has locus standi to make such a claim. In
considering the same several factors which give rise to
such legitimate expectation must be present. The
decision taken by the authority must be found to be
arbitrary, unreasonable and not taken in public interest.
If it is a question of policy, even by way of change of old
policy, the courts cannot interfere with a decision…”

95. Learned counsel appearing for the petitioners have also submitted that

when a change of policy takes place, it cannot totally brush aside the

W.P.(C) 8004/2010 Page 76 of 96
legitimate expectations of the persons who were the beneficiaries of the

earlier policy. In this regard, we may fruitfully refer to Bannari Amman

Sugars Ltd. v. Commercial Tax Officer & Ors., (2005) 1 SCC 625, while

dealing with the concept of legitimate expectation and a change in policy,

their Lordships referred to the decision in Union of India v. Hindustan

Development Corporation, AIR 1994 SC 988 and eventually expressed the

view thus:

“While the discretion to change the policy in exercise of
the executive power, when not trammelled by any statute
or rule is wide enough, what is imperative and implicit in
terms of Article 14 is that a change in policy must be
made fairly and should not give impression that it was so
done arbitrarily or by any ulterior criteria. The wide
sweep of Article 14 and the requirement of every State
action qualifying for its validity on this touchstone
irrespective of the field of activity of the State is an
accepted tenet. The basic requirement of Article 14 is
fairness in action by the State, and non-arbitrariness in
essence and substance is the heart beat of fair play.
Actions are amenable, in the panorama of judicial review
only to the extent that the State must act validly for
discernible reasons, not whimsically for any ulterior
purpose. The meaning and true import and concept of
arbitrariness is more easily visualized than precisely
defined. A question whether the impugned action is
arbitrary or not is to be ultimately answered on the facts
and circumstances of a given case. A basic and obvious
test to apply in such cases is to see whether there is any
discernible principle emerging from the impugned action
and if so, does it really satisfy the test of reasonableness.”

[Emphasis added]

96. In Punjab Communications Ltd. v. Union of India, (1999) 4 SCC

727 it has been ruled that the more important aspect is whether the decision-

W.P.(C) 8004/2010 Page 77 of 96

maker can sustain the change in policy by resort of Wednesbury principles of

rationality or whether the court can go into the question whether the

decision-maker has properly balanced the legitimate expectation as against

the need for a change and whether the public interest overrides the

substantive legitimate expectation of individuals will be for the decision-

maker who has made the change in the policy. The choice of the policy is

for the decision-maker and not for the court.

97. In Ram Pravesh Singh v. State of Bihar, (2006) 8 SCC 381, it has

been opined that a legitimate expectation, even when made out, does not

always entitle the expectant to a relief. Public interest, change in policy,

conduct of the expectant or any other valid or bona fide reason given by the

decision-maker, may be sufficient to negative the “legitimate expectation.

98. From the aforesaid exposition of law, there can be no trace of doubt

that though the doctrine of legitimate expectation has its relevance in

administrative law, yet the same is subject to change of rule or a policy

decision and the policy decision is required to be tested on Wednesbury

principle. The present change of policy is neither unreasonable nor malafide

to warrant interference by this Court in exercise of power of judicial reviw.

99. The next issue pertains to whether the circulars invite frown of Article

14 of the Constitution since there is no reasonable classification based on

W.P.(C) 8004/2010 Page 78 of 96
any intelligible differentia and there is no rational nexus between the objects

sought to be achieved. To substantiate the said submission, it has been

urged with immense vehemence by the learned counsel for the petitioners

that the airport authorities have been put in different categories and have

been deprived of self-ground handling service whereas others have been

extended the benefit. Elaborating the same, it is urged that the circulars

permit the joint venture company or the joint venture companies of National

Aviation Company Ltd. and any other ground handling service provider

selected through competitive bidding on revenue sharing basis but the

petitioners have been deprived. On a perusal of the 2007 circular

implementation of which has been deferred from time to time by various

circulars defines ground handling to permit third party handling to the

subsidiaries or their joint ventures of the Airports Authority of India or joint

venture companies. Learned Solicitor General submitted that there is no

embargo on the part of the petitioners to enter into a joint venture and carry

out the ground handling services. It is his further proponement that ground

handling service does not mean self-ground handling service by the airline

operator. That apart, it is contended by learned Solicitor General that the

petitioners are airline operators who were carrying on ground handling

service stand on a different class altogether then the Airports Authority of

India or it joint venture companies or any third party which are subsidiaries

on the basis of revenue sharing with the Authority subject to satisfactory

W.P.(C) 8004/2010 Page 79 of 96
observance of purpose of standards as may be mutually acceptable to the

authorities and their companies. In essence, the contention is that to sustain

the security there has been a restriction and the ground handling services has

been given not to any airline operator but to the Airports Authority of India

or its joint venture company or the subsidiary companies of National carrier

that is the National Aviation Company Ltd. or its joint ventures specialized

in ground handling service. In this context, we may usefully refer to the

decision in Madhya Pradesh Ration Vikreta Sangh Society (supra), the

question that arose before the Apex Court was whether the Madhya Pradesh

Foodstuffs (Civil Supplies Public Distribution) Scheme, 1981 formulated by

the State Government under sub-clause (d) of Clause (2) of the Madhya

Pradesh Foodstuffs (Distribution) Control Order, 1960 introducing a new

scheme for running of individual fair price shops by agents to be appointed

under a Government scheme giving preference to cooperative societies in

replacement of the earlier scheme of running such fair price shops through

retail dealers appointed under clause 3 of the Order of 1960 was violative of

Articles 14 and 19(1)(g) of the Constitution of India. In that context, their

Lordships referred to the decision in R.D. Shetty v. International Airport

Authority of India & Ors., AIR 1979 SC 1628 which has laid down the

principle that if a governmental action disclosed arbitrariness, it would be

liable to be invalidated as offending Article 14 of the Constitution, but

taking into consideration the wider concept, their Lordships held as follows:

W.P.(C) 8004/2010 Page 80 of 96

“The wider concept of equality before the law and the
equal protection of laws is that there shall be equality
among equals. Even among equals there can be unequal
treatment based on an intelligible differentia having a
rational relation to the objects sought to be achieved.
Consumers’ cooperative societies form a distinct class by
themselves. Benefits and concessions granted to them
ultimately benefit persons of small means and promote
social justice in accordance with the directive principles.
There is an intelligible differentia between the retail
dealers who are nothing but traders and consumers’
cooperative societies. The position would have been
different if there was a monopoly created in favour of the
later. The scheme only envisages a rule of preference.
The formulation of the scheme does not exclude the retail
traders from making an application for appointment as
agents.”

100. In this regard, it would not be out of place to refer to the concept of

classification as laid down in the locus classicus, i.e., Ram Krishna Dalmia

and Ors. v. Shri Justice S.R. Tendolkar and Ors., AIR 1958 SC 538, in the

said decision the Apex Court laid down many a principle pertaining to class

legislation and also the presumption of constitutionality. Looking at the role

of a court while dealing with the presumption of constitutionality, the two

principles which are relevant for the present purpose are reproduced below:

“(e) that in order to sustain the presumption of
constitutionality the Court may take into consideration
matters of common knowledge, matters of common
report, the history of times and may assume every state of
facts which can be conceived existing at the time of
legislation; and

(f) that while good faith and knowledge of the
existing conditions on the part of a Legislature are to be
resumed, if there is nothing on the face of the law or the

W.P.(C) 8004/2010 Page 81 of 96
surrounding circumstances brought to the notice of the
Court on which the classification may reasonably be
regarded as based, the presumption of constitutionality
cannot be carried to the extent of always holding that
there must be some undisclosed and unknown reasons for
subjecting certain individuals or corporations to hostile or
discriminating legislation.”

101. Judged on this score, we are inclined to think that while making the

distinction, emphasis has been laid on a joint venture with Airports

Authority of India or its subsidiary company with security concept added to

it. In our considered opinion that is the condition precedent. It is uniformly

applicable to all concerned. The petitioners are not debarred from

constituting a joint venture company or carrying on the self-ground handling

services by the mode provided. Thus, that satisfies the concept of

intelligible differentia and it is well nigh impossible to accept the contention

that there is a classification which does not reflect any intelligible differentia

and destroys the equality clause enshrined under Article 14 of the

Constitution of India.

102. The next limb of the said issue pertains to whether the 2007 circular

violates Article 19(1)(g) of the Constitution as the said creates a bar to carry

on the business. To bolster the said submission, learned counsel for the

petitioners would submit that the ground handling service is an insegregable

facet of the airline operation and the Union of India cannot take away many

spheres of ground handling service and leave a few to the petitioners which

W.P.(C) 8004/2010 Page 82 of 96
are trouble facing areas. Mr. Rohtagi and Mr. Kaul, learned senior counsel

appearing for the petitioners would contend that a piquant situation has been

ushered in since the interface at the airports would be carried on by the

airline operators as a consequence of which the operations would face the

wrath of the passengers whereas the other wings which would handle ground

handling services would not face the same. This, according to them, creates

a total dent in carrying out the business and, hence, it offends Article

19(1)(g) of the Constitution. Per contra, Mr.Gopal Subramanium, learned

Solicitor General appearing on behalf of the Union of India submitted that

the Article 19(1)(g) is not absolute and subject to Article 19(1)(6) of the

Constitution the State can make any law imposing reasonable restrictions in

the interests of general public.

103. In Madhya Pradesh Ration Vikreta Sangh Society (supra) while

dealing with challenge to the scheme under Article 19(1)(g) the Apex court

has opined thus:

“10. The constitutionality of the impugned scheme is
also challenged as abridging Article 19(1)(g) of the
Constitution. The short answer to the challenge is that the
scheme in no way infringes the petitioners’ right to carry
on their trade in foodgrains. They are free to carry on
business as wholesale or retail dealers in foodgrains by
taking out licences under the Madhya Pradesh
Foodgrains (Licensing) Order, 1964. There is no
fundamental right in any one to be appointed as an agent
of a fair price shop under Government Scheme.”

W.P.(C) 8004/2010 Page 83 of 96

104. In Bishambhar Dayal Chandra Mohan v. State of U.P., (1982) 1

SCC 39, the Apex Court has held that:

“32 …The fundamental right to carry on trade or
business guaranteed under Article 19(1)(g) or the
freedom of inter-State trade, commerce and intercourse
under Article 301 of the Constitution, has its own
limitations. The liberty of an individual to do as he
pleases is not absolute. It must yield to the common
good. Absolute or unrestricted individual rights do not
and cannot exist in any modern State. There is no
protection of the rights themselves unless there is a
measure of control and regulation of the rights of each
individual in the interests of all. Whenever such a
conflict comes before the Court, it is its duty to
harmonise the exercise of the competing rights. The court
must balance the individual’s rights of freedom of trade
under Article 19(1)(g) and the freedom of inter-State
trade and commerce under Article 301 as against the
national interest. Such a limitation is inherent in the
exercise of those rights.

33. Under Article 19(1)(g) of the Constitution, a
citizen has the right to carry on any occupation, trade or
business and the only restriction on this unfettered right
is the authority of the State to make a law imposing
reasonable restrictions under Clause (6). The principles
underlying in clauses (5) and (6) of Article 19 are now
well settled and ingrained in our legal system in a
number of decisions of this Court, and it is not necessary
to burden this judgment with citations. The expression
“reasonable restriction” signifies that the limitation
imposed on a person in enjoyment of the right should not
be arbitrary or of an excessive nature, beyond what is
required in the interests of the public. The test of
reasonableness, wherever prescribed, should be applied
to each individual statute impugned, and no abstract
standard, or general pattern of reasonableness can be laid
down as applicable in all cases. The restriction which
arbitrarily or excessively invades the right cannot be said
to contain the quality of reasonableness and unless it
strikes a proper balance between the freedom guaranteed

W.P.(C) 8004/2010 Page 84 of 96
in Article 19(1)(g) and the social control permitted by
Clause (6) of Article 19, it must be held to be wanting in
that quality.”

[Emphasis supplied]

105. In Municipal Corpn., Ahmedabad v. Jan Mohammed, AIR 1986 SC

1205, the Apex Court has held that in considering the validity of the

impugned law imposing prohibition on the carrying on of a business or a

profession, the Court must attempt an evaluation of its direct and immediate

impact upon the fundamental rights of the citizens affected thereby and the

larger public interest sought to be ensured in the light of the object sought to

be achieved.

106. In Deepak Theatre v. State of Punjab, 1992 Supp (1) SCC 684, their

Lordships ruled that the Article 19(1)(g) of the Constitution accords

fundamental rights to carry on any profession, occupation, trade or business,

but would be subject to reasonable restrictions on the exercise of the said

right imposed by a law, in the interest of the general public.

107. In Om Prakash v. State of U.P., (2004) 3 SCC 402, the Apex Court

articulated that the term “reasonable restriction” as used in Article 19(6) is a

highly flexible and relative term which draws its colour from the context.

One of the sources to understand it is natural law and in the sense of ideal,

just, fair, moral or conscionable to the facts and circumstances brought

before the court.

W.P.(C) 8004/2010 Page 85 of 96

108. In Reliance Energy Ltd. & Anr. v. Maharashtra State Road

Development Corporation Ltd. & Ors., (2007) 8 SCC 1, their Lordships,

after referring to the decision in I.R. Coelho v. State of T.N., (2007) 2 SCC

1, dwelled upon concepts like “opportunity”, “level playing field”,

“globalization”, commitment to the rule of law”, “reasonableness” and

“judicial review” and held as follows:

“Article 14 of the Constitution embodies the principle of
“non-discrimination”. However, it is not a freestanding
provision. It has to be read in conjunction with rights
conferred by other articles like Article 21 of the
Constitution. The said Article 21 refers to “right to life”.
In includes “opportunity”. In our view, as held in the
latest judgment of the Constitution Bench of nine Judges
in I.R. Coelho v. State of Tamil Nadu, (2007) 2 SCC 1,
Article 21/14 is the heart of the chapter on fundamental
rights. They cover various aspects of life. “Level playing
field” is an important concept while construing Article
19(1)(g) of the Constitution. It is this doctrine which is
invoked by REL/HDEC in the present case. When Article
19(1)(g) confers fundamental right to carry on business
to a company, it is entitled to invoke the said doctrine of
“level playing field”. We may clarify that this doctrine is,
however, subject to public interest. In the world of
globalization, competition is an important factor to be
kept in mind. The doctrine of “level playing field” is an
important doctrine which is embodied in Article 19(1)(g)
of the Constitution. This is because the said doctrine
provides space within which equally placed competitors
are allowed to bid so as to subserve the larger public
interest.”

109. Keeping the aforesaid decisions in view, it is requisite to see whether

the circular is hit by the aforesaid constitutional provision. On a careful

W.P.(C) 8004/2010 Page 86 of 96
scrutiny, it is perceivable that the certain ground handling services have been

taken away from the petitioners on the ground of security measures. We

have already reproduced the security measures in the earlier part of our

decision while relating to why such a policy decision was warranted. There

can be no iota of doubt that the national security is in the interest of general

public and public order. It cannot be said that the petitioners had an

indefeasible right to do the entire ground handling service solely because

they were granted security clearance by the Central Government. One is

required to apply the test of immediate and direct impact, level playing field

which is subject to public interest, the nature of restriction regard being had

to the concept of excessive postulates or stipulation of conditions. In the

case at hand the ground handling service has been bifurcated. The sphere of

operation that has been restricted pertains to the field of security. The

authorities have taken the stand of larger public interest. The level playing

field has to succumb to the same. It is to be kept in mind that the concept of

reasonable restriction strikes a balance between an individual right to carry

on his business or trade or profession and the larger public interests on the

other. The right of the petitioners to carry out the function of airline

operators has not been taken away. What has been taken away is a part of

ground handling service which is in the realm of security. Thus, we are

unable to accept the submission that the restriction that has been imposed

goes beyond the requirement of the interests of the general public and / or

W.P.(C) 8004/2010 Page 87 of 96
excessive in nature. On the contrary, it satisfies the doctrine of balance

which is a basic facet of Article 19(1)(g) of the Constitution of India.

Therefore, we repel the challenge to the circular on this score.

110. The 2007 circular states that with the restructuring of certain airports

and development of a few Greenfield airports in the private sector, it has

become imperative for the Central Government to lay down the eligibility

criteria for various agencies to undertake ground handling services at non-

AAI airports. In the said circular reference has been made to all

metropolitan airports located at Delhi, Mumbai, Chennai, Kolkata,

Bangalore and Hyderabad. In the Regulations dated 18.10.2007 in

paragraph 3, it has been mentioned that the said Regulations shall apply to

all airports and civil enclaves managed by the AAI. Regulation (2)(b)

defines authority to mean the Airports Authority of India constituted under

sub-section (1) of Section 3 of the 1994 Act. Regulation 3 deals with ground

handling service at airports. It postulates that a carrier may carry out ground

handling services at metropolitan airports that is the airports located at

Delhi, Mumbai, Chennai, Kolkata, Bangalore and Hyderabad. It is urged by

Mr. Rohtagi, learned senior counsel for the petitioners that in Regulation 2 it

is postulated that the Regulation shall apply to all airports managed by the

AAI. It could not have included Chennai and Kolkata airports which are not

managed by the AAI but by the private airport operators. Mr. Gopal

W.P.(C) 8004/2010 Page 88 of 96
Subramanium, learned Solicitor General would contend if Section 12A of

the 1994 Act is read in conjunction with Rule 133A it would be quite clear

that the words “managed by” is of wide import and include all the six

airports. Dr. Singhvi, learned senior counsel appearing on behalf of

respondent Nos. 5 and 7, per contra, would contend that the circulars and the

Regulations do not compete with each other as they cover different fields

and, therefore, they can harmoniously exist and, hence, there is no necessity

to delve into the issue whether two other airports which are not covered by

the AAI would have any bearing on the lis. At this juncture, we may refer to

the decision in Mr.Dilip Ranadive & Anr. (supra), wherein the High Court

of Bombay has held thus:

27. Being so, the respondents are justified in
contending that the grievance of the petitioners that the
regulations issued on 18th September, 2007 is devoid of
substance. The regulations specifically relates to the
airports managed by the Airport Authority of India
whereas the circular applies to all the airports other than
belonging to the Airport Authority of India, and hence
there is no question of one superseding the another and
both are to be read harmoniously. In this regard, the
stand of the respondent No. 1 which is also clear to the
effect that the regulation does not supersede circular and
that therefore the EOI cannot be said to be ultra vires.
The same is the stand of the respondent No. 2 in their
affidavit where it has been stated that the circular dated
28th September, 2007 is independent of the regulations of
2000 and, therefore, there is no question of supersession
the circular by the Regulations.

W.P.(C) 8004/2010 Page 89 of 96

111. We concur with the aforesaid view, for we perceive that in the 2007

Regulations, there is no mention that the 2007 circular has been superseded.

That apart, the Regulation No.3 mentions six airports. Regulation 1(3)

refers to that Regulations shall apply to all airports managed by the AAI. It

can be stated with profit by abundant caution the Regulation includes the

two airports which are not managed by the private airport operators and the

same does not take away the impact of the circular. Thus, they can

harmoniously co-exist. As we are inclined to think that they can

harmoniously co-exist, there is no justification on our part to dwell upon the

issue that has been urged by learned Solicitor General for Union of India that

the words “managed by” need not be narrowly considered and has to be read

with in conjunction with Section 12A of the 1994 Act and the Rule 133A of

the 1937 Rules.

112. The next ground of attack, especially to the validity of 2007

Regulations, is that it is in conflict with Rule 134 read with Schedule XI of

the Rules. Rule 134 reads as follows:

“134. Air Transport Services – (1) No person shall
operate any scheduled air transport service from, to, in,
or across India except with the permission of the Central
Government, granted under and in accordance with and
subject to the provisions contained in Schedule XI:

Provided that any person already permitted and
operating scheduled air transport service before

W.P.(C) 8004/2010 Page 90 of 96
commencement of the Aircraft (Second Amendment)
Rules, 1994, or any successor to such person under
section 3 of the Air Corporation (Transfer of Undertaking
and Repeal) Ordinance, 1994 (Ord.4 of 1994), may
continue operation of such services subject to the
provisions of sub-rule (1A).

(1A) The Central Government may, with a view to
achieving better regulation of air transport services and
taking into account the need for air transport services of
different regions in the country, direct, by general or
special order issued from time to time, that every
operator operating any scheduled air transport service
shall render service in accordance with the conditions
specified in such order including any condition relating
to their due compliance.

(2) The Central Government may permit any air
transport undertaking of which the principal place of
business is in any country outside India to operate an air
transport service from, to or across India in accordance
with the terms of any agreement for the time being in
force between the Government of India and the
Government of that country, or, where there is no such
agreement, of a temporary authorization by the
Government of India.

(3) No air transport service, other than a scheduled air
transport service or an air transport service, to which the
provisions of sub-rule (1) or (2) apply, shall be operated
except with the special permission of the Central
Government and subject to such terms and conditions as
it may think fit to impose in each case.”

113. On a bare perusal of the said Rule, it is quite vivid that no one can

operate any scheduled air transport from, to, in, or across India except with

the permission of the Central Government, granted under and in accordance

with and subject to the provisions contained in Schedule XI. It is also

luculent that every operator operating any scheduled air transport service

W.P.(C) 8004/2010 Page 91 of 96
shall render service in accordance with the conditions specified in the order

passed by the Central Government including any condition relating to their

due compliance. Schedule XI deals with grant of permission to operate

scheduled air transport services. Clause 5 provides that every application for

grant of permit is to be made to the Director General. There is prescription

for the format and the fees. Clause 8 stipulates how the Director General

shall consider the application for permit and any representation made in

respect thereof. Sub-clause (2) of Clause 8 provides the guidelines for the

disposal of the application. It reads as follows:

“(2) For the disposal of the application, the Director-
General shall consider, in particular –

(i) whether having regard to the applicant‟s
experience and financial resources and his ability to
provide satisfactory equipment, organisation and staffing
arrangements, and having regard also to any
contravention in respect of aircraft operated by him of the
provisions of the Aircraft Act, 1934 (22 of 1934), and the
rules made thereunder, the applicant is competent and a
fit and proper person to operate aircraft on scheduled air
transport services;

(ii) the provisions made or proposed to be made
against any liability in respect of loss or damage to
persons or property which may be incurred in connection
with the aircraft operated by the applicant;

(iii) the existing or potential need or demand for the
scheduled air transport service applied for;

(iv) in the case of any scheduled air transport service
proposed, the adequacy of any other air transport service
already authorized under rule 134.

W.P.(C) 8004/2010 Page 92 of 96

(v) the extent to which any scheduled air transport
service proposed would be likely to result in wasteful
duplication of or in material diversion of traffic from any
air transport service which is being or is about to be
provided under a permission issued under rule 134.

(vi) any capital or other expenditure reasonably
incurred or any financial commitment or commercial
agreement reasonably entered into, in connection with
the operation of aircraft on air transport service by any
person (including the applicant);

(vii) if the tariffs for the proposed scheduled air
transport services are reasonable; and

(viii) any objections or representations made in
accordance with the provisions of this schedule or any
other law in force.”

114. Clause 11 provides that the grant of permit shall not be construed as in

any way absolving any person from the obligation of complying with the

provisions of the Aircraft Act, 1934 or with the Rules made thereunder or

with any other statutory provisions. The Director General of Civil Aviation

vide Annexure P-7 dated 1.3.1994 has issued the guidelines for minimum

requirements for grant of permit to operate schedule passenger air transport

services. The introduction to the same reads as follows:

“1. INTRODUCTION
Sub-rule 1 of Rule 134 of the Aircraft Rules, 1937
specifies that no person shall operate any scheduled air
transport service from, to, in, or across India except with
the permission of the Central Government, granted under
and in accordance with and subject to the provisions of
Schedule XI of the Aircraft Rules. This Civil Aviation
Requirement contains the minimum airworthiness,
operational and other general requirements for grant of

W.P.(C) 8004/2010 Page 93 of 96
permit for Scheduled air transport operations. This CAR
is issued under provisions of Rule 133A of the Aircraft
Rules, 1937. These requirements are complimentary to
the requirements of ICAO Annex 6 Part I, as applicable
to scheduled operations.”

115. Rule 133A occurs in Part XIIA which deals with Regulatory

Provisions. Rule 133 is the only Rule which occurs in the said part. It deals

with directions by Director-General. Clause 3 of the Civil Aviation

Requirements stipulates the eligibility requirements. Clause 3.2.6 reads as

follows:

“3.2.6 adequate ground handling facilities and staff
for preparation of load and trim sheet, flight dispatch and
passenger / cargo handling. The staff should have
undergone the training and checks as specified by
DGCA.”

116. It is contended that the same is a condition precedent which has been

provided in the Rule. The Schedule being a part of the Rule, the Regulation

cannot travel beyond the said Rule. It is worth noting that the Regulation

has been issued under Section 42 of the 1994 Act which authorizes the

competent authority to make Regulations. Sub-section (2)(h) of Section 42

reads as follows:

(h) securing the safety to aircraft, vehicles and persons
using the airport or civil enclave and preventing danger
to the public arising from the use and operation of
aircraft in the airport of civil enclave”

W.P.(C) 8004/2010 Page 94 of 96

117. As is manifest from the aforesaid provisions, Rule 134 does not vest

any right on the airline operator for any ground handling service. The Civil

Aviation requirements have been formulated by the Director General of

Civil Aviation. Clause 3.2.6 shows that an airline operator must have

ground handling facilities and staff for preparation of load and trim sheet,

flight despatch and passenger / cargo handling and further postulates that the

staff should have undergone the training and checks as specified by DGCA.

The same is the minimum requirement for grant of permit. The DGCA who

has been conferred the power under Section 42 has framed the Regulations.

The Civil Aviation Requirements only laid down the condition for fixing the

eligibility criteria. That did not vest any kind of inalienable right with the

petitioners. The Regulations have given more emphasis on security impact.

In any case, merely because an eligibility criteria has been fixed, that does

not mean the same cannot be changed. The eligibility criteria for grant of

permit of ground handling facilities were laid down. It is obligatory on the

part of the airline operator to provide the ground handling facility, if the

authority so directs. When the condition has been altered, that by no stretch

of imagination, would vitiate the Regulations issued under Section 42 on the

foundation that it violates Rule 134 of the Rules. We perceive no

justification in such a stand. Therefore, we repel the aforesaid submission

advanced by the learned counsel for the petitioners.

W.P.(C) 8004/2010 Page 95 of 96

118. In view of our aforesaid premised reasons, we do not find any

substance in any of the proponements that have been canvassed on behalf of

the petitioners and consequently we perceive no merit in the writ petition

and accordingly the writ petition and all the interim applications stand

dismissed. There shall be no order as to costs.

CHIEF JUSTICE

MANMOHAN, J
MARCH 4, 2011
dk

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