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      "CANEL AND HALE, LTD., Plaintiff-Appellant and Cross-Appellee, v. MARY P. TOBIN et al., Indiv. and as Co-Guardians of the Estate of Addean Crockett, a Disabled Person, and as Co-Adm\u2019rs of the Estate of Addean Crockett, Deceased, et al., Defendants-Appellees and Cross-Appellants."
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        "text": "JUSTICE GALLAGHER\ndelivered the opinion of the court:\nCanel & Hale, Ltd. (plaintiff), brought this action to recover fees for legal services rendered to the estate of Addean Crockett, a disabled person, and for punitive damages. Mary E Tobin, Aera Crockett, Annette Crockett-Cotton and Munday & Nathan (defendants) moved to dismiss the third amended verified complaint pursuant to sections 2\u2014615 and 2\u2014619 of the Code of Civil Procedure (735 ILCS 5/2\u2014615, 2\u2014619 (West 1994)). Defendants also moved for Supreme Court Rule 137 (155 Ill. 2d R. 137) sanctions premised upon plaintiffs failure to comply with prior court orders and instructions regarding the amendment of plaintiffs previous complaints. Plaintiff also moved for Supreme Court Rule 137 sanctions based upon defendants\u2019 motion for sanctions.\nThe trial court dismissed plaintiffs third amended verified complaint with prejudice pursuant to section 2\u2014615, for plaintiffs failure to state a cause of action. Subsequently, the court gave plaintiff leave to file a fourth amended complaint; however, plaintiff elected to stand on the legal sufficiency of its third amended complaint and moved the court to rule on defendants\u2019 section 2\u2014619 motion to dismiss. The trial court declined to rule on defendants\u2019 section 2\u2014619 motion to dismiss and denied both parties\u2019 motions for sanctions.\nPlaintiff appeals the portion of the order granting defendants\u2019 section 2\u2014615 motion to dismiss, alleging: (1) the trial court erred in finding plaintiffs third amended complaint failed to state a cause of action pursuant to section 2\u2014615, specifically claims for (a) quantum meruit-, (b) breach of contract; (c) breach of fiduciary duty; (d) interference with a contractual relationship and prospective economic advantage; (e) conspiracy; and (f) punitive damages. Furthermore, plaintiff alleges the trial court erred in declining to rule on defendants\u2019 section 2\u2014619 motion and that this court should deny it.\nSince plaintiff failed to address the denial of its motion for sanctions in its brief to this court, it has waived this issue on appeal. See People v. Wendt, 163 Ill. 2d 346, 351, 645 N.E.2d 179, 181 (1994) (\u201cpoints not raised or argued in an opening appellate brief are waived\u201d); see 134 Ill. 2d R. 341(e)(7). Defendants filed a cross-appeal from the portion of the order denying their motion for Rule 137 sanctions.\nSubsequently, plaintiff brought a motion to expunge defendants\u2019 cross-appeal due to lack of jurisdiction and defendants brought a motion to strike portions of plaintiffs brief. Both motions were taken with the case.\nOn July 29, 1992, Addean Crockett underwent a surgical procedure that rendered her unable to care for herself. Attorney Mary To-bin (defendant Tobin) referred Addean\u2019s daughters, Aera Crockett and Annette Crockett-Cotton (the Crocketts), to plaintiff to pursue a medical malpractice case for Addean\u2019s injuries.\nOn May 4, 1993, the Crocketts were appointed coguardians of the estate of Addean Crockett. On June 3, 1993, the Crocketts signed a fee disclosure form that also discussed the responsibilities of defendant Tobin and plaintiff to the Crocketts. On June 14, 1993, the Crocketts, as coguardians, signed the retainer agreement to employ plaintiff to pursue their medical malpractice case.\nIn September 1993, the Crocketts, as coguardians, discharged plaintiff and retained the law firm of Munday & Nathan to prosecute their malpractice case. Defendant Tobin\u2019s brother, James Tobin, was an associate attorney at Munday & Nathan.\nOn July 12, 1994, Addean Crockett died. The Crocketts were appointed coadministrators of her estate. In October 1996, Munday & Nathan reached a settlement with the defendants in that case. As a result, approximately $342,500 was available under court rules and law for attorney fees. The parties in this action were unable to agree upon a division of the fees. On December 10, 1996, plaintiff filed the present lawsuit seeking its share of the fees and punitive damages.\nPrior to reaching the merits of the plaintiff\u2019s arguments on appeal, we must initially address one of the motions that has been taken with the case. The defendants filed a motion seeking to strike the statement of facts in the plaintiffs brief for the following reasons: (1) it includes argument and comment; (2) it contains information that is not found on the face of the third amended complaint; and (3) it includes information that is not included in the record.\nSupreme Court Rule 341(e)(6) provides, in part, that the statement of facts section of an appellate brief \u201cshall contain the facts necessary to an understanding of the case, stated accurately and fairly\nwithout argument or comment.\u201d 145 Ill. 2d R 341(e)(6). Defendants are correct in objecting to plaintiff\u2019s statement of facts in this case. Many of the questionable remarks were taken verbatim from plaintiff s third amended complaint and thus were combative. However, portions of plaintiffs statement of facts do comply with Rule 341(e)(6). Regardless, plaintiffs argumentative remarks and comments did not interfere with this court\u2019s review of the case since this court has made an effort to view plaintiffs statement of facts objectively. \u201cWhere violations of supreme court rules are not so flagrant as to hinder or preclude review, the striking of a brief in whole or in part may be unwarranted.\u201d Cottrill v. Russell, 253 Ill. App. 3d 934, 938, 625 N.E.2d 888, 890 (1993). Under the circumstances in this case, the statement of facts need not be stricken, but the remarks in question will simply be disregarded.\nDefendants next argue that plaintiffs statement of facts should be stricken because it contains information that is not found on the face of the third amended complaint. We find no rule or authority that requires a complainant to state facts only found in a prior complaint. Therefore, the statement of facts need not be stricken for this reason.\nFinally, defendants argue plaintiffs statement of facts should be stricken because it contains comments and statements not found in the record. While we do not condone the type of careless disregard for the supreme court rules evidenced by plaintiffs brief, due to the relative simplicity of the record before us, we elect to consider the merits of this appeal. Nevertheless, any inappropriate or unsupported statements in reviewing this matter will be disregarded by this court. See Falk v. Martel, 210 Ill. App. 3d 557, 559, 569 N.E.2d 248, 249-50 (1991). The motion to strike is denied.\nNext, we will consider whether count I of plaintiffs third amended complaint states a cause of action for quantum meruit recovery. Defendants argue that plaintiff failed to provide the requisite factual support to sustain a claim for quantum meruit recovery in its third amended complaint. Specifically, defendants contend that \u201cplaintiff does not state that it performed certain services. Nor does the plaintiff allege how such services benefitted the defendants, or how the services advanced the underlying medical malpractice claim.\u201d Plaintiff alleges that it \u201cperformed all obligations required of plaintiff to be performed under the terms of said agreement, i.e., to prosecute the Crocketts\u2019 medical malpractice claim on behalf of Addean Crockett.\u201d\nThe trial court properly dismissed count I of plaintiff\u2019s third amended complaint concerning quantum meruit recovery pursuant to section 2\u2014615 since plaintiff failed to plead sufficient facts to allow the trial court to determine whether plaintiff would be entitled to recover. However, from a review of the pleadings and the record, we have concluded that the quantum meruit count in plaintiff\u2019s second amended complaint was improperly criticized by the court, which led to its abandonment. In fact, plaintiffs second amended complaint was forsaken after the trial court admonished plaintiff that it was too specific. According to plaintiff, the trial court viewed the second amended complaint as \u201cimpermissibly telling a story\u201d or \u201cpleading surplusage.\u201d For the reasons stated below, we allow plaintiff the opportunity to file a fourth amended complaint on the issue of quantum meruit.\nIn reviewing the dismissal of a complaint, the court must take all well-pled facts as true (Steinberg v. Chicago Medical School, 69 Ill. 2d 320, 329, 371 N.E.2d 634, 639 (1977)) and must draw all reasonable inferences from those facts that are favorable to the pleader (Your Style Publications, Inc. v. Mid Town Bank & Trust Co., 150 Ill. App. 3d 421, 424, 501 N.E.2d 805, 807 (1986)). Dismissal of a cause of action on the pleadings is proper only where it is clearly apparent that no set of facts can be proven entitling the plaintiff to recover. Illinois Graphics Co. v. Nickum, 159 Ill. 2d 469, 483, 639 N.E.2d 1282, 1288-89 (1994).\nGenerally, the rule is that \u201c \u2018[wjhere an amendment is complete in itself and does not refer to or adopt the prior pleading, the earlier pleading ceases to be a part of the record for most purposes, being in effect abandoned and withdrawn.\u2019 \u201d Foxcroft Townhome Owners Ass\u2019n v. Hoffman Rosner Corp., 96 Ill. 2d 150, 154, 449 N.E.2d 125, 126 (1983), quoting Bowman v. County of Lake, 29 Ill. 2d 268, 272, 193 N.E.2d 833, 835 (1963). There are important policy considerations \u2022 which support adherence to this universal rule. In particular is \u201cthe interest in the efficient and orderly administration of justice.\u201d Foxcroft Townhome Owners Ass\u2019n, 96 Ill. 2d at 154, 449 N.E.2d at 126. \u201cIt is expected that a cause will proceed to trial on the claims as set forth in the final amended complaint.\u201d Foxcroft Townhome Owners Ass\u2019n, 96 Ill. 2d at 154, 449 N.E.2d at 126.\nNevertheless, in this case, the second amended complaint may be * considered on review. In Stenwall v. Bergstrom, 398 Ill. 377, 382, 75 N.E.2d 864, 867 (1947), the court stated, \u201c[i]t often becomes necessary, when a record is brought to this court for review, to review the entire record to do justice between the parties in the cause.\u201d See Ill. Rev. Stat. 1945, ch. 110, par. 45(4). Furthermore, Supreme Court Rule 366 (134 Ill. 2d R. 366) provides: \u201c(a) Powers. In all appeals the reviewing court may, in its discretion, and on such terms as it deems just *** (5) enter any judgment and make any order that ought to have been given or made ***.\u201d This provision recognizes:\n\u201c[T]he responsibility of a reviewing court for a just result and for the maintenance of a sound and uniform body of precedent may sometimes override the considerations of waiver that stem from the adversary character of our system.\u201d Hux v. Raben, 38 Ill. 2d 223, 225, 230 N.E.2d 831, 832 (1967).\nWe hold that plaintiff\u2019s quantum meruit count in its second amended complaint was improperly refused under Illinois Graphics Co. While count I of plaintiff\u2019s second amended complaint did not specify every element necessary to plead a cause of action for quantum meruit under Owen Wagener & Co. v. U.S. Bank, 297 Ill. App. 3d 1045, 1053, 697 N.E.2d 902, 908 (1998) (i.e., (1) plaintiff performed a service to benefit the defendant; (2) plaintiff performed this service nongratuitously; (3) defendant accepted this service; and (4) no contract existed to prescribe payment of this service), it clearly included facts which, if proven, would entitle the plaintiff to recover under quantum meruit theory. See Illinois Graphics Co., 159 Ill. 2d at 483, 639 N.E.2d at 1288-89.\nIn this case, plaintiff pled that it had a written contingency agreement with the Crocketts, and this agreement was attached to the complaint. Further, plaintiff pled in detail the legal services it performed to benefit the Crocketts\u2019 case during its representation, which lasted approximately three months. Specifically, paragraph 8 provided an accounting of the work done by plaintiff in pursuit of the Crocketts\u2019 claim, including:\n\u201c(a) [olbtaining the appointment of the Crocketts as Co-Guardians of the estate of Addean Crockett;\n(b) [olbtaining, examining and analyzing medical records of the treatment of Addean Crockett at Humana Michael Reese Hospital;\n(c) [d]etermining from said records that Addean Crockett, who was neurologically intact on and prior to July 29, 1992 when she underwent surgery for a benign brain tumor, thereafter probably required total care for all activities of daily living as the result of medical negligence;\n(d) [d]etermining from said records and from investigation the identity of potential defendants who might be responsible for such negligence;\n(e) [formulating the medico-legal theories upon which a complaint against the responsible parties could be predicated;\n(f) [pjrocured the services of medical experts to evaluate the Crocketts\u2019 claim, to execute the affidavit required by section 2\u2014622 of the Code of Civil Procedure (735 ILCS 5/2\u2014622), and to prepare testimony for trial of the cause;\n(g) [rlesearched for, drafted, and filed a timely complaint pleading a clause of action for said malpractice on behalf of plaintiffs in the Circuit Court of Cook County, Illinois under Case No. 93 L 7207:\n(h) [p]ursued discovery against the defendants in said case No. 93 L 7207; and\n(i) [e]ntered into settlement discussions with counsel representing the defendants in said case No. 93 L 7207 who indicated their willingness to settle the cause.\u201d\nIf these facts are proven true, plaintiff may be entitled to recover from the Crocketts under the theory of quantum meruit. Therefore, in the exercise of our authority under Rule 366 and Illinois Graphics, we allow plaintiff leave to file a fourth amended complaint on the theory of quantum meruit, keeping in mind that it must comport with the elements as stated in Owen Wagener & Co., 297 Ill. App. 3d at 1053, 697 N.E.2d at 908.\nNext we will consider plaintiffs breach of contract claim. We note at the outset that the portion of the brief concerning count II of plaintiffs third amended complaint for breach of contract fails to comply with Illinois Supreme Court Rule 341 (134 Ill. 2d R. 341). This rule contains the requirements that must be met when filing an appellate brief, particularly subsection (e), which mandates what an appellant\u2019s brief must contain. 134 Ill. 2d R. 341(e). In this case, plaintiff failed to cite supporting authority as is required under Rule 341. 134 Ill. 2d R. 341.\nIt is within our discretion to strike the breach of contract argument in plaintiffs brief based on violations of these rules. Geers v. Brichta, 248 Ill. App. 3d 398, 400, 618 N.E.2d 531, 533 (1993). Nevertheless, we decline to take such a severe action at this time and choose to discuss the merits of this issue. People v. Patrick, 298 Ill. App. 3d 16, 697 N.E.2d 1167 (1998). Some violations of supreme court rules fail to be so outrageous that they would make it difficult for this court to review the case. Cottrill, 253 Ill. App. 3d at 938, 625 N.E.2d.at 890. Here, there was no Illinois case authority directly on point, so plaintiffs failure to cite authority will not preclude our consideration. Accordingly, we elect to consider the merits of count II.\nPlaintiff claims that the fee disclosure form was a contract between defendant Tobin and plaintiff and that this contract was breached when defendant Tobin (1) failed and refused to comply with plaintiffs request for assistance and (2) actively participated in the transfer of Crocketts\u2019 representation. Defendants contend there was no contract and therefore no breach.\nWe conclude that the fee disclosure form was not a contract between plaintiff and defendant Tobin. The instrument, to be a valid contract and mutually binding, must contain mutual consideration. Johnson v. George J. Ball, Inc., 248 Ill. App. 3d 859, 865, 617 N.E.2d 1355, 1359 (1993) (\u201c[m]utual consideration *** is an essential element of a contract\u201d). Generally, any act or promise that is of benefit to one party or disadvantage to the other constitutes sufficient consideration to support a contract. Johnson, 248 Ill. App. 3d at 865, 617 N.E.2d at 1359.\nThe instrument alleged to be a contract was signed by defendant Tobin, plaintiff and the Crocketts. Relevant portions of the instrument state, \u201cfrom time to time I [plaintiff] will request assistance from your referring attorney\u201d and \u201c[w]e are both responsible to see that your claim is properly handled, and we hope this arrangement will result in a more prompt and favorable resolution of your claim.\u201d Thus, within the document, defendant Tobin nowhere agrees or promises to do any act nor binds herself in any way. See In re Estate of Peterson, 286 Ill. App. 424, 432, 3 N.E.2d 725, 728 (1936).\nInstead, the instrument was the parties\u2019 attempt to comply with Rule 1.5 of the Rules of Professional Conduct through a fee disclosure form. 134 Ill. 2d R. 1.5. Rule 1.5 mandates disclosure to the client whenever his attorney enters into an arrangement with another attorney to share fees and responsibility for the legal matters entrusted to the first attorney. 134 Ill. 2d R. 1.5. The purpose of this rule is to preserve the client\u2019s right to be represented by the attorney of his choosing. See Holstein v. Grossman, 246 Ill. App. 3d 719, 734-35, 616 N.E.2d 1224, 1234 (1993). To that end, the fee disclosure form is not an agreement between plaintiff and defendant Tobin, but merely a statement of what the Crocketts are entitled to be told under the Rules of Professional Conduct. See 134 Ill. 2d R. 1.5.\nFurthermore, if we concluded that the fee disclosure form constituted a contract between plaintiff and defendant Tobin, it would be in contravention of the public policy that clients choose their counsel and can discharge their attorney at any time. In Illinois, a client may terminate the services of his attorney at any time with or without cause. Rhoades v. Norfolk & Western Ry. Co., 78 Ill. 2d 217, 227-28, 399 N.E.2d 969, 974 (1979); Hofreiter v. Leigh, 124 Ill. App. 3d 1052, 1054, 465 N.E.2d 110, 111 (1984) (\u201c[i]t is elementary doctrine *** that a client has an absolute and unconditional right to discharge his attorney at any time\u201d). To that end, no contract shall exist that will interfere with this right. See Rhoades, 78 Ill. 2d at 229, 399 N.E.2d at 975.\nIf the fee disclosure form was a contract among plaintiff, defendant Tobin, and the Crocketts (all the signatories), then the Crocketts would have to breach the contract in order to exercise their right to discharge their attorney. Instead, a \u201cclient\u2019s right to discharge his attorney at will is not a breach of contract but a term of the contract implied by law because of the special relationship between attorney and client and *** it would be anomalous and unjust to hold a client liable in damages for exercising that implied right.\u201d Rhoades, 78 Ill. 2d at 229-30, 399 N.E.2d at 975. This principle is grounded in the public policy concern that if the plaintiff could recover its full contract fee, a client\u2019s right to discharge his attorney would be meaningless since, even though he had discharged his attorney, his financial responsibility to his former attorney would be unchangeable. Rhoades, 78 Ill. 2d at 229, 399 N.E.2d at 975. For the foregoing reasons, the fee disclosure form is not a contract.\nIn addition, while plaintiff alleges defendant Tobin breached a contract by \u201cactively participating in the transfer of the Crocketts\u2019 representation,\u201d this allegation is not indicative of a contract action but, instead, a claim for tortious interference with prospective economic advantage. Anderson v. Anchor Organization for Health Maintenance, 274 Ill. App. 3d 1001, 654 N.E.2d 675 (1995).\nNext, plaintiff claims that count III of the third amended complaint alleging a breach of fiduciary duty against defendant Tobin states a cause of action. Plaintiff contends that the fee disclosure form signed by defendant Tobin explicitly obligated her jointly with plaintiff to see that the Crocketts\u2019 claim was properly handled. Plaintiff argues a \u201cjoint venture\u201d was created by the disclosure form as a matter of law and that, as \u201cjoint venturers,\u201d plaintiff and defendant Tobin owed a fiduciary duty to each other. However, defendants contend that there are no allegations, factual or otherwise, to support the existence of a \u201cjoint venture.\u201d\nIn support of its argument, plaintiff relies on a recent decision by this court, Larry Karchmar, Ltd. v. Nevoral, 302 Ill. App. 3d 951, 956-57 (1999), which states:\n\u201cAn agreement between two attorneys to share fees creates a joint venture and therefore a fiduciary duty of honesty and good faith to disclose to each other all matters affecting their joint representation. Holstein v. Grossman, 246 Ill. App. 3d 719, 616 N.E.2d 1224 (1993). At a minimum, a fiduciary owes an obligation to deal honestly and fairly with his partner. Dowd & Dowd, Ltd. v. Gleason, 284 Ill. App. 3d 915, 672 N.E.2d 854 (1996), aff\u2019d in part, rev\u2019d in part & remanded, 181 Ill. 2d 460, 693 N.E.2d 358 (1998).\u201d\nHowever, whether a joint venture exists is a matter of intent. Holstein, 246 Ill. App. 3d at 737, 616 N.E.2d at 1236. Illinois courts have delineated what factors are determinative of intent. These include:\n\u201c(1) an express or implied agreement to carry on some enterprise; (2) a manifestation of intent by the parties to be associated as joint venturers; (3) a joint interest as shown by the contribution of property, financial resources, effort, skill or knowledge by each joint venturer; (4) some degree of joint proprietorship or mutual right to exercise control over the enterprise; and (5) provision for the joint sharing of profits and losses.\u201d Holstein, 246 Ill. App. 3d at 738, 616 N.E.2d at 1236, citing Ambuul v. Swanson, 162 Ill. App. 3d 1065, 1068, 516 N.E.2d 427, 429 (1987).\nOther state courts have recognized that \u201csharing fees earned on certain matters of joint representation, standing alone, is not sufficient to prove a joint venture.\u201d (Emphasis in original.) Fitzgibbon v. Carey, 70 Or. App. 127, 130-31, 688 E2d 1367, 1370 (1984), appeal denied, 298 Or. 553, 695 P.2d 49 (1985); see Willis v. Crawford, 38 Or. 522, 63 P. 985 (1901). Without more, \u201cthe mere fact that attorneys associate on a fee for services basis does not make them joint venturers.\u201d Fitzgibbon v. Carey, 70 Or. App. 127, 130-31, 688 E2d 1367, 1370 (1984).\nAccording to the fee disclosure form that was signed by defendant Tobin, although plaintiff was to be \u201cprimarily responsible for the preparation and resolution of the Crocketts\u2019 claim, plaintiff would from time to time require assistance from [defendant] Tobin.\u201d The form further provided that plaintiff and defendant Tobin \u201care both responsible to see that [the Crocketts\u2019] claim is properly handled.\u201d Furthermore, the disclosure form indicated that defendant Tobin was to receive a portion of plaintiffs fee.\nNevertheless, this referral arrangement failed to create a joint venture. The record indicates that the relationship between the two attorneys resembled the fee arrangement contemplated in Rule 1.5 where the primary service performed by the referring lawyer is the referral of the client to the other lawyer. Elaintiff was to do a disproportionate amount of work. Elaintiff and defendant Tobin were not acting as co-counsel for the Crocketts; plaintiff had a disproportionate amount of control over the handling of the case. The parties engaged in no shared decision-making or shared work for the benefit of the Crocketts. They did not even share the costs \u2014 only the profit. Therefore, there was no joint venture here and, thus, no fiduciary duty owed.\nIn Holstein, 246 Ill. App. 3d 719, 616 N.E.2d 1224, by contrast, an attorney and a law firm entered into an agreement whereby the attorney would refer all personal injury claimants to the firm in exchange for a 50/50 sharing of fees. At the time of the suit, the attorney had referred 10 cases to the law firm. The court found a fiduciary duty existed between the parties since they were engaged in an ongoing relationship which constituted an \u201centerprise.\u201d In this case, defendant Tobin referred one case to plaintiff and no enterprise existed between them. Thus, plaintiff failed to state a cause of action for breach of fiduciary duty.\nNext, plaintiff contends the trial court erred in dismissing its claims for tortious interference with a contractual relationship against defendants Tobin and Munday & Nathan (counts IV and V respectively). Defendants argue that an attorney in an at-will employment relationship does not have an enforceable contractual right to employment and, therefore, cannot maintain an action for tortious interference with contractual relations. We agree. An action for tortious interference with contractual relations is not the proper vehicle for a discharged attorney seeking to recover damages. See Fellhauer v. City of Geneva, 142 Ill. 2d 495, 510, 568 N.E.2d 870, 877 (1991); Anderson, 274 Ill. App. 3d at 1013, 654 N.E.2d at 685. Therefore, plaintiff\u2019s claims for tortious interference with contractual relations were properly dismissed.\nInstead, \u201c[a]n action for tortious interference with a contract terminable at will is classified as one for intentional interference with prospective economic advantage.\u201d Larry Karchmar, Ltd., 302 Ill. App. 3d at 958; see Fellhauer, 142 Ill. 2d at 510, 568 N.E.2d at 877. In counts VI and VII of plaintiff\u2019s third amended complaint, plaintiff properly alleged tortious interference with a prospective economic advantage against, first, defendant Tobin and, second, defendant Mun-day & Nathan.\nIt is generally recognized by the Illinois courts that to prevail on a claim for tortious interference with a prospective economic advantage, a plaintiff must prove: (1) his reasonable expectation of entering into a valid business relationship; (2) defendant\u2019s knowledge of the plaintiffs expectancy; (3) purposeful interference by defendant that prevents the plaintiffs legitimate expectancy from ripening into a valid business relationship; and (4) damages to the plaintiff resulting from such interference. Fellhauer, 142 Ill. 2d at 511, 568 N.E.2d at 877; Anderson, 274 Ill. App. 3d at 1013, 654 N.E.2d at 685.\nFirst, plaintiff alleges that it had an attorney-client relationship with the Crocketts that \u201cwas advantageous to plaintiff.\u201d Second and third, plaintiff pled:\n\u201cPlaintiff is informed and believes that defendant Tobin, for her own benefit and the benefit of her brother James B. Tobin, interfered with said advantageous relationship between plaintiff and the Crocketts by having knowledge of and failing to prevent the said discharge of the plaintiff and/or actively participating in the discharge of plaintiff and in transferring the representation of the Crocketts from plaintiff to Munday & Nathan, a firm wherein her brother is an associate attorney.\u201d (Emphasis added.)\nFourth, plaintiff pled that defendant Tobin\u2019s foregoing conduct was deliberately intended to benefit her and her brother\u2019s law firm, \u201cdepriving plaintiff of the fee it would have earned in the absence of the breach.\u201d\nIn regard to defendant Munday & Nathan, plaintiff again alleged, first, that its representation of the Crocketts constituted an attorney-client relationship that was advantageous to plaintiff. Second and third, plaintiff pled:\n\u201cPlaintiff is informed and believes that defendant Munday & Nathan, for its own benefit, interfered with said advantageous relationship between plaintiff and the Crocketts by actively participating with and assisting defendant Tobin in the discharge of plaintiff and in transferring the representation of the Crocketts from plaintiff to Munday & Nathan, notwithstanding the knowledge of said defendant of the existence of the said advantageous relationship, the wrongful nature of defendant Tobin\u2019s conduct in terminating it, and the damages which it would cause plaintiff.\u201d (Emphasis added.)\nFourth, plaintiff pled that defendant Munday & Nathan\u2019s conduct was \u201cdeliberately intended to benefit itself and thus to deprive plaintiff of the fee it would have earned in the absence of such interference.\u201d\nSimilarly, in Anderson, 274 Ill. App. 3d at 1001, 654 N.E.2d at 675, the court found plaintiff lawyer stated a cause of action against defendant lawyers for tortious interference with prospective economic advantage. Plaintiff alleged that she had an attorney-client relationship with the clients from which she expected to earn substantial legal fees, that defendants were aware of that relationship, that defendants induced the clients to discharge her as their attorney, and that the clients in fact discharged her at defendants\u2019 urging. See Anderson, 274 Ill. App. 3d at 1001, 654 N.E.2d at 685.\nTaking all of the allegations of fact contained in counts VI and VII of plaintiffs third amended complaint as true and drawing all reasonable inferences from those facts that are favorable to plaintiff (Your Style Publications, Inc., 150 Ill. App. 3d at 424, 501 N.E.2d at 807), we believe plaintiff has stated a cause of action against defendant for tortious interference with prospective economic advantage. The truth of plaintiffs allegations or its ability to prove those allegations is not a matter that we are called upon to address in the context of our review of the dismissal predicated upon the motion filed by defendants in this case. See Anderson, 274 Ill. App. 3d at 1013, 654 N.E.2d at 685.\nPlaintiff further contends that count VIII in its third amended complaint properly pled each element required to maintain an action in conspiracy between defendants Tobin and Munday & Nathan. In response, defendants assert that count VIII was properly dismissed for failure to state a cause of action for conspiracy.\nThe plaintiffs allegations fail to state a cause of action for conspiracy against defendants Tobin and Munday & Nathan. In order to state a claim for civil conspiracy, a plaintiff must plead a combination of two or more persons who join together for the purpose of accomplishing by concerted action either an unlawful purpose or a lawful purpose by unlawful means. Adcock v. Brakegate, Ltd., 164 Ill. 2d 54, 62, 645 N.E.2d 888 (1994). Specifically, the necessary elements of a civil conspiracy include: (1) an agreement between two or more persons; (2) to participate in an unlawful act, or a lawful act in an unlawful manner; (3) an injury caused by an unlawful overt act performed by one of the parties; and (4) the overt act was done pursuant to and in furtherance of the common scheme. Dowd & Dowd, Ltd, 284 Ill. App. 3d at 928, 672 N.E.2d at 863. The mere characterization of a combination of acts as a conspiracy is insufficient to withstand a motion to dismiss. Buckner v. Atlantic Plant Maintenance, Inc., 182 Ill. 2d 12, 24, 694 N.E.2d 565, 571 (1998).\nIndeed, in count VIII, plaintiff alleged defendants conspired for the purpose of terminating the agreement between plaintiff and the Crocketts, tortiously interfering with the retainer agreement, tor-tiously interfering with the attorney-client relationship between plaintiff and the Crocketts, and transferring benefits from the retainer agreement and that relationship from plaintiff to defendant Munday & Nathan, defendant Tobin, and James Tobin. Since plaintiff failed to plead the elements of a claim for civil conspiracy or any facts to support the claim, count VIII was properly dismissed.\nNext, plaintiff pleads punitive damages in counts VI and VII based on its tortious interference claim. However, punitive or exemplary damages are not favored in the law. Beaton & Associates, Ltd. v. Joslyn Manufacturing & Supply Co., 159 Ill. App. 3d 834, 845-46, 512 N.E.2d 1286, 1293 (1987). Courts allow punitive damages only when aggravated circumstances, including fraud, willfulness, wantonness, or malice, accompany a wrongful act. Beaton & Associates, Ltd., 159 Ill. App. 3d at 846, 512 N.E.2d at 1293. Courts award punitive damages to punish a defendant, teaching him not to repeat his intentional, deliberate and outrageous conduct, and to deter others from similar conduct. Beaton & Associates, Ltd., 159 Ill. App. 3d at 846, 512 N.E.2d at 1293. Punitive damages should not be awarded if the defendant\u2019s misconduct is not above and beyond the conduct needed for the basis of the underlying cause of action. Parsons v. Winter, 142 Ill. App. 3d 354, 361, 491 N.E.2d 1236, 1241 (1986). Moreover, the decision to award punitive damages is left to the trier of fact; a reviewing court will not disturb its decision absent an abuse of discretion. Beaton & Associates, Ltd., 159 Ill. App. 3d at 846, 512 N.E.2d at 1293.\nIn this case, plaintiff undeniably started and completed some work on the Crocketts\u2019 case. However, only three months passed from the time it was retained until the time it was released. Defendants\u2019 conduct was not \u201cwanton\u201d or \u201coutrageous\u2019-\u2019 enough for this court to justify an award of punitive damages since plaintiff had invested relatively minimal time and resources on the Crockett case before defendants informed it of its discharge.\nFurthermore, there were no allegations in the tortious interference count of the third amended complaint that would suggest an evil motive. The paragraph in counts VI and VII pleading punitive damages included:\n\u201c(2) [Defendant\u2019s conduct was deliberately intended to benefit itself and thus to deprive plaintiff of the fee it would have earned in the absence of such interference, and therefore, constitutes malice in law.\u201d\nAbsent any further facts and allegations, plaintiff has not sufficiently pled a cause of action upon which punitive damages can be awarded. See Wait v. First Midwest Bank/Danville, 142 Ill. App. 3d 703, 710, 491 N.E.2d 795, 802 (1986) (\u201c[t]he mere addition of the phrase \u2018willful and wanton\u2019 *** is insufficient to allege reckless misconduct necessary to support an allowance of punitive damages\u201d). After reviewing the record and pleadings therein, we conclude that punitive damages are inappropriate in the instant case.\nNext, in one of the motions taken with this case, defendants seek to strike plaintiffs argument in reference to defendants\u2019 section 2 \u2014 619 motion to dismiss because plaintiff improperly asks this court to consider and deny the motion. We grant defendants\u2019 motion to strike a limited section of plaintiffs brief.\nThe jurisdiction of the appellate court extends only to those matters in controversy that the trial court has ruled on. Goodrich v. Sprague, 376 Ill. 80, 86, 32 N.E.2d 897, 900 (1941). If the lower court\u2019s failure to rule is the subject of alleged error, the propriety of the failure to rule itself is the question presented to the appellate court, and not the merits of the matter upon which the trial court refused to act. Goodrich, 376 Ill. at 86, 32 N.E.2d at 900. To that end, we do not have jurisdiction over the merits of defendants\u2019 section 2 \u2014 619 motion and will only rule on the propriety of the failure to rule by the trial court.\n\u201cThe jurisdiction to pass upon said motion resting solely in the trial court and it having refused to exercise its jurisdiction in respect thereto, this court is without jurisdiction now, just as it was on the prior appeal, to determine upon their merits the questions raised by defendants\u2019 motion for a new trial.\u201d Jacobsen v. Friel, 332 Ill. App. 97, 103, 74 N.E.2d 147, 149 (1941).\nTherefore, we grant defendants\u2019 motion to strike section II of plaintiffs brief, limited to pages 29 through 31.\nNow we consider whether it was proper for the trial court to refuse to rule on defendants\u2019 section 2\u2014619 motion to dismiss. Our supreme court has stated that \u201c[t]he courts of Illinois do not issue advisory opinions to guide future litigation.\u201d George W. Kennedy Construction Co. v. City of Chicago, 112 Ill. 2d 70, 76, 491 N.E.2d 1160, 1162 (1986). In fact, a ruling on defendants\u2019 section 2\u2014619 motion to dismiss would have served no purpose because the third amended complaint had already been dismissed with prejudice pursuant to section 2\u2014615. Plaintiff has failed to show that the trial court abused its discretion in declining to rule on the section 2\u2014619 motion to dismiss.\nFinally, defendants bring a cross-appeal arguing the trial court erred in its refusal to sanction plaintiff under Rule 137 (155 Ill. 2d R. 137). In a motion to expunge defendants\u2019 cross-appeal that was taken with the case, however, plaintiff argues that this court lacks jurisdiction to hear defendants\u2019 cross-appeal because defendants filed the cross-appeal in this court instead of the circuit court. The question of jurisdiction of the appellate court must be determined prior to deciding the merits of an appeal. Chicago Title & Trust Co. v. Brooklyn Bagel Boys, Inc., 222 Ill. App. 3d 413, 421, 584 N.E.2d 142, 147 (1991).\nWe do not have jurisdiction under Supreme Court Rule 303(a) (155 Ill. 2d R. 303(a)) to hear defendants\u2019 cross-appeal. Defendants failed to timely file the cross-appeal in the circuit court as required under Rule 303(a). Furthermore, the record contains no notice of cross-appeal as required by Rule 303, which may result in dismissal. Chicago Title & Trust Co., 222 Ill. App. 3d at 421, 584 N.E.2d at 147. A \u201cNotice of Cross-Appeal\u201d is appended to defendants\u2019 brief along with a notice of filing filed in the appellate court. However, the \u201cNotice of Cross-Appeal\u201d bears no markings indicating it was filed in the circuit court. An attachment to a brief is no substitute for compliance with supreme court rules. Regal Package Liquor, Inc. v. J.R.D., Inc., 125 Ill. App. 3d 689, 691, 466 N.E.2d 409, 411 (1984). Hence, we grant plaintiffs motion to dismiss the cross-appeal for lack of jurisdiction.\nFor the foregoing reasons, we affirm in part and reverse in part.\nAffirmed in part and reversed in part.\nO\u2019BRIEN, EJ., and O\u2019HARA FROSSARD, J., concur.",
        "type": "majority",
        "author": "JUSTICE GALLAGHER"
      }
    ],
    "attorneys": [
      "Law Offices of Jack Joseph, of Chicago (Jack Joseph, of counsel), for appellant.",
      "Connelly & Schroeder, of Chicago (Michael E Connelly, Thomas E Tobin, and Carla Summers, of counsel), for appellees."
    ],
    "corrections": "",
    "head_matter": "CANEL AND HALE, LTD., Plaintiff-Appellant and Cross-Appellee, v. MARY P. TOBIN et al., Indiv. and as Co-Guardians of the Estate of Addean Crockett, a Disabled Person, and as Co-Adm\u2019rs of the Estate of Addean Crockett, Deceased, et al., Defendants-Appellees and Cross-Appellants.\nFirst District (1st Division)\nNo. 1\u201498\u20141636\nOpinion filed April 12, 1999.\nRehearing denied June 3, 1999.\nLaw Offices of Jack Joseph, of Chicago (Jack Joseph, of counsel), for appellant.\nConnelly & Schroeder, of Chicago (Michael E Connelly, Thomas E Tobin, and Carla Summers, of counsel), for appellees."
  },
  "file_name": "0906-01",
  "first_page_order": 924,
  "last_page_order": 940
}
