Abbott v. Delaware State Public Integrity Commission ( 2019 )


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  •               IN THE SUPREME COURT OF THE STATE OF DELAWARE
    RICHARD L. ABBOTT,                               §
    §
    Plaintiff Below,                        §      No. 155, 2018
    Appellant,                              §
    §      Court Below: Superior Court
    v.                                      §      of the State of Delaware
    §
    DELAWARE STATE PUBLIC                            §      C.A. No. N16A-09-009 FWW
    INTEGRITY COMMISSION,                            §
    §
    Defendant Below,                        §
    Appellee.                               §
    Submitted: February 20, 2019
    Decided:   February 25, 2019
    Before STRINE, Chief Justice; VAUGHN, SEITZ, TRAYNOR, Justices; and
    NEWELL, Chief Judge,* constituting the Court en Banc.
    PER CURIAM:
    ORDER
    After consideration of the parties’ briefs and the record on appeal, it appears
    to the Court that:
    (1)     The appellant and plaintiff below, Delaware attorney Richard L.
    Abbott, filed this appeal from a Superior Court opinion, dated February 28, 2018,
    affirming the Delaware State Public Integrity Commission’s dismissal of his
    complaint.1 We hold that in determining that Abbott’s complaint failed to state a
    *
    Sitting by designation under Del. Const. art. IV, § 12.
    1
    Abbott v. Del. State Pub. Integrity Comm’n, 
    2018 WL 1110852
     (Del. Super. Ct. Feb. 28, 2018).
    violation, the Commission did not exceed its jurisdiction, proceed illegally or
    manifestly contrary to law, or proceed irregularly. We therefore affirm the Superior
    Court’s judgment.
    (2)    The origins of this litigation lie in a Court of Chancery action captioned
    Seabreeze Homeowners Assoc., Inc. v. Marshall Jenney, C.A. No. 8635-VCG.2 In
    June 2013, Seabreeze Homeowners Association, Inc. filed a complaint for specific
    performance of a 2012 settlement agreement in which the property owner had agreed
    to trim trees and shrubs on his properties in the subdivision.3 In July 2014, the Court
    of Chancery entered a consent order requiring the property owner to take certain
    actions for the trimming of the shrubs.4 In November 2014, Seabreeze moved for a
    rule to show cause, alleging that the property owner had failed to perform.5 The
    Vice Chancellor ruled that the property owner, who was represented by Abbott, had
    breached the consent order.6 The Vice Chancellor encouraged the parties to work
    together and file a stipulation for the necessary shrub trimming.7
    2
    App. to Opening Br. at A57–80. These facts are taken from Abbott’s complaint and exhibits
    before the Commission. See Maddrey v. Justice of Peace Court 13, 
    956 A.2d 1204
    , 1216 (Del.
    2008) (recognizing that record for review of certiorari proceeding consists of “the complaint
    initiating the proceeding, the answer or response (if required), and the docket entries”).
    3
    App. to Opening Br. at A68.
    4
    
    Id.
     at A69.
    5
    
    Id.
    6
    
    Id.
    7
    Id.
    2
    (3)     On March 16, 2015, Abbott informed the Vice Chancellor that, other
    than pending requests for attorneys’ fees, the action was moot because the property
    owner had transferred the properties to his wife, which meant he no longer had an
    ownership interest and was relieved of his obligations under the Settlement
    Agreement.8 Seabreeze renewed a motion for a rule to show cause hearing, arguing
    that the transfer was a sham transaction designed to evade a court order.9 At the
    hearing, the Vice Chancellor ruled:
    But despite having done many, many, many homeowners cases, I have
    never had a defendant in one of those cases sit in a witness chair and tell
    me that he didn’t intend to comply with his agreement because he was
    upset with his neighbors and he might want to sell the property. Nor
    have I ever had anybody sit in a witness chair and tell me that on advice
    of counsel, he had entered into a sham transaction to frustrate the
    specific performance of any agreement. It is shocking to me. It is
    unacceptable. It is unacceptable behavior for a litigant in this Court. It
    is unacceptable behavior for an attorney in this Court. So it’s clear to
    me there was contempt of my bench order and of the stipulation and
    order of this Court.10
    8
    Id. at A69–70.
    9
    Id. at A70.
    10
    Id. at A70–71.
    3
    The Vice Chancellor suspended the rule to show cause hearing and ordered that it
    would be reconvened when the parties met on the properties to determine which
    shrubs would be trimmed.11
    (4)     On May 21, 2015, after the site visit, the rule to show cause hearing
    resumed.12 The Vice Chancellor noted that he had previously found “it both
    contemptuous of this Court, contemptuous of the order of this Court, and a blatant,
    blatant example of vexatious litigation to undergo a sham transfer of the property
    solely to avoid enforcement of a court Order.”13 After awarding Seabreeze its costs
    and fees, the Vice Chancellor stated:
    My question here today really is should that be borne by the defendant
    or should it be borne by counsel who advised his client to take an action
    that so clearly, in my mind, represents purely vexatious litigation
    tactics. I think I will leave that to the client and the attorney to figure
    out.14
    On June 10, 2015, the Vice Chancellor referred Abbott to the Office of Disciplinary
    Counsel (“ODC”).15 The ODC opened an investigation into Abbott’s conduct.16
    (5)     On July 22, 2016, Abbott filed a complaint against Jennifer-Kate
    Aaronson, then Chief Disciplinary Counsel, with the Commission.17 He alleged that
    11
    Id. at A71.
    12
    Id.
    13
    Id. at A71–72.
    14
    Id. at A72.
    15
    Id. at A80.
    16
    Id. at A57–66.
    17
    Id. at A57–80.
    4
    Aaronson had violated the appearance of impropriety standard in Section 5806(a) of
    the States Employees’, Officers’ and Officials’ Code of Conduct (the “State Ethics
    Code”).18 Abbott alleged that Aaronson had violated the State Ethics Code by: (i)
    declining to recuse herself in the ODC proceeding; (ii) pursuing “an out-and-out
    fishing expedition” at the request of the Vice Chancellor in order to advance her own
    judicial ambitions; (iii) having improper ex parte communications with the Chief
    Justice to obtain confidential Court on the Judiciary documents in furtherance of her
    “fishing expedition”; and (iv) filing a motion to compel the production of privileged
    documents.19 The attachments to the complaint included Abbott’s July 8, 2016 letter
    to Aaronson demanding that she recuse herself from his ODC matter, Aaronson’s
    July 13, 2016 letter in response, the ODC’s July 13, 2016 motion to compel Abbott’s
    communications with his client about the transfer of the properties, and the Court of
    Chancery’s June 10, 2015 letter referring Abbott to the ODC.20
    (6)     In a decision dated August 24, 2016, the Commission dismissed
    Abbott’s complaint.21 Based on Aaronson’s status as a lawyer subject to this Court’s
    regulation and oversight of the legal profession, the separation of powers doctrine,
    and the alleged misconduct, the Commission concluded that it lacked authority over
    18
    Id. at A57.
    19
    Id. at A57–60.
    20
    Id. at A65–80.
    21
    Id. at A81–84.
    5
    Aaronson.22     The Commission also found that, even if it had authority over
    Aaronson, Abbott failed to allege adequately a violation of the State Ethics Code.23
    According to the Commission, Abbott’s allegation that two of three previous Chief
    Disciplinary Counsel became judges did not mean Aaronson shared similar
    aspirations or that such aspirations would affect her professional judgment. 24 The
    Commission also determined that Abbott failed to allege any facts to support a
    conclusion that an appearance of impropriety existed among the public.25
    (7)    On September 21, 2016, Abbott filed a complaint for a writ of certiorari
    and declaratory judgment in the Superior Court. The Commission subsequently
    amended its decision to include additional grounds for dismissal. Abbott amended
    his complaint to include the amended decision. After briefing and oral argument,
    the Superior Court affirmed the Commission’s decision.26
    (8)    The Superior Court limited its review to the Commission’s original
    decision, finding that once Abbott filed his complaint in the Superior Court the
    Commission was divested of jurisdiction and could not amend its decision.27 The
    Superior Court next held that the Commission did not err by declining to exercise
    jurisdiction over Aaronson because administrative agencies generally “can
    22
    Id. at A82–83.
    23
    Id. at A83.
    24
    Id.
    25
    Id.
    26
    Abbott, 
    2018 WL 1110852
    , at *6.
    27
    
    Id.
     at *3–4.
    6
    determine their own jurisdiction in the first instance.”28 The Superior Court then
    held that the Commission did not commit an error of law in concluding that it lacked
    jurisdiction over Aaronson.29 The Superior Court agreed with the Commission that
    Aaronson, as an attorney and Chief Disciplinary Counsel, was subject to this Court’s
    regulation and authority and the Commission could not “interject itself into what is
    exclusively the Supreme Court’s domain.”30 Finally, the Superior Court concluded
    that the Commission did not commit an error of law in concluding that Abbott’s
    complaint failed to state a violation of the State Ethics Code.31 This appeal followed.
    (9)     Because Abbott had no right of appeal from the Commission’s decision
    under the State Ethics Code, he sought certiorari review.32 The purpose of a writ of
    certiorari is “to permit a higher court to review the conduct of a lower tribunal of
    record.”33 A writ of certiorari is not a substitute for a direct appeal.34 “A certiorari
    proceeding differs fundamentally from an appeal in that the latter brings the case up
    on its merits while the . . . (former) brings up the record only so that the reviewing
    court can merely look at the regularity of the proceedings.”35 The record for review
    28
    Id. at *4.
    29
    Id. at *4–5.
    30
    Id. at *5.
    31
    Id. at *5–6.
    32
    29 Del. C. § 5810A (limiting right of appeal to person found to have violated State Ethics Code).
    33
    Christiana Town Ctr., LLC v. New Castle Cnty., 
    2004 WL 2921830
    , at *2 (Del. Dec.16, 2004)
    (citing Shoemaker v. State, 
    375 A.2d 431
    , 436-37 (Del. 1977)).
    34
    Black v. New Castle Cnty. Bd. of License, 
    117 A.3d 1027
    , 1030 (Del. 2015).
    35
    Shoemaker, 
    375 A.2d at 437
     (internal quotation marks omitted).
    7
    is “limited to the complaint initiating the proceeding, the answer or response (if
    required), and the docket entries.”36 When reviewing on a writ of certiorari, a court
    is “limited to determining based on that limited record whether the lower tribunal:
    ‘(i) exceeded its jurisdiction;’ (ii) ‘proceeded illegally or manifestly contrary to law’;
    or (iii) ‘proceeded irregularly.’”37
    (10) Abbott first argues that the Superior Court erroneously failed to address
    the declaratory judgment claim alleged in his complaint. Abbott’s declaratory
    judgment claim asked the Superior Court to declare that the Commission committed
    legal error by: (i) determining that it could not exercise jurisdiction over Aaronson
    and the ODC; (ii) determining that Abbott had not stated sufficient facts to support
    an appearance of impropriety claim; and (iii) issuing an amended decision. But the
    Superior Court addressed each of those claims of legal error when addressing the
    substance of the Commission’s decision.38                 Separately analyzing Abbott’s
    declaratory judgment claim would have been duplicative. There is thus no basis for
    reversal on this issue.
    36
    Maddrey v. Justice of Peace Court 13, 
    956 A.2d 1204
    , 1216 (Del. 2008).
    
    37 Black, 117
     A.3d at 1031 (quoting Christiana, 
    2004 WL 2921830
    , at *2).
    38
    See Abbott, 
    2018 WL 1110852
    , at *4–5 (holding that the Commission correctly determined that
    it could not exercise jurisdiction over Aaronson and the ODC); id. at *5 (holding that the
    Commission did not err by concluding that Abbott had not sufficiently alleged an appearance of
    impropriety); id. at *3–4 (holding that the Commission was divested of jurisdiction to issue the
    Amended Decision upon the filing of the Superior Court action).
    8
    (11) Abbott next argues that the Commission committed legal error in
    concluding that it lacked jurisdiction over Aaronson based on her status as an
    attorney who is subject to this Court’s disciplinary oversight. The Commission
    argues its exercise of jurisdiction over Aaronson would violate the constitutional
    doctrine of the separation of powers. It is unnecessary to address this issue because,
    as discussed below, we find that the Commission did not commit manifest legal error
    in concluding that Abbot’s complaint failed to state a violation of the State Ethics
    Code. This Court will not decide a constitutional question unless “its determination
    is essential to the disposition of the case.”39
    (12) Abbott’s last argument on appeal is that the Commission committed
    legal error in finding he failed to allege adequately that Aaronson violated 29 Del.
    C. § 5806(a). We hold that it was not manifestly contrary to law for the Commission
    to determine that Abbott’s complaint did not state a violation of the State Ethics
    Code.
    (13) The Commission may “dismiss any complaint that it determines is
    frivolous or fails to state a violation.”40 Under Section 5806(a) of the State Ethics
    Code, State employees must “endeavor to pursue a course of conduct which will not
    raise suspicion among the public that such state employee, state officer or honorary
    39
    Downs v. Jacobs, 
    272 A.2d 706
    , 708 (Del. 1970).
    40
    29 Del. C. § 5809(3).
    9
    state official is engaging in acts which are in violation of the public trust and which
    will not reflect unfavorably upon the State and its government.” The parties agree
    that this is an appearance of impropriety standard. The Commission has described
    the test for an appearance of impropriety as whether “the conduct would create in
    reasonable minds, with knowledge of all relevant facts, a perception that an official’s
    ability to carry out her duties with integrity, impartiality and competence is
    impaired.”41
    (14) Abbott complains that the Commission did not address all of the
    allegations in his complaint, but in fact the Commission correctly recognized the
    gravamen of his complaint. Abbott’s logic was stark and went like this. In the years
    before the Court of Chancery referred Abbott’s conduct in the Seabreeze litigation
    for investigation by the ODC, two previous Chief Disciplinary Counsel had become
    judges. Aaronson had herself applied for a judicial position. Based on this, Abbott
    contends that Aaronson had a desire for judicial office. Because the referring Vice
    Chancellor was a judicial officer, Aaronson would, in Abbott’s view of the world,
    somehow naturally advantage herself by determining that Abbott had engaged in
    professionally inappropriate behavior and thus in seeking sanctions against him to
    be imposed by the Board on Professional Responsibility (“BPR”).
    41
    Hanson v. Del. State Pub. Integrity Comm’n, 
    2012 WL 3860732
    , at *16 (Del. Super. Ct. Aug.
    30, 2012), aff’d, 
    69 A.3d 370
     (Del. 2013) (TABLE).
    10
    (15) In so arguing, Abbott does not allege any facts suggesting that
    Aaronson had any personal relationship with the Vice Chancellor or any personal
    motive to disfavor Abbott himself. Likewise, Abbott does not allege that the
    referring Vice Chancellor had any role at all in the nomination or confirmation
    process used by the Governor and Senate for the selection and seating of judicial
    officers. There are approximately sixty judges serving on Delaware courts other
    than the Justice of the Peace Court. Abbott makes no attempt to show the referring
    trial judge had any special sway with the Judicial Nominating Commission, the
    Governor, or the Senate. Nor does Abbott allege that the referring judge had ever
    involved himself in any judicial appointment process that did not involve his own
    personal candidacy. In sum, all that Abbott argues is that Aaronson had a desire to
    become a judge, that each of the five dozen judges in the state have influence over
    who gets appointed to judicial vacancies, and that she would therefore view a
    successful prosecution of Abbott as pleasing to the referring judge and thus as
    advancing her judicial hopes.
    (16) The Commission’s determination that these allegations do not state a
    violation of the State Ethics Code was not manifestly contrary to law. For starters,
    we note that the circumstances of Aaronson’s involvement in investigating Abbott
    are themselves benign. In some situations, the ODC is itself the initiator of an
    investigation, when it happens upon information that provides a basis to suspect that
    11
    a lawyer has violated the Lawyers’ Rules of Professional Conduct. Here, however,
    neither the ODC nor Aaronson was the motivating force in inspiring the ODC’s
    investigation of Abbott. Instead, the ODC received a formal referral from a Vice
    Chancellor of our Court of Chancery, a referral that was put on the record by the
    referring judge and that involved facially reasonable grounds for suspecting that
    Abbott might have breached the Rules of Professional Conduct. The mere fact that
    the Vice Chancellor made the referral does not imply that he desired any particular
    outcome in the matter. Judges are supposed to take action when they become aware
    of a likelihood of unprofessional conduct by a lawyer.42 Abbott also ignores another
    factor. The Vice Chancellor did not sanction Abbott as he could have done if he
    wished to impose his own ultimate judgment on Abbott’s conduct. He instead
    referred the matter to the ODC so it could investigate and only subject Abbott to
    sanction if the BPR agreed that sanctions were warranted. And the fact that
    Aaronson proceeded to investigate also does not imply that she was personally
    targeting Abbott. As Chief Disciplinary Counsel, Aaronson was required to “screen
    and evaluate all information coming to the attention of the Office relating to conduct
    by a lawyer and/or the practice of law in the State of Delaware” and “[i]nvestigate
    when necessary or appropriate all information coming to the attention of the Office
    42
    Del. Judges’ Code of Judicial Conduct R. 2.15 (“A judge should initiate appropriate action when
    the judge becomes aware of reliable evidence indicating the likelihood of unprofessional conduct
    by a judge or lawyer.”).
    12
    which might be grounds for discipline or other action regarding the practice of law
    in the State of Delaware.”43
    (17) Abbott notably does not allege any facts suggesting that Aaronson had
    a personal bias against Abbott or in favor of the Vice Chancellor that would affect
    the impartiality of her investigation. He does not allege, for example, that Aaronson
    sought the assignment of the Vice Chancellor’s referral to herself so she could pursue
    a matter in which she had a personal interest,44 that she had a personal relationship
    with anyone in the matter,45 or that she had any personal interest in the relevant
    proceedings.46 Abbott also ignores the reality that Aaronson represents only one
    side of the matter, and that the process for attorney discipline has extensive
    procedural due process protections for parties like him, including the ability to
    43
    Supr. Ct. R. 64(e)(1), (e)(2).
    44
    See, e.g., Stevenson v. State, 
    782 A.2d 249
    , 251–57 (Del. 2001) (holding that trial judge’s contact
    with the murder victim and undisclosed request for assignment of the murder cases to him before
    indictment created an appearance of impropriety).
    45
    See, e.g., Wright v. United States, 
    732 F.2d 1048
    , 1055 (2d Cir. 1984) (“We find it hard to deny
    that the decision, after one grand jury investigation of the BRL transaction had terminated without
    the prosecutor’s seeking an indictment, to assign Wright’s case for further investigation to a
    prosecutor whose wife was not merely a political opponent of Wright’s but a lawyer who had on
    two occasions brought complaints to federal authorities that could have resulted in criminal
    charges against him, who had actively petitioned various federal, state and local agencies to
    investigate Wright’s alleged misdeeds, who had allegedly been assaulted by Wright’s minions,
    and who almost certainly harbored personal animosity against Wright, created an appearance of
    impropriety.”).
    46
    See, e.g., Young v. United States ex rel. Vuitton et Fils S.A., 
    481 U.S. 787
    , 805–06 (1987)
    (concluding that appointment of counsel for an interested party to bring a criminal contempt
    prosecution created an appearance of impropriety); People v. Zimmer, 
    414 N.E.2d 705
    , 708 (N.Y.
    1980) (holding that the prosecutor, who was counsel to and stockholder in the corporation that the
    defendant was alleged to have harmed should have recused himself).
    13
    appeal any determination of the BPR to this Court.47 Instead, Abbott relies solely
    on Aaronson’s alleged desire to be a judge.
    (18) This Court has rejected the notion that career goals alone create an
    appearance of impropriety in the context of judicial recusals. In Capano v. State, we
    held that without identification of discrete instances in which the judge’s exercise of
    discretion may have been “motivated by political ambitions,” allegations that a judge
    had plans to run for election as Governor did not create an inference that the judge
    could not act impartially in a highly publicized trial.48 Similarly, the existence of
    past professional relationships between judges and litigants do not by themselves
    create an appearance of impropriety.49
    (19) Ultimately, Abbott’s argument proves too much. By his logic, every
    Delaware prosecutor or regulator who aspires to a higher office (be it as a judge,
    elected official, or cabinet position) and strives to do a good job would be violating
    the State Ethics Code by ingratiating themselves with potential sources of referral
    who have positions of stature in our community. As to ambition for judgeships in
    particular, Abbott’s logic essentially boils down to this: anything someone does that
    a sitting judge supposedly wants will naturally advantage that person in seeking a
    47
    See, e.g., Del. Lawyers’ Rules of Disciplinary Procedure 9(e) (providing for this Court’s review
    of the BPR’s final report and any objections by the ODC or respondent).
    48
    
    781 A.2d 556
    , 641–43 (Del. 2001).
    49
    See, e.g., Madison v. State, 
    133 A.3d 200
    , 
    2016 WL 363734
    , at *2 (Del. Jan. 28, 2016) (TABLE)
    (rejecting the defendant’s claim that the trial judge’s past supervision of the prosecutor showed
    bias and created an appearance of impropriety).
    14
    judgeship for herself. This is not sensible and ignores how the judicial appointment
    process in Delaware actually works. A person who seeks a judicial position must
    run the gantlet of recommendation by the Judicial Nominating Commission,
    nomination by the Governor, and confirmation by a majority of the Senate.50 Sitting
    judges do not determine judicial appointments, and as we have noted, Abbott does
    not indicate that the referring trial judge had any special influence over judicial
    nomination or confirmation or desired any particular outcome with respect to the
    disciplinary referral.
    (20) Abbott’s other grounds for asserting a claim under the State Ethics
    Code do not undermine the Commission’s conclusion. Abbott’s suggestion that
    Aaronson must have engaged in improper conduct because the Vice Chancellor’s
    referral failed to identify specific wrongdoing is contradicted by the Court of
    Chancery’s June 10, 2015 referral letter, which was attached to Abbott’s complaint.
    The first sentence of the letter refers to the Court of Chancery’s May 21, 2015 bench
    ruling, in which the Vice Chancellor stated that the issue before him was a sham
    transfer of property, on the advice of counsel, to avoid a court order.51
    (21) Similarly, Abbott’s contention that Aaronson had ex parte contact with
    a member of this Court to obtain confidential Court on the Judiciary documents
    50
    Governor’s Executive Order 7 (Mar. 9, 2017); Del. Const. art. IV, § 3.
    51
    See supra ¶ 4.
    15
    requires an inferential leap that is not supported by any facts alleged in the complaint.
    The only specific fact alleged in the complaint is that the Court on the Judiciary
    issued an order waiving certain confidentiality restrictions for Court on the Judiciary
    proceedings.52 But the fact that an order was issued does not support a reasonable
    inference that Aaronson engaged in impermissible ex parte communications. The
    more logical inference here is that Aaronson contacted the Clerk of the Court on the
    Judiciary to ask for access to the records, the complained-of judicial officer
    authorized a waiver of confidentiality, the Clerk prepared an appropriate order, and
    the Court signed the order. Indeed, that is precisely what the order denying Abbott’s
    motion to disqualify describes as having happened.53 Accordingly, it was not
    manifestly contrary to law for the Commission to conclude that these allegations did
    not state a violation of the State Ethics Code.
    (22) In speculating that there were improper ex parte communications,
    Abbott also ignores that the confidentiality of Court on the Judiciary proceedings
    may be waived as ordered by the Court “on request of the judicial officer
    involved.”54 As this language reflects, the confidentiality of the Court on the
    52
    App. to Opening Br. at A63 (“[T]he first time I was aware of your improper communications
    . . . was when a surprise Order was issued, which was not preceded by any Motion and opportunity
    for me to be heard. Such actions smack of improper ‘insider’ communications and influence that
    is in and of itself sufficient to make the public suspicious of your motivations and actions.”).
    53
    Abbott v. Del. State Pub. Integrity Comm’n, No. 155, 2018 (Order Denying Motion for
    Recusal) (Del. Feb. 25, 2019).
    54
    Court on the Judiciary R. 17.
    16
    Judiciary proceedings is intended to protect a judge,55 not a complainant like Abbott.
    Improper ex parte communications, by contrast, involve contact with a judge on
    substantive matters concerning the merits of an issue pending before the court.56
    Any communication that was necessary to effect the confidentiality waiver did not
    relate to a substantive matter concerning the merits of an issue pending in the case.57
    This further supports the Commission’s conclusion that Abbott’s allegations
    regarding purported ex parte communications do not state a violation of the State
    Ethics Code.
    55
    Id.
    56
    See Yost v. Johnson, 
    591 A.2d 178
    , 182 (Del. 1991) (“A judge should not engage in a substantive
    ex parte communication concerning the merits of an issue pending before the court.”).
    57
    E.g., In re Adbox, Inc., 
    2007 WL 816503
    , at *1 (9th Cir. Mar. 14, 2007) (holding that several ex
    parte contacts between a party’s counsel and the judge and his law clerk did not warrant recusal
    because the “communications related to purely procedural matters”); Liberty Mutual Ins. Co. v.
    Commercial Concrete Sys., LLC, 
    2017 WL 1234140
    , at *5-6 (N.D. Fla. Apr. 1, 2017) (explaining
    that contact between parties’ counsel and the judge or the judge’s staff for scheduling,
    administrative, or emergency purposes is unobjectionable, and citing cases); Eleanora J. Dietlin
    Trust v. Am. Home Mortgage Inv. Corp., 
    2014 WL 911121
    , at *2–3 (D. Nev. Mar. 7, 2014)
    (denying motion for recusal where a non-party interested party communicated with the judge about
    the status of a settlement of the case, because the contact was for administrative purposes and there
    was no substantive discussion about the case); In re Marriage of Herum, 
    2018 WL 4635908
    , at *3
    (Ia. Ct. App. Sept. 26, 2018) (concluding that ex parte “procedural conferences with court
    administration concerning scheduling and judicial case assignment” were not improper); Patterson
    v. STHS Heart, LLC, 
    2018 WL 4091633
    , at *4 (Tenn. Ct. App. Aug. 28, 2018) (holding that recusal
    of a judge was not required where the judge’s law clerk contacted the plaintiff’s counsel to request
    a draft order because the communication did not create an appearance that the court was biased or
    prejudiced, particularly where the argument for recusal was “based more on insinuation and
    speculation than on actual facts”); Costalas v. Amalfitano, 
    23 A.D.3d 303
    , 303–04 (N.Y. App. Div.
    2005) (holding that ex parte communication by a party’s counsel with the judge did not warrant
    vacatur of judgment because the court had already decided to dismiss the action when the
    communication occurred and the communication did not concern the merits of the case).
    17
    (23) More fundamentally, the Commission did not commit a manifest error
    in law in concluding that Abbott’s allegations of ex parte communications fail to
    state a violation because ex parte communications in a matter pending before a state
    tribunal are not the type of misconduct that the State Ethics Code is designed to
    cover. The State Ethics Code is ultimately about ensuring there is no “violation of
    the public trust,”58 such as when a public official has a specific financial or personal
    interest in the outcome of the matter.59 Allegations of ex parte communications
    between a lawyer and judge, by contrast, are more appropriately resolved through
    the BPR and the Lawyers’ Rules of Professional Conduct, which contain a rule that
    specifically prohibits such communications.60               Although we do not hold that
    government lawyers can never run afoul of the State Ethics Code, when that alleged
    58
    29 Del. C. § 5806(a); see also id. § 5802(1) (“In our democratic form of government, the conduct
    of officers and employees of the State must hold the respect and confidence of the people. They
    must, therefore, avoid conduct which is in violation of their public trust or which creates a
    justifiable impression among the public that such trust is being violated.”).
    59
    See, e.g., Commonwealth v. Eskridge, 
    604 A.2d 700
    , 701–02 (Pa. 1992) (holding that a conflict
    of interest barred prosecution where the prosecutor “had a direct financial interest in obtaining a
    conviction” because his private law partners represented individuals suing the defendant in a
    separate civil action over the events at issue in the prosecution); Commonwealth v. Balenger, 
    704 A.2d 1385
    , 1389–90 (Pa. Super. Ct. 1997) (holding that the prosecutor’s romantic relationship
    with the defendant’s former girlfriend created an impermissible conflict of interest that required a
    new trial).
    60
    Del. Lawyers’ Rules of Professional Conduct R. 3.5(b) (“A lawyer shall not . . . communicate
    . . . ex parte with [a judge, juror, prospective juror, or other official or member of such person’s
    family] during the proceeding unless authorized to do so by law or court order . . . .”). See, e.g.,
    La. State Bar Ass’n v. Harrington, 
    585 So.2d 514
    , 520–22 (La. 1990) (resolving allegations of ex
    parte communications between a lawyer and judge under the Louisiana Rules of Professional
    Conduct); In re Disciplinary Proceedings Against McGrath, 
    308 P.3d 615
    , 624 (Wash. 2013)
    (same under the Washington Rules of Professional Conduct).
    18
    misconduct of a state employee directly relates to the way that a lawyer has
    conducted herself before a tribunal, the standard governing the lawyer’s conduct is
    likely to instead be supplied by the Lawyers’ Rules of Professional Conduct, and
    any violation of those rules should be addressed by that tribunal or the BPR.
    (24) Abbott’s last allegation against Aaronson is that she moved to compel
    the production of documents from him that he claims are subject to the attorney–
    client privilege—namely, client correspondence and communications related to the
    transfer of Abbott’s client’s properties to his wife.61 In the normal course, Abbott
    would have just objected to the BPR and sought to block the discovery. As with his
    ex parte communications claim, it was not manifestly contrary to law for the
    Commission to conclude that this type of conduct is not what the State Ethics Code
    is designed to address. Regulation of that type of misconduct falls squarely within
    the jurisdiction of the tribunal before which the parties are appearing and, ultimately,
    this Court’s “inherent and exclusive authority to discipline members of the Delaware
    Bar” for violations of the Rules of Professional Conduct.62 As the Commission
    recognized, if Abbott opposed the motion to compel or thought Aaronson should be
    61
    See App. to Opening Br. at A-41 (requesting “all documents that evidence, relate or refer to
    client correspondence and/or communications involving the transfer of 317 Salisbury Street and
    318 Salisbury Street, Rehoboth, Delaware”).
    62
    E.g., In re Abbott, 
    925 A.2d 482
    , 484 (Del. 2007) (quoting In re Froelich, 
    838 A.2d 1117
    , 1120
    (Del. 2003)); accord In re Pelletier, 
    84 A.3d 960
    , 962 (Del. 2014).
    19
    disqualified, he had recourse in the BPR.63 Moreover, disputes over whether
    documents are protected by the attorney–client privilege are common in litigation
    and do not inherently bring into question a lawyer’s integrity, impartiality, or
    competence.
    (25) Underlying all of Abbott’s complaint is his belief that he should not be
    under disciplinary investigation, and that the person charged with that task should
    be disqualified for performing it. But Delaware law is clear that motions to
    disqualify an adversary are not to be lightly granted, as they present an obvious
    potential for abuse.64 No litigant likes to be subject to a claim, but that does not
    justify disqualifying the attorney on the other side of the “v.” And our law makes
    plain that even if the lawyer on the other side engages in problematic behavior, the
    complaining party should first undertake lesser steps, such as those we have
    discussed, to address that behavior, and not take the stark step of seeking
    disqualification. Those principles further underscore that the Commission did not
    63
    Del. Lawyers’ Rules of Disciplinary Procedure R. 12(f) (“Disputes concerning the scope and
    other aspects of the limited discovery afforded under these Rules shall be heard and determined
    by the Chair or Vice Chair of the Board, unless a Hearing Panel has been assigned to the matter,
    in which case such disputes shall be heard and determined by the chair of the Hearing Panel.”).
    64
    See, e.g., Dunlap v. State Farm Fire & Ins. Cas. Co., 
    950 A.2d 658
    , 
    2008 WL 2415043
    , at *1
    (Del. 2008) (TABLE) (recognizing that motions to disqualify opposing counsel are generally
    disfavored); In re Waters, 
    647 A.2d 1091
    , 1095 (Del. 1994) (discussing the risk of tactical abuse
    posed by motions to disqualify); Seth v. State, 
    592 A.2d 436
    , 443 (Del. 1991) (“The Rules [of
    Professional Conduct] may not be used for tactical purposes to disqualify prosecutors where no
    realistic likelihood of conflict appears.”).
    20
    commit a manifest error of law in concluding that the gravamen of Abbott’s
    complaint does not state a well-pleaded claim of bias or appearance of impropriety.65
    (26) Not only was it not a manifest error of law for the Commission to
    conclude that this type of litigation-specific conduct by a lawyer did not violate the
    State Ethics Code, but the Commission was also well within its discretion in
    declining to use its limited enforcement resources to address conduct that was
    already subject to review of the tribunal in which the conduct occurred, and also by
    the BPR if that conduct was made the subject of a complaint to that body. By statute,
    the Commission is entitled to “dismiss any complaint that it determines is frivolous
    or fails to state a violation.”66 The General Assembly’s decision to allow the
    Commission to dismiss not only a complaint that “fails to state a violation,” but also
    a complaint that the Commission “determines is frivolous or fails to state a
    violation,”67 suggests that the General Assembly intended to imbue the Commission
    with discretion in deciding whether to refer an alleged violation for further
    investigation. Indeed, that is consistent with the traditional maxim that “an agency’s
    decision not to prosecute or enforce, whether through civil or criminal process, is a
    decision generally committed to an agency’s absolute discretion.”68 In essence, the
    65
    See, e.g., Gattis v. State, 
    955 A.2d 1276
    , 1284 (Del. 2008) (recognizing that a judge’s adverse
    rulings or critical remarks do not ordinarily support a bias or appearance of impropriety claim).
    66
    29 Del. C. § 5809(3) (emphasis added).
    67
    Id. (emphasis added).
    68
    E.g., Heckler v. Chaney, 
    470 U.S. 821
    , 831 (1985).
    21
    Commission’s decision in this case was a decision not to pursue enforcement action.
    As the United States Supreme Court has recognized, such a decision “often involves
    a complicated balancing of a number of factors,” including not only “whether a
    violation has occurred, but whether agency resources are best spent on this violation
    or another, whether the agency is likely to succeed if it acts, whether the particular
    enforcement action requested best fits the agency’s overall policies, and, indeed,
    whether the agency has enough resources to undertake the action at all.”69 Here, the
    Commission’s decision reflects a consideration of those factors, including a desire
    not to bring enforcement actions related to “attorney conduct as it relates to the
    practice of law.”70 The Commission reasoned that such an enforcement action was
    unnecessary in part because “courts are willing to enforce those rules, including
    conduct which creates an appearance of impropriety, as alleged in this matter.”71
    (27) Stripped of its colorful adjectives, Abbott’s complaint in the
    Commission essentially alleged that Aaronson had future career goals while
    performing her job as Chief Disciplinary Counsel. Recognizing the gravamen of
    Abbott’s complaint, the Commission determined that he failed to allege any facts
    supporting a public perception of impropriety by Aaronson.              Under these
    circumstances, the Commission did not commit a manifest error of law when it found
    69
    
    Id.
    70
    App. to Opening Br. at A-47 (emphasis in original).
    71
    
    Id.
    22
    Abbott failed to state a violation of the State Ethics Code, and it acted within its
    discretion in dismissing his complaint.
    NOW, THEREFORE, IT IS ORDERED that the judgment of the Superior
    Court is hereby AFFIRMED.
    23