IN THE SUPREME COURT OF APPEALS OF WEST VIRGINIA
September 2020 Term FILED November 2, 2020 No. 19-0267 released at 3:00 p.m. EDYTHE NASH GAISER, CLERK SUPREME COURT OF APPEALS OF WEST VIRGINIA
SWN PRODUCTION COMPANY, LLC,
Putative Intervenor Below/Petitioner
v.
COREY CONLEY et al.,
Plaintiffs and Defendants Below/Respondents
Appeal from the Circuit Court of Brooke County The Honorable Jason A. Cuomo, Judge Civil Action No. 14-C-75
REVERSED AND REMANDED
Submitted: October 6, 2020 Filed: November 2, 2020
Timothy M. Miller, Esq. Daniel J. Guida, Esq. Robert M. Stonestreet, Esq. Guida Law Offices Jennifer J. Hicks, Esq. Weirton, WV Babst, Calland, Clements & Zomnir, P. C. Counsel for Respondent Corey Conley Charleston, WV Counsel for Petitioner
Richard N. Beaver, Esq. Phillips, Gardill, Kaiser & Altmeyer, PLLC Wheeling, WV Counsel for Respondents Lee M. Rabb, individually and as Trustee of the Eli Rabb Revocable Trust dated October 7, 2005 and Trinity Health System Foundation and Joseph G. Nogay, Esq. Maximillian F. Nogay, Esq. Sellitti, Nogay & Nogay, PLLC Weirton, WV Counsel for Respondents Trienergy, Inc., Trienergy Holdings, LLC, and WPP, LLC,
JUSTICE WORKMAN delivered the Opinion of the Court. SYLLABUS BY THE COURT
1. “While Rule 24 of the West Virginia Rules of Civil Procedure
provides for the intervention of parties upon a timely application, the timeliness of any
intervention is a matter of discretion with the trial court.” Syl. Pt. 3, State ex rel. Ball v.
Cummings, 208 W.Va. 393, 540 S.E.2d 917 (1999).
2. A circuit court’s decision on an applicant’s request for permissive
intervention under Rule 24(b) of the West Virginia Rules of Civil Procedure is reviewed
under an abuse of discretion standard.
3. The standard of review of circuit court rulings on the elements
governing a timely motion to intervene as a matter of right under Rule 24(a) of the West
Virginia Rules of Civil Procedure is de novo.
4. “West Virginia Rule of Civil Procedure 24(a)(2) allows intervention
of right in an action if an applicant meets four conditions: (1) the application must be
timely; (2) the applicant must claim an interest relating to the property or transaction which
is the subject of the action; (3) disposition of the action may, as a practical matter, impair
or impede the applicant’s ability to protect that interest; and (4) the applicant must show
that the interest will not be adequately represented by existing parties.” Syl. Pt. 2, State ex
rel. Ball v. Cummings, 208 W.Va. 393, 540 S.E.2d 917 (1999).
i 5. “To justify intervention of right under West Virginia Rule of Civil
Procedure 24(a)(2), the interest claimed by the proposed intervenor must be direct and
substantial. A direct interest is one of such immediate character that the intervenor will
either gain or lose by the direct legal operation and effect of the judgment to be rendered
between the original parties. A substantial interest is one that is capable of definition,
protectable under some law, and specific to the intervenor. In determining the adequacy
of the interest in a motion to intervene of right, courts should also give due regard to the
efficient conduct of the litigation.” Syl. Pt. 4, State ex rel. Ball v. Cummings, 208 W.Va.
393, 540 S.E.2d 917 (1999).
6. “In determining whether a proposed intervenor of right under West
Virginia Rule of Civil Procedure 24(a)(2) is so situated that the disposition of the action
may impair or impede his or her ability to protect that interest, courts must first determine
whether the proposed intervenor may be practically disadvantaged by the disposition of
the action. Courts then must weigh the degree of practical disadvantage against the
interests of the plaintiff and defendant in conducting and concluding their action without
undue complication and delay, and the general interest of the public in the efficient
resolution of legal actions.” Syl. Pt. 5, State ex rel. Ball v. Cummings, 208 W.Va. 393, 540
S.E.2d 917 (1999).
ii WORKMAN, Justice:
Petitioner, SWN Production Company, LLC (hereinafter “SWN”) appeals an
order entered on February 22, 2019, by the Circuit Court of Brooke County, West Virginia,
denying SWN’s second motion to intervene in an action seeking to quiet title to a parcel of
property brought by Respondent and plaintiff below, Corey Conley (hereinafter “Mr.
Conley”). Mr. Conley has aligned himself with SWN and adopted the arguments of SWN.
The Respondents and defendants below include Lee M. Rabb, individually and as Trustee
of the Eli Rabb Revocable Trust dated October 7, 2005 (hereinafter “the Rabb Trust”),
Trienergy, Inc., Trienergy Holdings, LLC, WPP, LLC (hereinafter collectively
“Trienergy”), and Trinity Health System Foundation (“Trinity Health”), or (the Rabb Trust,
Trienergy, and Trinity Health hereinafter collectively “Respondents”). The underlying
action involves competing claims and interests in the mineral rights to Mr. Conley’s
property. It is represented that SWN has interests in oil and gas properties that would be
affected by interpretation of the relevant deed. After Mr. Conley filed his Complaint and
after the circuit court denied SWN’s first motion to intervene, SWN entered into an oil and
gas lease with Mr. Conley. Thereafter, the circuit court denied SWN’s second motion to
intervene and it is from that order that SWN appeals to this Court.
Having considered the record, the various briefs submitted, the relevant law,
and the oral arguments presented, we find that the circuit court abused its discretion in
determining that the SWN motion to intervene was untimely and erred as a matter of law
in finding: (1) that SWN had no property interest relating to the subject of the complaint, 1 (2) that disposition of the civil action would not impair or impede SWN’s ability to protect
its interests, and (3) that SWN’s interests were adequately protected by Mr. Conley.
Accordingly, this Court reverses the circuit court’s order denying SWN’s motion to
intervene and remands this case to the Circuit Court of Brooke County, West Virginia, for
further proceedings consistent with this opinion.
I. FACTS AND PROCEDURAL HISTORY
In 1959, Maria H. Milliken, by deed (hereinafter “the Milliken Deed”),
conveyed certain mineral interests in a 161.53-acre tract located in Brooke County, West
Virginia, to Eli Rabb. The Milliken Deed granted, bargained, sold, and conveyed “all that
coal in and under” the tract together with the “surface rights which are incident or necessary
to the removal of said coal.” Additionally, the deed included the “[r]ights to explore,
operate and drill for Oil and Gas with all necessary rights to produce and market same.”
The Milliken Deed excepted a 1/8 royalty “of any and all production of gas and oil that
may be discovered on said property.” A “complete agreement” clause was included in the
Milliken Deed providing:
There is a complete agreement between [Milliken] and [Rabb], that because of the economic conditions, the low quality of the coal, and the uncertainty of marketing, that no specific start time has been designated. It is clearly understood that [Rabb], his heirs or assigns, may commence without notice to start mining operations at any time within the time limits set forth in the foregoing royalty agreement. Further, it could be that operations would be started in the latter of the year or so of this Deed or to be more clear in the 19th or 20th year, be it hereby agreed that so long as there remains coal to be mined, [Rabb] shall be allowed peacefully to mine and remove the remaining 2 coal so long as the period shall not exceed an additional five years nor pass the 30th day of December, 1985.
On June 5, 2007, Eli Rabb and his wife, Lee M. Rabb, executed a Farmout
Agreement with respect to the oil and gas rights underlying the same 161.53-acre tract of
property identified in the Milliken Deed. The Farmout Agreement was entered into with
Trienergy and provided for the transfer of all the oil and gas interest in the 161.53-acre
tract while excepting and reserving a 1.5% overriding royalty in all oil and gas saved and
produced. Mr. Rabb conveyed the 1.5% overriding royalty interest as a gift to Trinity
Health and conveyed his interest in the oil and gas rights to Trienergy by a Conveyance
and Assignment of Oil and Gas Rights dated May 16, 2008.
In the meantime, the 161.53-acre tract described in the Milliken Deed was
subdivided into several smaller tracts by the Milliken heirs. By deed dated June 26, 2000,
Mr. Conley obtained the surface and mineral rights, excepting coal, from James Lee and
Beatrice S. Milliken, to a 3.763-acre parcel (hereinafter “the Conley parcel”) that was
carved out of the 161.53-acre tract.
Eli Rabb died testate on October 31, 2009. He devised his assets, including
any interest flowing from the Milliken Deed, to the Rabb Trust.
As a result of the various instruments of conveyance and assignment,
multiple parties claimed certain rights related to the oil and gas underlying the 161.53-acre 3 tract. On May 5, 2014, Mr. Conley filed his action seeking, among other things, to quiet
title to the oil and gas interests under the 3.763 acres of his property. Mr. Conley sought a
declaration that he has good and marketable title to the mineral interests, including the oil
and gas, underlying his property. Mr. Conley contends that the 1959 Milliken Deed acted
merely as a lease of oil and gas rights to Eli Rabb and that the lease either lapsed, was
invalid, or is unenforceable. Initially, Mr. Conley sued the instant Respondents, except for
Trinity Health, as well as three other entities, Chesapeake Appalachia, LLC, Jamestown
Resources, LLC, and AB Resources, all of whom were later dismissed.
Trienergy filed an answer generally denying that Mr. Conley had any
interest in the oil and gas rights underlying the Conley parcel. The Rabb Trust filed a
counterclaim seeking a declaration that Eli Rabb purchased the coal, oil, and gas underlying
the 161.53-acre tract under the Milliken Deed, including the 3.763-acre Conley parcel.
Trinity Health moved to intervene on the basis of the May 2008 recorded assignment of
interest, evidencing a separate and distinct interest in an overriding royalty. Trinity
Health’s unopposed motion was granted on August 3, 2015.
In June 2016, Mr. Conley filed a motion for summary judgment requesting
that the circuit court find the Milliken Deed to be unambiguous and to determine the legal
effect of the language on the nature and ownership status of the oil and gas rights as
referenced in the Milliken Deed. Specifically, Mr. Conley contended that the Milliken
4 Deed, by its terms, created an unenforceable perpetual leasehold in the oil and gas and/or
that the lease was abandoned by Eli Rabb for failure to explore or market the oil and gas.
The Respondents filed cross-motions for summary judgment contending that
they had ownership or interests in the oil and gas because the unambiguous language of
the Milliken Deed conveyed a fee simple interest in the oil and gas to Eli Rabb that could
not be abandoned.
On July 21, 2016, SWN first moved to intervene. SWN indicated that while
it did not have a direct interest in the 3.763 Conley parcel, it had interests in other properties
comprising the remainder of the 161.53-acre tract. Thus, SWN argued that its interests
were at stake and would be affected by any construction of the Milliken Deed. SWN further
represented that it had been actively developing oil and gas property in the northern
panhandle of West Virginia since 2014 and had only learned recently of the action filed by
Mr. Conley. The Respondents objected to intervention by SWN.
On August 16, 2016, the circuit court entered an order denying SWN’s
motion to intervene for four reasons. First, the circuit court concluded that it was untimely
since it was filed more than two years after the complaint was filed and during the pendency
of summary judgment motions. Second, the circuit court found that SWN had no interest
relating to the Conley parcel. Third, the circuit court determined that since SWN had no
interest in the property, the disposition of the action would not impair SWN’s ability to
5 protect that interest. Fourth, the circuit court concluded that “to the extent [Conley] has
aligned himself with SWN, SWN’s interest are adequately represented by [Conley] in this
matter.”
In the order of August 16, 2016, the circuit court also granted Mr. Conley’s
request to delay ruling on the pending summary judgment motions for the purpose of
engaging in limited discovery on the question of whether Mr. Rabb, or his attorney, was
the party who prepared the Milliken Deed. The parties proceeded with limited discovery
and renewed their respective motions for summary judgment in February 2017.
On June 16, 2017, the circuit court entered an order denying the cross-
motions for summary judgment because it concluded that the language of the Milliken
Deed was ambiguous regarding intent such that a jury determination was required. The
circuit court concluded that a jury must determine who drafted the Milliken Deed and
whether the intent of the parties was to convey the coal, oil and gas to Eli Rabb in fee, or
in lease, or in some combination thereof. Additionally, the circuit court directed that if the
jury found that the intent of the parties was to create a lease, the jury must determine
whether the lease expired and, if so, when it expired.
While the summary judgment motions were pending, SWN entered into a
lease with Mr. Conley on May 7, 2017, which was recorded on June 2, 2017. On August
16, 2018, the Respondents served SWN with a subpoena duces tecum requesting
6 information concerning SWN’s oil and gas operations and leases within the 161.53-acre
tract of the Milliken Deed. SWN objected to the subpoena on multiple grounds including
the assertion of confidentiality and attorney-client privileges, and its position as a non-
party.
On August 17, 2018, SWN filed a second motion to intervene. SWN argued
that it should be permitted to intervene because it had a leasehold in the oil and gas rights
underlying the Conley parcel at issue in the litigation. The Respondents opposed the
motion to intervene and, instead, jointly moved for leave to file a third-party complaint
against SWN.
By order entered February 22, 2019, the circuit court again denied the SWN
motion to intervene. The circuit court found that the only difference between the first and
second motion was the effort of SWN to create an interest in the Conley parcel more than
three years after the action to quiet title was filed. The attempt at self-creation of interest
and the filing of the second motion to intervene nearly a year and a half after entering into
the lease was found to be untimely. The circuit court concluded that the fact that there was
no interest relating to the Conley parcel when the complaint was filed was determinative
as to SWN’s ability to protect its interest and found that its interests are aligned with Mr.
Conley’s and thus adequately represented. Subsequent to the entry of the order denying
intervention, the Respondents sought leave to withdraw their request to file a third-party
complaint against SWN which was granted by the circuit court. 7 It is from the February 22, 2019 order denying SWN’s second motion to
intervene that SWN appeals to this Court.
II. STANDARD OF REVIEW
In the instant appeal, this Court is asked to consider the denial of a request
for intervention as governed by Rule 24 of the West Virginia Rules of Civil Procedure.
Rule 24 governs the ability of a non-party to a lawsuit to intervene in the pending action
and provides for intervention as a matter of right, permissive intervention and the procedure
for intervening.
Rule 24(a) governing intervention as a matter of right provides:
Upon timely application anyone shall be permitted to intervene in an action: (1) when a statute of this State confers an unconditional right to intervene; or (2) when the applicant claims an interest relating to the property or transaction which is the subject of the action and the applicant is so situated that the disposition of the action may as a practical matter impair or impede the applicant’s ability to protect that interest, unless the applicant’s interest is adequately represented by existing parties.
Rule 24(b) governs permissive intervention and states, in part:
Upon timely application anyone may be permitted to intervene in an action: (1) when a statute of this State confers a conditional right to intervene; or (2) when an applicant’s claim or defense and the main action have a question of law or fact in common. . . . In exercising its discretion the court shall consider whether the intervention will unduly delay or prejudice the adjudication of the original parties.
8 Motions to intervene require application of multiple standards of appellate
review. We observe that both intervention as a matter of right and permissive intervention
require an applicant for intervention to make a timely request. Thus, the question of the
timeliness of a motion to intervene is a threshold issue. In regard to timeliness of
intervention, this Court has held: “[w]hile Rule 24 of the West Virginia Rules of Civil
Procedure provides for the intervention of parties upon a timely application, the timeliness
of any intervention is a matter of discretion with the trial court.” Syl. pt. 3, State ex rel.
Ball v. Cummings, 208 W.Va. 393, 396, 540 S.E.2d 917, 920 (1999) (citing Pioneer Co. v.
Hutchinson, 159 W.Va. 276, 278, 220 S.E.2d 894, 897 (1975), overruled on other grounds,
State ex rel. E.D.S. Federal Corp. v. Ginsberg, 163 W.Va. 647, 259 S.E.2d 618 (1979)).
Additionally, as to permissive intervention, the text of Rule 24(b) governing
permissive intervention specifically invokes language directing courts to exercise their
discretion in considering issues of delay of the action or prejudice to the original parties.
We have previously stated, and now hold that a circuit court’s decision on an applicant’s
request for permissive intervention under Rule 24(b) of the West Virginia Rules of Civil
Procedure is reviewed under an abuse of discretion standard. Stern v. Chemtall Inc., 217
W.Va. 329, 337, 617 S.E.2d 876, 884 (2005) (finding that circuit court abused its discretion
when it denied a request for permissive intervention).
9 With respect to mandatory intervention as a matter of right pursuant to Rule
24(a)(2) of the West Virginia Rules of Civil Procedure, this Court has not established a
standard of review. We have observed that Rule 24(a)(2) is based on and is substantially
similar to Rule 24(a)(2) of the Federal Rules of Civil Procedure and, in that regard, have
indicated that “we follow our usual practice of giving substantial weight to federal cases in
determining the meaning and scope of our rules of civil procedure.” State ex rel. Ball, 208
W.Va. at 399, 540 S.E.2d at 923 (citing Law. Disc. Bd. v. Cunningham, 195 W.Va. 27, 33,
f.11, 464 S.E.2d 181, 187, f.11 (1995) and W. Va. Pub. Emps. Ins. Bd. v. Blue Cross Hosp.
Serv., Inc., 180 W.Va. 177, 375 S.E.2d 809 (1998)). Some commentators have remarked:
“[a]ppellate review of a trial court’s determination of whether a would-be intervenor has
satisfied the elements required for intervention as a matter of right under Rule 24(a) is
generally de novo.” Louis J. Palmer, Jr. and Robin Jean Davis, Litigation Handbook on
West Virginia Rules of Civil Procedure, § 24 (5th ed. 2017). Additionally, other leading
commentators have indicated that whether a request to intervene falls under intervention
as of right or as a matter of permission results in important distinctions including
implicating the level of review to be applied on appeal. Generally, permissive intervention
is addressed to the discretion of the court while mandatory intervention typically poses a
question of law. 7C Charles Alan Wright, Arthur R. Miller, and Mary Kay Kane, Federal
Practice and Procedure Civil §1902 (3d ed. 2007 & Supp. 2019).
This Court observes that the federal courts typically hold that the appellate
review of a lower court order regarding intervention as a matter of right is de novo. E.g., 10 Brumfield v. Dodd, 749 F.3d 339, 342 (5th Cir. 2014) (standard of review for denial of right
to intervene is de novo); In re Estate of Ferdinand E. Marcos Hum. Rts. Litig., 536 F.3d
980, 985 (9th Cir. 2008), cert. denied sub nom. Hilao v. Revelstoke Investment Corp. 556
U.S. 1182 (2009) (reviewing de novo the district court’s denial of intervention as a matter
of right and finding that the requirements for such intervention are to be broadly construed
in favor of intervention); Med. Liab. Mut. Ins. Co. v. Alan Curtis LLC, 485 F.3d 1006, 1008
(8th Cir. 2007) (review of denial of mandatory intervention is de novo); Alameda Water &
Sanitation Dist. v. Browner, 9 F.3d 88, 90 (10th Cir. 1993) (court of appeals will review
rulings on motions to intervene as of right under a de novo standard).
Based upon the foregoing review of authorities and with consideration of the
two distinct types of intervention, this Court holds that the standard of review of circuit
court rulings on the elements governing a timely motion to intervention as a matter of right
under Rule 24(a) of the West Virginia Rules of Civil Procedure is de novo.
With these standards of review in mind, we proceed to evaluate the
assignments of error and the parties’ respective arguments.
III. DISCUSSION
SWN hinges the bulk of its argument on intervention as a matter of right
pursuant to West Virginia Rule of Civil Procedure 24(a)(2). This Court has held:
11 West Virginia Rule of Civil Procedure 24(a)(2) allows intervention of right in an action if an applicant meets four conditions: (1) the application must be timely; (2) the applicant must claim an interest relating to the property or transaction which is the subject of the action; (3) disposition of the action may, as a practical matter, impair or impede the applicant’s ability to protect that interest; and (4) the applicant must show that the interest will not be adequately represented by existing parties.
State ex rel. Ball, 208 W.Va. at 396, 540 S.E.2d at 920, Syl. Pt. 2.
The assignments of error and arguments of the parties are readily distilled to
addressing each of the four mandatory factors that SWN must meet in order to intervene in
the civil action as of right. Failure to satisfy one of the mandatory requirements precludes
intervention as of right. We proceed to our analysis of each condition SWN must meet.
A. Timeliness of Motion to Intervene
It is apparent from the text of Rule 24(a)(2) that any application for
intervention must be timely—if it is untimely, intervention must be denied. Thus, the
threshold issue we must address is whether SWN timely moved for intervention as of right.
SWN argues that the circuit court abused its discretion in finding that their motion for
intervention was not timely and denying intervention on that ground. SWN contends that
timeliness must be considered within the factual context of each case and further contends
that the analysis must include consideration of the progression and status of the litigation
as well as whether any prejudice would result from any delay due to intervention. In that
regard, SWN argues that when it moved to intervene for the second time, no scheduling 12 order was in place, no trial date had been set, and only limited discovery had been
conducted. Moreover, SWN claims that the Respondents demonstrated a de facto
recognition of the interest of SWN by serving a broad subpoena for information on SWN
and by moving to add SWN as a third-party defendant. It is argued that the intervention of
SWN would not result in prejudice to the Respondents and would not disrupt the progress
of litigation.
Conversely, the Respondents argue that SWN improperly sought to create an
interest that it did not have at the time Mr. Conley filed his civil action. It is contended
that SWN has inadequately explained why it was dilatory and waited nearly one-and a-half
years between the time it entered into the lease with Mr. Conley and the filing of a second
motion to intervene when it knew of the litigation, knew discovery was proceeding, and
was aware that summary judgment motions were pending. The Respondents reason that
the filing of the subpoena seeking real property information does not excuse the dilatory
conduct of SWN because there has not been any meaningful response to the subpoena.
Additionally, Respondents state that their motion to file a third-party complaint against
SWN was a preemptive motion designed to meet the possibility that the circuit court would
permit intervention by SWN providing for assertion of slander of title and trespass claims
against Mr. Conley and SWN for entering into a lease while the ownership of the oil and
gas was in dispute. Respondents contend that it was only because the circuit court denied
a motion to file a counterclaim against Mr. Conley and denied the motion to intervene that
they deemed their claims moot and abandoned the effort to join SWN. 13 In considering the issue of timeliness, we recognize that timeliness of the
application to intervene is not subject to mechanistic inquiry. In other words, there is no
bright line delineating the point at which the passage of time, without more, is a bar to
intervention as a matter of right. It has been said that courts must approach the issue of
timeliness with flexibility and a view toward considering all the circumstances. E.g.,
NAACP v. New York, 413 U.S. 345, 366 (1973) (the point to which suit has progressed is
but one factor in determining timeliness of intervention, it is not solely dispositive, and
must be determined from all the circumstances).
The circuit court addressed the matter of timeliness in a perfunctory fashion
concluding that the only difference between SWN’s second motion to intervene and the
first one, which was denied, were facts created by SWN some three years after the
Complaint was filed, and more than a year and a half after the denial of the initial motion.
The circuit court found that the motion to intervene was filed some four years after the
Complaint was filed and that SWN waited a year and a half after entering into the oil and
gas lease with Mr. Conley before filing the motion to intervene.
The circuit court looked solely to the age of the case in addressing the
question of timeliness, thereby failing to consider the status of the proceedings and the
circumstances of the parties. This Court finds it compelling that no scheduling order had
been entered, no trial date had been set, and no discovery deadline imposed. The circuit
court simply did not address the question of what prejudice to Respondents, if any, would 14 result from allowing the intervention of SWN. Our review of the record fails to illuminate
any prejudice or harm to Respondents, and, given the lack of advancement of the case for
trial proceedings, it is not apparent that the case would suffer from delay caused by
intervention. On the other hand, SWN may be prejudiced because a jury trial will proceed
to determine the construction of the Milliken Deed and thereby determine whether SWN
has a valid interest in its leasehold even though SWN was afforded no opportunity to appear
and participate at trial and will have no ability to appeal in the event its interest is adversely
affected. In terms of the circumstances of the parties, the circuit court order makes no
mention of the subpoena seeking information and documents regarding a wide range of
matters, including, but not limited to, title opinions, mineral ownership reports, abstracts
of titles, purchase and sales agreements, asset acquisition agreements, operating and capital
cost expenditures relating to pooled units, gross revenue documents, production costs,
maps, and surveys, propounded to SWN by Respondents. The information sought, at a
minimum, suggests that there is reason to believe that SWN has property interests that may
be affected by construction of the Milliken Deed and that Respondents tacitly recognize
the existence of such interest. Our review of the record does not reflect that the case had
proceeded so far that intervention would affect the original parties.
In reviewing and balancing the question of timeliness, we are also guided
by the generally accepted proposition that although the movant bears the burden of
establishing its right to intervene, Rule 24 is to be given a liberal construction. 7C Wright
& Miller, supra § 1904, 6 James W. Moore et al., Moore’s Federal Practice § 24.03 (1) (a) 15 (3d ed. 2008). Rule 24 is designed, in part, to be a practical procedural tool promoting
efficiency of the courts by resolving related issues in a single lawsuit while also protecting
the interests of both the original parties and the non-parties. See, Smuck v. Hobson, 408
F.2d 175, 179 (D.C. Cir. 1969) (intervention involves the accommodation of competing
goals in achieving judicial economies of scale while preventing lawsuits from becoming
too complex or unending). While it is axiomatic that parties often do not want others
meddling in their litigation, intervention should be permitted when there is no prejudice
and greater justice could be obtained with the inclusion of a non-party who has a real
interest in the matter being litigated. See McDonald v. E. J. Lavino, 430 F.2d 1065, 1074
(5th Cir. 1970) (court should allow intervention in those circumstances when no original
party will be hurt, and greater justice could be obtained).
Based upon the foregoing analysis, we conclude that the circuit abused its
discretion in finding that SWN’s motion to intervene as of right was untimely because it
based its denial solely on the passage of time without considering the factual context of the
case, the status of the proceedings, and the prejudice, if any, to the Respondents and to
SWN. Having concluded that the circuit court erred in denying SWN’s motion to intervene
as of right on the basis of untimeliness, we now turn to addressing the other three factors
an applicant to intervene must meet in order to intervene in pending litigation.
16 B. Interest in Property or Transaction
We now address whether SWN has “an interest relating to the property or
transaction which is the subject of the action” pursuant to Rule 24(a)(2).
SWN argues that the circuit court erred when it determined that it had no
interest relating to the property or transaction at the time Mr. Conley filed his Complaint
and in finding that SWN could not create an interest subsequent to the filing of the
Complaint. Simply stated, SWN’s position is that by virtue of its lease of the oil and gas
mineral interests, it has a property interest in the 3.763-acre Conley tract which is at issue
in the underlying title dispute. Thus, SWN argues that it has an absolute right to intervene.
Conversely, Respondents argue that SWN had no ownership interest at the
time the Complaint was filed and instead sought to create an interest in the Conley parcel
by improperly entering into an oil and gas lease with Mr. Conley some two years after the
Complaint was filed and when SWN knew the ownership rights were in dispute.
Respondents assert that the effort at creating an interest in the property was for the purpose
of intervention which it contends is improper.
With respect to the interest claimed for purposes of intervention, this Court
has held:
To justify intervention of right under West Virginia Rule of Civil Procedure 24(a)(2), the interest claimed by the 17 proposed intervenor must be direct and substantial. A direct interest is one of such immediate character that the intervenor will either gain or lose by the direct legal operation and effect of the judgment to be rendered between the original parties. A substantial interest is one that is capable of definition, protectable under some law, and specific to the intervenor. In determining the adequacy of the interest in a motion to intervene of right, courts should also give due regard to the efficient conduct of the litigation.
State ex rel. Ball, 208 W.Va. at 396, 540 S.E.2d at 920, Syl. Pt. 4.
Applying those principles that for intervention, a movant’s interest must be
direct, substantial, and legally protectable, to the instant case, we find that SWN claims an
adequate property interest for purposes of intervention as of right. It is undisputed that
SWN has an ownership interest in the Conley parcel. See Valentine v. Sugar Rock, Inc.,
234 W.Va. 526, 539, 766 S.E.2d 785, 798 (2014) (recognizing that an oil and gas lease is
a mineral interest, that the lessee is the owner of the mineral interest during the term of the
lease, and that oil and gas leases are a form of real property protectable by law); McCullogh
Oil, Inc. v. Rezek, 176 W.Va. 638, 640, 346 S.E.2d 788, 790 (1986) (finding that an oil and
gas lease is a conveyance of an interest in the land). Further, West Virginia jurisprudence
establishes that all persons who claim an interest in property are necessary and
indispensable parties to a quiet title action. See O’Daniels v. City of Charleston, 200 W.Va.
711, 716, 490 S.E.2d 800, 805 (1997) (when a court proceeding directly affects an interest
in real property those persons claiming an interest in the property are necessary parties).
We further observe that it is well-recognized that “interests in property are the most
18 elementary type of right that Rule 24(a) is designed to protect.” 7C Wright & Miller, supra
§ 1908.1.
We find that SWN’s acquisition of its property right after Mr. Conley filed
his Complaint to quiet title is of no moment. This Court finds no authority supporting
Respondent’s argument that the interest in the property or transaction must exist at the time
of the filing of the Complaint. The language of Rule 24(a)(2) does not impose such a
requirement and we are unwilling to create such a requirement in the face of silence in the
plain language of the Rule. 1
Our review compels the conclusion that the oil and gas lease interest claimed
by SWN is a direct and substantial interest of SWN in the Conley property. It is an interest
protectable under law and specific to SWN. The quiet title action involves determination
of the question of ownership of the oil and gas rights. Clearly, such determination will
result in SWN either gaining or losing “by the direct legal operation and effect of the
judgment to be rendered between the original parties.” State ex rel. Ball, 208 W.Va. at
396, 540 S.E.2d at 920, Syl. Pt. 4. SWN’s interest in the Conley parcel may be invalidated
1 We do not consider the Florida cases cited by the Respondents because they are inapposite. In Minge v. Davison, 115 So. 510 (Fla. 1928), the Florida court addressed a motion to intervene filed in a quiet title action after the trial court entered judgment. Here, no such judgment has been entered. The case of Nelson Bullock Co. v. South Down Development Co., 181 So. 365 (Fla. 1938) is not applicable because Florida did not, and it appears, still does not, have a right or rule regarding mandatory intervention as of right.
19 by judgment even though it was not a party to the case and had no opportunity to be heard.
Moreover, any judgment may also detrimentally affect SWN’s other oil and gas leases in
parcels which have the Milliken Deed in the chain of title. See Sierra Club v. Espy, 18
F.3d 1202, 1207 (5th Cir. 1994) (finding that lumber companies had an interest sufficient
for intervention because their existing timber contracts were threatened by an injunction
potentially prohibiting the United States Forest Service from selling certain timber).
Accordingly, we find that the circuit court erred in concluding that SWN had
no property interest and observe that it failed to apply the appropriate analysis regarding
SWN’s interest in the property. State ex rel. Ball, 208 W.Va. at 396, 540 S.E.2d at 920,
Syl. Pt. 4. We now proceed to consider the third condition for intervention of right—the
impairment of the applicant’s ability to protect its interest.
C. Impairment of Ability to Protect Interest
With respect to the factor requiring a court to consider whether disposition
of the action may impair or impede the applicant’s ability to protect its interest this Court
In determining whether a proposed intervenor of right under West Virginia Rule of Civil Procedure 24(a)(2) is so situated that the disposition of the action may impair or impede his or her ability to protect that interest, courts must first determine whether the proposed intervenor may be practically disadvantaged by the disposition of the action. Courts then must weigh the degree of practical disadvantage against the interests of the plaintiff and defendant in conducting and concluding their action without undue complication and delay, 20 and the general interest of the public in the efficient resolution of legal actions.
State ex rel. Ball, 208 W.Va. at 396, 540 S.E.2d at 920, Syl. Pt. 5.
We observe that the circuit court did not analyze the question of whether
there was an impairment of SWN’s ability to protect its property interest in accord with
our jurisprudence as enunciated in State ex rel. Ball. Id. Instead, the circuit court
concluded that since there was no property interest at the time the complaint was filed, the
disposition of the case will not impair any property interest of SWN.
SWN contends that the circuit court did not undertake any analysis regarding
whether SWN may be practically disadvantaged by disposition of the case. It is argued
that the circuit court failed to consider SWN’s ownership interest in the lease and how
determination of the action may practically impair its ownership rights not only to the oil
and gas underlaying the Conley parcel, but to other parcels in which SWN has an ownership
or operating interest in and which are in the chain of title from the Milliken Deed.
The Respondents link their argument to the filing of the Complaint,
contending that SWN had no property interest in the Conley parcel at the time the
Complaint was filed. Thus, the argument is that it had no interest to protect.
We need not dwell on this factor. Inasmuch as we have concluded that SWN
has an ownership interest in the title to the Conley parcel, it is plain that such interest may 21 be practically affected by disposition of the case that will determine title and ownership
issues. It is beyond question that the lack of participation in the litigation and trial before
a jury may impair or impede SWN’s ability to protect their interest. Moreover, in weighing
any disadvantage to SWN against the interest of Mr. Conley and the Respondents in
conducting and concluding their action without undue complication and delay, we are
persuaded by the action of the parties that there will be no undue complication or delay
since Mr. Conley indicates he desires the participation of SWN and Respondents have
made plain, by the service of the information gathering subpoena and the motion
(subsequently withdrawn) to bring SWN in as a third-party defendant, that SWN has
interests that may be affected by the civil action. We also find that the interest of the public
in the efficient resolution of legal actions is properly served by permitting SWN’s
intervention.
Accordingly, this Court concludes that the circuit court erred in concluding
that the disposition of the civil action would not impair or impede SWN’s ability to protect
its property interest. We now proceed to consideration of the fourth prong of Rule 24(a)(2)
regarding whether SWN’s interest is adequately represented by existing parties.
D. Adequate Representation by Existing Parties
The circuit court determined that SWN aligned with Mr. Conley at least since
entering into the oil and gas lease on March 7, 2017. At that time, the circuit court found,
SWN knew of the dispute regarding the oil and gas rights underlying the Conley property 22 and therefore cannot “complain that its fate is tied to the resolution of this case.” The
circuit court remarked that if SWN had concerns about the ownership of the property, “it
simply could have waited until this action was resolved to enter a lease with the victorious
party.”
SWN argues that the circuit court erred because its interests were not
adequately protected by Mr. Conley. SWN complains that the circuit court did not engage
in any analysis of the prong of adequate representation as required by Rule 24(a)(2) and
instead wrongly resorted to conclusory statements. SWN states that no party occupies a
position similar to SWN’s role as a lessee with rights and intent to develop, by use of
pooling together its various interests, including those of the Conley parcel. SWN asserts
that any judgment will impact leases with other tracts in the chain of title from the Milliken
Deed that are not part of the Conley parcel and Mr. Conley has no interest in title disputes
involving other parcels. However, SWN contends that it has a strong interest in the
resolution of the Milliken Deed which appears in the chain of title in other properties SWN
owns or controls in Brooke County, West Virginia. It is contended that Mr. Conley has no
stake in protecting those interests. SWN argues that its interest is greater than Mr. Conley’s
due to the financial investment risks of developing the oil and gas interests. Finally, SWN
contends that Mr. Conley simply does not have the financial resources to properly
challenge the competing claims of the parties.
23 In opposition, the Respondents argue that SWN entered into the lease with
Mr. Conley with full knowledge of the title dispute and should not be rewarded for
attempting to create an interest after the complaint was filed. The contention is that the
interest of Mr. Conley and SWN are completely aligned such that SWN’s interest is
identical to, and adequately protected by, Mr. Conley. Additionally, it is argued that there
is no compelling evidence that Mr. Conley cannot adequately protect SWN’s interest.
In addressing the factor of adequate representation, this Court has recognized
that “generally courts compare the interests asserted by the proposed intervenor with the
interests of the existing party.” State ex re. Ball, 208 W.Va. at 403, 540 S.E.2d at 927
(citing 59 Am. Jur.2d Parties § 141). In further elucidation, the Court stated:
If the proposed intervenor’s interest is not represented by the existing party, or the existing party’s interests are adverse to those of the proposed intervenor, intervention should be granted. If the interests of the proposed intervenor and the existing party are similar, “a discriminating judgment is required on the circumstances of the particular case, but [the proposed intervenor] ordinarily should be allowed to intervene unless it is clear that the existing party will provide adequate representation for the absentee.” 7C Charles A. Wright, Arthur R. Miller & Mary K. Kane, Federal Practice and Procedure § 1909, p. 319 (footnote omitted). See also 26 Fed. Proc. L.Ed. Parties § 59:303. Finally, if the interests are identical, intervention should be denied unless there is a compelling showing as to why the existing representation is inadequate. See 26 Fed. Proc. L.Ed. Parties § 59:303. A compelling showing may include, but is not limited to, adversity of interest, the representative’s collusion with an opposing party, or nonfeasance by the representative. 26 Fed. Proc. L.Ed. Parties § 59:304.
208 W.Va. at 403, 540 S.E.2d at 927. 24 Our review of the record and arguments of the parties compels the conclusion
that the instant matter presents a situation where the interests of SWN as the proposed
intervenor and the existing party, Mr. Conley, are similar rather than adverse or identical.
Accordingly, our plenary review focuses on the circumstances of the case, with the
recognition that ordinarily, the intervention should be permitted. Indeed, the showing
required of inadequate representation “should be treated as minimal.” Trbovich v. United
Mine Workers of Am., 404 U.S. 528, 538, n.10 (1972). Moreover, “all reasonable doubts
should be resolved in favor of allowing the absentee, who has an interest different from
that of any existing party to intervene so that the absentee may be heard in his own behalf.”
7C Wright & Miller, supra § 1909.
We observe that Mr. Conley has adopted the positions and legal arguments
as well as the authorities set forth in SWN’s brief. Specifically, Mr. Conley remarked that
SWN has far more at stake in the case than he does and further represented that he does
not have the financial resources to fully and adequately protect SWN’s interests. We are
convinced that SWN’s interests are significantly different from Mr. Conley’s due to the
nature of SWN’s business and its stated intent to finance and invest in developing the oil
and gas by the mechanism of pooling which Mr. Conley has no interest in doing and no
financial capital to undertake. We also consider that SWN’s interest in the construction of
the Milliken Deed is greater than that of Mr. Conley’s due to its interests in property beyond
the Conley parcel that will be affected by the Milliken Deed. We are also persuaded by
the representations of SWN that its interests are distinct because Mr. Conley has received 25 a per acre bonus payment for the execution of the lease and will retain those funds
regardless of any production by SWN. It is stated that while Mr. Conley would benefit
from production through payment of royalties, if the lease is not extended or SWN does
not undertake development activities within the five-year term, the lease will expire. In
that event, Mr. Conley would have the benefit of the initial bonus payment and have the
ability to lease the rights again, which would involve the opportunity to negotiate another
bonus payment.
Accordingly, this Court finds that the circuit court erred when it concluded
that Mr. Conley adequately represented the interests of SWN.
In conclusion, we find that SWN (1) filed a timely motion to intervene, (2)
has an interest in the property or transaction which is the subject of the quiet title civil
action, (3) is so situated that the disposition of the quiet title action may, as a practical
matter, impair its ability to protect that interest, and (4) SWN’s interest is not adequately
represented by an existing party. Thus, SWN has a clear legal right to intervene in the
pending civil action. 2
2 Given this conclusion, it is not necessary for this Court to consider the question of permissive intervention. 26 IV. CONCLUSION
For the reasons stated above, the February 22, 2019, order denying SWN’s
second motion for intervention in the above-styled matter is reversed and the case is
remanded to the Circuit Court of Brooke County, West Virginia for further proceedings
consistent with this opinion.
Reversed and remanded.