Clear Water Partners, LLC v. Charles e. Benson ( 2017 )


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  •                IN THE COURT OF APPEALS OF TENNESSEE
    AT KNOXVILLE
    October 18, 2016 Session
    CLEAR WATER PARTNERS, LLC v. CHARLES E. BENSON, ET AL.
    Appeal from the Chancery Court for Knox County
    No. 190254-2    Clarence E. Pridemore, Jr., Judge
    ___________________________________
    No. E2016-00442-COA-R3-CV – Filed January 26, 2017
    ___________________________________
    A purchaser of property filed a complaint against numerous individuals asserting
    intentional interference with its business relationships and tortious interference with its
    contracts based on the individuals‟ alleged misconduct aimed at preventing the
    development of the property the purchaser was attempting to acquire. The defendants
    filed motions to dismiss based on Tennessee Rules of Procedure 10.03 and 12.02(6),
    which the trial court granted. The trial court also awarded the defendants their attorneys‟
    fees pursuant to Tenn. Code Ann. § 4-21-1003(c). The plaintiff appealed, and we find
    the plaintiff properly stated a claim for tortious interference with business relationships
    and civil conspiracy; the plaintiff did not state a claim for tortious interference with
    contracts; and the defendants are not entitled to an award of their attorneys‟ fees at this
    stage of the proceedings.
    Tenn. R. App. P. 3 Appeal as of Right; Judgment of the Chancery Court
    Affirmed in Part, Vacated in Part, and Remanded
    ANDY D. BENNETT, J., delivered the opinion of the court, in which D. MICHAEL SWINEY,
    C.J., and THOMAS R. FRIERSON, II, J., joined.
    David J. Silvus, Clarksville, Tennessee, for the appellant, Clear Water Partners, LLC.
    John A. Lucas and Nicholas W. Diegel, Knoxville, Tennessee, for the appellees, Charles
    E. and Rebecca Benson, Russ and Tracy Ford, Frank and Belinda Gambuzza, Cheryl and
    Dennis Hatcher, Mark and Kathy Jackson, Glenn Loy, Mark and Virginia Smothers,
    Robert Whitaker, Michael and Sherry Whitaker, Sharon Boyce, Jack Woodall, and
    Susannah Sayre; and Gregory W. O‟Neal, Memphis, Tennessee, for the appellee, David
    Kiger.
    OPINION
    I. PROCEDURAL BACKGROUND
    Clear Water Partners, LLC (“Clear Water”) is a limited liability company that
    filed a complaint in September 2015 against twenty-three individual defendants based on
    allegations that the individuals acted improperly to interfere with its plans to purchase
    and develop real property in Knox County, Tennessee. According to its complaint, Clear
    Water paid $6,000 to Gloria L. Melgaard Trusts (the “Trusts”) for the option of
    purchasing and developing approximately 111 acres of real property. Its purchase was
    contingent on the approval of a development plan, obtaining rezoning approval, and the
    performance of certain site development work. Clear Water alleges it contracted with
    Paul J. Murphy, III to sell about thirty acres of the property to him once Clear Water
    executed its option contract with the Trusts and paid the $6,000. According to Clear
    Water, Mr. Murphy voided his contract with Clear Water on April 18, 2014, due to
    “improperly motivated conduct and/or improper means” of twenty-three named
    individuals (the “Defendants”), causing Clear Water to suffer monetary damages.
    Clear Water alleges that it then contracted to sell the same thirty or so acres of
    property to Belle Investment Company, Inc. (“Belle Investment”), and that Belle
    Investment required Clear Water to make certain changes to the plans that were different
    from the specifications Mr. Murphy had requested, and that these changes caused Clear
    Water to incur damages. With regard to seventy or so acres of the remaining property,
    Clear Water asserts it submitted a rezoning application to the Knoxville/Knox County
    Metropolitan Planning Commission (“MPC”) in July 2013 to classify the seventy acres as
    “low density” residential use. Clear Water claims it submitted a development plan
    seeking approval of a multi-family dwelling development as well as for a use-on-review
    request for approval of a marina for the adjoining property that it was not seeking to
    develop into multi-family dwellings.
    According to Clear Water, the Defendants, individually and through their
    attorney/agent, “vigorously opposed” its rezoning application and development plans for
    apartments as well as the use-on-review for the construction of a marina on the adjoining
    property. Clear Water alleges the Defendants created false e-mail accounts that appeared
    to be from residents of neighborhoods around the proposed development to send to MPC
    members and County Commissioners for the purpose of opposing the proposed
    development. Clear Water alleges that defendant Susannah Sayre sent a flyer containing
    false and misleading information home with approximately 833 elementary school
    children encouraging parents of the children to oppose the proposed development. Clear
    Water further alleges that defendant Charles E. Benson circulated to residents living near
    the proposed development a different flyer containing false and misleading information
    about the development. Clear Water also asserts that defendant David Kiger, who owns a
    marina located approximately one mile from the proposed marina, submitted an affidavit
    -2-
    containing materially false and misleading information regarding the proposed marina to
    both the MPC and the BZA in an effort to cause the agencies to deny Clear Water‟s
    request to develop a marina.
    Clear Water asserts that its rezoning application, development plan, and use-on-
    review were placed on the MPC‟s agenda for its September 12, 2013, meeting. Due to
    the Defendants‟ opposition, the MPC postponed reviewing Clear Water‟s applications for
    sixty days, and on November 14, 2013, the MPC approved the rezoning classification, the
    development plan for the apartment complex, and the use-on-review for the marina.
    Then, on December 16, 2013, the Knox County Commission (the “Commission”)
    approved the rezoning application as recommended by the MPC.
    The Defendants appealed the MPC‟s decision to the Board of Zoning Appeals
    (“BZA”) on November 14, 2013. Clear Water asserts that the materials the Defendants
    submitted to the BZA contained materially false and misleading information about both
    the planned development and the marina. On February 26, 2014, the BZA upheld the
    MPC‟s decision to approve the development plan and reversed the MPC‟s decision to
    approve the use-on-review for the marina. Clear Water alleges that as a result of the
    delays to the project caused by the Defendants, it had to pay an additional $20,000 to the
    Trusts to extend its option contract to purchase the property at issue.
    According to Clear Water‟s complaint, the Defendants filed a petition for
    certiorari with the Circuit Court of Knox County on March 28, 2014, challenging the
    BZA‟s approval of the development plan, and it filed a petition seeking review of the
    BZA‟s decision to deny the use-on-review for the marina. On June 16, 2015, the trial
    court upheld the BZA‟s decision with regard to both the development plan and the
    marina, and the Defendants appealed the trial court‟s decision to uphold the BZA‟s
    approval of the development plan to the Court of Appeals.1
    During the pendency of the petitions for certiorari, Clear Water was having a
    boundary survey performed pursuant to the terms of the development plan. The survey
    required accessing the neighboring property, which was owned by Glenn Loy, Michael
    Whitaker, and June Whitaker, all of whom are named defendants. These defendants
    refused the surveyor access to their property, making it necessary for Clear Water to
    obtain a court order requiring the defendants to allow this access. During this same
    period, Clear Water alleges that another defendant, Cheryl Hatcher, made a false claim to
    the United States Fish and Wildlife Service (“FWS”) that Clear Water was disturbing or
    destroying blue heron nests. Clear Water asserts that this conduct by these defendants
    further delayed the development of the property and caused Clear Water to incur
    additional and unnecessary expenses.
    1
    The current appeal is unrelated to the Defendants‟ appeal of the BZA‟s decision.
    -3-
    Finally, Clear Water alleges that defendant Rebecca Benson published false
    statements about John Huber, one of the principals of Clear Water, to at least one other
    person in the form of an e-mail. According to Clear Water, this e-mail falsely stated that
    Huber has told “so many lies” and that Mr. Huber intended to build a roadway through
    the Woodland Springs subdivision, which Clear Water asserts was not true.
    The causes of action Clear Water asserts against the Defendants include claims for
    tortious interference with its business relationships, tortious interference with its
    contracts, and civil conspiracy. Clear Water seeks compensatory damages in an amount
    not to exceed $550,000 and requests punitive damages as well.
    In November 2015, twenty-one of the Defendants filed a motion to dismiss the
    complaint pursuant to Rule 10.03 of the Tennessee Rules of Civil Procedure. The
    Defendants argued that Clear Water‟s complaint was based on particular contracts and
    that Clear Water failed to attach any of the contracts to its complaint as Rule 10.03
    required. Then, in December 2015, fifteen of the Defendants filed a different motion to
    dismiss pursuant to Rule 12.02(6) of the Tennessee Rules of Civil Procedure on the basis
    that Clear Water had failed to state a claim upon which relief could be granted as to these
    individuals. The Defendants also argued that their activities petitioning the government
    in opposition to Clear Water‟s planned development and participating in litigation
    appeals were privileged.
    The trial court held a hearing on both of the motions to dismiss on December 14,
    2015, and it granted both of the motions by orders dated December 28, 2015. With
    respect to the Defendants‟ Rule 12.02(6) motion, the court stated:
    After argument of respective Counsel here today and a review of the
    record as a whole, this Court finds that the Plaintiff‟s complaint includes
    factual allegations about some Defendants, but does not contain any factual
    allegations about the unnamed Defendants that Mr. Lucas and Mr. O‟Neal
    represent here today.
    This Court also finds the acts alleged in the Plaintiff‟s complaint are
    privileged pursuant to TCA 4-21-1003; therefore, the Defendants‟ motion
    to dismiss pursuant to Rule 12.06 is hereby granted as to the named
    Defendants for failure to state a claim upon which relief can be granted, as
    well as privileged pursuant to TCA 4-21-1003. This includes all claims,
    including any unraised claims for defamation or other claims arising from
    litigation.
    As to attorney fees, this Court will award reasonable attorney fees
    pursuant to TCA 4-21-1003, due to no named exceptions being raised on
    -4-
    behalf of the Plaintiffs prohibiting the Defendants from covering such. And
    that‟s my order.
    The trial court then ruled on the Defendants‟ Rule 10.03 motion as follows:
    There is no doubt in my mind that this whole thing is founded upon
    a breach of contract between these different parties.
    There‟s three alleged contracts in here in this complaint, and for that
    reason I‟m going to grant the motion to dismiss pursuant to 10.03. There‟s
    three exceptions in the 10.03, but they don‟t meet any of those three
    exceptions.
    It‟s not public records. It‟s not filed as public records. It‟s not
    inaccessible to the pleaders. The adverse party apparently does not have it,
    and it‟s not an insurance claim. I‟m going to grant that motion also.
    The Defendants‟ attorneys filed an application for their fees and expenses in
    January 2016, and the trial court issued an order on February 4, 2016, awarding the Rule
    12 Defendants $25,535 for attorneys‟ fees and costs pursuant to Tenn. Code Ann. § 4-21-
    1003.
    On January 20, 2016, Clear Water filed a motion pursuant to Rules 59 and 60 of
    the Tennessee Rules of Civil Procedure to alter or amend the judgment granting the
    Defendants‟ Rule 10 motion to dismiss. Clear Water pointed out that its complaint
    includes a claim for tortious interference with existing or prospective business
    relationships in addition to a claim for tortious interference with contract, and that the
    business relationships claim does not require that there be a contract or that it be
    breached. Clear Water also argued that the law does not require a contract to be attached
    to a complaint for a plaintiff to state a claim for tortious interference with contract.
    The Defendants moved to strike Clear Water‟s motion to alter or amend, asserting
    that the trial court lacked jurisdiction over the case because Clear Water‟s motion was an
    unauthorized motion for reconsideration rather than a true motion to alter or amend. By
    order entered on March 3, 2016, the trial court agreed with the Defendants‟ argument and
    granted their motion to strike Clear Water‟s motion to alter or amend, finding that the
    court lost jurisdiction over the case after January 27, 2016, which was thirty days
    following the date of its order granting the Rule 10 Defendants‟ motion to dismiss. On
    the same day, the court entered an alternative order denying Clear Water‟s motion to alter
    or amend “even if the Court were to construe Plaintiff‟s Motion as a motion to alter or
    amend filed pursuant to Rule 59.”
    -5-
    Clear Water filed two notices of appeal: one on March 4, 2016, and the other on
    April 1, 2016. On appeal, Clear Water contends the trial court erred by ruling (1) that its
    complaint failed to state a cause of action with respect to the Rule 12 Defendants; (2) that
    its complaint should be dismissed pursuant to Rule 10.03 of the Tennessee Rules of Civil
    Procedure; (3) that the Rule 12 Defendants are entitled to recover their attorneys‟ fees
    pursuant to Tenn. Code Ann. § 4-21-1003; and (4) that its motion to alter or amend
    should be stricken.
    II. ANALYSIS
    A. Rule 12.02(6) Motion to Dismiss
    1. Standard of Review
    A party that files a motion pursuant to Rule 12.02(6) asserts that the plaintiff has
    failed to state a claim upon which relief can be granted. TENN. R. CIV. P. 12.02(6). The
    motion “challenges only the legal sufficiency of the complaint, not the strength of the
    plaintiff‟s proof or evidence.” Webb v. Nashville Area Habitat for Humanity, Inc., 
    346 S.W.3d 422
    , 426 (Tenn. 2011); see also Willis v. Tenn. Dep’t of Corr., 
    113 S.W.3d 706
    ,
    710 (Tenn. 2003). A Rule 12.02(6) motion is resolved by examining the complaint
    alone; if the plaintiff can prove any set of facts in support of the claims asserted that
    would entitle it to relief, the trial court should deny the motion to dismiss. 
    Webb, 346 S.W.3d at 426
    (citing Leggett v. Duke Energy Corp., 
    308 S.W.3d 843
    , 851 (Tenn. 2010);
    Crews v. Buckman Labs. Int’l, Inc., 
    78 S.W.3d 852
    , 857 (Tenn. 2002)). The party filing
    the motion „“admits the truth of all the relevant and material allegations contained in the
    complaint, but . . . asserts that the allegations fail to establish a cause of action.‟” Phillips
    v. Montgomery Cnty., 
    442 S.W.3d 233
    , 237 (Tenn. 2014) (quoting 
    Webb, 346 S.W.3d at 426
    ) (additional citations omitted). When ruling on Rule 12.02(6) motions, courts are to
    „“construe the complaint liberally, presuming all factual allegations to be true and giving
    the plaintiff the benefit of all reasonable inferences.‟” Id. (quoting 
    Webb, 346 S.W.3d at 426
    ) (further citations omitted). The determination of whether a complaint should be
    dismissed for failure to state a claim is a question of law that appellate courts review de
    novo, with no presumption of correctness afforded to the trial court‟s decision. Id.;
    
    Webb, 346 S.W.3d at 426
    .
    2. Civil Conspiracy
    The following Defendants joined together to file the Rule 12.02(6) motion in
    December 2015: Charles W. and Mary Benson, Russ and Tracy Ford, Frank and Belinda
    Gambuzza, Dennis Hatcher, Mark and Kathy Jackson, Mark and Virginia Smothers,
    Robert Whitaker, Sherry Whitaker, Sharon Boyce, and Jack Woodall (“Rule 12
    Defendants”). The basis of their motion was that Clear Water included no specific
    factual allegations in its complaint about any of these individuals. Clear Water responded
    -6-
    that it asserted a claim for civil conspiracy against all of the Defendants, some of whom
    were identified by name as engaging in particular activities, and some of whom were not.
    In paragraph 75 of its complaint, Clear Water alleged:
    At all times pertinent herein the Defendants were a combination of two or
    more persons who, each having the intent and knowledge of the other‟s
    intent, accomplished by concert the goal of intentionally interfering with
    the Plaintiff‟s contractual relationships and/or business relationship, with
    unlawful purpose, unlawful means, or both. Such civil conspiracy resulted
    in actual damage to the Plaintiff.
    The Tennessee Supreme Court has stated that “[a]n actionable civil conspiracy is a
    combination of two or more persons who, each having the intent and knowledge of the
    other‟s intent, accomplish by concert an unlawful purpose, or accomplish a lawful
    purpose by unlawful means, which results in damage to the plaintiff.” Trau-Med of Am.,
    Inc. v. Allstate Ins. Co., 
    71 S.W.3d 691
    , 703 (Tenn. 2002). The elements of the cause of
    action include: “(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) (citing Morgan v. Brush
    Wellman, Inc., 
    165 F. Supp. 2d 704
    , 720 (E.D. Tenn. 2001)). A conspiracy is actionable
    only if the underlying predicate tort was committed as part of the conspiracy. Watson’s
    Carpet & Floor Coverings, Inc. v. McCormick, 
    247 S.W.3d 169
    , 180 (Tenn. Ct. App.
    2007). If a conspiracy is proven, each conspirator is liable for his or her co-conspirators‟
    wrongful acts and for the damages resulting to the plaintiff. 
    Trau-Med, 71 S.W.3d at 703
    .
    A review of the complaint reveals that Clear Water alleged the Defendants acted
    with a common design to interfere with the contracts and business relationships Clear
    Water had with the Trusts, with Paul J. Murphy, III, and with Belle Investment. Clear
    Water alleged that the Defendants interfered with its relationships by creating false e-mail
    accounts to cause members of the MPC and County Commissioners to believe there was
    more opposition to the proposed development; that the Defendants, through their attorney
    and agent, sought unnecessary postponements of Clear Water‟s rezoning application,
    development plan, and use-on-review for the marina for the purpose of causing delay and
    increasing the expenses and costs to Clear Water; that the Defendants published false and
    misleading information about the proposed development on a website they maintained to
    prevent the proposed development; and that the Defendants submitted false information
    to the BZA regarding the effects of the proposed development on existing homes. Thus,
    Clear Water articulated overt acts by the Defendants to support its claim for civil
    conspiracy against the Defendants so long as we find Clear Water‟s predicate act(s) were
    sufficient to withstand the Defendants‟ motion to dismiss. See Emerson v. Machamer,
    -7-
    
    431 S.W.2d 283
    , 286 (Tenn. 1968) (explaining overt acts of the conspiracy are what
    cause damages).
    Clear Water also alleged that the Defendants were commanding, directing, and/or
    knowingly authorizing their attorney in furtherance of the civil conspiracy described in
    the complaint, and that the Defendants were vicariously liable for their attorney/agent‟s
    acts and omissions. The Defendants contend Clear Water failed to allege that the
    Defendants‟ attorney engaged in tortious interference with Clear Water‟s business
    relations. However, Clear Water asserted that the Defendants‟ attorney “explicitly
    represented to the BZA” that a mock-up created by the Defendants and/or their attorney
    was “an intentional or reckless factual misrepresentation of the appearance of the
    development plan approved by the MPC” and that the attorney knew or should have
    known that the mock-up was false and misrepresented the location, nature, and
    appearance of the planned development. Thus, we find Clear Water has stated a claim
    for vicarious liability on the part of the Defendants for their attorney‟s conduct. See
    Givens v. Mullikin, ex. rel. Estate of McElwaney, 
    75 S.W.3d 383
    , 395 (Tenn. 2002)
    (recognizing that client may be vicariously liable for acts or omissions of attorney when
    acts or omissions are “directed, commanded, or knowingly authorized” by client); Trau-
    
    Med., 71 S.W.3d at 697
    (finding insurer may be vicariously liable for attorney‟s conduct
    where insurer controls details of attorney‟s performance, dictates strategy or tactics, or
    directs attorney‟s conduct of litigation).
    3. Intentional Interference with Business Relationships
    Clear Water‟s civil conspiracy claim hinges on the viability of the torts Clear
    Water asserts against the Defendants. The Rule 12 Defendants allege Clear Water has
    failed to state a claim for tortious interference with business relationships because Clear
    Water had a contractual relationship with the Trusts, Mr. Murphy, and Belle Investment.
    According to the Defendants, “the tort of intentional interference with business
    relationships does not apply where there is a contractual relationship between the Plaintiff
    and the third party.”
    The Tennessee Supreme Court expressly adopted the tort of intentional
    interference with business relationships in Trau-Med of Am., Inc. v. Allstate Ins. Co., 
    71 S.W.3d 691
    (Tenn. 2002). The Court explained that the elements of the tort include the
    following:
    (1) an existing business relationship with specific third parties or a
    prospective relationship with an identifiable class of third persons; (2) the
    defendant‟s knowledge of that relationship and not a mere awareness of the
    plaintiff‟s business dealings with others in general; (3) the defendant‟s
    intent to cause the breach or termination of the business relationship; (4) the
    -8-
    defendant‟s improper motive or improper means; and finally, (5) damages
    resulting from the tortious interference.
    
    Trau-Med, 71 S.W.3d at 701
    (footnotes and citation omitted). In its complaint, Clear
    Water alleged that the Defendants had knowledge of its business and/or contractual
    relationships with the Trusts and with a purchaser of the property once the development
    was approved and Clear Water completed certain work on the project and that the
    Defendants intended to interfere with Clear Water‟s development of the property that was
    the subject of its business relationship with the Trusts and Belle Investment. Clear Water
    contends that its existing contracts with the Trusts and Belle Investment were not the
    basis for its claim of tortious interference with business relationships. Rather, Clear
    Water asserts that its claim was based on the necessity of continuing to negotiate with the
    Trusts, Mr. Murphy, and Belle Investment in an effort to develop the property as a result
    of the Defendants‟ misconduct and the excess and unnecessary costs and expenses it
    incurred as a result of the Defendants‟ improper conduct.2
    The Trau-Med Court expressly adopted comment c of the Restatement (Second) of
    Torts § 766B, which states:
    “The relations protected against intentional interference by the rule stated in
    this Section include any prospective contractual relations, except those
    leading to contracts to marry, if the potential contract would be of
    pecuniary value to the plaintiff. Included are interferences with the
    prospect of obtaining employment or employees, the opportunity of selling
    or buying land or chattels or services, and any other relations leading to
    potentially profitable contracts. Interference with the exercise by a third
    party of an option to renew or extend a contract with the plaintiff is also
    included. Also included is interference with a continuing business or other
    customary relationship not amounting to a formal contract.”
    
    Trau-Med, 71 S.W.3d at 701
    n.4 (quoting RESTATEMENT (SECOND) OF TORTS § 766B
    (1979), comment c) (emphasis added). As the quoted portion notes, a defendant‟s
    interference with any prospective contractual relationship or exercise of an option to
    renew or extend a contract is explicitly covered by the tort of intentional interference with
    business relationships.
    2
    Clear Water stated in paragraph 73 of its complaint that the Defendants‟ actions,
    assertions, allegations, and delaying tactics constituted tortious interference with Clear Water‟s
    reasonable business expectancies. In paragraph 74, Clear Water asserted that the Defendants‟
    false or reckless statements were made with the intent to cause a breach or termination of Clear
    Water‟s business relationships with the Trusts.
    -9-
    The only real question, then, with regard to Clear Water‟s claim for tortious
    interference with its business relationships, is whether its current contractual relationships
    bar it from asserting this tort with respect to its future contractual or other business
    relationships with the same third parties. Clear Water relies on the case Tennison
    Brothers, Inc. v. Thomas, No. W2013-01835-COA-R3-CV, 
    2014 WL 3845122
    (Tenn. Ct.
    App. Aug. 6, 2014), to argue that they do not. In Tennison Brothers, the plaintiff,
    Tennison Brothers, owned real property and entered into a lease agreement pursuant to
    which Clear Channel Outdoor (“CCO”) had the right to erect a billboard on its property.
    Tennison Brothers, 
    2014 WL 3845122
    , at *1. A neighboring landowner had a competing
    right to erect a billboard on his property, but both billboards could not be erected
    concurrently under the governing code. 
    Id. at *2.
    Tennison Brothers sued its neighbor
    and other related parties for tortiously interfering with its business relationship with
    CCO, among other claims. 
    Id. at *2.
    The only business relationship with which
    Tennison Brothers asserted the defendants interfered was its lease agreement with CCO,
    and this contractual relationship was not addressed as an issue by either the trial court or
    the Court of Appeals. See 
    id. at *5
    and *12. The Court of Appeals recited the allegations
    of Tennison Brothers‟ complaint relating to its tortious interference claim, which
    included the averment that Tennison Brothers‟ and CCO‟s business relationship was
    based on a lease agreement. 
    Id. at *12.
    The Tennison Brothers Court then concluded
    that Tennison Brothers had “pled facts sufficient to satisfy the prima facie requirements
    for the intentional interference with business relationships tort.” 
    Id. at *13.
    The Defendants rely on two federal court opinions interpreting Tennessee law to
    argue that Clear Water‟s contracts bar it from asserting a claim for tortious interference
    with business relationships. In Crouch v. Pepperidge Farm, Inc., 424 Fed. Appx. 456 (6th
    Cir. 2011), the Sixth Circuit cited Trau-Med for the proposition that the Tennessee tort of
    wrongful interference with a business relationship “protects non-contractual business
    relationships” and refused to allow the plaintiff to apply this claim to his contractual
    relationship with a third party. Crouch, 424 Fed. Appx. at 461. In a similar vein, the
    District Court for the Western District of Tennessee issued an opinion stating that a
    plaintiff‟s claim for intentional interference with business relationships is limited to non-
    contractual relationships. Lick Branch Unit, LLC v. Reed, No. 3:13-cv-203, 
    2014 WL 546696
    , at *15 (E.D. Tenn. Feb. 10, 2014). The district court cited Trau-Med and
    referred to comment c of the Restatement (Second) of Torts § 766B that the Trau-Med
    Court expressly adopted to explain its decision not to apply the tort to relationships that
    involve a formal contract. 
    Id. It is
    difficult to square the result in Tennison Brothers with Crouch and Lick
    Branch Unit.3 However, in light of Clear Water‟s assertion that its claim is not based on
    3
    We also note that it does not appear from the Tennison Brothers opinion that any of the
    defendants made the argument that the tortious interference with business relationships claim was not
    available to the plaintiff as a result of the plaintiff‟s contractual relationship with CCO. Thus, the
    - 10 -
    the contracts it had with the Trusts, Belle Investment, and Mr. Murphy, but instead was
    based on future contracts and business relationships with some or all of these third
    parties, we need not try to reconcile the discrepancy among these cases. We believe the
    fact that Clear Water had contractual relationships with the same third parties with which
    it alleged it had business relationships and which formed the basis of its tortious
    interference claim is inconsequential so long as the tortious interference claim is based on
    future contractual and/or business relationships, not current or prior contractual
    relationships. Implicit in comment c of the Restatement (Second) of Torts § 766B is that
    a plaintiff asserting this tort may have an existing contract with a third party when the
    defendant engages in improper conduct that interferes with the plaintiff‟s future
    contractual relationship with that third party. See RESTATEMENT (SECOND) OF TORTS §
    766B (1979), comment a (“This section is concerned only with intentional interference
    with prospective contractual relations, not yet reduced to contract.”).
    4. Judicial Privilege
    We now turn briefly to the argument the Rule 12 Defendants made in their motion
    to dismiss that any statements they may have made in the course of judicial proceedings
    and their participation in litigation appeals were privileged. The Defendants concede in
    their brief that this privilege only extends to claims for defamation, see Evans v.
    Nashville Banner Publ’g Co., No. 87-164-II, 
    1988 WL 105718
    , at *3 (Tenn. Ct. App.
    Oct. 12, 1988), and Clear Water has indicated that it is not pursuing any defamation or
    slander causes of action against any of the Defendants. Thus, the issue of privilege is no
    longer an issue on appeal.
    We conclude that Clear Water has stated a claim for civil conspiracy against all of
    the Defendants, with tortious interference with its business relationships as the predicate
    tort, and that the trial court erred in granting the Defendants‟ Rule 12.02(6) motion with
    respect to these claims.
    B. Rule 10 Motion to Dismiss
    The following Defendants joined together to file a motion to dismiss pursuant to
    Rule 10.03: Charles E. and Rebecca Benson, Cheryl and Dennis Hatcher, Mark and
    Kathy Jackson, Glen Loy, Mark and Virginia Smothers, Michael and Sherry Whitaker,
    Sharon Boyce, Jack Woodall, Susannah Sayre, and David Kiger (“Rule 10 Defendants”).
    They argued that Clear Water‟s complaint should be dismissed because it was based on
    various contracts with which Clear Water alleged the Defendants interfered, and Clear
    Water failed to attach a copy of the contracts as required by Rule 10.03.
    Tennison Brothers Court may have had no reason to address this issue head on.
    - 11 -
    Rule 10.03 provides as follows:
    Whenever a claim or defense is founded upon a written instrument other
    than a policy of insurance, a copy of such instrument or the pertinent parts
    thereof shall be attached to the pleading as an exhibit unless the instrument
    is (1) a matter of public record in the county in which the action is
    commenced and its location in the record is set forth in the pleading; (2) in
    the possession of the adverse party and this fact is stated in the pleading; (3)
    inaccessible to the pleader or is of such nature that attaching the instrument
    would be unnecessary or impracticable and this fact is stated in the
    pleading, together with the reason therefor. Every exhibit so attached or
    referred to under (1) and (2) shall be a part of the pleading for all purposes.
    Clear Water did not seek to amend its complaint to attach a copy of its third party
    contracts in response to the Rule 10 Defendants‟ motion to dismiss. Instead, it argued
    that because its claims against the Defendants were tort claims rather than breach of
    contract claims, Rule 10 did not come into play. Alternatively, Clear Water stated in its
    response that if the trial court concluded that its claim was founded upon written
    instruments and was subject to Rule 10.03, that “Plaintiff ha[d] no objection to amending
    its Complaint to include the redacted contracts and extensions that reflect the obligations
    of the Plaintiff and the increased costs associated with the conduct complained of in its
    Complaint.”4
    In ruling on the Rule 10 Defendants‟ motion to dismiss, the trial court did not
    acknowledge this offer by Clear Water to amend its complaint for the purpose of
    attaching the relevant contracts as exhibits. Instead, the trial court dismissed the
    complaint because the “whole thing [was] founded upon a breach of contract between
    these different parties” and because the three exceptions set out in Rule 10.03 did not
    apply.5
    On appeal, Clear Water argues again that because its cause of action is in tort
    rather than for breach of contract, Rule 10.03 is not applicable. The language of Rule
    10.03 is unambiguous, however, that absent certain circumstances that the parties agree
    do not exist here, if “a claim or defense is founded upon a written instrument other than a
    policy of insurance, a copy of such instrument or the pertinent parts thereof shall be
    attached to the pleading as an exhibit . . . .” TENN. R. CIV. P. 10.03. Clear Water does
    4
    Clear Water contended that the original purchase price was not material to its claims against the
    Defendants and that it would redact this amount from the document if the court required the contract to be
    attached as an exhibit to the complaint.
    5
    The record does not contain a transcript of the hearing, so we do not know if Clear Water‟s
    attorney offered to amend the complaint to attach the contracts at issue as exhibits.
    - 12 -
    not deny that its claim for tortious interference with contract is founded upon “written
    instruments.” Thus, we conclude that Rule 10.03 applies to this claim by Clear Water. In
    response to Clear Water‟s argument that Rule 10.03 does not contemplate dismissal as a
    sanction for failing to comply with the rule, we note that Rule 41.02(1) provides that a
    plaintiff‟s complaint may be dismissed if the plaintiff fails to comply with the rules set
    forth in the Tennessee Rules of Civil Procedure. TENN. R. CIV. P. 41.02(1); see Maynard
    v. Meharry Med. Coll., No. 01-A-01-9408-CH-00400, 
    1995 WL 41598
    , at *1 (Tenn. Ct.
    App. Feb. 1, 1995) (granting defendants‟ motion to dismiss complaint due to failure to
    attach copy of contract documents to complaint as required by Rule 10.03).
    Clear Water relies on the case Wallace v. National Commerce Bancorporation,
    No. 02A01-9205-CV-00143, 
    1993 WL 44600
    (Tenn. Ct. App. Feb. 23, 1993), to argue
    that the trial court erred in dismissing its tortious interference with contract claim based
    on its failure to comply with Rule 10.03. The plaintiffs in Wallace had checking
    accounts with the defendant banks and alleged that the banks improperly charged them
    processing fees. Wallace, 
    1993 WL 44600
    , at *1. One of the plaintiffs‟ claims was that
    the banks breached their common law contractual obligation to deal with their customers
    fairly and in good faith. 
    Id. at *2.
    This claim was based on the parties‟ signature cards,
    which were not attached as exhibits to the complaint. 
    Id. at *4.
    Recognizing the
    plaintiffs‟ failure to comply with Rule 10.03, the Wallace Court excused this violation
    because “the averments of the complaint concerning the substance of the depositor‟s
    agreement [met] the bare minimum requirements to premise the allegation of breach of
    the duty of good faith in the performance of the contract.” 
    Id. As a
    result, the Wallace
    Court vacated the trial court‟s dismissal of this claim and remanded the case for further
    proceedings. 
    Id. at *7.
    Before addressing whether Clear Water included averments in its complaint to
    meet the bare minimum requirements upon which to premise its cause of action, as was
    the case in Wallace, we must determine whether Clear Water stated a cause of action for
    tortious interference with its contracts. The Court of Appeals has stated that a party in
    Tennessee can recover for tortious interference with the performance of a contract if the
    plaintiff can prove the following:
    (1) that there was a legal contract; (2) that the defendant knew of the
    existence of the contract; (3) that the defendant intended to induce a breach
    of the contract; (4) that the defendant acted maliciously; (5) that the
    contract was actually breached; (6) that the defendant‟s acts were the
    proximate cause of the breach; and (7) that the plaintiff suffered damages
    resulting from the breach.
    Lee v. State Volunteer Mut. Ins. Co., Inc., No. E2002-03127-COA-R3-CV, 
    2005 WL 123492
    , at *10 (Tenn. Ct. App. Jan. 21, 2005); see also Molloy v. Hrisko, No. M2014-
    - 13 -
    01351-COA-R3-CV, 
    2015 WL 4323028
    , at *8 (Tenn. Ct. App. July 14, 2015) (citing
    Hart v. First Nat’l Bank of Memphis, 
    690 S.W.2d 536
    , 540 (Tenn. Ct. App. 1985)).
    Clear Water‟s complaint includes the following relevant allegations:
    5. CLEAR WATER contracted with Paul J. Murphy III to purchase a
    portion of the Property from CLEAR WATER once CLEAR WATER had
    executed its option to purchase the subject property. In full or in part, as a
    result of the improperly motivated conduct and/or improper means of the
    Defendants in concert, Paul J. Murphy III voided that contract on April 18,
    2014, costing the Plaintiff actual monetary damages. This contract for
    purchase was for approximately 30 acres.
    6. The Defendants were aware of the business relationship between the
    Plaintiff and Paul J. Murphy III and sought to induce Paul J. Murphy III to
    void that business relationship and/or contract by improper means and/or
    improper motivation as set out in detail herein below, and as will be more
    fully described upon trial of this cause.
    7. After the contractual and/or business relationship with Paul J. Murphy III
    was destroyed by the Defendants, Plaintiff CLEAR WATER contracted
    with Belle Investment Company, Inc. to purchase that same portion of the
    Property from CLEAR WATER once CLEAR WATER had executed its
    option to purchase the portion of the Property from Gloria Melgaard Trusts
    and fulfilled certain other obligations with respect to the Property. All
    obligations either have been or will be fulfilled with the exception of the
    rezoning, approval of the Development Plan for the apartment complex,
    and use-on-review, all of which have previously been fulfilled to the
    satisfaction of the Plaintiff and Belle Investment Company, Inc. but have
    been delayed by the Defendants through improper motive and means.
    8. Belle Investment Company, Inc. required the Plaintiff to substantially
    alter the original plans created by the Plaintiff to Paul J. Murphy III‟s
    specifications. These changes included, but were not limited to, moving the
    entrance to the development, updating the Traffic Impact Study, shift and
    change the footprint of the development, creation of new grading, erosion
    control, drainage, pedestrian egress, landscaping, clearing, amenity and
    utility plans, and resubmission of a different clarifying or explanatory
    Development Plans to the MPC for administrative approval. These changes
    caused the Plaintiff actual damages.
    ....
    - 14 -
    73. Defendants‟ actions, assertions, allegations, and delaying tactics were
    pursued in major part for the purpose of causing harm, loss, and expense to
    Plaintiff. Defendants‟ conduct amounts to tortious interference with
    Plaintiffs contractual rights; such conduct likewise constitutes tortious
    interference with reasonable business expectancies of Plaintiff.
    74. The false or reckless statements outlined herein were made with the
    intent to cause a breach or termination of the Plaintiff‟s business
    relationships with Gloria Melgaard Trusts.
    ....
    78. The Defendants were actually aware of the business and/or contractual
    relationship of the Plaintiff with Gloria Melgaard Trusts. The Defendants
    were aware that Plaintiff had other business and/or contractual relationships
    pursuant to the execution of the Approved Development Plan and that those
    relationships included purchase of property from the Plaintiff upon which
    to construct an apartment complex, once the development had been
    approved and certain work had been completed on the project by the
    Plaintiff.
    79. The Defendants‟ predominant purpose in the above set-out conduct was
    to injure the Plaintiff and make it economically unfeasible for the project to
    be completed in an effort to scuttle the project by means other than those
    allowed by the law.
    The only contract Clear Water allegedly asserts was breached was its contract with
    Mr. Murphy.6 However, although Clear Water states that the Defendants were aware of
    its business relationship with Mr. Murphy, Clear Water does not allege the Defendants
    were aware of its contract with Mr. Murphy. Further, Clear Water fails to specify how
    the Defendants‟ acts were the proximate cause of the breach, as it must to state a claim
    for tortious interference with its contract. See Lee, 
    2005 WL 123492
    , at *10 (“complaint
    alleging tortious interference with the performance of a contract must also allege specific
    facts that, if true, would support each of the seven elements of the tort”).
    Thus, because we conclude Clear Water failed to state a claim for tortious
    interference with its contracts, the question whether its claim should be dismissed
    because it failed to comply with Rule 10.03 is pretermitted.
    6
    Clear Water asserts in paragraph 5 of the complaint that Mr. Murphy “voided” the contract he
    had with Clear Water. We assume for purposes of this argument that Clear Water intended “voided” to
    mean “breached.”
    - 15 -
    C. Award of Attorneys‟ Fees
    The trial court awarded the Rule 12 Defendants their attorneys‟ fees pursuant to
    Tenn. Code Ann. § 4-21-1003(c). This statute, in its entirety, provides:
    (a) Any person who in furtherance of such person‟s right of free speech or
    petition under the Tennessee or United States Constitution in connection
    with a public or governmental issue communicates information regarding
    another person or entity to any agency of the federal, state or local
    government regarding a matter of concern to that agency shall be immune
    from civil liability on claims based upon the communication to the agency.
    (b) The immunity conferred by this section shall not attach if the person
    communicating such information:
    (1) Knew the information to be false;
    (2) Communicated information in reckless disregard of its falsity; or
    (3) Acted negligently in failing to ascertain the falsity of the information if
    such information pertains to a person or entity other than a public figure.
    (c) A person prevailing upon the defense of immunity provided for in this
    section shall be entitled to recover costs and reasonable attorneys‟ fees
    incurred in establishing the defense.
    The trial court did not explain how this statute entitled the Rule 12 Defendants to
    recover their attorneys‟ fees, and we find the trial court‟s award was erroneously made,
    especially at this stage of the proceedings. When they first moved for an award of their
    fees, the Defendants asserted they were immune from prosecution for their statements to
    the MPC and/or BZA under the doctrine of judicial privilege. However, none of the
    Defendants in this case has prevailed on any claim of immunity, which is required before
    an award of fees and costs can be granted under this statute. Tenn. Code Ann. § 4-21-
    1003(c). Moreover, Clear Water has asserted that the statements the Defendants made to
    the MPC and BZA were known to be false when they were made or were made in
    reckless disregard of their falsity. The statute is clear that immunity “shall not attach” if
    the statements made to a governmental agency are knowingly false or are made in
    reckless disregard of their falsity. Tenn. Code Ann. § 4-21-1003(b). Finally, the
    Defendants would only be entitled to the defense of judicial privilege if Clear Water were
    suing them for defamation, 
    Trau-Med, 71 S.W.3d at 702
    , and Clear Water has stated that
    it is not pursuing any defamation claim against any of the Defendants. For all of these
    - 16 -
    reasons, we reverse the trial court‟s award of attorneys‟ fees and costs to the Rule 12
    Defendants.
    D. Clear Water‟s Motion to Alter or Amend
    After the trial court entered its order granting the Rule 10 Defendants‟ motion to
    dismiss on December 28, 2015, Clear Water filed a motion to alter or amend “pursuant to
    Rules 59 and 60 of the Tennessee Rules of Civil Procedure” on January 20, 2016. Clear
    Water argued in its motion that the trial court failed to address its claim for tortious
    interference with business relationships when it ruled that Clear Water‟s failure to attach
    its contract(s) to the complaint was fatal to Clear Water‟s case. Clear Water also argued
    that it is not necessary to attach a contract to a complaint to articulate a claim for tortious
    interference with a contract. Clear Water asked the trial court to alter or amend its earlier
    judgment to find that Clear Water‟s failure to attach any of its contracts to the complaint
    was not fatal to any of the claims asserted in the complaint. In the alternative, Clear
    Water asked the court to alter or amend its earlier judgment “to reflect that only the
    claims for tortious interference with contract are dismissed for failure to attach any
    contracts, as the claims for tortious interference with existing or prospective business
    relationships do not require the existence of a contract.”
    On February 12, 2016, the Defendants filed a motion to strike Clear Water‟s
    motion to alter or amend, arguing that the trial court lacked jurisdiction to rule on the
    motion. The Defendants contended that although Clear Water‟s motion purported to be a
    motion to alter or amend pursuant to Rule 59, the substance of the motion was one for
    reconsideration, which is not permitted under the rules. According to the Defendants, the
    trial court‟s order entered on December 28, 2015, became final and non-appealable thirty
    days later, on January 27, 2016, unless Clear Water filed a proper motion under Rule 59,
    which would toll the thirty-day period for filing a notice of appeal. See TENN. R. CIV. P.
    59.01; TENN. R. APP. P. 4(b).
    The trial court entered a “Final Order” on February 4, 2016, granting the Rule 12
    Defendants‟ motion to dismiss and application for attorneys‟ fees and expenses. Then,
    on March 3, 2016, the trial court entered an order granting the Defendants‟ motion to
    strike Clear Water‟s motion to alter or amend for the reasons stated in the Defendants‟
    motion. The trial court faulted Clear Water for failing to allege in its motion that the
    court “committed „clear error,‟” and concluded Clear Water‟s motion was substantively a
    motion for reconsideration rather than a motion to alter or amend, despite its title.
    Clear Water filed two notices of appeal: first on March 4, 2016, in which it
    appealed the trial court‟s “Final Order” entered on February 4, 2016, and second on April
    1, 2016, in which it appealed the trial court‟s order granting the Rule 10 motion to
    dismiss, the order denying Clear Water‟s motion to alter or amend, and the order granting
    the Defendants‟ motion to strike for lack of jurisdiction.
    - 17 -
    On appeal, the Defendants argue this Court lacks jurisdiction over Clear Water‟s
    appeal of the order granting the Rule 10 Defendants‟ motion to dismiss because Clear
    Water‟s motion to alter or amend was not a valid motion under Rule 59.04, and, thus, the
    motion did not toll the time for filing a notice of appeal.7 The Defendants concede that if
    we determine that Clear Water‟s motion to alter or amend was valid, then Clear Water‟s
    notice of appeal filed on April 1 was timely.
    Motions to alter or amend a judgment are authorized by Tennessee Rule of Civil
    Procedure 59.04, which provides: “A motion to alter or amend a judgment shall be filed
    and served within thirty (30) days after the entry of the judgment.” The rule does not list
    particular grounds upon which a motion to alter or amend should be based. The courts,
    however, have addressed the purpose and application of the rule.
    “The purpose of a Rule 59.04 motion to alter or amend a judgment is to
    provide the trial court with an opportunity to correct errors before the
    judgment becomes final.” In re M.L.D., 
    182 S.W.3d 890
    , 895 (Tenn. Ct.
    App. 2005); Bradley v. McLeod, 
    984 S.W.2d 929
    , 933 (Tenn. Ct. App.
    1998). Such a motion “permits the trial court to revisit and rectify errors
    that were made when the court overlooked or failed to consider certain
    matters.” Morrison v. Morrison, 
    2002 WL 31423848
    , at *2 (Tenn. Ct. App.
    Oct. 29, 2002). The rule affords litigants “a limited opportunity to readdress
    previously determined issues and afford trial courts an opportunity to revisit
    and reverse their own decisions.” Harris v. Chern, 
    33 S.W.2d 741
    , 744
    (Tenn. 2000).
    Baxter v. Heritage Bank & Trust, No. M2012-02689-COA-R3-CV, 
    2014 WL 1118072
    , at
    *3 (Tenn. Ct. App. March 19, 2014). The Baxter court explained that a motion filed
    pursuant to Rule 59.04 should be granted if the law changes before a judgment becomes
    final, new evidence becomes available, or to correct a “clear error of law” or prevent
    injustice. 
    Id. at *4
    (citing Chambliss v. Stohler, 
    124 S.W.3d 116
    , 121 (Tenn. Ct. App.
    2003); In re M.L.D., 
    182 S.W.3d 890
    , 895 (Tenn. Ct. App. 2005)). „“The purpose of
    Tenn. R. Civ. P. 59 motions is to prevent unnecessary appeals by providing the trial
    courts with an opportunity to correct errors before a judgment becomes final.‟” Byrnes v.
    Byrnes, 
    390 S.W.3d 269
    , 275 (Tenn. Ct. App. 2012) (quoting Bradley v. McLeod, 
    984 S.W.2d 929
    , 933 (Tenn. Ct. App. 1998)); see Lee, 
    2005 WL 123492
    , at *6-8 (treating
    plaintiff‟s petition to rehear as a motion to alter or amend based on substance of petition
    and purpose of Rule 59.04).
    Clear Water is not arguing on appeal that the trial court should have granted its
    motion to alter or amend. Rather, it is arguing that its motion to alter or amend was
    properly filed and that the trial court erred by granting the Defendants‟ motion to strike it
    7
    The Defendants acknowledge that Clear Water‟s Rule 12 notice of appeal was timely.
    - 18 -
    as an impermissible motion for reconsideration. The Defendants‟ reliance on Goetz v.
    Autin, No. W2015-00063-COA-R3-CV, 
    2016 WL 537818
    (Tenn. Ct. App, Feb. 10,
    2016), is misplaced. In Goetz, the appellate court found that the plaintiff raised an issue
    in his motion to alter or amend that had not been raised when the trial court considered
    the defendant‟s motion to dismiss; that the plaintiff argued the trial court failed to draw
    reasonable inferences in his favor; and that the trial court erred by considering matters
    outside the pleadings. Goetz, 
    2016 WL 537818
    , at *6. The Goetz court ultimately
    concluded that the motion would be treated as a motion to alter or amend and that the
    deadline to file a notice of appeal would be extended pursuant to Rule 59.01, but it
    warned that “[p]arties should not attempt to present previously unasserted theories or
    legal arguments or relitigate previously adjudicated matters under the guise of filing a
    Tenn. R. Civ. P. 59.04 motion to alter or amend.” 
    Id. The record
    in this case does not include a transcript of the hearing, so we do not
    know what the trial court considered in ruling on the Rule 10 Defendants‟ motion to
    dismiss. Further, it is not clear from the order the trial court entered granting the Rule 10
    Defendants‟ motion whether the court acknowledged or addressed Clear Water‟s claim
    for tortious interference with its business relationships asserted against all of the
    Defendants or how much consideration the court gave to whether a contract must be
    attached to a complaint when a plaintiff asserts a claim in tort for interfering with
    contractual relationships. Contrary to the Defendants‟ argument, Clear Water did not
    raise any issue for the first time in its motion to alter or amend, nor did it “simply ask[]
    the trial court to change its mind and accept the Plaintiff‟s argument that Rule 10.03 does
    not apply to claims for tortious interference with contracts or business relationships.”
    Rather, Clear Water properly moved the trial court to address what it considered to be a
    clear error of law and/or injustice, thereby providing the trial court with an opportunity to
    correct any errors before its judgment became final and avoiding an unnecessary appeal.
    Based on our conclusion that Clear Water properly filed a motion to alter or amend
    pursuant to Rule 59.04, we vacate the trial court‟s order striking Clear Water‟s motion to
    alter or amend. We hold the time for appealing the trial court‟s order granting the Rule
    10 Defendants‟ motion to dismiss was tolled pursuant to Rule 59.01 and that Clear
    Water‟s notice of appeal filed on April 1, 2016, was timely.
    III. CONCLUSION
    The trial court‟s judgment dismissing Clear Water‟s claim for tortious interference
    with business relationships is vacated; the judgment dismissing the claim for tortious
    interference with contractual relations is affirmed; the judgment awarding the Rule 12
    Defendants their attorneys‟ fees and expenses is vacated; and the judgment striking the
    motion to alter or amend is vacated. This case is remanded to the trial court for further
    - 19 -
    proceedings consistent with this opinion. Costs of this appeal shall be taxed to the
    Defendants/Appellees, for which execution shall issue if necessary.
    _________________________
    ANDY D. BENNETT, JUDGE
    - 20 -