# Joshua Abrams v. Richard Isolda

> New Jersey Superior Court Appellate Division · May 1, 2025

URL: https://www.frixlaw.com/law-library/cases/10904888

## Case

- **Court:** New Jersey Superior Court Appellate Division
- **Decided:** May 1, 2025
- **Precedential status:** Unpublished
- **Opinion:** Opinion
- **Cited by:** 0 later opinions in the Frix Law Library

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## Opinion text

NOT FOR PUBLICATION WITHOUT THE
APPROVAL OF THE APPELLATE DIVISION
This opinion shall not "constitute precedent or be binding upon any court ." Although it is posted on the
internet, this opinion is binding only on the parties in the case and its use in other cases is limited. R. 1:36-3.

SUPERIOR COURT OF NEW JERSEY
APPELLATE DIVISION
DOCKET NO. A-0561-23

JOSHUA ABRAMS,

Plaintiff-Appellant,

v.

RICHARD ISOLDA,

Defendant-Respondent.
________________________

Submitted January 23, 2025 – Decided May 1, 2025

Before Judges Marczyk and Paganelli.

On appeal from the Superior Court of New Jersey, Law
Division, Burlington County, Docket No. L-0661-23.

Joshua Abrams, appellant pro se.

Mark J. Molz, attorney for respondent.

PER CURIAM
Plaintiff Joshua Abrams appeals from various trial court orders dismissing

his complaint, with prejudice, and awarding defendant Richard Isolda attorney's

fees. Applying well-established legal principles, we affirm.

This matter arises from Isolda's legal representation of Abrams's father in

a civil litigation between the father and son. In Abrams's complaint, he alleged

Isolda:

[E]ngaged in a pattern of harassment, abuse, and
belittlement, while prolonging the litigation for
financial gain. [Isolda] also attempted to undermine
[Abrams]'s rights and ability to proceed with the civil
suit based on [Abrams]'s mental health and disability.
[Abrams] claims damages resulting in bankruptcy and
unemployment.

The complaint contained counts for: (1) legal malpractice; (2) intentional

infliction of emotional distress; (3) fraud; (4) perjury; (5) abuse of process; (6)

violation of the Americans With Disabilities Act (ADA); (7) breach of fiduciary

duty; (8) negligence; (9) defamation; (10) conspiracy to commit fraud; (11)

unjust enrichment; (12) intentional interference with prospective economic

advantage; (13) invasion of privacy; and (14) violation of the Centers for

Disease Control (CDC) eviction moratorium.

Instead of filing an answer, Isolda moved to dismiss the complaint. The

trial court heard the parties' oral arguments on July 7, 2023. On the same day,

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the court issued an oral opinion. The court stated Abrams "alleged many causes

of action which [we]re either time-barred or which [we]re not legally cognizable

causes of action even assuming the allegations in the [c]omplaint [we]re

accurate on their face." The court reviewed each count and stated Abrams could

not maintain a claim for: (1) legal malpractice, because he admitted there was

no attorney client-relationship between himself and Isolda; (2) intentional

infliction of emotional distress, because "the allegations d[id] not, . . . rise to the

level of outrageous or extreme conduct such as to warrant the viability of th[e]

cause of action" and "any interactions that the parties had were in the context of

litigation and would be subject to litigation privilege"; (3) fraud, because the

allegations in the complaint lacked specificity and were conclusory; (4) perjury,

because it was "not a cognizable cause of action"; (5) abuse of process, because,

"in addition to failing to present factual allegations that would support the cause

of action," the cause of action could not "lie against . . . defendant in this case

who was counsel to . . . Abrams'[s] father as opposed to the party initiating and

pursuing the action"; (6) violation of the ADA, because Abrams had "not

articulated [a] cognizable cause of action with respect to" Isolda; (7) breach of

fiduciary duty, because there was no fiduciary relationship between the parties,

instead "Isolda was counsel for an adverse party in litigation"; (8) negligence,

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because the nature of the parties' relationship precluded a finding of negligence;

(9) defamation, because the "litigation privilege . . . would preclude" a

defamation claim against Isolda; (10) conspiracy to commit fraud, because even

"giving [Abrams] . . . the benefit of the broadest reading possible of the

allegations . . . the facts that are alleged do[ no]t . . . give rise to a basis for a

prima facie claim of conspiracy"; (11) unjust enrichment, because there was no

relationship, contractual or otherwise, between the parties; (12) intentional

interference with prospective economic advantage, because there was no factual

basis and the claim was belied by the fact that Abrams and his father settled the

underlying litigation; (13) invasion of privacy, because Isolda's actions on

behalf of Abrams's father cannot serve as a basis for any claim; and (14)

violation of the CDC eviction moratorium, because it was not a "cognizable

cause of action" nor would it lie against Isolda acting as Abrams's father's

counsel. The court dismissed all claims with prejudice.

On July 16, 2023, Abrams filed motions "for a new trial" and, on July 27,

2023, Isolda filed a cross-motion for attorney's fees. The motions were

scheduled for remote oral argument on August 25, 2023 but Abrams did not

appear. The court considered Abrams's motion for a new trial as a motion for

reconsideration, because there had been no trial. The trial court stated it was

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denying the motion, because Abrams's submittal failed to "suggest that the

standard for reconsideration ha[d] been met." Instead, the court found Abrams's

submittal "basically, [provided] conclusory statements and opinions" and

nothing "new or any error of law or fact."

As to the cross-motion, the trial court considered that Isolda served

Abrams with the "frivolous pleading notice" "in connection with the original

[c]omplaint" and "also in connection with each of [Abrams's] motions" and

submitted a "certification of services." While the court found "there [wa]s an

appropriate basis for concluding that the pleadings were . . . to some degree

frivolous," it also found "perhaps, not . . . all of the alleged causes of action

[were frivolous] even though they were all dismissed." Therefore, the trial court

decided "to award some fees, not . . . 100 percent of what[ wa]s claimed." The

court reserved its decision as to the amount, so it could "review the certification"

"and incorporate into it an award based upon the factors in RPC 1.5."1

Thereafter, Abrams filed motions for: (1) reconsideration; (2) the recusal

of the trial court and for vacatur; and (3) sanctions and removal of Isolda's

attorney. In response, Isolda filed motions seeking additional attorney's fees.

1
RPC – Rules of Professional Conduct.
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In its order of September 25, 2023, the trial court denied Abrams's motions

for: (1) a new trial; (2) reconsideration; (3) recusal; (4) sanctions and removal

of Isolda's attorney; and (5) vacatur. The court relied on its oral opinion from

August 25, 2023, to deny Abrams's motion for a "new trial."

In a ten-page written opinion, the trial court addressed Abrams's other

motions. In denying the motion for recusal, the court noted the disqualification

of a judge is governed by Rule 1:12-1 and the Code of Judicial Conduct, canon

3.17. The court found that Abrams "failed to articulate any basis for concluding

that disqualification [wa]s necessary to protect the rights of the litigants or to

preserve public confidence in the independence, integrity and impartiality of the

judiciary." The court found Abrams's "motion for recusal [wa]s

[inappropriately] premised upon his disagreement with the court's findings,

rather than any allegation of conflict or other basis for disqualification set forth

in . . . 3.17." Further, the court stated it did "not find that there [wa]s any

reasonable basis to question [its] impartiality."

Moreover, the trial court explained it was denying the motion for sanctions

and the removal of Isolda's counsel because Abrams failed to offer "any citation

to authority that would permit such a request for relief."

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In addition, the trial court explained it was denying the motion for vacatur,

brought under Rule 4:50-1, because Abrams failed "to identify any appropriate

basis for vacating the court's prior [o]rders." Instead, Abrams repeated "the

same arguments raised in connection with his other applications, which [we]re

based upon his dissatisfaction and disagreement with the court's determinations,

rather than any of the categories for which relief is available under Rule 4:50-

1."

The trial court granted Isolda's motions for additional attorney's fees,

under Rule 1:4-8. In the written opinion, the court explained that Isolda

"complied with the procedural requirements of Rule 1:4-8." Further, the court

noted it had "previously . . . determined that . . . numerous claims asserted in

[Abrams]'s [c]omplaint were without merit." Nevertheless, the court stated this

time it was "impos[ing] sanctions for frivolous litigation" because of Abrams

"repeatedly submitt[ing] duplicative filings after they had been found to be non-

meritorious." The court stated the "repeated attempt to re-litigate the same

factual and legal issues which had already been rejected by the court multiple

times" evidenced "a lack of a reasonable good faith belief in the merits of the

action, and which support[ed Isolda]'s argument that [Abrams]'s intention [wa]s

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to abuse the legal process to harass [Isolda], and compel him to continue to

expend time and resources defending this action."

I.

On appeal, Abrams contends the trial court committed a number of errors:

(1) misapplication of immunity and attorney-client privilege; (2) violations of

due process and procedural rights; (3) disregard for ADA protections; (4)

overlooking substantive legal arguments and abuse of legal processes; (5) failure

to adhere to procedural justice standards; (6) improper imposition of attorney's

fees; and (7) the denial of his motion for recusal.

"Appellate review of a trial judge's findings of fact is limited by well-

settled principles." Walid v. Yolanda for Irene Couture, 425 N.J. Super. 171,

179 (App. Div. 2012). Factual "[f]indings by the trial judge are considered

binding on appeal when supported by adequate, substantial and credible

evidence." Ibid. (quoting Rova Farms Resort, Inc. v. Invs. Ins. Co. of Am., 65

N.J. 474, 484 (1974)).

However, "[a] trial court's interpretation of the law and the legal

consequences that flow from established facts are not entitled to any special

deference." Manalapan Realty, L.P. v. Twp. Comm. of Manalapan, 140 N.J.

366, 378 (1995). "We also review mixed questions of law and fact de novo."

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Cumberland Farms, Inc. v. N.J. Dep't Env't Prot., 447 N.J. Super. 423, 438 (App.

Div. 2016).

1.

a.

Abrams contends the trial court erred in dismissing his claim for legal

malpractice because of "the perceived absence of a direct attorney-client

relationship." He contends the court "negate[d] the well-established principle

that the attorney's duty of care extends beyond their immediate clients." He

asserts "attorneys might owe a duty to non-clients, which was disregarded" when

the trial court granted the dismissal.

"[A] legal malpractice action has three essential elements: '(1) the

existence of an attorney-client relationship creating a duty of care by the

defendant attorney, (2) the breach of that duty by the defendant, and (3)

proximate causation of the damages claimed by the plaintiff.'" Jerista v. Murray,

185 N.J. 175, 190-91 (2005) (quoting McGrogan v. Till, 167 N.J. 414, 425

(2001)).

The New Jersey Supreme Court has "recognized that there are

circumstances in which an attorney may owe a duty to a third party with whom

the attorney does not have a contractual relationship." Banco Popular N. Am.

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v. Gandi, 184 N.J. 161, 179 (2005). The existence of that duty "is a question of

law to be determined by the court." Fitzgerald v. Linnus, 336 N.J. Super. 458,

468 (App. Div. 2001). When an

attorney[']s actions are intended to induce a specific
non-clients reasonable reliance on his or her
representations, then there is a relationship between the
attorney and the third party. Contrariwise, if the
attorney does absolutely nothing to induce reasonable
reliance by a third party, there is no relationship to
substitute for the privity requirement.

[Gandi, 184 N.J. at 180.]

Here, we are convinced that Isolda's representation of Abrams's father, in a

lawsuit between Abrams and his father, could not have induced a reasonable

reliance in Isolda or created a "relationship to substitute for the privity

requirement." Ibid. Therefore, we affirm the dismissal of the legal malpractice

claim.

b.

Abrams contends the trial court erred in dismissing his claims for the

intentional infliction of emotional distress and fraud by "conflating the doctrines

of immunity and attorney privilege." He asserts that "immunity does not shield

actions outside judicial proceedings or those conducted with malice."

The doctrine of litigation immunity provides:

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[A]n absolute immunity exists in respect of statements,
even those defamatory and malicious, made in the
course of proceedings before a court of justice, and
having some relation thereto, [it] is a principle firmly
established, and is responsive to the supervening public
policy that persons in such circumstances be permitted
to speak and write freely without the restraint of fear of
an ensuing defamation action, this sense of freedom
being indispensable to the due administration of justice.

[Brown v. Brown, 470 N.J. Super. 457, 464 (App. Div.
2022) (quoting Fenning v. S.G. Holding Corp., 47 N.J.
Super. 110, 117 (App. Div. 1957)).]

The existence of the litigation "privilege is a question of law." Hawkins v.

Harris, 141 N.J. 207, 216 (1995).

Absent from Abrams's argument is a specific assertion as to Isolda's

actions. Nonetheless, we are convinced that Isolda's actions were taken on the

father's behalf in the litigation. Therefore, Isolda is entitled to litigation

immunity regarding these claims. Thus, we affirm the dismissal of Abrams's

claims for intentional infliction of emotional distress and fraud.

2.

Abrams contends "[t]he trial court's dismissal of the claims with prejudice,

before thoroughly examining the facts or allowing an opportunity to amend

pleadings, starkly contravened established due process principles." He asserts

the "premature dismissal failed to consider the substantive arguments and

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evidentiary support." Further, he "stresses the importance of granting pro se

litigants the opportunity to clarify their claims, . . . preserving their right to a

fair legal process." In addition, Abrams contends the court's "sidestep[ of]

essential procedural steps and silenc[ing of his] voice, infring[ed] upon the due

process rights protected under the Fourteenth Amendment."

Undeniably, "we hold [pro se complaints] to less stringent standards than

formal pleadings drafted by lawyers." Haines v. Kerner, 404 U.S. 519, 520

(1972). This standard fits neatly under our analysis of all complaints under Rule

4:6-2(e). Under the Rule,

the test for determining the adequacy of a pleading: [is]
whether a cause of action is "suggested" by the facts.
Velantzas v. Colgate-Palmolive Co., 109 N.J. 189, 192
(1988). . . . [A] reviewing court "searches the
complaint in depth and with liberality to ascertain
whether the fundament of a cause of action may be
gleaned even from an obscure statement of claim,
opportunity being given to amend if necessary."
Di Cristofaro v. Laurel Grove Mem'l Park, 43 N.J.
Super. 244, 252 (App. Div. 1957). . . . The examination
of a complaint's allegations of fact required by the
aforestated principles should be one that is at once
painstaking and undertaken with a generous and
hospitable approach.

[Printing Mart-Morristown v. Sharp Elecs. Corp., 116
N.J. 739, 746 (1989).]

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We "review[] de novo the trial court's determination of the motion to

dismiss under Rule 4:6-2(e)." Dimitrakopoulos v. Borrus, Goldin, Foley,

Vignuolo, Hyman & Stahl, P.C., 237 N.J. 91, 108 (2019). "If a complaint must

be dismissed after it has been accorded the . . . meticulous and indulgent

examination . . ., then, barring any other impediment such as a statute of

limitations, the dismissal should be without prejudice to a plaintiff's filing of an

amended complaint." Printing Mart-Morristown, 116 N.J. at 772. "Nonetheless,

if the complaint states no claim that supports relief, and discovery will not give

rise to such a claim, the action should be dismissed." Dimitrakopoulos, 237 N.J.

at 107.

Applying these well-established principles and for the reasons we have

expressed in this opinion, we conclude that Abrams's complaint against Isolda,

stemming from Isolda's legal representation of Abrams's father, fails to state a

claim for relief, and no amount of discovery will alter that conclusion.

Therefore, we affirm the dismissal of the complaint with prejudice under Rule

4:6-2(e).

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3.

Abrams contends that he "is recognized under the ADA, with documented

disabilities." He asserts that his disabilities "necessitat[ed] accommodations

. . . to ensure equitable treatment" and "[t]he court's dismissal of ADA claims

failed to consider these vital aspects." Further, he argues Isolda's "conduct,

. . . contravened the ADA through discriminatory actions, [and] was

insufficiently considered in this context."

However, under the ADA, "no qualified individual with a disability shall,

by reason of such disability, be excluded from participation in or be denied the

benefits of the services, programs, or activities of a public entity, or be subjected

to discrimination by any such entity." 42 U.S.C. § 12132 (emphasis added).

"The ADA applies only to public entities . . . ." Lovell v. Chandler, 303 F. 3d

1039, 1052 (9th Cir. 2002).

Therefore, we are convinced that Abrams's claim against Isolda, an

individual, "fail[s] to state a claim upon which relief can be granted," R. 4:6-

2(e), and affirm the dismissal, with prejudice, of Abrams's ADA claim.

4.

Abrams contends the trial court "fail[ed] to engage with the substantive

legal arguments" and "thereby bypass[ed] . . . intricate legal and ethical

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considerations." He argues "the court's decision reveals a neglect in addressing

the nuanced legal arguments related to breach of fiduciary duty, abuse of

process, and the overarching implications of [Isolda]'s conduct on the legal and

ethical standards governing the legal profession." Further, he asserts Isolda's

"approach, particularly through the three separate motions for fees . . . and the

voluminous 166-page motion to dismiss . . ., appear[] to have been strategically

designed to overwhelm and outmaneuver [Abrams], leveraging the legal system

as a tool for undue pressure."

Aside from making these broad assertions, Abrams fails to provide any

detail or support for his contentions. Therefore, we conclude these arguments

lack sufficient merit to warrant discussion in a written opinion and affirm. See

R. 2:11-3(e)(1)(E).

5.

Abrams contends the trial "court's neglect in addressing the pending

discovery motion" and his "[m]otion for [r]econsideration . . . signifie[d] a

fundamental disregard for procedural justice standards" and the court's

"inattention deprived . . . [him] of the foundational right to a fair hearing."

However, as we have stated herein, no amount of discovery would have

provided Abrams with "a claim upon which relief could be granted." See R. 4:6-

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2(e). Moreover, the trial court considered and denied his motion for

reconsideration.

6.

In arguing the trial court erred in awarding Isolda attorney's fees, Abrams

asserts that the court's decision "undermines the 'American Rule.'" He contends

the decision "starkly contravenes established legal safeguards" and ignores "the

diverse legal and factual grounds articulated." Moreover, Abrams contends the

court "sidestepped" Rule 1:4-8(f), which is intended "to safeguard pro se

litigants like [him]self from punitive financial sanctions."

"New Jersey has a strong public policy against the shifting of costs and

. . . has embraced that policy by adopting the 'American Rule,' which prohibits

recovery of counsel fees by the prevailing party against the losing party." Litton

Indus. Inc. v. IMO Indus, Inc., 200 N.J. 372, 404 (2009) (quoting In re Est. of

Vayda, 184 N.J. 115, 120 (2005)). Therefore, "a prevailing party may not be

granted attorney's fees unless authorized by the parties' contract, court rule, or

statute." Ibid. (quoting Rock Work, Inc. v. Pulaski Const. Co., 396 N.J. Super.

344, 350-51 (App. Div. 2007)).

Under Rule 1:4-8,

The signature of a[] . . . pro se party constitutes a
certificate that the signatory has read the pleading,

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written motion or other paper. By signing, filing or
advocating a pleading, written motion, or other paper,
. . . [a] pro se party certifies that to the best of his or her
knowledge, information, and belief, formed after an
inquiry reasonable under the circumstances:

(1) the paper is not being presented for any
improper purpose, such as to harass or to
cause unnecessary delay or needless
increase in the cost of litigation;

(2) the claims, defenses, and other legal
contentions therein are warranted by
existing law or by a non-frivolous
argument for the extension, modification,
or reversal of existing law or the
establishment of new law;

(3) the factual allegations have evidentiary
support or, as to specifically identified
allegations, they are either likely to have
evidentiary support or they will be
withdrawn or corrected if reasonable
opportunity for further investigation or
discovery indicates insufficient evidentiary
support; . . . .

....

(b) Motions for Sanctions.

(1) Contents of Motion, Certification. An
application for sanctions under this rule
shall be by motion made separately from
other applications and shall describe the
specific conduct alleged to have violated
this rule. No such motion shall be filed
unless it includes a certification that the

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applicant served written notice and demand
pursuant to [R]ule 1:5-2 to the . . . pro se
party who signed or filed the paper
objected to. The certification shall have
annexed a copy of that notice and demand,
which shall (i) state that the paper is
believed to violate the provisions of this
rule, (ii) set forth the basis for that belief
with specificity, (iii) include a demand that
the paper be withdrawn, and (iv) give
notice, except as otherwise provided
herein, that an application for sanctions
will be made within a reasonable time
thereafter if the offending paper is not
withdrawn . . . .

....

(f) Applicability to Parties. To the extent practicable,
the procedures prescribed by this rule shall apply to the
assertion of costs and fees against a party other than a
pro se party pursuant to N.J.S.A. 2A:15-59.1.

[(Emphasis added).]

"This [R]ule subjects . . . pro se litigants, . . . to the attorney fee sanction

prescribed thereunder." Trocki Plastic Surgery Ctr. v. Bartkowski, 344 N.J.

Super. 399, 405 (App. Div. 2001) (citing R. 1:4-8(f)). The Rule is "a reminder

to pro se parties that they are under the control of the court in the prosecution of

their cause, [and] . . . are regarded as lawyers." Ibid.

"[F]ee determinations by trial courts will be disturbed only on the rarest

occasions." Rendine v. Pantzer, 141 N.J. 292, 317 (1995). "We review the trial

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judge's decision on a motion for frivolous lawsuit sanctions under an abuse of

discretion standard." Bove v. AkPharma Inc., 460 N.J. Super. 123, 146 (App.

Div. 2019). An abuse of discretion "arises when a decision is 'made without a

rational explanation, inexplicably departed from established policies, or rested

on an impermissible basis.'" Flagg v. Essex Cnty. Prosecutor, 171 N.J. 561, 571

(2002) (quoting Achacoso-Sanchez v. Immigr. & Naturalization Serv., 779 F.2d

1260, 1265 (7th Cir. 1985)).

We note "litigation may become frivolous, and therefore sanctionable, by

continued litigation over a meritless claim, even if the initial pleading was not

frivolous or brought in bad faith." Bove, 460 N.J. Super. at 152. "This is

because the 'requisite bad faith or knowledge of lack of well-groundedness may

arise during the conduct of the litigation.'" Ibid. (quoting United Hearts, LLC

v. Zahabian, 407 N.J. Super. 379, 390 (App. Div. 2009)).

Applying these well-established principles, we find no misuse of the trial

court's discretion in awarding Isolda attorney's fees. The trial court found Isolda

complied with the requirements of the Rule. Further, the court noted Abrams's

complaint contained claims that were meritless. In addition, the court found

Abrams displayed a lack of good faith by re-filing and re-litigating factual and

legal issues that the court had already found were non-meritorious.

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7.

Abrams contends "[t]he trial court's denial of the motion for recusal

disregard[ed] . . . established criteria" and his motion "precisely articulated

grounds that could reasonably lead to questions about the judge's impartiality,

including the handling of the discovery motion, the allowance of prejudicial

language by [Isolda], and apparent bias in procedural rulings."

"Motions for disqualification must be made directly to the judge presiding

over the case." State v. McCabe, 201 N.J. 34, 45 (2010). The motions "are

entrusted to the sound discretion of the judge and are subject to review for abuse

of discretion." Ibid. "We review de novo whether the proper legal standard was

applied." Ibid.

Applying these well-established principles, we conclude the trial court

applied the correct Rule and Canon and did not misuse its discretion in denying

its recusal.

Affirmed.

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Source: Frix Law Library, https://www.frixlaw.com/law-library/cases/10904888. Public record. Not legal advice.
