The Law Offices of T. Robert Hill, PC f/k/a Hill Boren, PC v. Lewis Cobb ( 2021 )


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  •                                                                                           05/27/2021
    IN THE COURT OF APPEALS OF TENNESSEE
    AT JACKSON
    March 16, 2021 Session
    THE LAW OFFICES OF T. ROBERT HILL PC F/K/A HILL BOREN PC v.
    LEWIS COBB ET AL.
    Appeal from the Circuit Court for Madison County
    No. C-19-70 Don R. Ash, Senior Judge
    ___________________________________
    No. W2020-01380-COA-R3-CV
    ___________________________________
    Following the dissolution of the law firm formerly known as Hill Boren, PC, Appellant
    brought, inter alia, the following claims: (1) Count 1: “Joint Enterprise/Venture/Aiding
    and Abetting Fiduciary Breach;” (2) Count 2: “No Derivative Cause of Action: Negligence
    and/or Fraud;” (3) Count 4: “Attempted Cover Up: Punitive Damages;” (4) Count 6: “Strict
    Liability in Tort for Misconduct of a Lawyer;” and (5) Count 7: “Liability of Lawyer
    Misconduct Causing Harm/Damage to a Foreseeable Non-Party Non-Client Ethical
    Differentiation Standard.” The trial court dismissed Appellant’s lawsuit on grant of
    Appellees’ Tennessee Rule of Civil Procedure 12 motion to dismiss and on grant of
    Appellees’ motion for summary judgment. In part, the dismissal was based on a final
    judgment in the underlying lawsuit, Boren v. Hill Boren, PC, No. W2019-02235-COA-
    R3-CV, 
    2021 WL 1109992
     (Tenn. Ct. App. March 23, 2021). Subsequently, however, this
    Court dismissed the appeal of the underlying lawsuit on the ground that the order appealed
    was not final. As such, we vacate the trial court’s dismissal of a portion of Count 2 and
    Count 4 on the grounds of res judicata and collateral estoppel. The trial court’s orders are
    otherwise affirmed, and the Appellant’s request for stay is denied.
    Tenn. Ct. App. R. 3 Appeal as of Right; Judgment of the Circuit Court
    Vacated in Part, Affirmed in Part, and Remanded
    KENNY ARMSTRONG, J., delivered the opinion of the court, in which W. NEAL MCBRAYER
    and ARNOLD B. GOLDIN, JJ., joined.
    T. Robert Hill and Tamara Hill, Jackson, Tennessee, for the appellant, The Law Offices of
    T. Robert Hill, PC.
    Richard Glassman and Lauran Stimac, Memphis, Tennessee, for the appellees, Lewis
    Latane Cobb, Teresa Anne Luna, and Spragins, Barnett & Cobb, PLC.
    OPINION
    I. Background
    Following the dissolution of the law firm known as Hill Boren, PC, on May 6, 2019,
    Appellant, The Law Offices of T. Robert Hill, filed its First Amended Complaint against
    Lewis Cobb, Teresa Luna, and Spragins, Barnett and Cobb, PLC (together “Appellees”) in
    the Circuit Court for Madison County (“trial court”). Appellant alleged seven causes of
    action: (1) Count 1: Joint Enterprise/Venture/Aiding and Abetting Fiduciary Breach; (2)
    Count 2: No Derivative Cause of Action: Negligence and/or Fraud; (3) Count 3: Libel and
    Slander; (4) Count 4: Attempted Cover Up: Punitive Damages; (5) Count 5: Legal
    Malpractice: Direct Action; (6) Count 6: Strict Liability in Tort for Misconduct of a
    Lawyer; and (7) Count 7: Liability of Lawyer Misconduct Causing Harm/Damage to a
    Foreseeable Non-Party Non-Client Ethical Differentiation Standard.                 At the
    commencement of this action, the case of Ricky L. Boren on behalf of Hill Boren, PC,
    Ricky L. Boren, Individually, and Jeffrey P. Boyd v. Hill Boren, P.C. and T. Robert Hill,
    Individually (“the Underlying Case”) was ongoing in the Madison County Chancery Court.
    The Underlying Case was brought by Ricky L. Boren and Jeffrey Boyd, individually, and
    Ricky L. Boren on behalf of Hill Boren, PC. The named defendants in the Underlying
    Case were Hill Boren, PC and T. Robert Hill, who was Hill Boren, PC’s majority
    stockholder. The named defendants in the Underlying Case were represented by Tamara
    Hill, who filed a counter-complaint in the Underlying Case. Lewis Cobb and Teresa Luna
    represented the plaintiffs in the Underlying Case. Following a jury trial, judgment was
    entered against the defendants in the Underlying Case on August 12, 2019. On March 23,
    2021, this Court dismissed the appeal of the Underlying Case on the ground that there was
    no final order in the case so as to confer jurisdiction on this Court under Tennessee Rule
    of Appellate Procedure 3. Boren v. Hill Boren, PC, No. W2019-02235-COA-R3-CV, 
    2021 WL 1109992
     (Tenn. Ct. App. March 23, 2021).
    Concerning the instant appeal, on May 30, 2019, Appellees filed a motion to dismiss
    the First Amended Complaint, alleging that Appellant’s claims: (1) were barred by the
    litigation privilege; (2) failed to state a claim upon which relief could be granted for legal
    malpractice; (3) failed to state a claim for fraud and defamation; (4) were barred by the
    doctrines of collateral estoppel and/or res judicata; and (5) were completely unsupported
    by Tennessee law, as Appellant sought to “establish a new common law action for damages
    to non-client third parties based upon the allegations set out in the Amended Complaint for
    attorney strict liability in tort.” Appellant filed a response in opposition to the motion to
    dismiss. Following a hearing, on July 19, 2019, the trial court entered an order dismissing:
    (1) the allegations of joint enterprise/venture/aiding and abetting fiduciary breach (Count
    1) for failure to state a claim; (2) the allegations of “no derivative cause of action:
    negligence and/or fraud” (Count 2), in part, as barred by the litigation privilege; (3) claims
    of libel and slander (Count 3) as barred by the litigation privilege; (4) the allegations of
    strict liability in tort for misconduct of a lawyer (Count 6) for failure to state a claim; and
    -2-
    (5) the allegations of “liability of lawyer misconduct causing harm/damage to a foreseeable
    third party non-client ethical differentiation standard” (Count 7) for failure to state a claim.
    Following entry of the July 19, 2019 order, the following claims remained: (1) “no
    derivative cause of action: negligence and/or fraud” (Count 2), in part; (2) “attempted cover
    up: punitive damages,” (Count 4); and (3) “legal malpractice: direct action” (Count 5).
    On August 5, 2019, Appellees filed a second motion seeking dismissal of the First
    Amended Complaint. Appellees provided the trial court with copies of selected pleadings
    from the Underlying Case in support of their collateral estoppel and res judicata arguments.
    On August 15, 2019, Appellant filed a motion for interlocutory appeal of the July 2019
    order, and, on August 16, 2019, Appellant filed notices to depose Appellees Lewis Cobb
    and Teresa Luna on September 4 and 5, 2019, respectively. On August 23, 2019, Appellees
    filed a motion to quash the depositions. Prior to addressing these motions, the trial court,
    on September 9, 2019, stayed the proceedings until the conclusion of the Underlying Case.
    After judgment was entered in the Underlying Case, on January 31, 2020, the trial court
    lifted the stay and scheduled a hearing on the pending motions.
    On July 2, 2020, the trial court heard Appellant’s Motion for Appeal of Interlocutory
    Order and Appellees’ Motion to Quash Plaintiff’s Notices of Depositions. The trial court
    subsequently entered an Order, in which it reserved its rulings on these motions until after
    it ruled on Appellees’ second motion seeking dismissal of the First Amended Complaint.
    The trial court set a hearing for the second motion for August 3, 2020 and entered an order
    denying Appellant’s Motion for Interlocutory Appeal on July 21, 2020.
    In opposition to Appellees’ second motion seeking dismissal, on July 15, 2020,
    Appellant filed a Statement of Undisputed Material Facts, a Motion for More Definite
    Statement or to Deny the Motion for Summary Judgment and For Stay of Case Pending
    Appeal of Underlying Case, and a Response to Defendants’ Statement of Facts. On July
    29, 2020, Appellees filed a Response in Opposition to Plaintiff’s Statement of Undisputed
    Facts and a Response in Opposition to Plaintiff’s Motion for More Definite Statement.
    On September 8, 2020, the trial court entered an Order denying Appellant’s motions
    and granting Appellees’ second motion to dismiss/summary judgment on the grounds that:
    (1) the allegations of alleged negligence and an attempted cover up (Counts 2 and 4) were
    barred by the doctrines of collateral estoppel and res judicata and otherwise failed to state
    a claim on which relief could be granted; and (2) there was no genuine issue of material
    fact in dispute as to the legal malpractice claim (Count 5) because there was no attorney-
    client relationship. Appellant filed a timely notice of appeal.
    -3-
    II. Issues
    Appellant does not appeal the trial court’s dismissal of Count 3, i.e., libel and
    slander, or Count 5, i.e., legal malpractice. As such, we will not address the trial court’s
    ruling on these counts in our opinion. We restate the dispositive issues as follows:
    1. Whether the trial court erred in dismissing Count 1 of Appellant’s First Amended
    Complaint for joint enterprise / venture / aiding and abetting fiduciary breach for
    failure to state a claim on which relief could be granted.
    2. Whether the trial court erred in dismissing part of Count 2 of Appellant’s First
    Amended Complaint for “no derivative cause of action: negligence and/or fraud”
    based on the litigation privilege.
    3. Whether the trial court erred in dismissing the remainder of Count 2 based on the
    doctrines of res judicata and/or collateral estoppel.
    4. Whether the trial court erred in dismissing Count 4 of Appellant’s First Amended
    Complaint for “attempted cover up: punitive damages” on the grounds of res
    judicata and/or collateral estoppel, and failure to state a claim on which relief could
    be granted.
    5. Whether the trial court erred in dismissing Count 6 of Appellant’s First Amended
    Complaint for strict liability in tort for misconduct of a lawyer for failure to state a
    claim on which relief could be granted.
    6. Whether the trial court erred in dismissing Count 7 of Appellant’s First Amended
    Complaint for “liability of lawyer misconduct causing harm / damage to a
    foreseeable third-party non-client ethical differentiation standard” for failure to state
    a claim on which relief could be granted.
    7. Whether the trial court erred in denying Appellant’s Tennessee Rule of Civil
    Procedure Rule 12.05 Motion for More Definite Statement and for Stay of Case
    Pending Appeal of Underlying Case.
    III. Standards of Review
    In its July 19, 2019 and September 8 2020 orders, from which Appellant appeals,
    the trial court applied the standard of review for a motion for summary judgment pursuant
    to Rule 56 of the Tennessee Rules of Civil Procedure and the standard of review for a
    motion to dismiss pursuant to Rule 12 of the Tennessee Rules of Civil Procedure.
    The resolution of a Tennessee Rule of Civil Procedure 12.02(6) motion to dismiss
    is determined by an examination of the pleadings alone. Leggett v. Duke Energy Corp.,
    
    308 S.W.3d 843
    , 851 (Tenn. 2010); Trau-Med of Am., Inc. v. Allstate Ins. Co., 
    71 S.W.3d 691
    , 696 (Tenn. 2002). A defendant who files a motion to dismiss “‘admits the truth of all
    of the relevant and material allegations contained in the complaint, but . . . asserts that the
    allegations fail to establish a cause of action.’” Brown v. Tenn. Title Loans, Inc., 
    328 S.W.3d 850
    , 854 (Tenn. 2010) (quoting Freeman Indus., LLC v. Eastman Chem. Co.,
    -4-
    
    172 S.W.3d 512
    , 516 (Tenn. 2005)).
    In considering a motion to dismiss, courts “must construe the complaint liberally,
    presuming all factual allegations to be true and giving the plaintiff the benefit of all
    reasonable inferences.” Tigg v. Pirelli Tire Corp., 
    232 S.W.3d 28
    , 31-32 (Tenn. 2007)
    (citing Trau-Med., 
    71 S.W.3d at 696
    ). A trial court should grant a motion to dismiss “only
    when it appears that the plaintiff can prove no set of facts in support of the claim that would
    entitle the plaintiff to relief.” Crews v. Buckman Labs Int’l, Inc., 
    78 S.W.3d 852
    , 857
    (Tenn. 2002); see also Lanier v. Rains, 
    229 S.W.3d 656
    , 660 (Tenn. 2007). We review the
    trial court’s legal conclusions regarding the adequacy of the complaint de novo with no
    presumption that the trial court’s decision was correct. Webb v. Nashville Area Habitat
    for Humanity, Inc., 
    346 S.W.3d 422
    , 429 (Tenn. 2011).
    “A trial court’s decision to grant a motion for summary judgment presents a question
    of law. Therefore, our review is de novo with no presumption of correctness afforded to
    the trial court’s determination.” Bain v. Wells, 
    936 S.W.2d 618
    , 622 (Tenn. 1997). This
    Court must make a fresh determination that all requirements of Tennessee Rule of Civil
    Procedure 56 have been satisfied. Abshure v. Methodist Healthcare-Memphis Hosps.,
    
    325 S.W.3d 98
    , 103 (Tenn. 2010). When a motion for summary judgment is made, the
    moving party has the burden of showing that “there is no genuine issue as to any material
    fact and that the moving party is entitled to judgment as a matter of law.” Tenn. R. Civ. P.
    56.04. “A fact is material ‘if it must be decided in order to resolve the substantive claim
    or defense at which the motion is directed.’” Akers v. Heritage Med. Assocs., P.C., No.
    M2017-02470-COA-R3-CV, 
    2019 WL 104130
    , at *5 (Tenn. Ct. App. Jan. 4, 2019), perm.
    app. denied (Tenn. May 16, 2019) (quoting Byrd v. Hall, 
    847 S.W.2d 208
    , 215 (Tenn.
    1993)). Furthermore, “[a] ‘genuine issue’ exists if ‘a reasonable jury could legitimately
    resolve that fact in favor of one side or the other.’” Akers, 
    2019 WL 104130
    , at *5 (quoting
    Byrd, 
    847 S.W.2d at 215
    ).
    The Tennessee Supreme Court has explained that when the party moving for
    summary judgment does not bear the burden of proof at trial, “the moving party may satisfy
    its burden of production either: (1) by affirmatively negating an essential element of the
    nonmoving party’s claim, or (2) by demonstrating that the nonmoving party’s evidence at
    the summary judgment stage is insufficient to establish the nonmoving party’s claim or
    defense.” Rye v. Women's Care Center of Memphis, MPLLC, 
    477 S.W.3d 235
    , 265
    (Tenn. 2015) (italics omitted). Furthermore,
    “[w]hen a motion for summary judgment is made [and] . . . supported as
    provided in [Tennessee Rule 56],” to survive summary judgment, the
    nonmoving party “may not rest upon the mere allegations or denials of [its]
    pleading,” but must respond, and by affidavits or one of the other means
    provided in Tennessee Rule 56, “set forth specific facts” at the summary
    judgment stage “showing that there is a genuine issue for trial.” Tenn. R.
    -5-
    Civ. P. 56.06. The nonmoving party “must do more than simply show that
    there is some metaphysical doubt as to the material facts.” Matsushita Elec.
    Indus. Co., [Ltd. v. Zenith Radio Corp.], 475 U.S. [574,] 586, 
    106 S. Ct. 1348
     [(1986)]. The nonmoving party must demonstrate the existence of
    specific facts in the record which could lead a rational trier of fact to find in
    favor of the nonmoving party.
    Rye, 477 S.W.3d at 265. “Upon review, this Court considers ‘the evidence in the light most
    favorable to the non-moving party and draw[s] all reasonable inferences in that party’s
    favor.’” Ray v. Neff, No. M2016-02217-COA-R3-CV, 
    2018 WL 3493158
    , *3 (Tenn. Ct.
    App. July 20, 2018) (quoting McCullough v. Vaughn, 
    538 S.W.3d 501
    , 505 (Tenn. Ct.
    App. 2017) (citing Godfrey v. Ruiz, 
    90 S.W.3d 692
    , 695 (Tenn. 2002))); see also Stovall
    v. Clarke, 
    113 S.W.3d 715
    , 721 (Tenn. 2003) (citing Webber v. State Farm Mut. Auto.
    Ins. Co., 
    49 S.W.3d 265
    , 269 (Tenn. 2001)). The trial court may grant summary judgment
    only if “‘both the facts and the conclusions to be drawn from the facts permit a reasonable
    person to reach only one conclusion.’” Helderman v. Smolin, 
    179 S.W.3d 493
    , 500 (Tenn.
    Ct. App. 2005) (quoting Carvell v. Bottoms, 
    900 S.W.2d 23
    , 26 (Tenn. 1995)).
    Finally, as to issue 7, i.e., appeal of the trial court’s denial of Appellant’s Rule 12.05
    motion for more definite statement and the motion for stay of case pending appeal, we
    review those decisions under an abuse of discretion standard. Heath v. Cornelius, 
    511 S.W.2d 683
    , 685 (Tenn. 1974); Sanjines v. Ortwein and Associates, P.C., 
    984 S.W.2d 907
    ,
    909 (Tenn. 1998). An abuse of discretion occurs when the trial court causes an injustice
    by applying an incorrect legal standard, reaches an illogical result, resolves the case on a
    clearly erroneous assessment of the evidence, or relies on reasoning that causes an injustice.
    Wright ex rel. Wright v. Wright, 
    337 S.W.3d 166
    , 176 (Tenn. 2011); Henderson v. SAIA,
    Inc., 
    318 S.W.3d 328
    , 335 (Tenn. 2010). With the foregoing in mind, we turn to address
    the issues.
    IV. Count 1, Joint Enterprise/Venture/Aiding and Abetting Fiduciary Breach
    Count 1 of the Appellant’s First Amended Complaint for Damages, “Joint
    Enterprise/Venture/Aiding and Abetting Fiduciary Breach,” is based on Appellant’s
    contention that the Appellees conspired with employees of Hill Boren, PC to establish a
    competing law firm. Appellees moved to dismiss Count 1 of the First Amended Complaint
    for Damages for failure to state a claim on which relief could be granted under Tennessee
    Rule of Civil Procedure 12.
    In its July 19, 2019 order, the trial court dismissed Count 1. Specifically, the trial
    court held:
    [Appellant] alleges [Appellees] Cobb and Luna conspired with Hill Boren,
    PC employees to destroy the firm despite knowing the employees owed a
    -6-
    fiduciary duty to Hill Boren. Specifically, it claims [Appellees] conspired to
    have Ricky Boren leave the Hill Boren firm and to have Ricky Boren buy a
    building to house a competing law firm . . . . [Appellant’s] First Amended
    Complaint fails to demonstrate an unlawful purpose by [Appellees] or an
    effort by them to accomplish a lawful purpose by unlawful means.
    Accordingly, this Court dismissed Count 1 for failure to state a claim.
    In PNC Multifamily Capital Institutional Fund XXVI Ltd. Partnership v. Bluff
    City Community Development Corp., 
    387 S.W.3d 525
    , 537-538 (Tenn. Ct. App. 2012),
    this Court explained:
    The elements necessary to establish a claim for civil conspiracy are: “(1) a
    common design between two or more persons, (2) to accomplish by
    concerted action an unlawful purpose, or a lawful purpose by unlawful
    means, (3) an overt act in furtherance of the conspiracy, and (4) resulting
    injury.” Kincaid [v. SouthTrust Bank], 221 S.W.3d [32, 38 (Tenn. Ct. App.
    2006)]. In addition, a claim for civil conspiracy “requires an underlying
    predicate tort allegedly committed pursuant to the conspiracy.” Watson’s
    Carpet & Floor Coverings, Inc. v. McCormick, 
    247 S.W.3d 169
    , 180 (Tenn.
    Ct. App. 2007). Conspiracy, standing alone, is not actionable where the
    underlying tort is not actionable. 
    Id. at 179-80
    .
    Tennessee law provides that “[d]ismissal under Tenn. R. Civ. P. 12.02(6) is
    warranted only when the alleged facts will not entitle the plaintiff to relief or when the
    complaint is totally lacking in clarity and specificity.” 421 Corp. v. Metropolitan Gov't.
    of Nashville & Davidson County, 
    36 S.W.3d 469
    , 479 (Tenn. Ct. App. 2000) (citing Dobbs
    v. Guenther, 
    846 S.W.2d 270
    , 273 (Tenn. Ct. App. 1992)). In support of its claim for civil
    conspiracy, Appellant makes the following averments in its First Amended Complaint:
    7. [Appellees] Cobb and Luna negligently and or intentionally entered upon
    a civil conspiracy or joint enterprise or joint venture or collusion with a
    current officer and director (Boren) of Hill Boren PC and Jeffrey P. Boyd, a
    Hill Boren PC management attorney employee, and Michele Eckhart, a Hill
    Boren, PC management employee, for the purpose of destroying Hill Boren
    PC. They knew that Boren, at all times, owed a fiduciary duty to Hill Boren
    PC of the utmost good faith and fair dealing as well as duty of loyalty as a
    professional employee. They knew Boyd was part of the joint enterprise,
    joint venture or civil conspiracy in breach of his duty of employee loyalty
    and fiduciary management responsibility to Hill Boren PC or engaged in
    impermissible collusion or civil conspiracy. The defendants knew that
    Michele Eckhart was a management employee with a fiduciary duty of good
    faith and loyalty to Hill Boren, PC. [Appellees] Cobb, Luna and possibly
    others yet to be discovered, aided, abetted and assisted Boren and Boyd in
    -7-
    the venture or civil conspiracy to breach their fiduciary duty and to destroy a
    profitable corporation.
    8. Cobb, Luna and Boyd conspired to have Ricky Boren, a 32% owner in the
    building occupied by Hill Boren, PC, to buy a building to house Boren and
    Boyd, PLC and to move with Boyd to that building.
    9. Cobb, Luna and Boyd conspired to have Boren leave Hill Boren, PC, thus
    destroying the 40+ year-old brand, due to ethical obligations concerning
    naming a law firm.
    Having reviewed the allegations raised in Appellant’s First Amended Complaint,
    we agree with the trial court that Appellant failed to state a claim for civil conspiracy
    against Appellees. While “great specificity in the pleadings is ordinarily not required,”
    civil conspiracy claims must be pled with some degree of specificity in order to survive a
    motion to dismiss; conclusory allegations unsupported by material facts will not be
    sufficient to state a claim. Kincaid, 221 S.W.3d at 38 (citing McGee v. Best, 
    106 S.W.3d 48
    , 64 (Tenn. Ct. App. 2002)); see also O’Dell v. O’Dell, 
    303 S.W.3d 694
    , 697 (Tenn. Ct.
    App. 2008) (quoting Kincaid, 221 S.W.3d at 38). As set out above, the amended complaint
    contains numerous allegations that Appellees somehow conspired concerning the alleged
    breaches of good faith and fiduciary duties to “destroy[] the 40+ year-old brand” of Hill
    Boren, PC, yet the only concrete action averred is the purchase of a building. The
    remaining allegations, as set out above, are too vague and general to satisfy even the less
    stringent pleading requirements of Tennessee Rule of Civil Procedure 8.01, much less the
    more stringent pleading requirements for civil conspiracy claims. McGee, 
    106 S.W.3d at 64
     (explaining that conclusory allegations unsupported by material facts will not be
    sufficient to state a claim for civil conspiracy).1 As such, we conclude that the trial court
    did not err in dismissing Count 1 of the First Amended Complaint.
    V. Count 2, “No Derivative Cause of Action: Negligence and/or Fraud”—
    Litigation Privilege
    As set out in the First Amended Complaint, Appellant’s second count, i.e., “No
    Derivative Cause of Action: Negligence and/or Fraud,” is based on Appellant’s contention
    1
    In its brief, Appellant appears to argue that the trial court’s dismissal of Count 1 should be
    reversed because there was no ground for the derivative claim forming the basis of the Underlying Case at
    the time that suit was filed. In support of this argument, Appellant references a representation allegedly
    made by Appellee Lewis Cobb in the Underlying Case. There is no reference to the Technical Record;
    however, from our review, the alleged allegation by Mr. Cobb does not appear in the record in this appeal.
    As such, we will not consider this argument. See, No. W2019-00864-COA-R3-CV, 
    2020 WL 6806372
    , at
    *6 (Tenn. Ct. App. Nov. 19, 2020) See Jones v. Helms (stating that because appellant did not create an
    accurate record on appeal, appellant “waives issues on appeal that are based on incomplete portions of the
    record”). Appellant also attempts to rely upon Rule 11.02 of the Tennessee Rules of Civil Procedure in
    support of its argument on this issue. This argument was not raised in Appellant’s Response in Opposition
    to Motion to Dismiss. Because an appellant is not permitted to raise new arguments for the first time on
    appeal, see Bean v. Bean, 
    40 S.W.3d 52
    , 55-56 (Tenn. Ct. App. 2000), we will not address this argument.
    -8-
    that Appellees pursued the Underlying Case with the intent to destroy Hill Boren, P.C. and
    establish a competing law firm. Appellant averred that Appellees used the Underlying
    Case to “maliciously, improperly and unethically gain an advantage in a personal dispute
    to effect a hostile takeover of . . . Hill Boren, PC and loot the corporation of its assets,
    including its valuable brand, [property,] and approximately 1,400 Hill Boren clients.” In
    furtherance of this goal, Appellant contends that Appellees: (1) made false and irrelevant
    allegations in pleadings in the Underlying Case in an effort to assault the character of T.
    Robert Hill; (2) participated in an improper ex parte interaction with the court in an effort
    to deceive Appellant and gain an unfair advantage; (3) and suborned perjury by submitting
    affidavits and presenting witnesses whose testimonies were false. Appellees moved to
    dismiss Count 2 of the First Amended Complaint based, inter alia, on the litigation
    privilege. In its Response to Appellees’ motion to dismiss, Appellant argued that the
    litigation privilege does not apply to the actions giving rise to its claims because those
    actions include criminal conduct (i.e., knowingly suborning perjurious testimony and filing
    perjurious affidavits), and aiding and abetting a fiduciary to breach his statutory and
    common law duty of utmost good faith to Hill Boren, PC, all of which actions Appellant
    argued fall outside the purview of the litigation privilege.
    Concerning Count 2, in its July 19, 2019 order, the trial held, in relevant part, that:
    [Appellees’] pursuit of the lawsuit—including ex parte temporary
    restraining orders; false and fraudulent pleadings, affidavits and court
    testimony; and lawsuit advising/strategy—is protected by the litigation
    privilege. Count 2 is dismissed as to this conduct.
    However, the Court finds the allegations [that Appellees] negligently
    solicited, advised, involved, encouraged and colluded with Hill Boren, PC
    employees to participate in the firm’s destruction in violation of the duty of
    loyalty and to provide false testimony, relate to wrongful means, and
    therefore, the Court declines to dismiss Count 2 as to this conduct at this
    juncture.
    Appellant appeals the trial court’s dismissal of a portion of this count on the grounds that
    the actions complained of on the part of the Appellees are not, or should not be, covered
    by the litigation privilege. Specifically, we glean from Appellant’s brief that its primary
    contention rests on the argument that the averments of subornation of perjury and
    submission of knowingly false affidavits are not covered by the litigation privilege. In
    support of this argument, Appellant relies on this Court’s opinion in Unarco Material
    Handling, Inc. v. Liberato, 
    317 S.W.3d 227
     (Tenn. Ct. App. 2010).
    In Unarco, this Court reviewed the history of the application of the litigation
    privilege in Tennessee, and explained the purpose of the privilege as follows:
    -9-
    Courts have repeatedly embraced the privilege because “access to the judicial
    process, freedom to institute an action, or defend, or participate therein
    without fear of the burden of being sued for defamation is so vital and
    necessary to the integrity of our judicial system that it must be made
    paramount.”
    Unarco, 
    317 S.W.3d at 231
     (quoting Simpson Strong-Tie Company, Inc. v. Stewart, 
    232 S.W.3d 18
    , 23 (Tenn. 2007)). The litigation privilege applies when there is a reasonable
    nexus between the communication or act in question and the litigation under consideration
    and when the communication has some relation to a proceeding that is contemplated in
    good faith and under serious consideration. Simpson, 232 S.W.3d at 24.
    The Tennessee Supreme Court has consistently held that the litigation privilege in
    Tennessee is an absolute privilege; however, the Court has also stated that the attorney’s
    conduct must come within strict parameters, i.e., the “contours” of the privilege for the
    privilege to apply. Thus, attorneys in Tennessee are only entitled to immunity under the
    litigation privilege if the conduct at issue falls within certain parameters. Unarco, 
    317 S.W.3d at 238
    . In explaining the absolute nature of the litigation privilege, the Unarco
    Court explained that, “[a] privilege is described as absolute when it is not defeated by the
    defendant’s malice, ill-will, or improper purpose in publishing the defamatory
    communication. Thus, an absolute privilege is, in effect, a complete immunity.” Id. at n.17
    (quoting Simpson, 
    232 S.W.3d at 22
    ). The Unarco Court went on to find that the litigation
    privilege in Tennessee applies not only to statements made in the course of litigation, but
    also to actions taken prior to the commencement of litigation, under certain circumstances,
    to-wit:
    [T]he litigation privilege in Tennessee applies to an attorney’s conduct prior
    to the commencement of litigation if (1) the attorney was acting in the
    capacity of counsel for a client or identifiable prospective client when the
    conduct occurred, (2) the attorney was acting in good faith for the benefit of
    and on behalf of the client or prospective client, not for the attorney’s self
    interest, (3) the conduct was related to the subject matter of proposed
    litigation that was under serious consideration by the attorney, and (4) there
    was a real nexus between the attorney’s conduct and litigation under
    consideration.
    Id. at 238 (emphasis added).
    Turning to Appellant’s brief, while acknowledging the Tennessee Supreme Court’s
    holding in Unarco, Appellant seems to request that this Court alter or limit the “contours”
    of the privilege outlined in that case. In support of this argument, Appellant first cites Rye,
    477 S.W.3d at 263, in which the Tennessee Supreme Court declared a standard for
    summary judgment articulated in a previous opinion “unworkable and inconsistent with
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    the history and text of Tennessee Rule 56,” overruled its precedent, and established the
    current standard for summary judgment, see supra. In Rye, the Court was faced with two
    contradicting standards under the law in Tennessee. No such contradiction exists here. The
    law applied by the trial court on the issue of the litigation privilege is current and
    uncontradicted, as explained in Unarco. The conduct averred in Appellant’s complaint
    involving “ex parte temporary restraining orders; false and fraudulent pleadings, affidavits
    and court testimony; and lawsuit advising/strategy” falls squarely within the contours of
    the litigation privilege, and the trial court did not err in relying on the litigation privilege
    in dismissing the portion of Count 2 resting on such conduct.2
    VI. Remainder of Count 2 and Count 4,
    “Attempted Cover Up: Punitive Damages”
    As set out in context above, in its July 19, 2019 order, the trial court reserved ruling
    on Appellees’ motion to dismiss the portion of Count 2 of Appellant’s First Amended
    Complaint that relied on averments that Appellees “negligently solicited, advised,
    involved, encouraged and colluded with Hill Boren, PC employees to participate in the
    firm’s destruction in violation of the duty of loyalty and to provide false testimony, relate
    to wrongful means.” In its September 8, 2020 order, the trial court dismissed the remaining
    portion of Count 2 on the grounds of res judicata and collateral estoppel. Likewise, in the
    same order, the trial court dismissed count 4 of the complaint on the same grounds, i.e., res
    judicata and collateral estoppel. Specifically, the trial court held:
    [Appellees] claim [C]ounts two (2) and four (4) of [Appellant’s] First
    Amended Complaint are virtually identical to [Appellant’s] claims of
    conspiracy and joint venture in the [U]nderlying [Case]. The issues of
    conspiracy and joint venture were dismissed [in the Underlying Case] . . . .
    ***
    The judgment in the [Underlying Case] is a final judgment despite the status
    of the issues on appeal in the [Underlying Case]. . . . [T]herefore, any issues
    in the [U]nderlying [C]ase related to the issues in this case have been
    2
    We note that, to the extent Appellant relies on the peer review privilege in support of his argument
    for reversal of the trial court’s dismissal of Count 2, that reliance is misplaced. Without elaborating, the
    peer review privilege applies only to healthcare providers, whereas the litigation privilege applies to
    attorneys, parties, judges, and witnesses in legal proceedings. The purposes of the two privileges are also
    different, as articulated by the case law. Compare Unarco, 
    317 S.W.3d at
    231 with Reynolds v. Gray
    Medical Investors, LLC, 
    578 S.W.3d 918
    , 923 (Tenn. Ct. App. 2018) (“The language of 
    Tenn. Code Ann. § 68-11-272
     clearly and unambiguously provides that the purpose of a QIC is to “‘evaluate the safety,
    quality, processes, costs, appropriateness or necessity of healthcare services. . . .’”). As such, Appellant’s
    apparent conflation of the peer review privilege with the litigation privilege is error.
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    disposed of by final judgment on the merits.
    ***
    Accordingly, . . . the court applies the doctrine of res judicata to bar the
    [Appellant’s] claims as to [C]ount 2 and 4 of the Amended Complaint, in
    addition to the doctrine of collateral estoppel. Counts 2 and 4 of the
    Amended Complaint fail to state a claim upon which relief can be granted
    and are, therefore, DISMISSED, based on additional and alternative grounds.
    “The doctrine of res judicata, also referred to as claim preclusion, bars a second suit
    between the same parties or their privies on the same cause of action with respect to all
    issues which were or could have been litigated in the former suit.” Creech v. Addington,
    
    281 S.W.3d 363
    , 376 (Tenn. 2009) (citing Massengill v. Scott, 
    738 S.W.2d 629
    , 631 (Tenn.
    1987)). Res judicata applies when “an existing final judgment rendered upon the merits,
    without fraud or collusion, by a court of competent jurisdiction, is conclusive of rights,
    questions[,] and facts in issue as to the parties and their privies, in all other actions in the
    same or any other judicial tribunal of concurrent jurisdiction.” Galbreath v. Harris, 
    811 S.W.2d 88
    , 90 (Tenn. Ct. App. 1990) (citing Lillard v. Yellow Mfg. Acceptance Corp., 
    263 S.W.2d 520
    , 524 (Tenn. 1953)).
    Collateral estoppel, also referred to as issue preclusion, is a species of res judicata.
    Thompson, 
    285 S.W.3d 840
    , 848 (Tenn. 2009); C.O. Christian & Sons Co. v. Nashville
    P.S. Hotel, Ltd., 
    765 S.W.2d 754
    , 756 (Tenn. Ct. App. 1988). Generally, the rule of
    collateral estoppel states that “[w]hen an issue of fact or law is actually litigated and
    determined by a valid and final judgment, and the determination is essential to the
    judgment, the determination is conclusive in a subsequent action between the parties
    whether on the same or a different claim.” C.O. Christian & Sons Co., 
    765 S.W.2d at 756
    (quoting Restatement (Second) of Judgments § 27 (1982)).
    Both res judicata and collateral estoppel promote “finality in litigation, prevent
    inconsistent or contradictory judgments, conserve legal resources, and protect litigants
    from the cost and vexation of multiple lawsuits.” Creech, 
    281 S.W.3d at 376
     (citations
    omitted); see also Thompson, 285 S.W.3d at 848. The Tennessee Supreme Court has
    summarized the distinctions between the two related doctrines as follows:
    The doctrine of res judicata bars a second suit between the same parties or
    their privies on the same cause of action with respect to all issues which were
    or could have been litigated in the former suit. Collateral estoppel operates
    to bar a second suit between the same parties and their privies on a different
    cause of action only as to issues which were actually litigated and determined
    in the former suit.
    - 12 -
    Massengill, 
    738 S.W.2d at 631
    .
    Importantly, both res judicata and collateral estoppel require a final judgment from
    which to take their preclusive effect. Thompson, 285 S.W.3d at 847; Richardson v.
    Tennessee Bd. of Dentistry, 
    913 S.W.2d 446
    , 459 (Tenn. 1995). As noted above, on March
    23, 2021, this Court dismissed the appeal of the Underlying Case on the ground that there
    was no final order in the case so as to confer jurisdiction on this Court under Tennessee
    Rule of Appellate Procedure 3. Boren, 
    2021 WL 1109992
    . In the absence of a final order
    in the Underlying Case, we vacate the trial court’s dismissal of the portion of Count 2
    involving “allegations [that Appellees] negligently solicited, advised, involved,
    encouraged and colluded with Hill Boren, PC employees to participate in the firm’s
    destruction in violation of the duty of loyalty and to provide false testimony.” For the same
    reason, we also vacate the trial court’s dismissal of Count 4 of Appellant’s First Amended
    Complaint.
    We note that, in addition to the application of res judicata and collateral estoppel,
    the trial court’s September 20, 2020 order states that, “Counts 2 and 4 of the Amended
    Complaint fail to state a claim upon which relief can be granted and are, therefore,
    DISMISSED, based on additional and alternative grounds.” (Emphasis added). The
    order does not elaborate or otherwise explain these “additional and alternative grounds.”
    Although “[f]indings of fact and conclusions of law are unnecessary on decisions of
    motions,” Tenn. R. Civ. P. 52.01, “[w]e are a reviewing court.” Jackson v. Smith, No.
    W2011-00194-COA-R3-CV, 
    2011 WL 3963589
    , at *11 (Tenn. Ct. App. Sept. 9, 2011).
    As such, a trial court's order must contain enough information “to disclose ... the steps by
    which the trial court reached its ultimate conclusion. . . .” In re Estate of Oakley, No.
    M2014-00341-COAR3-CV, 
    2015 WL 572747
    , at *11 (Tenn. Ct. App. Feb. 10, 2015)
    (quoting Lovlace v. Copley, 
    418 S.W.3d 1
    , 35 (Tenn. 2013)). Here, the trial court’s order
    sets out its ultimate conclusion, but provides no information (other than the grounds of res
    judicata and collateral estoppel, which are not applicable) from which this Court can
    discern the trial court’s reasoning on the ground of failure to state a claim. For these
    reasons, we vacate the trial court’s dismissal of the portion of Count 2 that was adjudicated
    in the September 20, 2020 order and its dismissal of Count 4.
    VII. Count 6: “Strict Liability in Tort for Misconduct of a Lawyer;” and Count 7:
    “Liability of Lawyer Misconduct Causing Harm/Damage to a Foreseeable Third-
    Party Non-Client Ethical Differentiation Standard.”
    Counts 6 and 7 of Appellant’s First Amended Complaint for Damages seek to
    establish new common law causes of action for strict liability in tort for a lawyer’s
    misconduct that results in damage to a third party who is not the lawyer’s client. In fact,
    in its First Amended Complaint, Appellant acknowledged that it sought recognition of a
    new common law tort in those counts, i.e., Appellant “seek[s] to establish a new common
    law action . . . .” Appellees moved to dismiss Counts 6 and 7 for failure to state a claim on
    - 13 -
    which relief could be granted pursuant to Rule 12 of the Tennessee Rules of Civil
    Procedure. In its July 19, 2019 order, the trial court granted Appellees’ motion and
    dismissed counts 6 and 7 on the ground that Appellant sought to pursue causes of action
    that were not supported by existing Tennessee law.
    In its brief, Appellant requests that this Court establish the new causes of action
    contemplated in Counts 6 and 7 of the First Amended Complaint. We have no authority to
    do so. See Sachenbacher v. Lawler, 
    633 S.W.2d 481
    , 483-84 (Tenn. Ct. App. 1981)
    (quoting Rush v. Great American Insurance Co., 
    376 S.W.2d 454
     (Tenn. 1964) (stating
    that it is not within the Court of Appeals’ province to create a “new action which was
    unknown at the common law and has not been provided for by statute”)); see also Taylor
    v. Beard, No. W2001-00347-COA-R3-CV, 
    2001 WL 1381355
    , at *3 (Tenn. Ct. App. Nov.
    5, 2001) (declining “the authority for this intermediate appellate court to create new law”).
    Accordingly, we decline Appellant’s invitation to establish these new claims and affirm
    the trial court’s dismissal of Counts 6 and 7 of the First Amended Complaint.
    VIII. Denial of Appellant’s Tennessee Rule of Civil Procedure Rule 12.05 Motion for
    More Definite Statement and for Stay of Case Pending Appeal of Underlying Case.
    A. Appellant’s Motion for More Definitive Statement
    On July 15, 2020, Appellant filed a motion for more definitive statement, to deny
    the second motion for dismissal, and for stay of the case pending appeal of the underlying
    Case under Rule 12.05 of the Tennessee Rules of Civil Procedure, which provides:
    If a pleading to which a responsive pleading is permitted is so vague or
    ambiguous that a party cannot reasonably be required to frame a responsive
    pleading, the party may move for a more definite statement before
    interposing a responsive pleading. The motion shall point out the defects
    complained of and the details desired. If the motion is granted and the order
    of the court is not obeyed within fifteen (15) days after notice of the order or
    within such other time as the court may fix, the court may strike the pleading
    to which the motion was directed or may make such order as it deems just.
    As set out in its motion, Appellant claimed that Appellees did not accompany their
    motion for summary judgment with a separate, concise statement of material facts.
    Appellant argued that Appellees’ motion: (1) did not set out the material facts in separate,
    numbered paragraphs; (2) did not cite to the record; and (3) used argumentative language.
    Despite these allegations, Appellant filed a response to Appellees’ statement of facts on
    July 15, 2020.
    In its September 20, 2020 order, the trial court denied Appellant’s motion on its
    finding that Appellees’
    - 14 -
    Statement of Material Facts, filed August 5th, 2019, with its Second Motion
    to Dismiss, contains separate, concise, material facts set forth in separate,
    numbered paragraphs and each is cited to the record in this case. The Court
    finds a more definite statement is not necessary in this case for the
    [Appellant] to respond and the [Appellant] has, in fact, responded.
    Accordingly, the [Appellant’s] Motion for More Definite Statement is
    DENIED. Further, the Court finds it unnecessary to stay all proceedings
    pending appeal of the underlying Chancery case or to order full discovery of
    the parties at this time.
    From our review of the record, we conclude that the record supports the trial court’s
    finding as Appellees’ statement of material facts filed with its second motion seeking
    dismissal lists the material facts in separate, numbered paragraph and cites to the record.
    This, coupled with the fact that Appellant did, in fact, respond to the statement of material
    facts, leads only to the conclusion that there was no need for a more definite statement. As
    such, we conclude that the trial court did not abuse its discretion in denying Appellant’s
    motion.
    B. Appellant’s Request for Stay Pending Appeal
    As set out in its September 20, 2020 order, the trial court denied Appellant’s motion
    for stay pending appeal. Now, in the “Relief Requested” section of its Brief, Appellant
    asks this Court to impose
    [a] temporary stay . . . directing the trial court upon mandate to withhold
    further dispositive action until such time as all appeal proceedings for [the
    Underlying Case] are complete and fully concluded, enforcing the spirit of
    TRCP 1.01 or in the alternative hold the case short of mandate pending
    resolution of all pending cases related to the destruction of Hill Boren P.C.
    and related litigation.
    There is no basis for such relief as this Court’s dismissal of the appeal in the
    Underlying Case rendered the appellate proceedings for that case “complete and fully
    concluded.” As such, we deny Appellant’s request for stay, and affirm the trial court’s
    denial of Appellant’s motion for stay.
    IX. Conclusion
    For the foregoing reasons, we vacate the trial court’s dismissal of Count 4 of the
    First Amended Complaint and its dismissal of the portion of Count 2 that was dismissed in
    the trial court’s September 20, 2020 order on the grounds of res judicata and collateral
    estoppel. The trial court’s orders are otherwise affirmed, and the case is remanded for such
    - 15 -
    further proceedings as may be necessary and are consistent with this opinion. Appellant’s
    motion for stay is denied. Costs of the appeal are assessed one-half to Appellant, The Law
    Offices of T. Robert Hill, PC, and one-half to Appellees, Lewis Latane Cobb, Teresa Anne
    Luna, and Spragins, Barnett & Cobb, PLC, for all of which execution may issue if
    necessary.
    s/ Kenny Armstrong
    KENNY ARMSTRONG, JUDGE
    - 16 -