Rose Turner and Stephanie Moore v. Linda Williams, Andrew Ross, and Steven A. Sinkin ( 2019 )


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  • Opinion issued February 26, 2019
    In The
    Court of Appeals
    For The
    First District of Texas
    ————————————
    NO. 01-17-00494-CV
    ———————————
    ROSE TURNER AND STEPHANIE MOORE, Appellants
    V.
    LINDA WILLIAMS, ANDREW ROSS, AND STEVEN A. SINKIN, Appellees
    On Appeal from the 247th District Court
    Harris County, Texas
    Trial Court Case No. 2016-17907
    MEMORANDUM OPINION
    Appellants Rose Turner and her daughter Stephanie Moore sued Linda
    Williams and her attorneys, Andrew Ross and Steven A. Sinkin, to contest the
    enforcement of an order for child-support arrearages. Rose asserted that her ex-
    husband, Charles Turner, was the sole child-support obligor and that Williams
    improperly levied property that she and Moore owned. They sued for a
    cancellation of liens and levies, a declaratory judgment regarding a previously
    entered turnover order, a statutory claim regarding the filing of fraudulent liens,
    sanctions, and a permanent injunction. Williams, Ross, and Sinkin filed special
    exceptions, which asserted that Ross and Sinkin were immune from suit because
    all of Rose Turner and Moore’s claims against them were based on Ross and
    Sinkin’s actions taken while representing a client in litigation. The trial court
    severed a claim for determination of the ownership of property that had been
    levied, and it dismissed all the other claims against Williams, Ross, and Sinkin
    based on their special exceptions.
    On appeal, Rose Turner and Moore challenge the dismissal, and they raise
    issues regarding: (1) a protective order granted in favor of Ross and Sinkin; (2) the
    award of attorneys’ fees; and (3) the effect of a Rule 11 agreement.
    We conclude that the trial court improperly granted the special exceptions
    and dismissed the claims against Williams because the special exceptions did not
    identify with particularity the deficiency in the pleadings and did not show as a
    matter of law that claims against her could not proceed. We also conclude that the
    court erred by dismissing the claim for sanctions against Ross and Sinkin without
    giving Rose Turner and Moore an opportunity to replead. We reverse the judgment
    of dismissal as to those claims, and we affirm the judgment of dismissal as to the
    2
    remaining claims against Ross and Sinkin, which are barred by attorney immunity.
    We also reverse the protective order and the award of attorney’s fees.
    Background
    Charles Turner and Linda Williams are the parents of Mario and Cecil
    Turner. At all times relevant to this appeal, Mario and Cecil were adults. In May
    2010, after a hearing, Williams obtained an order for child-support arrearages in
    the amount of $117,622.32. The order awarded Williams $8,000 in attorney’s fees,
    as well as contingent appellate attorney’s fees. When the order on arrearages was
    entered, Charles Turner was married to Rose Turner.
    In July 2010, the court entered a turnover order, which provided that
    Williams was entitled to “issue child support liens and levies in the name of”
    Charles’s then-wife, Rose Turner.1 The following month, Right Choice Credit
    Union received a notice of child-support lien, which stated that it attached to “all
    nonexempt real and personal property of Charles Edward Turner and/or Rose
    Turner” including “any other instrument of deposit in which Charles Edward
    Turner and/or Rose Turner have a beneficial ownership . . . .” Rose Turner moved
    for “the immediate release of a lien upon her bank account” because Charles was
    1
    The appellate record does not include the request for a turnover order, any
    response, or a transcript from any hearing on the turnover order. The turnover
    order enjoined Charles from “conveying, encumbering, or transferring any non-
    exempt property or assets to any third parties” and from “abandoning, waiving,
    and or transferring any non-exempt property or assets to third parties” until the
    judgment for arrearages, including attorney’s fees and court costs, was fully
    satisfied.
    3
    the obligor, not her. The trial court denied her motion, and in October 2010, Rose
    and Charles divorced.
    According to pleadings filed in the underlying case, in December 2010 and
    March 2011, the trial court issued additional turnover orders. The appellate record
    does not indicate what happened between March 2011 and March 2016, when
    notices of a child-support lien were sent to 59 banks and financial institutions.
    In early March 2016, Wells Fargo was served with a notice of child-support
    lien and a notice of child-support levy. The notices identified both Charles Turner
    and Rose Turner as obligors.
    The notice of child-support levy directed Wells Fargo to pay Linda Williams
    from assets of Charles Turner and Rose Turner that it controlled “not earlier than
    the 15th day or later than the 21st day after the date of delivery of the notice”
    unless: “a) You are notified by the attorneys for Linda Williams that Obligors have
    paid the arrearages or made satisfactory arrangements for payment of the
    arrearages; b) The Obligors file suit to stop the levy and notify you of the suit.”
    The notice also identified the scope of the levy:
    This child support levy attaches to all nonexempt real and personal
    property of Charles Edward Turner and/or Rose Turner, including
    any and all accounts in your financial institution, including but not
    limited to: Any type of a demand deposit account, checking or
    negotiable withdrawal order account, savings account, retirement
    account, time deposit account, money market mutual fund order
    account, certificate of deposit, or any other instrument of deposit in
    which Charles Edward Turner and/or Rose Turner have a
    4
    beneficial ownership either in its entirety or on a shared or multiple
    party basis, including any interest and dividends payable to the
    accounts.
    The notices informed Rose Turner that she could dispute the arrearage and
    the levy by filing suit under Texas Family Code § 157.323 within ten days of
    receipt of the notices.
    Rose Turner and Moore contend that two days after receiving the notice of
    child-support lien, Wells Fargo deducted the entire balance of their account in
    compliance with the notice of lien. The record does not indicate how much money
    was in the account, whether it was placed in a holding or suspense account, or
    whether it was transferred to Williams.
    Rose Turner and Moore filed suit against Williams, Ross, and Sinkin,
    asserting five causes of action: (1) release of the child-support liens and levies;
    (2) declaratory judgment that (a) the turnover order is void because Rose Turner
    was not a party to the turnover proceedings; (b) Williams is not entitled to issue
    liens and levies in Rose Turner’s name; and (c) the liens and levies already issued
    against Rose Turner are void; (3) violation of Chapter 12 of the Civil Practice and
    Remedies Code by filing fraudulent liens; (4) request for permanent injunction;
    and (5) a motion for sanctions. The sanctions motion asserted that Williams, Ross,
    and Sinkin misrepresented Rose Turner’s status as an obligor as to the
    child-support arrearages.
    5
    In late March 2017, after a mediation that did not resolve the controversy,
    the parties entered into a Rule 11 agreement, which was signed by Ross on behalf
    of himself, Williams, and Sinkin, and by Roger Jain on behalf of his clients, Rose
    Turner and Moore. The Rule 11 agreement was filed with the district clerk on
    March 31, 2017. Around the same time, Rose Turner and Moore served discovery
    on Ross and Sinkin.
    The Rule 11 agreement provided that the parties would attempt to agree
    upon undisputed facts and legal questions by a date certain, and if they could
    agree, they would submit the legal questions, jointly, to the trial court for
    determination before further mediation.2 However, if they were unable to agree on
    which legal questions required resolution by the trial court, the parties would file
    competing motions for summary judgment to narrow the issues in the litigation.
    The agreement required the parties to work in good faith toward resolution of their
    2
    The Rule 11 agreement provided that if, by July 14, 2017, the parties agreed which
    legal questions required a ruling and which facts were undisputed, then certain
    deadlines set forth in the Rule 11 agreement applied. These included deadlines to
    (a) amend pleadings (July 14, 2017), (b) file position briefs (August 4, 2017),
    (c) file reply briefs (August 18, 2017), and (d) file a motion to request pretrial
    rulings under Rule 166 (August 22, 2017).
    However, if by July 14, 2017, the parties did not agree on which legal questions
    required a ruling and which facts were undisputed, then other deadlines set forth in
    the Rule 11 agreement applied. These included deadlines to (a) file motions for
    summary judgment (August 4, 2017), (b) file responses to motions for summary
    judgment (August 18, 2017), (c) set the motions for hearing at mutually
    convenient time between September 5, 2017 and November 3, 2017 (August 18,
    2017), and (d) within 5 business days of receiving the court’s order on pretrial
    rulings, submit dates for mediation within 60 days of receipt of the court’s order.
    6
    dispute and to comply with the deadlines in the agreement, which ranged from July
    to November 2017.
    About two weeks after the Rule 11 agreement was signed, Williams, Ross,
    and Sinkin filed a request for an order of protection from discovery requests, a
    motion to strike Rose Turner and Moore’s pleading, and special exceptions. The
    request for a protective order sought protection for Ross and Sinkin from discovery
    based on their assertion that attorney immunity barred the claims against them.
    They also sought attorney’s fees, but the motion did not identify any authority on
    which the request was based.
    On April 24, 2017, the trial court held a hearing on the motion to strike and
    the special exceptions. The trial court granted the motion and dismissed with
    prejudice all of the claims against Ross and Sinkin as “judicially privileged and
    immune from liability.” The court also dismissed with prejudice all claims against
    Williams except for a claim under section 157.326 of the Texas Family Code.
    Rose Turner and Moore appealed.
    Analysis
    Rose Turner and Moore have nominally raised seven issues. We begin by
    addressing one issue that challenges the trial court’s judgment, generally, and then
    we analyze the court’s ruling on the special exceptions.
    7
    I.    Rule 11 agreement
    In their seventh issue, the appellants contend that the trial court abused its
    discretion by failing to enforce the parties’ Rule 11 agreement and granting the
    appellees’ motion to dismiss.
    Texas Rule of Civil Procedure 11 states: “Unless otherwise provided in these
    rules, no agreement between attorneys or parties touching any suit pending will be
    enforced unless it be in writing, signed and filed with the papers as part of the
    record, or unless it be made in open court and entered of record.” TEX. R. CIV. P.
    11. An effective Rule 11 agreement consists of “a written memorandum which is
    complete within itself in every material detail, and which contains all of the
    essential elements of the agreement.” Padilla v. LaFrance, 
    907 S.W.2d 454
    , 460
    (Tex. 1995) (quoting Cohen v. McCutchin, 
    565 S.W.2d 230
    , 232 (Tex. 1978)).
    Rule 11 agreements are “contracts relating to litigation, and thus we construe
    them under the same rules as a contract.” Shamrock Psychiatric Clinic, P.A. v. Tex.
    Dep’t of Health & Human Servs., 
    540 S.W.3d 553
    , 560 (Tex. 2018). A trial court
    has a ministerial duty to enforce a valid Rule 11 agreement. 
    Id.
     If an enforceable
    Rule 11 agreement can be given a certain or definite legal meaning or
    interpretation, it is not ambiguous and we construe it as a matter of law. 
    Id. at 561
    ;
    Coker v. Coker, 
    650 S.W.2d 391
    , 393 (Tex. 1983). But a court may not “give a
    8
    Rule 11 agreement greater effect than the parties intended.” Shamrock Psychiatric
    Clinic, 540 S.W.3d at 560–61.
    The Rule 11 agreement was valid because it was signed by the parties and
    filed with the court. It set forth a plan for resolution of the issues that remained,
    and it established deadlines for exchanging information or filing pleadings or
    motions with the court. It provided two alternative schedules. One schedule applied
    if the parties agreed, by a specified date, to what legal issues required a ruling from
    the court. The other schedule applied if the parties failed to reach such an
    agreement. If the parties agreed to the relevant legal questions, they would file an
    agreed motion for pretrial rulings under Texas Rule of Civil Procedure 166; if they
    did not agree, they had the option to file competing motions for summary
    judgment. See TEX. R. CIV. P. 166 (authorizing the court to hold a pretrial
    conference to consider a variety of matters including “[a]ll pending dilatory pleas,
    motions, and exceptions.”) (emphasis added).
    The Rule 11 agreement does not say that the procedures set forth in it are
    exclusive. It does not prohibit a party from filing a motion for a pretrial ruling in
    his or her individual capacity in addition to the contemplated agreed motion for
    pretrial rulings. On appeal and in the trial court, the appellants argued that the court
    erred by ruling on the appellees’ motion to dismiss. They argued that the motion to
    dismiss was filed outside the scheduled time periods in the Rule 11 agreement and
    9
    was thus precluded by the Rule 11 agreement. Because the agreement does not
    prohibit the filing of a contested motion for pretrial rulings under Rule 166(a), we
    conclude that the court did not abuse its discretion by ruling on it. See, e.g.,
    ExxonMobil Corp. v. Valence Operating Co., 
    174 S.W.3d 303
    , 310–11 (Tex.
    App.—Houston [1st Dist.] 2005, pet. denied) (Rule 11 agreement that provided for
    filing of a first amended petition did not prohibit the filing of a second amended
    petition because it did not expressly prohibit it).
    II.   Special exceptions differ from motions for summary judgment.
    Appellants argue that the special exceptions should be construed as a motion
    for summary judgment. They contend that some of the grounds for dismissal raised
    by the special exceptions required presentation of evidence, and they argue that the
    dismissal on special exceptions should be treated as a summary judgment. The
    appellants further argue that the trial court improperly granted summary judgment
    without following summary judgment procedures.
    The nature of a motion is determined by its substance, not its caption or title.
    In re Brookshire Grocery Co., 
    250 S.W.3d 66
    , 72 (Tex. 2008); Janner v.
    Richardson, 
    414 S.W.3d 857
    , 859 (Tex. App.—Houston [1st Dist.] 2013, no pet.)
    (Rule 71—misnomer of pleading rule—“permits a trial court to consider a motion
    or other filing according to its substance, even if it is not accurately titled”); see
    also TEX. R. CIV. P. 71. The special exceptions in this case expressly and
    10
    repeatedly state that the appellees “specially except” to various aspects of the
    appellants’ first amended petition. The special exceptions made no reference to any
    summary judgment rule or standard. No evidence was attached to the special
    exception. We conclude that the substance of the filing was a special exception.
    See Brookshire Grocery, 250 S.W.3d at 72; Janner, 414 S.W.3d at 859. To the
    extent that the appellants have argued that the special exceptions should be
    construed as a motion for summary judgment because the contentions raised by the
    special exceptions can properly be raised only by way of a motion for summary
    judgment, we construe their appellate arguments as a challenge to the trial court’s
    action as not supported by a proper special exception. See Perry v. Cohen, 
    272 S.W.3d 585
    , 587 (Tex. 2008) (“Appellate briefs are to be construed reasonably, yet
    liberally, so that the right to appellate review is not lost by waiver.”).
    III.   Dismissal based on special exceptions
    Rose Turner and Moore alleged five claims against Williams, Ross, and
    Sinkin. The court carved out a claim under the Family Code for determination of
    how much of the levied account belonged to Rose Turner and Moore, as opposed
    to Charles Turner. This carved-out claim was arguably a subpart of the claim for
    release and cancellation of the liens and levies which also sought a partition of the
    levied property. This claim was not dismissed on special exceptions. Thus, the
    claims that were dismissed as to Williams and her attorneys were: (1) the
    11
    remainder of the claim for release and cancellation of the liens and levies; (2) a
    declaratory-judgment action; (3) a statutory claim for the filing of fraudulent liens;
    (4) a request for permanent injunction; and (5) a motion for sanctions based on the
    filing of liens and levies that stated Rose Turner was an obligor.
    Rose Turner and Moore raised four issues on appeal generally challenging
    the trial court’s dismissals based on special exceptions.3 The first issue posits that
    the trial court erred or abused its discretion by dismissing the appellants’ claims
    based on the appellees’ special exceptions. We begin with an overview of the law
    pertaining to special exceptions. Because Ross and Sinkin pleaded some special
    exceptions that were distinct from those pleaded by Williams, we will consider
    them separately.
    3
    Issues Presented
    1. Did the trial court commit error by signing the June 2, 2017 Order Re: Hearing
    of April 25, 2017?
    2. Did the trial court commit error by dismissing Appellants’ causes of action
    through special exceptions?
    3. Did the trial court commit error by refusing to treat Appellees’ special
    exceptions as a request for summary judgment, when Appellees’ special
    exceptions were based upon affirmative defenses that were not established as a
    matter of law?
    4. Did the trial court abuse its discretion by sustaining Appellees’ special
    exceptions and dismissing Appellants’ causes of action without first giving
    them an opportunity to amend their pleading?
    ....
    12
    A.    Special exceptions and standards of review
    1.     Notice pleading and defective pleadings
    “Texas follows a ‘fair notice’ standard for pleading, which looks to whether
    the opposing party can ascertain from the pleading the nature and basic issues of
    the controversy” and what evidence will be relevant. Horizon/CMS Healthcare
    Corp. v. Auld, 
    34 S.W.3d 887
    , 896 (Tex. 2000). A party “who wishes to complain
    about a defect or obscurity in a pleading is required to identify the defect or
    obscurity in writing and to bring the special exception to the trial court’s attention
    before a judgment is signed.” Neff v. Brady, 
    527 S.W.3d 511
    , 527 (Tex. App.—
    Houston [1st Dist.] 2017, no pet.); see TEX. R. CIV. P. 90, 91. “The purpose of a
    special exception is to compel clarification of pleadings when the pleadings are not
    clear or sufficiently specific or fail to plead a cause of action.” Baylor Univ. v.
    Sonnichsen, 
    221 S.W.3d 632
    , 635 (Tex. 2007) (citing Friesenhahn v. Ryan, 
    960 S.W.2d 656
    , 658 (Tex. 1998)); Alpert v. Crain, Caton & James, P.C, 
    178 S.W.3d 398
    , 405 (Tex. App.—Houston [1st Dist.] 2005, pet. denied) (“A special exception
    is a proper method to determine whether a plaintiff has pleaded a cause of
    action.”).
    2.     Special exceptions in the trial court
    “A special exception shall not only point out the particular pleading
    excepted to, but it shall also point out intelligibly and with particularity the defect,
    13
    omission, obscurity, duplicity, generality, or other insufficiency in the allegations
    in the pleading excepted to.” TEX. R. CIV. P. 91. “If special exceptions lack
    specificity in pointing out how the plaintiff’s allegations are faulty, they constitute
    a general demurrer, and general demurrers are prohibited by the Rules of Civil
    Procedure.” Owen v. Option One Mortg. Corp., No. 01-10-00412-CV, 
    2011 WL 3211081
    , at *6 (Tex. App.—Houston [1st Dist.] July 28, 2011, pet. denied) (mem.
    op.); see TEX. R. CIV. P. 90; see also Castano v. San Felipe Ag., Mfg., & Irrigation
    Co., 
    147 S.W.3d 444
    , 453 (Tex. App.—San Antonio 2004, no pet.) (holding that
    special exceptions failed “to state with specificity the elements lacking in
    [plaintiff’s] petition” and thus was general demurrer prohibited under rules; grant
    of special exceptions would allow defendants “to circumvent the protective
    features of the special exception procedure”). “An exception generally alleging a
    petition fails to state the elements of a cause of action or give fair notice of the
    claims is prohibited by the rules.” Muecke v. Hallstead, 
    25 S.W.3d 221
    , 224 (Tex.
    App.—San Antonio 2000, no pet.).
    Unlike a motion for summary judgment, which relies on evidence or the
    absence of evidence, see TEX. R. CIV. P. 166a, a special exception “cannot inject
    factual allegations that do not appear in the pleading.” Neff, 
    527 S.W.3d at 530
    ;
    accord Fernandez v. City of El Paso, 
    876 S.W.2d 370
    , 373 (Tex. App.—El Paso
    1993, writ denied) (special exception “must confine itself to addressing solely the
    14
    matters shown on the face of the opposing pleading and must not inject factual
    allegations not appearing in the pleading against which the exception was raised”);
    Harold v. Houston Yacht Club, 
    380 S.W.2d 184
    , 186 (Tex. App.—Houston 1964,
    no writ) (special exception may not rely on extrinsic facts). Because “affirmative
    defenses are matters of avoidance that must be proven at the trial of the case,”
    ordinarily they are “not properly raised as special exceptions.” Neff, 
    527 S.W.3d at 530
    . But see Easton v. Phelan, No. 01-10-01067-CV, 
    2012 WL 1650024
    , at *7–8
    (Tex. App.—Houston [1st Dist.] May 10, 2012, no pet.) (mem. op.) (affirming
    dismissal on special exceptions based on attorney immunity, which was shown by
    allegations in challenged pleading).
    “Generally, when the trial court sustains special exceptions, it must give the
    pleader an opportunity to amend the pleading, unless the pleading defect is of a
    type that amendment cannot cure.” Sonnichsen, 221 S.W.3d at 635. When an
    amendment cannot cure a pleading defect, the trial court may render judgment
    dismissing the case. See id.; Alpert, 
    178 S.W.3d at 408
    .
    3.     Appellate review of special exception ruling
    Ordinarily, we review a trial court’s grant of special exceptions for an abuse
    of discretion. See Owen, 
    2011 WL 3211081
    , at *6. A trial court abuses its
    discretion when it acts without reference to any guiding rules or principles. Low v.
    Henry, 
    221 S.W.3d 609
    , 619–20 (Tex. 2007) (citing Downer v. Aquamarine
    15
    Operators, Inc., 
    701 S.W.2d 238
    , 241–42 (Tex. 1985)). When reviewing the trial
    court’s decision on special exceptions, we accept as true all the material factual
    allegations and statements reasonably inferred from the allegations set forth in the
    pleadings. Id. at 620. “We review a trial court’s dismissal of a case upon special
    exceptions for failure to state a cause of action as an issue of law, using a de novo
    standard of review.” Alpert, 
    178 S.W.3d at 405
    . “When reviewing a trial court’s
    dismissal of a cause of action following the sustaining of special exceptions, we
    review the propriety of both the trial court’s decision to sustain the special
    exceptions and the trial court’s order of dismissal.” Owen, 
    2011 WL 3211081
    , at
    *5.
    B.    Claims against Williams
    Williams pleaded the following special exceptions: (1) res judicata,
    collateral estoppel, and waiver as to all causes of action; (2) failure to state a claim
    as to the statutory cause of action for filing a fraudulent lien and the claim for
    sanctions; and (3) an unspecified privilege as to the statutory cause of action for
    filing a fraudulent lien and the claim for sanctions. The trial court sustained all of
    the special exceptions and dismissed the claims against Williams. This was error.
    The trial court abused its discretion by sustaining the special exceptions
    based on res judicata, collateral estoppel, and waiver, which were based on an
    argument that a previous ruling on the turnover order had already determined the
    16
    same issues that arose in this case. Special exceptions cannot properly rely on
    evidence extrinsic to the pleadings. See Neff, 
    527 S.W.3d at 530
    . To determine
    whether the claims were barred by res judicata or collateral estoppel due to the
    prior proceeding would require evidence, such as the judgment and pleadings, from
    the earlier case. See Travelers Ins. Co. v. Joachim, 
    315 S.W.3d 860
    , 862 (Tex.
    2010) (stating elements that party asserting res judicata must prove); Jones v. City
    of Houston, 
    907 S.W.2d 871
    , 874 (Tex. App.—Houston [1st Dist.] 1995, writ
    denied) (burden is on party asserting collateral estoppel to produce evidence such
    as the pleadings and judgment from prior proceeding). The first amended petition
    did not allege any facts about the prior challenge to the turnover order on which the
    appellees based their special exceptions, and none of the necessary documents
    were made a part of the pleadings by attachment, filing and referencing in the
    pleadings, or copying into the body of the pleading. See TEX. R. CIV. P. 59
    (“Exhibits and Pleading”). We conclude that the court could not have properly
    sustained the special exceptions based on res judicata, collateral estoppel, or
    waiver. See Simulis, L.L.C. v. Gen. Elec. Capital Corp., 
    392 S.W.3d 729
    , 735 n.7
    (Tex. App.—Houston [14th Dist.] 2011, pet. denied) (“We express no opinion on
    the merit of GE’s assertions, but we agree with Simulis that res judicata, collateral
    estoppel, and law of the case should not be asserted in special exceptions. . . .
    When a party seeks to dispose of claims barred by res judicata, collateral estoppel
    17
    law of the case, and similar theories, it should file a motion for summary
    judgment.”).
    Williams also specially excepted to the fraudulent lien and sanctions claims,
    because the appellants “fail[ed] to state a claim on which relief can be granted,”
    and they did “not state a claim within Civil Practice and Remedies Code Chapter
    12.” These special exceptions do not comport with Rule 91’s requirement to “point
    out intelligibly and with particularity the defect, omission, obscurity, duplicity,
    generality, or other insufficiency in the allegations.” TEX. R. CIV. P. 91 (emphasis
    added). A statement that the plaintiffs failed to state a claim is not a proper special
    exception—it is a prohibited general demurrer. See Owen, 
    2011 WL 3211081
    , at
    *6. Thus, the trial court could not have properly sustained these special exceptions.
    Finally, Williams specially excepted that the acts and statements upon which
    the appellants’ claims are based “are privileged communications, exempt from
    liability and cannot serve as the basis for the award of damages and attorney’s
    fees.” The special exceptions do not identify any specific privilege that applies to
    Williams in regard to the actions and communications that have been challenged.
    The only explanation of what type of privilege might apply is limited to special
    exceptions made by Ross and Sinkin individually. Without some indication of the
    nature of the privilege asserted by Williams, we cannot determine whether the
    contention is raised in the plaintiffs’ pleadings. That is, Williams failed to “point
    18
    out intelligibly and with particularity” what part of the first amended petition, if
    taken as true, conclusively showed that her actions and communications were
    privileged. TEX. R. CIV. P. 91. The trial court thus could not have properly
    sustained this special exception.
    We conclude that the trial court erred by sustaining the special exceptions
    and dismissing the claims against Williams. We sustain the first issue in part.
    C.    Claims against Ross and Sinkin
    Ross and Sinkin pleaded the following special exceptions: (1) attorney
    immunity and judicial proceeding privilege as to all causes of action; (2) failure to
    state a claim as to the statutory cause of action for filing a fraudulent lien and the
    claim for sanctions. They also argued that it would be improper to require them to
    comply with discovery requests once the claims against them were dismissed and
    that they were entitled to attorney’s fees.
    Ross and Sinkin argue that they are immune from all of the causes of action
    alleged by Rose Turner and Moore because the actions that form the basis of the
    pleadings were undertaken in furtherance of their representation of Williams. Rose
    Turner and Moore argue that attorney immunity is an affirmative defense and that
    it is not absolute, as in cases involving fraud or illegal behavior. See Essex Crane
    Rental Corp. v. Carter, 
    371 S.W.3d 366
    , 382 (Tex. App.—Houston [1st Dist.]
    2012, pet. denied).
    19
    Attorneys are “immune from civil liability to non-clients for actions taken in
    connection with representing a client in litigation.” Cantey Hanger, LLP v. Byrd,
    
    467 S.W.3d 477
    , 481 (Tex. 2015); see Youngkin v. Hines, 
    546 S.W.3d 675
    , 681
    (Tex. 2018); Alpert, 
    178 S.W.3d at 405
    . Whether an attorney is immune in a given
    circumstance depends on the nature of the challenged conduct. Youngkin, 546
    S.W.3d at 681; Cantey Hanger, 467 S.W.3d at 482. Attorney immunity applies
    when the challenged conduct is the “kind of conduct in which an attorney engages
    when discharging his duties to his client.” Cantey Hanger, 467 S.W.3d at 482
    (quoting Dixon Fin. Servs., Ltd. v. Greenberg, Peden, Siegmyer & Oshman, P.C.,
    No. 01–06–00696–CV, 
    2008 WL 746548
    , at *7 (Tex. App.—Houston [1st Dist.]
    March 20, 2008, pet. denied) (mem. op. on reh’g). “[A]n attorney cannot be held
    liable to a third party for conduct that requires the office, professional training,
    skill, and authority of an attorney.” Dixon, 
    2008 WL 746548
    , at *7.
    Because immunity focuses on the type of conduct, it may apply even to
    unsound or unmeritorious conduct. See Easton, 
    2012 WL 1650024
    , at *8. “[A]n
    attorney’s conduct, even if frivolous or without merit, is not independently
    actionable if the conduct is part of the discharge of the lawyer’s duties in
    representing his or her client.” Alpert, 
    178 S.W.3d at 406
    . “The filing of pleadings
    and motions—even if they are unmeritorious or frivolous—and the rendition of
    legal advice cannot form the factual basis of a fraud claim against an attorney
    20
    when the acts are performed within the context of discharging duties to a client.”
    Easton, 
    2012 WL 1650024
    , at *8.
    Although attorney immunity is broad, it is not absolute. See 
    id.
     Attorney
    immunity will not shield “independently fraudulent activities,” Alpert, 
    178 S.W.3d at 406
    , such as “knowingly assisting a client in evading a judgment through a
    fraudulent transfer.” Essex Crane, 371 S.W.3d at 382. In a case involving fraud,
    the plaintiff must prove that the attorney “agreed to the injury to be accomplished,
    not merely the conduct ultimately resulting in injury.” Id. (citing Chu v. Hong, 
    249 S.W.3d 441
    , 446–47 (Tex. 2008)). Other situations in which attorney immunity
    may not apply include fraudulent concealment (when the attorney has a duty to
    speak), negligent misrepresentation, and when the law specifically provides for
    punishment of an attorney. See McCamish, Martin, Brown & Loeffler v. F.E.
    Appling Interests, 
    991 S.W.2d 787
    , 791 (Tex. 1999) (negligent misrepresentation);
    Bradt v. West, 
    892 S.W.2d 56
    , 72 (Tex. App.—Houston [1st Dist.] 1994, writ
    denied) (sanctions); Hennigan v. Harris Cty., 
    593 S.W.2d 380
    , 384–85 (Tex.
    App.—Waco 1979, writ ref’d n.r.e.) (fraudulent concealment when there is a duty
    to speak).
    Like res judicata and collateral estoppel, attorney immunity is an affirmative
    defense that must be proved by the defendants. However, unlike the assertions of
    res judicata and collateral estoppel in this case, which could not be conclusively
    21
    demonstrated by special exceptions because they required evidence extrinsic to the
    appellants’ pleadings, the allegations in the first amended petition establish
    attorney immunity.
    In the first amended petition, the appellants alleged that the underlying case
    stemmed from an order on arrears entered by the trial court in favor of Williams.
    They further alleged: “Respondents Steven A. Sinkin and Andrew Ross are
    attorneys representing Respondent Linda Williams.” They asserted that the trial
    court signed an order for turnover relief, which provided that Williams “may issue
    child support liens and levies in the name of Rose Turner.” Appellants’ claims in
    the underlying suit alleged that Williams, through her attorneys, issued child-
    support liens and levies identifying Rose Turner as an obligor. They allege that the
    appellees misrepresented that Rose Turner was an obligor, and therefore the
    notices of liens and levies were “fraudulent.”
    As to Ross and Sinkin, the plaintiffs’ pleading, taken as true, demonstrates
    that they were acting as attorneys for Williams when issuing or filing notices of
    lien or levy in an attempt to collect the child-support arrearages based on the trial
    court’s orders. There are no allegations of independently fraudulent activities; no
    claim that Ross and Sinkin’s actions with regard to the filing of the liens and levies
    were in any way distinct from their representation of Williams. Because collecting
    a judgment is the kind of conduct an attorney engages in when discharging his
    22
    duties to his client, they are immune from suit and liability for most of the claims
    against them. See Cantey Hanger, 467 S.W.3d at 482. Even if Rose Turner and
    Moore were to prove the factual allegations in their first amended petition, they
    still would lose due to attorney immunity. See id.
    This conclusion does not apply with equal force to the motion for sanctions.
    Although the sanctions motion itself relies on the allegedly fraudulent filing of
    liens and levies, it is distinguishable from the other causes of action because
    sanctions specifically provide for the punishment of attorneys. See Bradt, 892
    S.W.2d at 72. Attorney immunity is not, per se, a meritorious reason for dismissal
    of the sanctions motion. See id. Because sanctions are meant to punish lawyers, it
    may be possible for Rose Turner and Moore to plead some factual basis for the
    imposition of sanctions that is cognizable in law. The trial court erred by
    dismissing the sanctions claim due to attorney immunity without first giving Rose
    Turner and Moore an opportunity to replead. See Sonnichsen, 221 S.W.3d at 635.
    Ross and Sinkin also specially excepted to the motion for sanctions on
    several other grounds, but none are sufficient to support the trial court’s dismissal
    of the motion for sanctions. The motion for sanctions appears in paragraph 27 of
    the first amended petition, and it states:
    MOTION FOR SANCTIONS
    27.    As set forth above, Respondent and her attorney knowingly
    misrepresented, under oath, that Petitioner Rose Turner is an
    23
    obligor within the Notices or Lien and the Notices of Levy and
    the Notice of Lien filed with the Harris County Clerk’s Real
    Property Records. Pursuant to TEX. R. CIV. P. 13, and Chapters
    9 and 10 of the Civil Practice and Remedies Code, Petitioners
    request the Court award Petitioners their reasonable and
    necessary attorney’s fees in filing and presenting this petition,
    financial institution fees, and all damages incurred by
    Petitioners as a result of said groundless notices disseminated
    by Respondents.
    (Emphasis added.)
    The special exceptions refer to Williams, Ross, and Sinkin collectively as
    “Respondents.” As to the motion for sanctions, paragraph 27, the special
    exceptions state:
    5.     Respondents specially except to paragraph 27 of Petitioners’
    First Amended Petition in its entirety because Petitioners fail to state a
    claim on which relief can be granted. Paragraph 27 and the causes of
    action should be stricken as a matter of law.
    6.     Respondents specially except to paragraph 27 of Petitioners’
    First Amended Petition in its entirety because the acts, statements,
    representations and/or documents of which Petitioners complain,
    including but not limited to the issuance of child support liens and
    levies, are privileged communications, exempt from liability and
    cannot serve as the basis for the award of damages and attorney’s
    fees. Paragraph 27 and the causes of action should be stricken as a
    matter of law.
    7.     Respondents Andrew Ross and Steven A. Sinkin, individually,
    specially except to paragraph 27 of Petitioners’ First Amended
    Petition because they are not liable in the capacity in which they
    were sued. All acts complained of by Petitioners occurred exclusively
    within the course and scope of Andrew Ross and Steven A. Sinkin’s
    employment with Sinkin & Barretto, P.L.L.C., and occurred during
    the course of this judicial proceeding. Additionally, Steven A. Sinkin
    did not personally sign the child support liens or levies made the
    24
    subject matter of this lawsuit and did not instruct Andrew Ross to sign
    the child support liens or levies made the subject matter of this
    lawsuit. Paragraph 27 and the causes of action against Andrew Ross
    and Steven A. Sinkin, individually, should be stricken as a matter of
    law.
    ....
    10. Respondents specially except to paragraphs . . . 27 . . .
    because . . . the claims alleged as a matter of law are barred by res
    judicata, collateral estoppel and waiver.
    (Emphasis added.)
    The assertion that the appellants’ pleading failed to state a cause of action on
    which relief could be based is impermissibly vague. See TEX. R. CIV. P. 91; see
    Owen, 
    2011 WL 3211081
    , at *6. The special exceptions asserting res judicata,
    collateral estoppel, and waiver fail for the same reasons that they failed as to the
    claims against Williams. See Neff, 
    527 S.W.3d at 530
    ; Simulis, 392 S.W.3d at 735
    n.7.
    Ross and Sinkin also assert that they raised the judicial proceedings privilege
    in their special exceptions. The judicial proceedings privilege refers to the
    common-law principle that “[c]ommunications made during the course of judicial
    proceedings are privileged.” Bird v. W.C.W., 
    868 S.W.2d 767
    , 771 (Tex. 1994); see
    James v. Brown, 
    637 S.W.2d 914
    , 916–17 (Tex. 1982) (“Communications in the
    due course of a judicial proceeding will not serve as the basis of a civil action for
    libel or slander, regardless of the negligence or malice with which they are
    25
    made.”). The judicial proceedings privilege is based on a policy recognizing that
    the “administration of justice requires full disclosure from witnesses, unhampered
    by fear of retaliatory suits for defamation.” See James, 637 S.W.2d at 917. “This
    privilege extends to any statement made by the judge, jurors, counsel, parties or
    witnesses, and attaches to all aspects of the proceedings, including statements
    made in open court, pre-trial hearings, depositions, affidavits and any of the
    pleadings or other papers in the case.” Id. at 916–17; accord Helfand v. Coane, 
    12 S.W.3d 152
    , 157 (Tex. App.—Houston [1st Dist.] 2000, pet. denied).
    “When the communication at issue is made by an attorney, the judicial-
    proceedings privilege is referred to as attorney immunity.” Landry’s, Inc. &
    Houston Aquarium, Inc. v. Animal Legal Def. Fund, No. 14-17-00207-CV, 
    2018 WL 5075116
    , at *9 (Tex. App.—Houston [14th Dist.] Oct. 18, 2018, no pet. h.)
    (citing Youngkin, 546 S.W.3d at 679 n.2 (explaining, in a case in which an attorney
    claimed non-liability for acts taken in the course of representing a claim, that the
    judicial proceedings privilege, called “litigation privilege,” and “attorney
    immunity” describe the same doctrine)). We have already explained why the trial
    court’s dismissal of Rose Turner and Moore’s sanctions claim was not supported
    by the special exception based on attorney immunity. Thus, we conclude that the
    judicial proceedings privilege does not support the trial court’s dismissal of the
    sanctions claim either.
    26
    ***
    We sustain issues one through four in part. We hold that the trial court erred
    by sustaining the special exceptions and dismissing the claims against Williams
    because the special exceptions did not identify with particularity the claimed
    deficiency in the pleadings and did not show as a matter of law that claims against
    her could not proceed. We further hold that the court erred by dismissing the claim
    for sanctions against Ross and Sinkin without giving Rose Turner and Moore an
    opportunity to replead.
    IV.   Protective order
    In their fifth issue, Rose Turner and Moore challenge the trial court’s order
    protecting Ross and Sinkin from discovery. Ross and Sinkin requested a protective
    order based on their contentions that no claim or cause of action existed against
    them or Williams. They did not challenge any particular discovery request; rather
    they asserted that “no discovery of any kind is proper against them.” No evidence
    was attached to the motion for a protective order. The only evidence relevant to
    discovery that was introduced during an oral hearing was a letter from Rose Turner
    and Moore’s lawyer. The letter informed Ross and Sinkin that he believed their
    objections to a request for production and interrogatories were meritless. Rose
    Turner and Moore’s lawyer asked them to provide responses.
    27
    In the final judgment, the trial court granted a protective order stating that
    “all discovery against ANDREW ROSS and STEVEN A. SINKIN is quashed and
    dismissed with prejudice as such discovery was unreasonably frivolous,
    oppressive, and harassing.” On appeal, Ross and Sinkin assert that the trial court
    properly granted the protective order. They defend the trial court’s action on the
    basis that the court dismissed all of Rose Turner and Moore’s claims against them.
    Rose Turner and Moore argue that the court abused its discretion by granting the
    protective order because it was untimely and did not relate to a pending discovery
    request.
    “A person from whom discovery is sought, and any other person affected by
    the discovery request, may move within the time permitted for response to the
    discovery request for an order protecting that person from the discovery sought.”
    TEX. R. CIV. P. 192.6. A trial judge has discretion to grant a protective order to
    control the nature and form of discovery. In re Collins, 
    286 S.W.3d 911
    , 919 (Tex.
    2009). But that discretion “is not without bounds.” Id.; see also In re Bennett, 
    502 S.W.3d 373
    , 377 (Tex. App.—Houston [14th Dist.] 2016, no pet.). A party seeking
    a protective order must show particular, specific, and demonstrable injury by facts
    sufficient to justify a protective order. Collins, 
    286 S.W.3d 918
    ; Bennett, 502
    S.W.3d at 377. A trial court abuses its discretion by limiting discovery in the
    absence of some evidence supporting the request for a protective order. Bennett,
    28
    502 S.W.3d at 377 (citing In re Alford Chevrolet–Geo, 
    997 S.W.2d 173
    , 181 (Tex.
    1999)); see Masinga v. Whittington, 
    792 S.W.2d 940
    , 941 (Tex. 1990)
    (“Conclusory statements within a motion do not suffice.”).
    In this case, there was no evidence showing that a pending discovery request
    would cause Ross and Sinkin a “particular, specific, and demonstrable injury.”
    Therefore, the trial court abused its discretion by granting the protective order. We
    sustain the fifth issue.
    V.     Attorney’s fees
    In their sixth issue, Rose Turner and Moore challenge the trial court’s award
    of attorney’s fees. They argue that Williams, Ross, and Sinkin were not entitled to
    attorney’s fees because there was no legal basis for the award and because the fees
    awarded were not reasonable.
    The trial court awarded the appellees trial and conditional appellate
    attorney’s fees. Although the trial court did not indicate the legal basis for the
    award of attorney’s fees, the parties agree that the award was based on the
    protective order. At the hearing on the special exceptions and motion to strike, the
    trial court stated:
    The Motion for a Protective Order from the discovery is granted. I’m
    awarding Respondent reasonable and necessary attorney’s fees in
    connection specifically with the Motion for a Protective Order in the
    amount of $5,000.00, which is enforceable by any means for
    enforcement of a judgment for a debt. I’m also awarding Respondent
    conditional appellate attorney’s fees . . . .
    29
    In general, litigants are responsible for their own attorney’s fees unless an
    award is authorized by statute or contract. See Ashford Partners, Ltd. v. ECO Res.,
    Inc., 
    401 S.W.3d 35
    , 41 (Tex. 2012); MBM Fin. Corp. v. Woodlands Operating
    Co., 
    292 S.W.3d 660
    , 666 (Tex. 2009). Because a trial court’s judgment must
    conform to the pleadings, a party seeking attorney’s fees must plead for them,
    specifying the legal standard under which they are sought. See Intercontinental
    Grp. P’ship v. KB Home Lone Star L.P., 
    295 S.W.3d 650
    , 659 (Tex. 2009)
    (holding that party waived its right to recover attorney’s fees under a contractual
    provision by pleading for attorney’s fees only under a statutory provision);
    Peterson Grp., Inc. v. PLTQ Lotus Grp., L.P., 
    417 S.W.3d 46
    , 61–62 (Tex. App.—
    Houston [1st Dist.] 2013, pet. denied) (holding that party could not recover
    attorney’s fees under contractual provision when it pleaded for attorney’s fees only
    under statutory provision).
    The appellees argue that the fee award is proper under Rules of Civil
    Procedure 192.6 and 215.2. Rule of Civil Procedure 192.6 authorizes the trial court
    to “make any order in the interest of justice” to protect the party moving for a
    protective order “from undue burden, unnecessary expense, harassment,
    annoyance, or invasion of personal, constitutional, or property rights.” TEX. R. CIV.
    P. 192. 6. Rule 215.2 authorizes a trial court to award attorney’s fees as a discovery
    30
    sanction based on a party’s failure “to comply with proper discovery requests or to
    obey an order to provide or permit discovery.” TEX. R. CIV. P. 215.2.
    The appellees did not seek attorney’s fees under Rules 192.6 or 215.2 in
    their first amended answer, the motion for a protective order, or the motion for
    attorney’s fees. Moreover, we have held that the trial court abused its discretion by
    granting a protective order absent a showing that a pending discovery request
    would cause a “particular, specific, and demonstrable injury,” and there is no
    evidence in this record that Rose Turner and Moore failed to comply with proper
    discovery requests or to obey an order to provide or permit discovery. Neither Rule
    192.6 nor 215.2 support the trial court’s award of attorney’s fees. Thus, we
    conclude that the trial court abused its discretion by awarding attorney’s fees. We
    sustain this issue.
    Conclusion
    We conclude that the trial court improperly granted the special exceptions
    and dismissed the claims against Williams because the special exceptions did not
    identify with particularity the deficiency in the pleadings and did not show as a
    matter of law that claims against her could not proceed. We also conclude that the
    court erred by dismissing the claim for sanctions against Ross and Sinkin without
    giving Rose Turner and Moore an opportunity to replead. We reverse the judgment
    of dismissal as to those claims, and we affirm the judgment of dismissal as to the
    31
    remaining claims against Ross and Sinkin, which are barred by attorney immunity
    as a matter of law. We also reverse the grant of the protective order and award of
    attorney’s fees.
    Peter Kelly
    Justice
    Panel consists of Justices Lloyd, Kelly, and Hightower.
    32