Hastings v. Watson ( 2019 )


Menu:
  • IN THE SUPERIOR COURT OF THE STATE OF DELAWARE
    RONALD E. HASTINGS,
    Plaintiff,
    Vv. é C.A. No. $19C-06-028 RFS
    JESSICA WATSON, and
    SUSSEX CONSERVATION DISRICT
    Defendants.
    MEMORANDUM OPINION
    Submitted: 10/18/2019
    Decided: 11/19/2019
    Upon Defendants’ Motion to Dismiss. Granted.
    Ronald E. Hastings, 3140 Ponte Vedra Blvd., Ponte Vedra Beach, FL 32082, Pro Se
    Plaintiff.
    Michael R. Smith, Esq., 8866 Riverside Dr., Seaford, DE 19973, Attorney for
    Defendants.
    STOKES, R.J.
    I. INTRODUCTION
    Before this Court is Jessica Watson’s (“Watson”) and the Sussex Conservation District’s
    (“SCD”) Motion to Dismiss. The motion follows Ronald Hastings’s (“Plaintiff”) complaint,
    asserting two counts: Count I for fraud and Count II for malfeasance.
    For the reasons that follow, Defendants’ Motion to Dismiss is GRANTED.
    II. FACTUAL AND PROCEDURAL HISTORY
    Plaintiff's allegations stem from interactions between Plaintiff and the Defendants during
    the development of Phase V of the Rivers End residential community. Rivers End is a housing
    development in Sussex County. Developed over five different phases, Phase V began in 2004.
    Plaintiff was the developer for Phase V.
    Watson is the Sediment and Stormwater Program Manager for the SCD (collectively, the
    “Defendants’”). SCD is the agency that was responsible for implementing the Sediment and
    Stormwater Program.
    In June, 2004, Plaintiff submitted the stormwater management plan for Phase V. SCD
    then approved the plan. Plaintiff completed the infiltration basin stormwater facility, a key
    component of the plan, in October, 2004.
    In February, 2006, Watson notified Plaintiff that an unauthorized ditch had been dug,
    connecting two small ponds to the Stormwater Pond in Phase V. She informed Plaintiff that the
    ditch did not appear on the approved plan and it had to be closed. Plaintiff agreed to close the
    ditch, however, he informed Watson that he had no knowledge of the ditch or who dug the ditch.
    Plaintiff asserts that the ditch was filled as SCD instructed in December, 2006.
    In January, 2007, Plaintiff received a letter from Watson notifying him that the work
    performed (the unauthorized ditch and the ponds) were contributing runoff to the stormwater
    facility in Phase V. Watson further stated that by increasing the contributory drainage area to the
    pond, the pond had the potential to increase the flooding on the other properties. Watson did not
    receive a response to her letter.
    In June, 2007, Plaintiff received a second letter from Watson. This letter referenced the
    January, 2007 letter, requesting a response. Thereafter, Plaintiff responded to the letters,
    disputing their contents.
    In 2009, Plaintiff sold his interest in the open lands in Phase V and the infiltration basin
    facility to the Rivers End Property Owners Association, Inc. ““REPOA”). As a result, REPOA
    assumed the responsibility of maintaining, repairing, replacing, and improving the facilities in
    Phase V.
    In April, 2014, an on-site meeting was held to address a Phase V property owner’s
    concern regarding the drainage. In May, 2014, Watson emailed Plaintiff regarding the
    unresolved issues related to the drainage area. Watson informed Plaintiff that the issue was
    brought to Plaintiff's attention in 2007 but it was still outstanding. She further told Plaintiff that
    the stormwater facility was not in compliance with the approved plan and requested an
    evaluation be completed to determine the necessary plan of action.
    In October, 2016, the Department of Natural Resources and Environmental Control
    (“DNREC”) met with Watson in Phase V. They performed an on-site inspection and found that
    the facility drainage area did not conform to the approved plan. In December, 2016, DNREC
    issued a Notice of Violation to the Plaintiff, requiring the Plaintiff to submit “as builts” to
    demonstrate compliance with State Regulations. In addition, if determined modifications were
    required, Plaintiff was to develop a plan to rectify deficiencies and submit the plan for approval.
    In June, 2018, DNREC issued a Notice of Administrative Penalty Assessment and Secretary’s
    Order to the Plaintiff because he failed to comply with the corrective actions.
    Plaintiff appealed the Administrative Penalty Assessment and Secretary’s Order to the
    Environmental Appeals Board (“EAB”), in July, 2018. The EAB affirmed the order in March,
    2019. Plaintiff did not appeal the EAB’s decision.
    Plaintiff is now before this Court seeking relief, alleging that Watson, as an employee of
    SCD, committed fraud and malfeasance to the detriment of Plaintiff.
    I. THE PARTIES’ CONTENTIONS
    Plaintiff contends that Watson made false allegations to Plaintiff regarding the small
    ponds and that she knew those allegations to be false. In addition, she further made false
    statements to and concerning the Plaintiff about the noncompliance issue surrounding the
    drainage problem on Phase V. Plaintiff further contends that Watson ignored evidence and made
    “fabricated allegations” to declare the stormwater facility not in compliance.’ Plaintiff alleges
    that Watson’s letters falsely accused him of not responding to the January 10, 2007 letter and she
    did not correct this error. Plaintiff argues that DNREC took Watson’s letters as factual when
    issuing the Notice of Violation against him.”
    Plaintiff further contends that Watson used her position at SCD to make false allegations
    and fabricated assertions about the Plaintiff.? Plaintiff contends that Watson did this so that a
    Notice of Violation and an Administrative Order would be issued by DNREC.* Plaintiff further
    argues that Watson and the SCD had a responsibility to ensure that the files sent to DNREC were
    accurate and Watson should have corrected any inaccuracy that DNREC could have
    1 Pl.’s Comp. at J 62.
    2 Id. at 467.
    3 Id. at 471-72.
    4 Id, at 72.
    misinterpreted in the files.° Plaintiff claims that Watson’s actions were malicious and injurious to
    the Plaintiff.
    Defendants have moved for dismissal, or in the alternative for summary judgment. In
    support of their motion, Defendants assert the following: (1) they are immune from suit under the
    State Torts Claims Act; (2) Plaintiff's claims are barred by the statute of limitations; (3)
    Plaintiffs claims are barred as a result of Plaintiffs failure to timely appeal the EAB Order; (4)
    Plaintiff's claims are barred by the doctrines of collateral estoppel and res judicata; and (5)
    Plaintiff has failed to plead his claims with the level of specificity required by Rule 9(b).°
    IV. STANDARD OF REVIEW
    Superior Court Civil Rule 12(b)(6) provides that a defendant may bring a motion to
    dismiss if the claimant fails to state a claim upon which relief can be granted.’ Prior to granting a
    motion, the Court must: (1) consider all well-pleaded factual allegations as true; (2) even accept
    vague allegations are “well-pleaded” if they give the opposing party notice of the claim; (3) draw
    all reasonable inferences in favor of the non-moving party; and (4) find dismissal inappropriate
    unless the plaintiff would not be entitled to recover under any reasonably conceivable set of
    circumstances susceptible of proof.’ “However, the Court “does not blindly accept as true all
    allegations of a complaint nor draw inferences from them in plaintiff's favor unless they are
    reasonable inferences.” In considering a motion to dismiss under Rule 12(b)(6), the court
    generally may not consider matters outside the complaint.!°
    3 Id. at 977.
    6 Def.'s Opening Br.
    7 Super. Ct. Civ. R. 12.
    8 Cent. Mortgage Co. v. Morgan Stanley Mortgage Capital Holdings LLC, 
    27 A.3d 531
    , 535 (Del. 2011) (citing
    Savor, Inc. v. FMR Corp., 
    812 A.2d 894
    , 896-97 (Del. 2002)).
    ° Smith y. Delaware State Police, 
    2012 WL 5355639
    , at *2 (Del. Super. Ct., 2012).
    10 Super. Ct. Civ. R. 12.
    V. DISCUSSION
    Defendants argue that Plaintiff has failed to plead his claims with the required level
    of specificity. Superior Court Civil Rule 9(b) provides that “in all averments of fraud,
    negligence or mistake, the circumstances constituting fraud, negligence or mistake shall be
    Il “The factual circumstances that must be stated with
    stated with particularity.
    particularity refer to the time, place, and contents of the false representations; the facts
    misrepresented; the identity of the person(s) making the misrepresentation; and what that
    person(s) gained from making the misrepresentation.”!
    Defendants argue that Plaintiff has failed to satisfy the specificity requirements of
    Rule 9(b). Defendants claim that Plaintiff fails to identify what the evidence may be and
    what specific fraudulent act is to be shown by the evidence.
    The Court finds that Plaintiff meets the particularity requirements because the
    circumstances of the alleged fraud are pled sufficiently “to place defendants on notice of
    the precise misconduct with which they are charged, and to safeguard defendants against
    spurious charges of immoral and fraudulent behavior.”!? In the complaint, Plaintiff alleges
    that Watson falsely accused Plaintiff of not responding to the January, 2007 letter and
    DNREC relied on this.'* DNREC then issued the Notice of Violation.'> Plaintiff pleads the
    alleged misrepresentation that Defendants are accused of to have the notice issued against
    him. He pleads the time, place, and parties of the alleged fraud.
    1! Super. Ct. Civ. R. 9.
    '2 Mooney v. Pioneer Nat. Res. Co., 
    2017 WL 4857133
    , at *4 (Del. Super. Ct., 2017).
    '3 Sammons v. Hartford Underwriters Ins. Co., 
    2010 WL 1267222
    , at *6 (Del. Super. Ct. Apr. 1, 2010).
    4 Pl.’s Comp. at J 67.
    5 
    Id.
     at ] 68.
    At this stage, it is not the Court’s role to decide whether Plaintiff's allegations are
    supported by the evidence. To satisfy Rule 9(b), Plaintiff just needs to plead with
    particularity “time, place, contents of the alleged fraud, as well as the individual accused
    of committing the fraud.”!® It must be determined if Plaintiff's allegations are sufficiently
    pled and Defendants are on notice of the alleged misconduct.!’ The Court finds Plaintiff
    satisfied the requirements of Rule 9(b).
    Defendants also argue that they are immune under the Tort Claims Act. Where there is a
    failure to adequately plead facts that would negate immunity provided by the Tort Claims Act,
    the appropriate mechanism may be a motion to dismiss.!® Defendants argue that Plaintiff fails to
    adequately plead facts sufficient to defeat the qualified immunity afforded to Defendants under
    the Torts Claims Act.
    Under the State Torts Claims Act, a conservation district or agency of the State is
    immune from a cause of action when the following elements are present:
    (1) The act or omission complained of arose out of and in connection with the
    performance of an official duty requiring a determination of policy, the
    interpretation or enforcement of statutes, rules or regulations, the granting or
    withholding of publicly created or regulated entitlement or privilege or any other
    official duty involving the exercise of discretion on the part of the public officer,
    employee or member, or anyone over whom the public officer, employee or
    member shall have supervisory authority; (2) The act or omission complained of
    was done in good faith and in the belief that the public interest would best be
    served thereby; and (3) The act or omission complained of was done without
    gross or wanton negligence. !”
    Plaintiff claims that Watson made fabricated allegations and used the SCD letter to
    falsely accuse the Plaintiff and obtain the Notice of Violation.?° He further claims that
    '6 McCann Aerospace Machining, LLC v. McCann, 
    2016 WL 3640368
    , at *4 (Del. Super. Ct. June 30, 2016)
    (quoting TrueBlue, Inc. v. Leeds Equity Partners IV, LP, 
    2015 WL 5968726
    , at * (Del. Super. Ct. Sept. 25, 2015)).
    " Sammons, 
    2010 WL 1267222
    , at *6.
    '8 Hale v. Elizabeth W. Murphey Sch., Inc., 
    2014 WL 2119652
    , at *3 (Del. Super. Ct. May 20, 2014).
    10 Del. C. § 4001.
    2° The letters that are referenced include the January, 2007 letter, the June, 2007 letter, and the May, 2014 letter.
    7
    Watson’s actions were malicious. To overcome the qualified immunity, Plaintiff cannot
    assert mere allegations without stating facts to support his claims.”) Defendants argue that
    Plaintiff fails to satisfy his burden of pleading with particularity.
    The Plaintiff has the burden of proving that at least one of the conditions for
    immunity are absent.’? The Court thus looks at the sufficiency of Plaintiff's complaint to
    determine if it overcomes the requirements. The claims Plaintiff puts forth in support of
    overcoming qualified immunity are that Defendants did not act in good faith and
    Defendants acted with gross negligence. Plaintiff also argues that Watson exceeded the
    authority of her position. However, he pleads no facts to support this contention.
    “The Delaware Supreme Court has equated gross negligence to criminal negligence
    under Delaware's criminal code....”*? “Gross negligence is a higher level of negligence
    representing an extreme departure from the ordinary standard of care.”?* The Plaintiff must
    state “the circumstances constituting ... negligence ... with particularity.””> To support this
    contention, Plaintiff relies on Watson’s allegations that the drainage area was not that of
    the approved design. Plaintiff alleges that Watson purposely ignored evidence in the SCD
    files that referenced the ponds and ditch, ignored evidence in the SCD files that was
    contrary to Watson’s assertions in the January, 2007 letter, failed to verify Plaintiffs
    assertions regarding the drainage area, and provided incorrect information regarding the
    *! Browne v. Robb, 
    583 A.2d 949
    , 953 (Del. 1990) (“All of those allegations are conclusory. They violate Rule 9(b)
    of the Superior Court Civil Rules of Procedure, which requires a plaintiff to state the circumstances involving all
    allegations of fraud, negligence, mistake or condition of mind with particularity”).
    22 
    Id.
    °3 Wonnum v. Way, 
    2017 WL 3168968
    , at *3 (Del. Super. Ct., 2017) (citing Jardel Co. v. Hughes, 
    523 A.2d 518
    ,
    530 (Del. 1987)).
    *4 Hughes ex rel. Hughes v. Christiana Sch. Dist., 
    950 A.2d 659
     (Del. 2008) (citing Browne v. Robb, 
    583 A.2d 949
    ,
    953 (Del. 1990)).
    °° Tews v. Cape Henlopen Sch. Dist., 
    2013 WL 1087580
    , at *2 (Del. Super. Ct. Feb. 14, 2013).
    8
    letters. Plaintiff pleads that Watson acknowledged inaccuracies during her deposition but
    failed to correct them, providing DNREC false information.
    Plaintiff also argues that Watson acted in bad faith. “Bad faith ‘contemplates a state
    of mind affirmatively operating with furtive design or ill will.’”?° It is not simply “bad
    judgment or negligence, but rather it implies the conscious doing of a wrong because of
    dishonest purpose or moral obliquity.” Plaintiff alleges Watson used her position to
    fabricate allegations, injuring the Plaintiff. Plaintiff argues that Watson was aware of the
    inaccuracies she put forward. He claims that Watson’s actions were malicious and she
    intentionally provided false information. Plaintiff's allegations could reasonably be found
    to constitute bad faith and possible gross negligence on part of the Defendants. Such
    allegations, at this stage, are sufficient to overcome dismissal pursuant to the Tort Claims
    Act.?”
    Defendants also argue that Plaintiff's claims are time-barred by the applicable
    statute of limitations. Claims based in fraud are subject to a statute of limitations of three
    years.”* “[T]he statute of limitations begins to run when the fraud is ‘successfully
    penetrated.””’? “[T]olling only applies ‘in certain narrowly carved out limited
    circumstances when the facts at the heart of the claim are so hidden that a reasonable
    26 Jackson v. Minner, 
    2013 WL 871784
    , at *7 (Del. Super. Ct. Mar. 1, 2013), aff'd, 
    74 A.3d 654
     (Del. 2013) (citing
    Brittingham v. Bd. of Adjustment of City of Rehoboth Beach, 
    2005 WL 1653979
    , at *1 (Del.Super.Apr.26, 2005)).
    27See Clouser v. Doherty, 
    175 A.3d 86
     (Del. 2017) (“Clouser alleges that Barton prepared the Barton Letter with
    malice and reckless disregard for the truth, and intentionally sent false information to the PDOE. Although these
    allegations are tenuous, we, like the Superior Court, cannot dispute their accuracy right now. Under the plaintiff-
    friendly standards applied on a motion to dismiss, they are sufficient to raise reasonably conceivable claims of a lack
    of good faith and possible gross negligence to survive a motion to dismiss. After further development of the record,
    these allegations may prove unsupported, and Barton might be entitled on summary judgment to qualified immunity.
    But, the Superior Court erred in dismissing these claims at this stage of the proceedings.”).
    8 10 Del. C. § 8106.
    29 Ashland LLC v. Samuel J. Heyman 1981 Continuing Tr. for Heyman, 
    2018 WL 3084975
    , at *8 (Del. Super. Ct.
    June 21, 2018) (citing Playtex, Inc. v. Columbia Cas., 
    1993 WL 390469
    , at *3 (Del. Super. Sept. 20, 1993)).
    9
    plaintiff could not timely discover them.’”%° Plaintiff does not claim that he could not or
    did not timely discover the alleged acts of fraud nor does he claim Defendants actively
    concealed them.
    The underlying facts at the heart of this case involve the interactions that occurred
    between Plaintiff and Defendants in 2007. Those instances would be barred by the statute
    of limitations; however, Plaintiff asserts that in October, 2016, Watson and DNREC had
    an on-site meeting where Watson perpetrated a fraud. Shortly after, DNREC issued the
    Notice of Violation. Plaintiff claims that the Notice of Violation is similar to the contents
    of Watson’s letters. He pleads that Watson falsely accused the Plaintiff of not responding
    to her January, 2007 letter. He also claims Watson knew the information provided was
    false but did not correct it. Plaintiff alleges that at the October, 2016 meeting, Watson
    perpetrated a fraud. Therefore, should the allegations give rise to a viable claim, the 2016
    act would not be barred by the statute of limitations.
    Defendants also argue that Plaintiff's claims are time-barred as a result of Plaintiff's
    failure to timely appeal the EAB Order. The EAB Order was issued in March, 2019.
    Plaintiff had to appeal to this Court within thirty days of receipt of the written opinion of
    the EAB. Defendants claim that the case now before this Court involves the same facts
    considered by the EAB and Plaintiff seeks relief in the exact amount of the administrative
    fine DNREC levied against him.
    Plaintiff failed to file a timely appeal and is barred from attempting to do so now.”!
    As Plaintiff points out, the Secretary’s Order, which was affirmed by the EAB, found
    3° Td. quoting AM Gen. Hldg. LLC v. Renco Grp., Inc., 
    2016 WL 4440476
    , at *13 (Del. Ch. Aug. 22, 2016).
    3! The Court takes judicial notice of the Court’s August 2, 2019 Order dismissing Hastings v. DNREC for
    Appellant’s failure to timely appeal the EAB decision.
    10
    Plaintiff in violation for failing to comply with the approved plan and failing to obtain a
    permit. The center of Plaintiff's case before this Court now focuses on Watson’s alleged
    attempts to orchestrate an artificial non-compliance issue. This Court finds that Plaintiff is
    trying to cure his failure to timely appeal the EAB Order and cannot do so under the case
    before us now.
    Defendants argue that Plaintiff's claims are also barred under the doctrines of res
    judicata and collateral estoppel. “Essentially, res judicata bars a court or administrative
    agency from reconsidering conclusions of law previously adjudicated while collateral
    estoppel bars relitigation of issues of fact previously adjudicated.”
    Defendants argue that in the EAB appeal, the Plaintiff here was the appellant and
    DNREC was an appellee. Defendants claim SCD operates under the administration and
    direction of DNREC and as such, the parties should be considered the same for purposes
    of applying the doctrine of res judicata. They also argue that the matters heard in the EAB
    appeal came from the same factual background as those presented in this case. Defendants
    argue that the claims raised in this case should have been addressed in the EAB appeal and
    as such, dismissal is warranted.
    “Res judicata will bar a claim where the party raising the doctrine can show
    satisfaction of the following five-part test: (1) the original court had jurisdiction over the
    subject matter and the parties; (2) the parties to the original action were the same as those
    parties, or in privity, in the case at bar; (3) the original cause of action or the issues decided
    was the same as the case at bar; (4) the issues in the prior action must have been decided
    adversely to the appellants in the case at bar; and (5) the decree in the prior action was a
    *2 City of Newark v. Unemployment Ins. Appeal Bd., 
    802 A.2d 318
    , 324 (Del. Super. Ct. 2002); Betts v. Townsends,
    Inc., 
    765 A.2d 531
    , 534 (Del.2000).
    11
    final decree.”*? “When a defendant claims that the doctrine of res judicata bars a
    subsequent action, the defendant must show that the elements of res judicata exist - that is,
    that the same transaction forms the basis for prior and subsequent suits and that the claim
    for relief could have been properly presented in the prior action’”**
    In the prior proceeding, Plaintiff challenged an order imposed by DNREC. The
    prior proceeding involved the legitimacy of the order issued against Plaintiff for his failure
    to comply. The case Plaintiff now brings before this Court is a claim against Defendants
    for Watson’s alleged attempts to orchestrate an artificial non-compliance issue to have the
    order issued.*° “The determination of whether to apply res judicata is based on the
    underlying transaction, not the type of relief sought or substantive legal theories.’””®
    “To properly assert res judicata as a bar to a plaintiff's claim, a defendant must
    show that first, the same transaction formed the basis for both the present and former suits;
    and second, plaintiff neglected or failed to assert claims which in fairness should have been
    asserted in the first action.”?’ “Upon such a showing, the plaintiff, to prevent dismissal,
    must then show that there was some impediment to the presentation of the entire claim for
    relief in the prior forum.”?® The same issues and interactions before the EAB are before
    this Court now. Specifically, the noncompliance and the issuance of the violation continue
    to be in dispute. Defendants argue that Plaintiff cross-examined Watson in that proceeding
    33 Washington House Condominum Ass'n of Unit Owners v. Daystar Sills, Inc.,
    2017 WL 3412079
    , at *11 (Del.
    Super. Ct. Aug. 8, 2017) (citing LaPoint v. AmerisourceBergen Corp., 
    970 A.2d 185
    , 192 (Del. 2009)).
    4 Esposito Hauling & Contracting Co., Inc. v. Bldg. & Const. Trades Council of Delaware, 
    1995 WL 269390
    , at *4
    (Del. Super. Ct. Feb. 23, 1995) (citing Maldonado v. Flynn, Del. Ch., 
    417 A.2d 378
    , 381 (1980)).
    35 See Mott v. State, 
    49 A.3d 1186
    , 1190 (Del. 2012) (stating “[a]lthough the issues in the mechanics lien case are
    not the same as this case, the fourth element is satisfied because the ‘bar of res judicata extends to all issues which
    might have been raised and decided in the first suit as well as to all issues that actually were decided’”).
    36 Villare v. Beebe Med. Ctr., Inc., 
    2013 WL 2296312
    , at *3 (Del. Super. Ct. May 21, 2013).
    37 Wilson v. Brown, 
    36 A.3d 351
     (Del. 2012).
    38 Jd (citing Kossol v. Ashton Condo. Ass'n, 
    1994 WL 10861
    , at *2).
    12
    and any claim raised in the matter before this Court should have been addressed by Plaintiff
    in the EAB appeal. Plaintiff fails to show there was some impediment preventing him from
    raising the alleged fabricated noncompliance before the EAB when he had the opportunity
    to. Therefore, Plaintiffs claims are barred by the doctrine of res judicata.
    Defendants also argue that the doctrine of collateral estoppel bars Plaintiffs claims.
    “A claim will be collaterally estopped only if the same issue was presented in both cases,
    the issue was litigated and decided in the first case, and the determination was essential to
    the prior judgment.”°? “The party asserting collateral estoppel has the burden of showing
    that the issue whose relitigation he seeks to foreclose was actually decided in the first
    proceeding.’”*°
    Defendants argue that collateral estoppel applies here because the EAB considered
    the records and testimony of Watson relating to the noncompliance issues. Therefore,
    Defendants conclude that the EAB has considered and addressed the same factual issues
    before this Court now. This Court agrees. Both Plaintiff and Defendants assert that the
    EAB considered and affirmed the Secretary’s Order charging Plaintiff for failing to
    comply. Plaintiff stated in his complaint that the Notice of Violation was very similar to
    Watson’s letters and that Watson participated in preparations of the Administrative Order.
    Plaintiff attempts to reargue that he was in compliance and Defendants’ actions
    misrepresented noncompliance. Though the EAB determined Plaintiff was not in
    compliance, Plaintiff attempts to have this Court determine whether Defendants
    wrongfully portrayed a noncompliance issue. Plaintiff is attempting to relitigate the same
    3° Proctor v. State, 
    931 A.2d 437
     (Del. 2007) (citing Sanders v. Malik, 
    711 A.2d 32
    , 33-34 (Del.1998)).
    4 Proctor v. State, 
    931 A.2d 437
     (Del. 2007) (citing Dowling v. United States, 
    493 U.S. 342
    , 350, 
    110 S.Ct. 668
    ,
    
    107 L.Ed.2d 708
     (1990)).
    13
    issues that the EAB considered in issuing its decision, therefore, Plaintiffs claims for fraud
    and malfeasance are further barred by collateral estoppel.*!
    Although Plaintiff can overcome some of Defendants’ arguments, dismissal is still
    warranted. The issue before this Court is whether Defendants committed fraud and
    malfeasance to orchestrate the appearance of noncompliance, causing the Plaintiff injury.
    As discussed, Plaintiff should have timely appealed the EAB decision if he wanted to
    challenge the validity of the EAB decision and order. Plaintiff's claims are procedurally
    barred and as a result, must be dismissed.
    VI. CONCLUSION
    Considering the foregoing, all counts in the complaint are procedurally barred.
    Therefore, the complaint is dismissed with prejudice. Defendants’ Motion to Dismiss is
    GRANTED.
    IT IS SO ORDERED.
    “! See Acierno v. New Castle Cty., 
    679 A.2d 455
    , 460 (Del. 1996) (stating “All that matters, for purposes of an issue
    preclusion inquiry, is whether the two decisions purported to address the same issue.”).
    14