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                                    Appellate Court                            Date: 2019.01.14
                                                                               09:28:30 -06'00'



             Scarpelli v. McDermott Will & Emery LLP, 2018 IL App (1st) 170874



Appellate Court         FRANK J. SCARPELLI JR., and MARGARET SCARPELLI,
Caption                 Plaintiffs-Appellants, v. MCDERMOTT WILL & EMERY LLP,
                        Defendant-Appellee.–ANNE-MARIE           POINCELET,       in    Her
                        Individual Capacity, as Beneficiary of the Pamela J. Poincelet Trust
                        No. 1 and the Pamela J. Poincelet Irrevocable Trust No. 1, and as
                        Trustee of the Pamela J. Poincelet Trust No. 1 and the Pamela J.
                        Poincelet Irrevocable Trust No. 1, Plaintiff, v. FRANK J.
                        SCARPELLI JR., in His Individual Capacity and as Former Trustee of
                        the Pamela J. Poincelet Trust No. 1 and the Pamela J. Poincelet
                        Irrevocable Trust No. 1, and MARGARET O. SCARPELLI, in Her
                        Individual Capacity, Defendants.



District & No.          First District, Third Division
                        Docket Nos. 1-17-0874, 1-17-1011 cons.



Filed                   June 27, 2018



Decision Under          Appeal from the Circuit Court of Cook County, Nos. 2016-L-8816,
Review                  2015-CH-15087; the Hon. Celia G. Gamrath, Judge, presiding.



Judgment                Affirmed.


Counsel on              Ted A. Meyers, Jonathan P. Mincieli, and Michael W. Lenert, of
Appeal                  Meyers & Flowers, LLC, of St. Charles, David M. Macksey, of
                        Johnson & Bell, Ltd., of Chicago, and Daniel F. Konicek and Amanda
                        J. Hamilton, of Konicek & Dillon, P.C., of Geneva, for appellants.
                                 Stephen Novack, Richard G. Douglass, and Yvette V. Mishev, of
                                 Novack and Macey LLP, of Chicago, for appellee.



     Panel                       JUSTICE FITZGERALD SMITH delivered the judgment of the court,
                                 with opinion.
                                 Justices Howse and Lavin concurred in the judgment and opinion.


                                                    OPINION

¶1         Following the filing of individual and amended complaints by plaintiffs-appellants Frank
       J. Scarpelli Jr. and Margaret Scarpelli (plaintiffs or as named), defendant-appellee McDermott
       Will & Emery LLP (McDermott) filed a motion to dismiss them both pursuant to section 2-615
       of the Code of Civil Procedure (Code) (735 ILCS 5/2-615 (West 2016)). The trial court granted
       defendant’s motion with prejudice, based on the attorney litigation privilege. Plaintiffs appeal,
       contending that the trial court should not have applied the attorney litigation privilege to this
       cause as it does not cover prelitigation conduct, does not apply to the type of conduct they
       allege occurred, and leaves them with no recourse.1 They ask that we reverse the trial court’s
       dismissal of their claims with prejudice and for other relief this court deems fair and just. For
       the following reasons, we affirm.

¶2                                            BACKGROUND
¶3         This cause involves multiple underlying cases principally involving Frank, his wife
       Margaret, Anne-Marie Poincelet, and McDermott, Anne-Marie’s attorney. However, the focus
       of the instant appeal revolves around intrusion upon seclusion claims brought separately by
       Frank and Margaret against McDermott and consolidated by our court. Anne-Marie is not a
       party to this appeal.
¶4         Frank and Anne-Marie are cousins. Their extended family developed several businesses,
       including many property companies and apartment complexes, with their principal place of
       business in Carpentersville, Illinois (Kane County). Frank worked for these family businesses.
       In 1994, Frank began helping Anne-Marie’s mother, his aunt Pamela Poincelet, with the
       management of her personal properties and financial affairs. Eventually, Pamela formed two
       trusts. She named Frank as trustee of both of them, and she named Anne-Marie as her
       beneficiary. In subsequent years, Pamela named Frank as her agent and gave him power of
       attorney over her health care as well as her property. Pamela died in 2011, leaving Anne-Marie
       as her heir. Frank became the executor of Pamela’s estate and, after her death, continued to act
       as trustee of her two trusts.

             1
            For the record, Frank and Margaret, each represented by different counsel, filed separate opening
       briefs on appeal. These briefs, however, are essentially the same, almost word-for-word in fact, and
       assert the same facts and issues for our review. Additionally, we note that Margaret filed a reply brief in
       response to defendant’s appellee brief. Frank moved our court to join in Margaret’s reply brief, and we
       granted his motion.

                                                       -2-
¶5        In early 2015, Anne-Marie confronted Frank and Margaret about missing funds in
     Pamela’s accounts and trusts. Anne-Marie believed Frank and Margaret had misappropriated
     millions of dollars from them and used the proceeds for their personal benefit. The day after
     this confrontation, Frank was terminated from his employment at the family businesses. The
     locks in the offices were changed, and Frank was not permitted to enter his office or the
     businesses’ premises, where he kept various documents regarding Margaret and their personal
     affairs. Anne-Marie hired McDermott to represent her in investigating and potentially pursuing
     litigation concerning Frank and Margaret’s alleged misappropriation. Frank hired attorney
     James Tunick to represent him.2
¶6        In March 2015, McDermott contacted Tunick to set up a meeting between Frank,
     Margaret, and Anne-Marie to discuss the missing money and attempt to settle the matter. A
     meeting was arranged for March 19, 2015, at McDermott’s office. On that day, Frank and
     Margaret, along with Tunick, arrived at McDermott’s building. According to Frank and
     Margaret’s complaints, they were met by a man and escorted to a small room, where they met
     another man who was introduced to them as an “ex-FBI agent.” While in this room with the
     door closed, the “ex-FBI agent” frisked Frank by patting him down and, with Margaret’s
     permission, searched her purse. The men then escorted Frank, Margaret, and Tunick into a
     large conference room, where several McDermott attorneys were waiting for them. On the
     conference room table were stacks of documents, including drafts of deeds with legal
     descriptions of every property and home Frank and Margaret owned, trust papers, letters of
     direction, and assignments listing Frank and Margaret’s banking institutions and bank account
     numbers.
¶7        During the meeting, Frank and Margaret were presented with a document drafted by
     McDermott, titled “Tolling & Asset Management Agreement” (Asset Agreement). This
     document stated that Frank and Margaret had the benefit of counsel of their choice and had
     been offered the opportunity to review the agreement with him, that Anne-Marie had certain
     potential legal claims against them for diversion or dilution of funds, that Frank and Margaret
     met with forensic accountants and admitted wrongdoing, and that the parties were exploring
     the possibility of settling these potential claims following a full accounting. The Asset
     Agreement prescribed that Frank and Margaret agreed not to “distribute, expend, or transfer
     any real or personal property” until all such claims were resolved to Anne-Marie’s satisfaction.
     To effectuate this, the Asset Agreement provided that Frank and Margaret would put many of
     their assets, cash, and real property into two trusts: the Frank Scarpelli 2015 Special Trust, with
     Frank and Tunick as cotrustees, and the Margaret Scarpelli 2015 Special Trust, with Margaret
     and Tunick as cotrustees. It further provided that Anne-Marie would exercise certain
     supervisory controls over these trusts, including the power to veto any sale, exchange, or
     distribution of any trust asset; the power to appoint trustees; and the power to remove trustees
     without cause at any time. Finally, the Asset Agreement stated that Frank and Margaret agreed
     to pay all of Anne-Marie’s costs in the matter, including attorney fees, investigative fees, and
     forensic accountant fees. Frank and Margaret were also given a copy of a document, titled
     “Verified Complaint,” and told that someone from McDermott was waiting at the courthouse
     with instructions to file it if they did not immediately sign the documents in the conference

         2
          There is no indication in the record that Margaret, at this point, hired any attorney to represent her
     regarding Anne-Marie’s misappropriation allegations.

                                                     -3-
       room. With Tunick present, both Frank and Margaret signed all the documents presented to
       them that day, including the Asset Agreement.
¶8          Several months later, in October 2015, Anne-Marie, individually and as beneficiary and
       trustee of Pamela’s trusts, filed a cause of action in the circuit court of Cook County against
       Frank and Margaret for breach of the Asset Agreement and for theft. McDermott represented
       Anne-Marie in the cause.
¶9          In response, in November 2015, Margaret filed a separate cause of action in the circuit
       court of Kane County against Anne-Marie and McDermott. In December 2015, Frank did the
       same, filing a substantially similar (but separate) cause of action in that same court against
       Anne-Marie and McDermott. Count I of their complaints was asserted against Anne-Marie
       only and sought declaratory judgment that the documents from the March 19 meeting were
       invalid and unenforceable because Frank and Margaret signed them under duress. Count II of
       their complaints, directed at both Anne-Marie and McDermott, alleged conversion/trespass to
       chattels and claimed that Anne-Marie “and/or someone acting on her behalf” obtained their
       “private and/or confidential information” and that McDermott maintained possession and
       exercised unauthorized control over it. And, count III of their complaints, also directed against
       both Anne-Marie and McDermott, alleged intrusion upon seclusion and claimed that
       Anne-Marie and McDermott intentionally intruded upon their private affairs and
       misappropriated this information to compel them to sign the March 19 documents.
¶ 10        Anne-Marie and McDermott moved the circuit court of Kane County to dismiss plaintiffs’
       causes of action or to transfer them to Cook County, where Anne-Marie’s claim against
       plaintiffs was pending. In response, Margaret voluntarily agreed to transfer count I
       (declaratory judgment as against Anne-Marie only) of her complaint to the circuit court of
       Cook County, and voluntarily dismissed count II (conversion/trespass as against Anne-Marie
       and McDermott) of her complaint with prejudice, leaving, as to McDermott, only count III
       (intrusion upon seclusion) in Kane County. Eventually, the circuit court of Kane County
       transferred both plaintiffs’ causes in their entirety to Cook County, where they were
       consolidated with Anne-Marie’s initial cause.
¶ 11        McDermott moved to dismiss both Frank’s and Margaret’s count III of intrusion upon
       seclusion as against it.3 Following argument—which centered extensively around the case of
       O’Callaghan v. Satherlie, 2015 IL App (1st) 142152, and the attorney litigation privilege—the
       trial court granted McDermott’s motion, with prejudice. The trial court found several points of
       O’Callaghan critical to the instant cause, including its interpretation that the attorney litigation
       privilege is “absolute,” irrespective of motive, and that “no liability will attach even at the
       expense of an uncompensated harm” to a plaintiff. The trial court further declared that
       O’Callaghan “makes it clear” that both attorney conduct and communications are covered, so
       long as they “relate to proposed or pending litigation” and are “in furtherance of
       representation.” Then, in applying O’Callaghan to the instant cause, the trial court declared

           3
            There was much motion practice in this cause, as plaintiffs continued throughout litigation to file
       individually, rather than join their cases. For example, the operative complaints involved herein were
       Margaret’s second amended complaint (which saw her dismiss count II against McDermott but retain
       count III against it) and Frank’s third amended complaint (which retained both counts II and III against
       McDermott). As issues are not raised on appeal in this respect, we have simplified this to merely
       provide a background context for the procedural posture of this cause.

                                                      -4-
       that, from the pleadings, it was “clear that any conduct or actions that the law firm of
       McDermott took was in furtherance of representation of Anne-Marie Poincelet and it was in
       connection with proposed or imminently pending litigation,” with any doubts as to this finding
       “to be resolved in favor of finding that the privilege applies.” Accordingly, the trial court
       dismissed plaintiffs’ counts against McDermott for intrusion upon seclusion pursuant to the
       “absolute attorney litigation privilege.”4

¶ 12                                             ANALYSIS
¶ 13        On appeal, plaintiffs contend that the trial court erred in dismissing their intrusion upon
       seclusion claims as against McDermott. 5 Essentially, plaintiffs claim that the trial court
       misinterpreted and misapplied the attorney litigation privilege by concluding that it covers
       prelitigation conduct in general, by finding that it applied to the type of conduct alleged in this
       cause specifically, and by upholding its determination even though plaintiffs are left with no
       recourse. Based upon our review of the record, as well as the law regarding the attorney
       litigation privilege and, particularly, O’Callaghan, we disagree.
¶ 14        We note for the record that the parties agree as to the applicable standard of review.
       Briefly, the trial court’s dismissal was premised on McDermott’s section 2-615 motion. Such
       motions attack the legal sufficiency of the complaint by alleging defects on its face, and upon
       their grant, we are to examine the complaint’s allegations in the light most favorable to the
       plaintiff, accepting as true all well-pled facts. See In re Estate of Powell, 2014 IL 115997, ¶ 12;
       Bunting v. Progressive Corp., 348 Ill. App. 3d 575, 580 (2004). However, if these are not
       sufficient to state a cause of action upon which relief may be granted, then dismissal of the
       cause is appropriate. Powell, 2014 IL 115997, ¶ 12 (“a court cannot accept as true mere
       conclusions unsupported by specific facts” and dismissal is proper where no set of facts, as
       apparent from the pleadings, can be proven that would entitle the plaintiff to recover). Our
       review follows a de novo standard. Powell, 2014 IL 115997, ¶ 12 (appeal from dismissals
       pursuant to section 2-615 are reviewed de novo). Additionally, we are also to use de novo
       review when examining whether the attorney litigation privilege applies in a cause. Popp v.
       O’Neil, 313 Ill. App. 3d 638, 642 (2000) (this is a question of law).
¶ 15        We find that the trial court properly dismissed Frank’s and Margaret’s intrusion upon
       seclusion claims pursuant to McDermott’s section 2-615 motion.
¶ 16        Undeniably, the instant cause centers on the attorney litigation privilege, its applicability to
       the facts herein, and O’Callaghan. To begin, and short of presenting a dissertation on its
           4
             Again, we simplify the motion practice in this cause, as no issues are raised concerning it. The trial
       court’s order, upon the parties’ agreement, declared (and clarified) that plaintiffs’ counts against
       McDermott were dismissed with prejudice “in their entirety.” Following this decision, Margaret went
       on to file a third amended complaint as against Anne-Marie only for declaratory judgment and intrusion
       upon seclusion (her original counts I and III). Likewise, Frank filed a fourth amended complaint,
       officially dismissing his original count II of conversion against McDermott, but retaining counts
       against Anne-Marie. Plaintiffs’ litigation as against Anne-Marie and Anne-Marie’s litigation against
       plaintiffs are not part of the instant appeal.
           5
             With plaintiffs having voluntarily dismissed their claims for conversion/trespass to chattels as
       against McDermott, and with all their remaining counts now directed against Anne-Marie only,
       plaintiffs’ intrusion upon seclusion claims as against McDermott are, pursuant to the parties’
       agreement, the only ones we are called to review on appeal at this time.

                                                        -5-
       historical development, it suffices here to say that the attorney litigation privilege is well
       established, and very much alive, in our law. It derives from section 586 of the Restatement
       (Second) of Torts, which states:
                    “An attorney at law is absolutely privileged to publish defamatory matter
                concerning another in communications preliminary to a proposed judicial proceeding,
                or in the institution of, or during the course and as part of, a judicial proceeding in
                which he participates as counsel, if it has some relation to the proceeding.” Restatement
                (Second) of Torts § 586 (1977).
¶ 17        There are many legal principles at play here. At its foundation, the privilege is meant to
       provide attorneys with “the utmost freedom in their efforts to secure justice for their clients.”
       (Internal quotation marks omitted.) Kurczaba v. Pollock, 318 Ill. App. 3d 686, 701-02 (2000).
       It is also intended to further attorneys’ need to fully and fearlessly communicate with their
       clients (Popp, 313 Ill. App. 3d at 642-43), as well as to promote the free flow of truthful
       information to courts (Edelman, Combs & Latturner v. Hinshaw & Culbertson, 338 Ill. App.
       3d 156, 165-66 (2003)). Ultimately, our courts have consistently made clear that “[a]n attorney
       must be at liberty to candidly and zealously represent his client in communications to potential
       opposing parties in litigation or other proceedings without the specter of civil liability for his
       statements clouding his efforts.” Atkinson v. Affronti, 369 Ill. App. 3d 828, 833 (2006).
¶ 18        Operationally, the litigation privilege affords an attorney complete immunity with respect
       to the communications he makes. Popp, 313 Ill. App. 3d at 642 (it affords complete immunity);
       accord Atkinson, 369 Ill. App. 3d at 832 (it is an absolute privilege). This is true regardless of
       the attorney’s motives in making that communication and irrespective of the attorney’s
       knowledge of the falsity of it or the unreasonableness of his conduct. See Popp, 313 Ill. App.
       3d at 642; accord Atkinson, 369 Ill. App. 3d at 834; see also Johnson v. Johnson & Bell, Ltd.,
       2014 IL App (1st) 122677, ¶ 15. The privilege applies to communications made before and
       during litigation (see Edelman, 338 Ill. App. 3d at 165), as well as after litigation (see Stein v.
       Krislov, 2013 IL App (1st) 113806, ¶ 34). And, liability will not attach even at the expense of
       uncompensated harm to the plaintiff. Atkinson, 369 Ill. App. 3d at 833.
¶ 19        The only requirement for the application of the attorney litigation privilege is that the
       communication must pertain to proposed or pending litigation. See Atkinson, 369 Ill. App. 3d
       at 832, 834, and Popp, 313 Ill. App. 3d at 642 (both citing Golden v. Mullen, 295 Ill. App. 3d
       865, 870 (1997)). This is known as the “pertinency requirement.” However, our courts have
       made clear that this requirement is not strictly applied. Atkinson, 369 Ill. App. 3d at 834;
       accord Popp, 313 Ill. App. 3d at 642; see also Golden, 295 Ill. App. 3d at 870. In fact, the
       privilege will nonetheless protect an attorney even when the communication is not confined to
       specific issues related to the litigation. Atkinson, 369 Ill. App. 3d at 834; accord Popp, 313 Ill.
       App. 3d at 642. As long as it relates to the litigation and is in furtherance of representation, the
       privilege applies. Kurczaba, 318 Ill. App. 3d at 706. Ultimately, should any doubt arise as to
       whether the pertinency requirement is met, it must be resolved in favor of a finding of
       pertinency. Atkinson, 369 Ill. App. 3d at 832 (citing Golden, 295 Ill. App. 3d at 870); accord
       Popp, 313 Ill. App. 3d at 642 (citing Skopp v. First Federal Savings, 189 Ill. App. 3d 440, 448
       (1989)).
¶ 20        Through the years, as our jurisprudence has developed and as the methods of legal
       representation have modernized, the attorney litigation privilege has also progressed. In other
       words, although the privilege began as merely protection for an attorney from defamation

                                                    -6-
       claims by his client regarding communications pursuant to the Restatement (Second), it has
       been extended widely to other arenas and situations, including who receives the
       communication and when it is made. For example (and this is by no means meant to be a
       complete anthology), it has been extended to out-of-court communications between opposing
       counsel, out-of-court communications between attorney and client related to pending
       litigation, out-of-court communications between attorneys representing different parties suing
       the same entities, statements made during quasi-judicial proceedings, communications
       necessarily preliminary to a quasi-judicial proceeding, out-of-court communications between
       an attorney and opposing parties in demand letters prior to litigation, and out-of-court
       communications between an attorney and a prospective client. Atkinson, 369 Ill. App. 3d at
       832 (and cases cited therein); Popp, 313 Ill. App. 3d at 643-44. Moreover, it has been extended
       to apply not simply when a defamation cause is brought against the attorney, but beyond to
       many types of causes of action where it could apply under the circumstances and in order to
       further the privilege’s purpose. See Thompson v. Frank, 313 Ill. App. 3d 661, 662 (2000), and
       Johnson, 2014 IL App (1st) 122677, ¶ 17 (for example, allegations of intentional infliction of
       emotional distress, negligent infliction of emotional distress, breach of contract, and invasion
       of privacy).
¶ 21        This brings us to O’Callaghan. Decided recently, and by this very division of our court,
       O’Callaghan provided a comprehensive overview of the attorney litigation privilege, clearly
       reaffirmed its foundational and operational points, found it applicable to the circumstances
       presented, and extended its absolute protection in several ways. Although its facts are
       different, we find O’Callaghan to be directly on point to the instant cause and instructive with
       respect to the privilege’s widespread boundaries.
¶ 22        In O’Callaghan, the owners of a condominium unit sued the attorney and firm representing
       the association for intentional infliction of emotional distress and strict liability for
       ultrahazardous activity. In an underlying complaint (which was eventually dismissed), they
       alleged that the association failed to properly remedy a ceiling leak, causing toxic black mold
       to infiltrate their unit. In their separate action against the association’s attorney and firm, the
       owners alleged that these defendants had, in the underlying action, failed to disclose an
       expert’s recommendations for remediating the mold, contrived a defense even though they
       knew there could be no meritorious defense, concealed information, prolonged litigation in
       several ways, refused to negotiate terms for inspection, and did not participate in settlement or
       mediation in good faith. They also alleged that the attorney and firm ordered reports to be
       falsely amended, directed inspectors to perform actions to spread the mold, and hired
       unlicensed roofing consultants to make inadequate repairs. Just as in the instant cause, the
       attorney and firm filed a section 2-615 motion to dismiss the owners’ complaint, asserting the
       litigation privilege. And, just as in the instant cause, the trial court granted their motion.
¶ 23        On appeal, we affirmed, finding that the attorney litigation privilege absolutely protected
       the attorney and firm from any liability to the owners, thereby barring the owners’ claims and
       meriting dismissal under section 2-615. O’Callaghan, 2015 IL App (1st) 142152, ¶ 33 (upon
       application of privilege, owners had no way to amend their complaint to survive dismissal).
       After first reviewing the historical and foundational points of the privilege, as well as its public
       policy and basic tenets, we reaffirmed several points. O’Callaghan, 2015 IL App (1st) 142152,
       ¶¶ 24-25. For example, we reiterated that an attorney’s motives are irrelevant and that no
       liability will attach even at the expense of uncompensated harm to the plaintiff. O’Callaghan,


                                                    -7-
       2015 IL App (1st) 142152, ¶ 25. We also reaffirmed the pertinency requirement as the
       privilege’s only linchpin, declaring that while communications must relate to proposed or
       pending litigation, this rule is not strictly applied and any doubt is resolved in favor of
       pertinency. O’Callaghan, 2015 IL App (1st) 142152, ¶ 25.
¶ 24       With this basis, we next turned to several principles that, with the passage of time, we
       believed required clarification and expansion. We began by taking on the Restatement’s
       (Second) specific—and, in retrospect, limiting—references to defamation and
       communications. Historically, the privilege had been applied to attorneys’ communications
       and within the framework of defamation lawsuits brought against them because of these
       communications. Like the Atkinson and Popp courts before us, we recognized that as our legal
       world had progressed, so had the attorney litigation privilege—to different situations, different
       people, and different causes of action.
¶ 25       Therefore, we first reiterated the timeframe the privilege covers; we reacknowledged that it
       applies to communications made before, during, and after litigation. O’Callaghan, 2015 IL
       App (1st) 142152, ¶ 26. Next, we noted that other jurisdictions had already extended the
       privilege to claims other than defamation brought against attorneys. O’Callaghan, 2015 IL
       App (1st) 142152, ¶ 26. This only made sense, as the privilege “would be meaningless if a
       party could merely recast its cause of action to avoid the privilege’s effect.” O’Callaghan,
       2015 IL App (1st) 142152, ¶ 26. And significantly, in direct contradiction to the owners’
       suggestion, we further found that the privilege extended beyond communications to include
       conduct performed within the practice of law, since attorneys typically do things—actions—in
       addition to communications in order to secure justice for their clients. See O’Callaghan, 2015
       IL App (1st) 142152, ¶ 27. Accordingly, we not only extended the context of the applicable
       cause of action in which to apply the privilege, but we also extended what is covered. See
       O’Callaghan, 2015 IL App (1st) 142152, ¶ 27 (because supreme court never adopted
       restatement in its entirety, appellate court could apply privilege outside context of only
       defamation as contained in restatement if Illinois policy would be furthered in doing so; and,
       “[l]imiting the privilege to communications, as opposed to conduct, would undermine the
       policies behind the privilege” since there is “ ‘no mechanistic formula to define what is and
       what is not the practice of law’ ” (quoting Downtown Disposal Services, Inc. v. City of
       Chicago, 2012 IL 112040, ¶ 15)).
¶ 26       In applying all this to the facts of O’Callaghan, we found that the attorney and firm were
       absolutely protected pursuant to the litigation privilege from the allegations in the owners’
       complaint. This was because all of the allegations—from the alleged improper
       communications (lying to the association, ordering workers to remove mold-containing
       barriers and demanding that experts alter their opinions) to the alleged improper conduct
       (discovery violations, failing to disclose evidence, concealing evidence, contriving a bad-faith
       defense, and failing to properly participate in settlement and mediation)—clearly pertained to
       the role of the attorney and firm as attorneys in the underlying action and were done in
       furtherance of representing their client. O’Callaghan, 2015 IL App (1st) 142152, ¶ 29. In other
       words, all the alleged improper communications and conduct revolved around the subject of
       the litigation. O’Callaghan, 2015 IL App (1st) 142152, ¶ 29. This directly rebutted any
       suggestion that the attorney and firm were not acting in furtherance of representing their client,
       which essentially saw them trying to mitigate their client’s damages, regardless of their
       diligence or whether their acts were entirely proper. O’Callaghan, 2015 IL App (1st) 142152,


                                                   -8-
       ¶ 31. Accordingly, we held that the trial court properly dismissed the owners’ complaint as the
       absolute attorney litigation privilege barred their claims. O’Callaghan, 2015 IL App (1st)
       142152, ¶ 33.
¶ 27       We find no reason to depart from O’Callaghan’s reasoning and, instead, find that it
       directly applies to the instant cause and renders the same result. McDermott was defending its
       client, Anne-Marie, against plaintiffs. Plaintiffs now contend that McDermott made the
       following improper communications and engaged in the following improper conduct: that
       McDermott (“and/or” Anne-Marie or “their agents”) intruded upon their affairs by opening,
       reviewing, and/or maintaining possession and/or control over their personal mail, bank
       account information, emails, and medical records; hired investigators and forensic accountants
       to investigate their financial information; and used all this information to compel them to sign
       the March 19 documents. However, keeping in mind all the principles regarding the privilege
       we have discussed, we find that the privilege bars all of these claims. The alleged improprieties
       clearly pertained to the role of McDermott as the attorney in the litigation Anne-Marie was
       determining whether to pursue when she discovered millions of dollars missing from the two
       trusts her deceased mother had set up for her as the beneficiary—trusts managed directly by
       Frank, Margaret’s husband, as sole trustee. McDermott’s conduct of obtaining plaintiffs’
       information (which, by the way, plaintiffs have yet to note how it was even done, let alone
       whether it was somehow inappropriate, considering Frank kept this information in his desk
       drawer at work) was entirely done in furtherance of representing Anne-Marie. Indeed,
       McDermott called the March 19 meeting between Anne-Marie and plaintiffs, presented
       Anne-Marie’s allegations, showed the evidence, and sought to settle the matter—furthering
       Anne-Marie’s interest in limiting litigation and its associated costs, which would presumably
       be considerable here as we are dealing with the misappropriation of, again, millions of dollars.
       Pursuant to the privilege, it does not matter what the motives were behind McDermott’s
       conduct or the unreasonableness of its actions in calling and conducting the meeting. And,
       Anne-Marie’s underlying proceeding against plaintiffs in the circuit court of Cook County,
       wherein she was represented by McDermott, rebuts any suggestion that McDermott was not
       acting in furtherance of her interest, regardless of whether its acts were entirely proper. To the
       contrary, the absolute attorney litigation privilege bars plaintiffs’ claims here warranting, as
       the trial court properly found, the dismissal of their complaint.
¶ 28       Having so concluded, there is little to address with respect to plaintiffs’ arguments on
       appeal. As we noted, plaintiffs contend that the trial court’s dismissal of their complaints for
       intrusion upon seclusion against McDermott must be reversed because the court misinterpreted
       and misapplied the attorney litigation privilege in three ways: by concluding that it covers
       prelitigation conduct in general, by finding that it applied to McDermott’s conduct
       specifically, and by upholding its determination even though they are left with no recourse.
       However, in light of our thorough analysis, it quickly becomes evident that none of these holds
       any merit.
¶ 29       With respect to plaintiffs’ assertion regarding prelitigation conduct, we note that it attempts
       to target two concepts. First, plaintiffs argue that the privilege does not cover anything that
       occurs in the prelitigation context. They claim that none of the conduct at issue in O’Callaghan
       took place prior to a lawsuit being filed, while all of McDermott’s alleged conduct took place
       prior to a lawsuit being filed and, thus, the privilege cannot apply. Plaintiffs cite the 10 months
       between the time Frank was locked out of his office at the family business and Anne-Marie’s


                                                    -9-
       filing of her lawsuit, during which time the March 19 meeting took place. This argument
       clearly fails, and the citation to dates and length of time between Anne-Marie’s discovery of
       the misappropriation and the filing of her lawsuit is a red herring. Even assuming that all the
       conduct at issue in O’Callaghan took place after litigation had begun,6 this does not mean that
       the attorney litigation privilege does not apply. We have already noted that the facts of
       O’Callaghan are somewhat different than those of the instant cause. But, we have also already
       stated that this does not change the privilege’s applicability. The point is, regardless of the facts
       presented therein, O’Callaghan clearly and specifically reaffirmed that the litigation privilege
       “applies to communications made before, during [citation], and after litigation [citation].”
       O’Callaghan, 2015 IL App (1st) 142152, ¶ 26. Were this not enough, both Popp and Atkinson
       specifically stand for the very proposition that prelitigation communication is wholly covered
       by this privilege. Popp applied it between an attorney and a potential client during preliminary
       legal consultations—even though the attorney never represented the potential client and no
       litigation on the potential client’s behalf ever took place. Popp, 313 Ill. App. 3d at 643 (“[e]ven
       during an initial consultation, the attorney must be able to openly and honestly discuss the
       potential client’s situation in order to determine the desirability of initiating legal
       proceedings”). And, Atkinson reaffirmed that the privilege has solidly been extended to what
       may occur before any possible litigation is undertaken, if ever. Atkinson, 369 Ill. App. 3d at
       832 (i.e., the privilege applies to communications in demand letters between attorneys and
       opposing parties prior to litigation). Again, the only requirement is that the statements are
       pertinent to a possible future legal proceeding. Popp, 313 Ill. App. 3d at 643. We have already
       shown that this requirement has been met in the instant cause.
¶ 30        The second portion of plaintiffs’ assertion is that the privilege cannot apply here because it
       covers only communications and not conduct. They state that none of the cases discussing the
       applicability of the privilege in a prelitigation context support the conclusion that an attorney’s
       conduct is also covered. This is inherently incorrect. Yes, the restatement refers to
       communications as being covered under the privilege. But, we have already discussed at length
       the evolution of the privilege, apart and beyond the Restatement (Second), to cover conduct as
       well. We made this abundantly clear in O’Callaghan where we reasoned that, “[b]ecause
       conduct may be performed in the practice of law, counsel may engage in conduct to secure
       justice for their clients,” and, accordingly, “[l]imiting the privilege to communications, as
       opposed to conduct, would undermine the policies behind the privilege.” O’Callaghan, 2015
       IL App (1st) 142152, ¶ 27. We further noted therein that, were there to be any worries, the
       pertinency requirement would still apply, just as it does with communications, to prevent
       attorneys from shielding unrelated misconduct from liability. O’Callaghan, 2015 IL App (1st)
       142152, ¶ 27. Again, were this not enough, there is further legal support for the coverage of
       conduct apart from, and beyond, O’Callaghan. In the only cases since that one that have
       returned to address the litigation privilege, both reaffirmed that the privilege immunizes
       “statements and conduct” (Doe v. Williams McCarthy, LLP, 2017 IL App (2d) 160860, ¶ 19),
       and that it applies to actions taken by an attorney in connection with potential litigation just as

           6
            We say “assuming” because, although the majority of the allegations in O’Callaghan clearly took
       place after litigation commenced (i.e., discovery violations, failing to disclose evidence, concealing
       evidence, contriving a bad-faith defense, etc.), it is not entirely clear that some of them may have indeed
       occurred prior to litigation (i.e., ordering workers to remove barriers, lying to the association,
       insufficiently remediating the mold).

                                                       - 10 -
       it does to communications (Gorman-Dahm v. BMO Harris Bank, N.A., 2018 IL App (2d)
       170082, ¶¶ 29, 35).
¶ 31        We further find no merit in plaintiffs’ next assertion—namely, that the litigation privilege
       does not cover McDermott’s specific conduct in this cause. Plaintiffs claim that, unlike in
       O’Callaghan, neither of them ever gave anyone permission to give McDermott the
       information, and McDermott did not obtain it through the ordinary practice of law; therefore,
       the conduct was outside the scope of the privilege. However, not only do plaintiffs fail to cite
       any case law for such an assertion, but O’Callaghan and the cases upon which it is based make
       clear that this is unimportant in any regard. Again, an attorney’s motives are irrelevant with
       respect to the applicability of the privilege, as is the reasonableness or unreasonableness of his
       conduct. See O’Callaghan, 2015 IL App (1st) 142152, ¶¶ 25, 30 (“motives and diligence
       before taking the challenged actions are irrelevant for purposes of the litigation privilege”
       (citing Popp, 313 Ill. App. 3d at 642, and Atkinson, 369 Ill. App. 3d at 834)); see also Johnson,
       2014 IL App (1st) 122667, ¶ 15. McDermott’s purpose in presenting the information to
       plaintiffs was to assist Anne-Marie in bringing the matter of the misappropriation of her
       mother’s trusts, controlled exclusively by Frank, to some sort of settlement in an effort to avoid
       litigation. McDermott conveyed this to attorney Tunick (representing Frank), Tunick
       reconveyed this to Frank and Margaret, and plaintiffs chose to attend that meeting and sign the
       March 19 documents. This all clearly pertained to proposed or potential litigation Anne-Marie
       was considering to undertake in relation to her missing money, which is the main, and only,
       benchmark for the application of the privilege. See Atkinson, 369 Ill. App. 3d at 832, 834, and
       Popp, 313 Ill. App. 3d at 642 (both citing Golden, 295 Ill. App. 3d at 870). And, were this even
       a question, we would resolve any doubt in favor of a finding that the pertinency requirement
       was met. O’Callaghan, 2015 IL App (1st) 142152, ¶ 25.
¶ 32        Finally, there likewise is no support for plaintiffs’ assertion that the litigation privilege
       should not apply because it leaves them with no recourse. Plaintiffs claim that there is no
       underlying proceeding, akin to the mold case in O’Callaghan, in which they could seek
       recourse against McDermott, and because McDermott’s conduct occurred outside the scope of
       any judicial proceeding, they have no way to seek redress for their injuries. However, we fail to
       see how such an assertion can stand. Significantly, O’Callaghan and its predecessors all make
       clear that the privilege applies even at the expense of uncompensated harm to a plaintiff.
       O’Callaghan, 2015 IL App (1st) 142152, ¶ 25; accord Atkinson, 369 Ill. App. 3d at 833 (citing
       Golden, 295 Ill. App. 3d at 870, Weber v. Cueto, 290 Ill. App. 3d 936, 942 (1991), and Libco
       Corp. v. Adams, 100 Ill. App. 3d 314, 317 (1981)). Additionally, O’Callaghan noted that there
       can be no civil cause of action for misconduct that occurred in prior litigation and, in rejecting
       the same recourse argument made by plaintiffs here, pointed out that parties should attempt to
       redress their injuries from such misconduct in judicial proceedings in the same litigation.
       O’Callaghan, 2015 IL App (1st) 142152, ¶¶ 28, 31 (“otherwise, litigation would never end”).7
       The trial court in the instant cause noted the same principle, similarly rejecting any concern
       that neither plaintiff would have recourse if the privilege were applied. Because McDermott’s
       conduct directly related to proposed litigation and was in furtherance of the representation of
       its client, the privilege applied absolutely, regardless of this concern. At the same time, we note

           7
             Significantly, Popp applied the privilege even though the attorney there was never involved in any
       litigation, where there most certainly was no “underlying” litigation. See Popp, 313 Ill. App. 3d 638.

                                                     - 11 -
       here that McDermott is still representing Anne-Marie in the underlying litigation against
       plaintiffs, a case that was consolidated with the instant ones, and plaintiffs have both
       specifically retained their intrusion upon seclusion claims against Anne-Marie, counts which
       are still alive in the circuit court of Cook County. Presumably, it is there where plaintiffs
       should assert, or should have asserted (by this time), any claim for redress for their injuries
       related to their intrusion upon seclusion claims. As in O’Callaghan, the method plaintiffs have
       pursued here is inappropriate.
¶ 33       In sum, the attorney litigation privilege applies in the instant cause and absolutely bars
       plaintiffs’ claims for intrusion upon seclusion against McDermott. Accordingly, the trial court
       properly dismissed plaintiffs’ complaint as against McDermott pursuant to section 2-615 of the
       Code based on that privilege.8

¶ 34                                        CONCLUSION
¶ 35      For all the foregoing reasons, we affirm the judgment of the trial court.

¶ 36      Affirmed.




          8
            Having so found, we need not address any of the alternative grounds for dismissal proposed by
       McDermott, which include plaintiffs’ failure to sufficiently plead a valid intrusion upon seclusion
       claim, their failure to allege any of its required elements, and forfeiture.

                                                   - 12 -
