MEMORANDUM OPINION
The law firm of Patton Boggs, LLP brings this action against Chevron Corporation, seeking a declaratory judgment that Patton Boggs’s representation of parties adverse to Chevron in other courts does not violate standards of professional conduct such that it could be disqualified from participating in those cases. Patton Boggs also seeks leave to amend its complaint to add claims of tortious interfer *18 ence and civil conspiracy against Chevron and Chevron’s counsel, Gibson, Dunn & Crutcher, LLP. 1 Before the Court are: Patton Boggs’s motion for leave to amend [# 19]; Chevron’s motion to dismiss this action [# 5]; and Patton Boggs’s cross-motion to strike Chevron’s motion to dismiss [# 12]. Upon consideration of the motions, the oppositions thereto, and the record of this case, the Court concludes that Patton Boggs’s motions must be denied and Chevron’s motion to dismiss must be granted.
I. BACKGROUND
This action constitutes the latest chapter in a sprawling dispute between Chevron and various parties in Ecuador regarding the operations of an oil consortium that allegedly caused extensive environmental damage in the Ecuadorian Amazon. Chevron inherited this dispute in 2001 via a merger with Texaco. Texaco was originally sued in the U.S. District Court for the Southern District of New York, but that action was dismissed, at the urging of both Texaco and the government of Ecuador, on forum non conveniens grounds.
See Aguinda v. Texaco, Inc.,
Chevron also retained the Breaux Lott Leadership Group (“Breaux Lott Group”), a consulting and lobbying organization headed by former U.S. Senators John Breaux and Trent Lott, to assist with the Lago Agrio dispute. Compl. ¶ 25. The Breaux Lott Group represented Chevron from February 2008 to July 2010. In July 2010, Patton Boggs acquired the Breaux Lott Group. Compl. ¶ 30. It subsequently asked Chevron to waive a potential conflict of interest arising from Patton Boggs’s representation of the government of Ecuador. Chevron refused and terminated its relationship with the Breaux Lott Group.
In November 2010, Patton Boggs entered an appearance on behalf of the Lago Agrio plaintiffs before the U.S. Court of Appeals for the Second Circuit. See In re Chevron Corp., No. 10-4341 (2d Cir. Nov. 11, 2010) (notice of appearance). This prompted Chevron to write to Patton Boggs via its counsel, expressing “grave concerns that [Patton Boggs’s] appearance in this matter constitutes a conflict of interest that could result in disqualification,” reserving “the right to take any action we deem appropriate,” and requesting a response by November 16, 2010. Def.’s Mot. to Dismiss Ex. A (letter from Randy M. Mastro to James E. Tyrrell, Jr. (Nov. 13, 2010)) at 1-2. Patton Boggs replied that it had reviewed the situation and concluded that its withdrawal was not required. See Def.’s Mot. to Dismiss Ex. C (letter from James E. Tyrrell, Jr. to Randy M. Mastro (Nov. 17, 2010)). Patton Boggs subsequently entered appearances on behalf of *19 the Lago Agrio plaintiffs in several more of Chevron’s § 1782 actions.
Patton Boggs filed this action on November 17, 2010, seeking a declaratory judgment that “the Breaux Lott Leadership Group’s prior non-legal work for Chevron does not provide a basis for disqualifying Patton Boggs from representing the Ecuadorian Plaintiffs.” Compl. at 10 (prayer for relief). Chevron then moved to dismiss this case on multiple grounds. Patton Boggs responded by moving to strike Chevron’s motion to dismiss and requesting leave to amend its complaint to include claims of tortious interference and civil conspiracy against both Chevron and Gibson Dunn.
II. ANALYSIS
A. Patton Boggs’s Motion for Leave to Amend the Complaint
The Court first addresses Patton Boggs’s motion for leave to amend its complaint. Patton Boggs seeks to add three new claims, all of which would apply to both Chevron and Gibson Dunn: (1) tortious interference with a contract; (2) tortious interference with an attorney-client relationship; and (3) civil conspiracy. These claims are based on what Patton Boggs terms a “smear campaign designed to hamper Patton Boggs’ ability to represent its clients in accordance with Patton Boggs’ contractual and ethical duties.” Pl.’s Mot. for Leave to Amend at 3.
A party seeking to amend its complaint more than once or after a certain period of time may do so only by written consent of the adverse party or by leave of the court. Fed.R.CivP. 15(a). Because leave is to be freely given when justice so requires,
see id.,
a refusal to allow amendment must be justified by a sufficiently compelling reason, such as undue delay, prejudice to the non-moving party, bad faith, dilatory motive, repeated failure to cure deficiencies by previous amendments, or futility of amendment.
See Foman v. Davis,
Here, Chevron opposes Patton Boggs’s request on the ground that amendment would be futile because Patton Boggs’s new claims would not survive a motion to dismiss under Federal Rule of Civil Procedure 12(b)(6).
See In re Interbank Funding Corp. Sec. Litig.,
1. Tortious Interference with Contract
Patton Boggs’s first new claim asserts that Chevron and Gibson Dunn have tortiously interfered with a contract — namely, the contract between Patton Boggs and the Ecuadorian plaintiffs in the Lago Agrio litigation. See Am. Compl. ¶¶ 68-79. Patton Boggs alleges that Chevron and Gibson Dunn have done so by “en-gag[ing] in improper offensive tactics aimed at forcing Patton Boggs to breach its contact with the Ecuadorian Plaintiffs with the ultimate aim to deprive the Ecuadorian Plaintiffs of counsel.” Am. Compl. ¶ 75. The tactics in question allegedly include intimidating witnesses, Am. Compl. ¶ 24, “burying” the Lago Agrio plaintiffs’ counsel “beneath a mountain of discovery requests,” Am. Compl. ¶ 26, publicly asserting that the Lago Agrio litigation is fraudulent, Am. Compl. ¶¶ 27, 36, and threatening to seek Patton Boggs’s disqualification from Chevron’s various § 1782 actions. Am. Compl. ¶ 33. Chevron argues that the amended complaint fails to allege facts establishing a plausible claim to relief for tortious interference. Chevron is correct.
Under D.C. law, a successful tortious interference claim requires: the existence of a contract; knowledge of the contract by the defendant; the defendant’s intentional procurement of the contract’s breach; and damages resulting from that breach.
Murray v. Wells Fargo Home Mortg.,
Patton Boggs responds that it has alleged that Chevron and Gibson Dunn “have
as their goal
the ‘intentional procurement’ of the breach of’ Patton Boggs’s contract with the Lago Agrio plaintiffs, which, Patton Boggs avers, is sufficient to state a claim of tortious interference. Pl.’s Reply to Def.’s Opp’n to Mot. for Leave to Amend [# 23] at 12 (emphasis added). But Patton Boggs misunderstands the law. “Unlike in some jurisdictions, courts in the District of Columbia have held that a breach of contract is an essential element of’ a tortious interference claim.
Murray,
2. Tortious Interference with Attorney-Client Relationship
Patton Boggs’s second new claim similarly asserts that Chevron and Gibson Dunn have tortiously interfered with Patton Boggs’s attorney-client relationship with the Lago Agrio plaintiffs.
See
Am. Compl. ¶¶ 80-89. It is not clear, however, that “tortious interference with an attorney-client relationship” exists as a discrete tort in the District of Columbia. The only case of which the Court is aware that addresses such a claim is
Barnes v. Quigley,
3. Civil Conspiracy
Patton Boggs’s final new claim is one of civil conspiracy, based on the same allegations that underpin the two tortious interference claims. This claim too must fail. In the District of Columbia, civil conspiracy is not an independent tort; thus, a claim for civil conspiracy will not lie in the absence of an underlying tortious act.
Nader v. Democratic Nat’l Comm.,
*22 B. The Court Declines to Strike Chevron’s Motion
Patton Boggs next moves to strike Chevron’s motion to dismiss for including factual assertions that are irrelevant or beyond the scope of the material that the Court can consider at this stage. Patton Boggs acknowledges that, on a motion to dismiss under Federal Rules of Civil Procedure 12(b)(1) or 12(b)(3), the Court can consider facts beyond those alleged in the complaint, but asserts that Chevron’s motion contains numerous factual assertions that “go well beyond the confines of the complaint and have nothing to do with the Court’s subject matter jurisdiction or venue.” Pl.’s Opp’n to Def.’s Mot. to Dismiss at 9. Chevron responds that Patton Boggs’s request is without legal support and further that it is permissible and commonplace for a motion to provide basic background facts. The Court concludes that the motion to strike should be denied. 5
First, as Chevron observes, it is routine for parties to provide the Court with a certain amount of background information that is not directly relevant to the merits of the claim or motion at issue. This practice ensures that the Court understands the context in which the dispute arose.
See, e.g., Stanbury Law Firm v. IRS,
C. Chevron’s Motion to Dismiss
Chevron seeks the dismissal of Patton Boggs’s declaratory judgment claim on several grounds. It asserts that this dispute is not yet ripe; that this Court should use its discretion under the Declaratory Judgment Act to decline to adjudicate the propriety of Patton Boggs’s participation in matters in other districts; and, similarly, that the District of Columbia is the wrong venue for the resolution of this action. Chevron’s arguments are persuasive.
*23 1. Ripeness 6
The ripeness doctrine is intended “to prevent the courts, through avoidance of premature adjudication, from entangling themselves in abstract disagreements,”
Abbott Labs. v. Gardner,
Here, Chevron asserts that Patton Boggs’s complaint fails on both counts: Chevron argues that Patton Boggs has not identified a sufficiently concrete and specific injury, and that prudential considerations dictate dismissal. Patton Boggs responds that Chevron’s November 2010 letter reserving “the right to take any action [it] deems appropriate” constituted a concrete and immediate threat to seek Patton Boggs’s disqualification, and that resolution of its obligations in one forum is preferable to duplicative and piecemeal litigation. Patton Boggs’s response is unavailing.
Whether Chevron’s letter to Patton Boggs constitutes a credible threat of litigation sufficient to satisfy the constitutional injury requirement is a close question.
See Fed. Exp. Corp. v. Air Line Pilots Ass’n,
Patton Boggs seeks a declaratory judgment that “the Breaux Lott Leadership Group’s prior non-legal work for Chevron does not provide a basis for disqualifying Patton Boggs from representing the Ecuadorian Plaintiffs.” Compl. at 10 (prayer for relief). Despite this declaration’s apparent lack of geographical limitation, Patton Boggs avers that the Court would need to apply only one body of law: “it is likely that District of Columbia rules will apply because the conduct purportedly giving rise to the conflict — [the Breaux Lott Group’s] performance of lobbying *24 work for Chevron — did not occur before a tribunal” and took place in the District. Pl.’s Opp’n at 13 n. 1. This, however, is incorrect. 7
Under the ABA’s Model Rules of Professional Conduct — and thus, in a significant number of jurisdictions — the rules that govern “conduct in connection with a matter pending before a tribunal” are “the rules of the jurisdiction in which the tribunal sits.” Model Rules of Prof’l Conduct R. 8.5(b)(1);
accord
D.C. Rules of Prof’l Conduct R. 8.5(b)(1); Md. Lawyer’s Rules of Prof’l Conduct R. 8.5(b)(1); N.Y. Rules of Prof’l Conduct R. 8.5(b)(1); Pa. Rules of Prof’l Conduct R. 8.5(b)(1). Thus, the propriety of Patton Boggs’s participation in Chevron’s various § 1782 proceedings— which is unquestionably “conduct in connection with” those proceedings — is governed by the respective rules of the jurisdictions where those cases are pending.
See Southwire Co. v. Ramallo Bros. Printing, Inc.,
This fact is fatal to Patton Boggs’s argument that its suit is ripe. Even if Chevron’s November 2010 letter constituted a credible threat of litigation for constitutional ripeness purposes, that letter could only have created a justiciable controversy
as to those actions that are currently pending
— it cannot be understood as a clear and immediate threat to seek Patton Boggs’s disqualification from actions that do not yet exist.
See Laird v. Tatum,
2. Abstention under the Declaratory Judgment Act
Even if some portion of Patton Boggs’s suit is ripe, the Court nevertheless exercises its discretion under the Declaratory Judgment Act, 28 U.S.C. § 2201, to abstain from hearing this case. “[District courts possess discretion in determining whether and when to entertain an action under the Declaratory Judgment Act, even when the suit otherwise satisfies subject matter jurisdictional prerequisites.”
Wilton v. Seven Falls Co.,
Here, the question of whether Patton Boggs might be subject to disqualification from any of Chevron’s § 1782 proceedings would be “better settled” by the courts presiding over those cases. The necessary parties
(ie.,
Patton Boggs and Chevron) are involved in those actions, and the presiding courts are perfectly capable of resolving Patton Boggs’s ethical dilemma.
See Brillhart,
III. CONCLUSION
For the foregoing reasons, the Court concludes that Patton Boggs’s motion to strike [# 12] and motion for leave to amend [# 19] must be denied and Chevron’s motion to dismiss [# 5] must be granted. An appropriate order accompanies this memorandum opinion.
*26 MEMORANDUM OPINION AND ORDER
On April 19, 2011, the Court dismissed this action, ruling that issuing a declaratory judgment regarding plaintiff Patton Boggs, LLP’s ethical obligations in various other federal proceedings would be improper, and that Patton Boggs could not amend its complaint to add tort claims against defendant Chevron and its counsel, Gibson, Dunn
&
Crutcher, LLP.
See Patton Boggs, LLP v. Chevron Corp.,
I. BACKGROUND
In the interests of brevity, the Court will not retread all of the events that gave rise to this action, which are summarized in the Court’s prior opinion and elsewhere.
See Patton Boggs,
On April 19, 2011, the Court issued a memorandum opinion and a judgment dismissing the case in its entirety. The Court first denied Patton Boggs’s motion for leave to amend its complaint, explaining that because Patton Boggs did not allege any facts suggesting that Chevron and Gibson Dunn’s conduct had caused an actual breach of Patton Boggs’s contract with the Ecuadorian plaintiffs, it had failed to state a claim of tortious interference under District of Columbia law.
See Patton Boggs,
The Court then granted Chevron’s motion to dismiss Patton Boggs’s declaratory judgment claim.
2
The Court concluded that Patton Boggs’s requested remedy — a declaratory judgment that “the Breaux Lott Leadership Group’s prior non-legal
*27
work for Chevron does not provide a basis for disqualifying Patton Boggs from representing the Ecuadorian Plaintiffs,” Compl. at 10 (prayer for relief) — went well beyond any justiciable controversy created by Chevron’s alleged threat to seek Patton Boggs’s disqualification from the actions that Chevron had initiated under 28 U.S.C. § 1782 (which authorizes district courts to issue orders permitting discovery for use in foreign proceedings).
See Patton Boggs,
On April 27, 2011, Patton Boggs moved for reconsideration of the Court’s decision to dismiss the case, and sought leave to amend its complaint to add new claims. Simultaneously, it filed a new action in this Court, apparently presenting claims identical to those that it seeks permission to reinstate or add here. See Patton Boggs, LLP v. Chevron Corp., No. 11-0799 (D.D.C. filed Apr. 27, 2011).
II. LEGAL STANDARD
Patton Boggs suggests that the Court treat its motion for reconsideration as being made under Federal Rule of Civil Procedure 60(b), which allows the Court to “relieve a party ... from a final judgment, order, or proceeding” for certain reasons. Fed.R.Civ.P. 60(b). Patton Boggs acknowledges, however, that the Court might conclude that Rule 59(e), which allows a party to file a motion “to alter or amend a judgment” within 28 days thereof, Fed.R.Civ.P. 59(e), supplies the appropriate standard.
See
Pl.’s Mem. in Supp. of Mot. for Recons. (“Pl.’s Mem.”) at 1. Because Patton Boggs’s motion for reconsideration “calls into question the correctness of [the Court’s] judgment” and was filed within Rule 59(e)’s time limit, the Court construes it as being made pursuant to that provision.
See MLC Automotive, LLC v. Town of Southern Pines,
III. ANALYSIS
A. Abstention under the Declaratory Judgment Act
Patton Boggs first contends that the Court erred by declining to issue a declar *28 atory judgment resolving its ethical obligations vis-á-vis Chevron and the Lago Agrio litigation. It argues that the Court appeared to overlook two salient facts: first, that any court deciding whether a conflict precludes Patton Boggs from appearing opposite Chevron would turn on a threshold question of District of Columbia law, which this Court is ideally suited to resolve; and second, that one of Chevron’s § 1782 actions is proceeding in this district. These arguments are unpersuasive.
In granting Chevron’s motion to dismiss, the Court explained that because the declaratory judgment sought by Patton Boggs — that it could represent the Lago Agrio plaintiffs' — -was without geographical or jurisdictional limitation, Patton Boggs was effectively asking the Court “to decipher and apply the law of
every
jurisdiction where Chevron
might
seek Patton Boggs’s disqualification.”
See Patton Boggs,
Patton Boggs now contends that the Court erred by overlooking the “fact” that a court in another jurisdiction, before applying its own ethical rules, would have to determine whether the Breaux Lott Group’s lobbying services for Chevron were legal in nature, a question that, Patton Boggs avers, is governed by District of Columbia law.
See
Pl.’s Mem. at 3. To begin with, this argument — like Patton Boggs’s original contention that District law would govern any disqualification motion based on the Breaux Lott Group’s lobbying — is wholly unsupported. Indeed, this assertion appears directly contrary to the Court’s prior holding that “the propriety of Patton Boggs’s participation in Chevron’s various § 1782 proceedings ... is governed by the respective rules of the jurisdictions where those cases are pending.”
Patton Boggs,
The same is true of Patton Boggs’s second point: that Judge Kollar-Kotelly of this district is currently presiding over one of Chevron’s § 1782 actions, in which Patton Boggs has appeared as counsel.
See In re Application of Chevron Corp.,
Misc. No. 11-0030 (D.D.C. filed Jan. 21, 2011) (Kollar-Kotelly, J.). Judge Kollar-Kotelly, no less than a judge sitting in
*29
another judicial district, is “perfectly capable of resolving Patton Boggs’s ethical dilemma.”
Patton Boggs,
B. Denial of Leave to Add Claims of Tortious Interference and Civil Conspiracy
Patton Boggs next argues that the Court erred in denying Patton Boggs leave to amend its complaint to add claims of tortious interference and civil conspiracy against Chevron and Gibson Dunn. Patton Boggs asserts that, in holding that adding these claims would be futile because they could not survive a motion to dismiss for failure to state a claim, the Court may have applied the wrong jurisdiction’s law, and definitely applied the wrong theory of tortious interference. The Court addresses each argument in turn.
1. Choice of Law
Patton Boggs’s proposed amended complaint did not specify the body of law under which Patton Boggs sought to bring its tortious interference and civil conspiracy claims.
5
Chevron, in opposing the addition of Patton Boggs’s tort claims, assumed that those claims would be governed by District of Columbia law.
See
Def.’s Opp’n to Pl.’s Mot. for Leave to Amend [# 22] at 20-21. In its reply brief, Patton Boggs did the same.
See
Pl.’s Reply in Supp. of Pl.’s Mot. for Leave to Amend [# 23] at 17-19. In light of both parties’ unquestioning reliance on District law, the Court concluded that it need not raise the choice-of-law issue
sua sponte,
and analyzed Patton Boggs’s tort claims under District law.
Patton Boggs,
Patton Boggs now suggests that, by “citing to law within the District of Columbia to counter Chevron’s argu
*30
ments,” it “did not intend to concede that District of Columbia law would apply.” Pl.’s Mem. at 6. In fact, Patton Boggs now avers, New Jersey law “may well” govern, because New Jersey is where Patton Boggs performs the services with which Chevron and Gibson Dunn have allegedly interfered. But the time for this argument has passed. A motion for reconsideration “is not an appropriate forum for ... arguing matters that could have been heard during the pendency of the previous motion.”
Carter,
2. The Applicable Theory of Tortious Interference
Patton Boggs next contends that, even under District of Columbia law, the Court erred by holding that Patton Boggs’s tortious interference claim was deficient because it failed to allege an actual breach of Patton Boggs’s contract with the Lago Agrio plaintiffs. Pl.’s Mem. at 5. Patton Boggs points out that the Court relied on a formulation of tortious interference that involves the defendant inducing a third party to breach a contract with the plaintiff.
See Patton Boggs,
One who intentionally and improperly interferes with the performance of a contract ... between [the plaintiff] and a third person, by preventing the [plaintiff] from performing the contract or causing his performance to be more expensive or burdensome, is subject to liability to the [plaintiff] for the pecuniary loss resulting to him.
Restatement (Second) of Torts § 766A (emphasis added). Patton Boggs asserts that it has stated a claim for relief under this formulation of tortious interference, which does not require an actual breach of contract. 7 Patton Boggs is incorrect.
The first problem here is that Patton Boggs had ample opportunity to present this argument in support of its motion for leave to amend, and failed to do so. In fact, Patton Boggs’s own reply brief laid out the precise formulation of tortious in
*31
terference that it now argues the Court erred by employing.
See
Pl.’s Reply in Supp. of Mot. for Leave to Amend at 12 (“Under D.C. law, tortious interference with contract has four elements: ‘(1) existence of a contract, (2) knowledge of the contract, (3)
intentional procurement of its breach by the defendant,
and (4) damages resulting from the breach.’ ” (quoting
Sturdza v. United Arab Emirates,
Second, it is not wholly clear that § 766A’s cause of action is viable in the District.
DeKine v. District of Columbia,
But the uncertain status of § 766A need not detain the Court here. Even if Patton Boggs’s argument were not untimely, and even if the Court were to apply § 766A precisely as written, Patton Boggs’s proposed amended complaint would
still
fail to state a claim for tortious interference. As noted above, damages are an essential element of any tortious interference claim.
DeKine,
Simply put, Patton Boggs’s argument is a day late and a dollar short. Patton Boggs failed to make this argument while its motion for leave to amend was pending; it now fails to provide adequate support for the contention that its preferred formulation of tortious interference is employed by the District’s courts; and its proposed amended complaint fails to state a claim thereunder anyway. No “clear error or manifest injustice” occurred here.
Anyanwutaku,
C. Patton Boggs’s Request for Leave to Amend
In addition to challenging the Court’s dismissal of this action, Patton Boggs seeks to add an additional claim of tortious interference based on the traditional formulation employed in § 766 of the Restatement. But, while Patton Boggs is correct that leave to amend should be “freely give[n] when justice so requires,” Fed.R.Civ.P. 15(a), a party seeking to add new claims under Rule 15 after a judgment dismissing the underlying action “must first satisfy Rule 59(e)’s more stringent standard.”
Firestone,
IV. CONCLUSION
For the foregoing reasons, the Court concludes that Patton Boggs has failed to establish the “clear error or manifest injustice” that is required to justify the relief it seeks.
See Anyanwutaku,
Accordingly, it is this 8th day of July 2011 hereby
ORDERED that plaintiffs motion for reconsideration and for leave to file a second amended complaint [# 37] is DENIED.
Notes
. All of the claims in Patton Boggs’s original and proposed amended complaints are predicated on this Court’s diversity jurisdiction pursuant to 28 U.S.C. § 1332.
. To survive a motion to dismiss under Rule 12(b)(6), a complaint does not need detailed factual allegations. It must, however, recite facts sufficient to at least "raise a right to relief above the speculative level ... on the assumption that all the allegations in the complaint are true (even if doubtful in fact).”
Bell Atlantic Corp. v. Twombly,
. Patton Boggs points out that some federal decisions have characterized the third element as "intentional interference without justification.”
See, e.g., Jones v. Meridian Towers Apartments, Inc.,
. Because the Court concludes that amendment would be futile, it does not reach Chevron's additional argument that it should deny Patton Boggs’s motion for leave to amend because Patton Boggs seeks to add these new claims in bad faith.
. The Court assumes for the purposes of this discussion that: (1) Patton Boggs’s motion to strike is made under Rule 12(f), which allows the Court to "strike from a pleading any redundant, immaterial, impertinent, or scandalous matter,” Fed.R.Civ.P. 12(f); (2) Patton Boggs seeks to strike Chevron's motion because the factual assertions therein are "immaterial” or "impertinent”; and (3) Rule 12(f) applies to motions, which are technically not "pleadings.” See Fed.R.Civ.P. 12(b); Black's Law Dictionary (9th ed.2009) (defining "pleading” as "[a] formal document in which a party to a legal proceeding (esp. a civil lawsuit) sets forth or responds to allegations, claims, denials, or defenses. In federal civil procedure, the main pleadings are the plaintiff's complaint and the defendant's answer.”).
. Chevron’s ripeness argument seeks the dismissal of this action under Federal Rule of Civil Procedure 12(b)(1), which authorizes a defendant to move to dismiss a complaint, or any portion thereof, for lack of subject-matter jurisdiction. Fed.R.Civ.P. 12(b)(1);
see Kokkonen v. Guardian Life Ins. Co. of Am.,
. The Court also notes that whether it was the Breaux Lott Group's lobbying — as opposed to Patton Boggs's subsequent appearances in litigation against Chevron — that “purportedly [gave] rise to the conflict” is a largely semantic question. In fact, it would probably be most precise to say that it was the combination of the two actions that caused the putative conflict. Regardless, the location of the lobbying activity is irrelevant to the question of which rules govern disqualifications from pending actions.
. Prudential ripeness concerns do not favor Patton Boggs either; given that Patton Boggs is effectively asking the Court to conduct a fifty-state survey of its ethical obligations
vis a vis
the Lago Agrio litigation, it cannot be said that "the scope of the controversy has ... manageable proportions.”
Nat’l Park Hospitality Ass'n v. Dep’t of Interior,
. The Court also rejected a claim for tortious interference with an attorney-client relationship (finding no indication that such a cause of action exists under District law) and a civil conspiracy claim (which cannot lie absent a viable underlying tort claim).
See Patton Boggs,
. The Court denied Patton Boggs’s motion to strike Chevron's motion to dismiss because it found no material therein sufficiently prejudicial or scandalous to warrant striking the motion. See Patton Boggs, 791 F.Supp.2d at 21-23.
. For example, in New York, where Chevron filed one of its § 1782 proceedings,
see In re Chevron Corp.,
. Patton Boggs suggests that the Court may have wrongly assumed that Patton Boggs has appeared in all of Chevron’s § 1782 actions, rather than just six. Pl.'s Mem. at 4 n. 3. This distinction is irrelevant because Patton Boggs’s requested declaratory judgment was not limited to those actions in which it had already appeared. Patton Boggs requested, without qualification, a declaration that “the Breaux Lott Leadership Group's prior nonlegal work for Chevron does not provide a basis for disqualifying Patton Boggs
from representing the Ecuadorian Plaintiffs."
Compl. at 10 (prayer for relief) (emphasis added). As the Court has already explained, this request
by its terms
reaches any and all litigation, in any forum, where Patton Boggs
might
appear on behalf of the Lago Agrio plaintiffs.
Patton Boggs,
. Nor was it required to — “[c]omplaints 'need not plead law or match facts to every element of a legal theory.'”.
Krieger v. Fadely,
.
Turkmani v. Republic of Bolivia,
. The Third Circuit recently explained the difference between the two causes of action as follows: "§ 766 allows a plaintiff to recover if a third party fails entirely to perform ..., while § 766A allows the plaintiff to recover if he himself was forced either to fail to perform under a contract or to perform under more expensive or burdensome circumstances....”
Barefoot Architect, Inc. v. Bunge,
. In fact, the DeKine court did not even cite § 766A itself; it cited comment i thereto, which is simply a cross-reference to comments to § 766 that deal with damages and remedies. See Restatement (Second) of Torts § 766 cmts. t, u; id. § 766A cmt. i.
. It is not a foregone conclusion that the District’s courts would, if they recognized § 766A, allow suits where the plaintiff's performance had been made more burdensome or expensive, but where no breach had occurred; they do not allow such claims in traditional, third-party tortious-interference cases, even though other jurisdictions do.
See Murray,
