Court Opinion

ID: 3135873
Source: CourtListenerOpinion
Date Created: 2015-10-22 17:42:02.308466+00
Date Added: 2024-06-11T12:47:02.747854
License: Public Domain

ILLINOIS OFFICIAL REPORTS
                                        Supreme Court

                            Bonhomme v. St. James, 2012 IL 112393

Caption in Supreme         PAULA BONHOMME, Appellee and Cross-Appellant, v. JANNA ST.
Court:                     JAMES, Appellant and Cross-Appellee.

Docket Nos.                112393, 112398 cons.
Filed                      May 24, 2012

Held                       Where, on the internet, plaintiff began a romantic relationship with
(Note: This syllabus       someone she had never met who was, in fact, posing as a man, these facts
constitutes no part of     did not plead the tort of fraudulent representation, which is confined to
the opinion of the court   business and financial transactions; and plaintiff’s third amended
but has been prepared      complaint alleging only this tort waived her other claims which were not
by the Reporter of         referenced in it.
Decisions for the
convenience of the
reader.)

Decision Under             Appeal from the Appellate Court for the Second District; heard in that
Review                     court on appeal from the Circuit Court of Kane County, the Hon. Robert
                           B. Spence, Judge, presiding.

Judgment                   Appellate court judgment affirmed in part and reversed in part.
                           Circuit court judgment affirmed.
Counsel on               Phyllis J. Perko, of The Law Offices of Harlovic & Perko, of West
Appeal                   Dundee, for appellant and cross-appellee St. James.

                         Daliah Saper and Adam E. Urbanczyk, both of Chicago, for appellee and
                         cross-appellant Bonhomme.

Justices                 JUSTICE THOMAS delivered the judgment of the court, with opinion.
                         Chief Justice Kilbride and Justices Freeman, Garman, Karmeier, Burke,
                         and Theis concurred in the judgment and opinion.

                                            OPINION

¶1        Plaintiff, Paula Bonhomme, filed a seven-count second amended complaint against
      defendant, Janna St. James, for damages resulting from a fraudulent Internet-based
      relationship that defendant allegedly maintained with plaintiff for nearly two years. The
      circuit court of Kane County dismissed with prejudice all of plaintiff’s counts except
      fraudulent misrepresentation, which it dismissed without prejudice. Plaintiff then filed a third
      amended complaint alleging a single count of fraudulent misrepresentation, and the trial
      court dismissed that complaint with prejudice, as well. Plaintiff appealed, and the appellate
      court unanimously affirmed the dismissal of the second amended complaint and, with one
      justice dissenting, reversed the dismissal of the third amended complaint. 407 Ill. App. 3d
1080. Both sides filed petitions for leave to appeal (Ill. S. Ct. R. 315 (eff. Feb. 26, 2010)),
      which this court allowed and consolidated for review.

¶2                                       BACKGROUND
¶3         The following facts were alleged in plaintiff’s third amended complaint and are set forth
      in the appellate court’s opinion. In April 2005, plaintiff, a resident of Los Angeles,
      California, began online conversations with defendant on the “Deadwood Boards,” an
      Internet chatroom dedicated to the HBO television series “Deadwood.” Defendant, a resident
      of Batavia, Illinois, had registered as a user of the site under the name “Ms. Magnolia.” In
      June, defendant registered again, posing as a man named Jesse James (Jesse) and under the
      user name of “Auboy.” Jesse began chatting with and emailing plaintiff in July 2005.
      Defendant, in her own name, also began emailing plaintiff in July. Defendant represented to
      plaintiff that she knew Jesse and many of the people in Jesse’s life.
¶4         Plaintiff and Jesse began an online romantic relationship that lasted until July 2006. In
      addition to exchanging emails, Jesse and plaintiff exchanged personal photos, handwritten
      letters, and gifts. They also spoke regularly on the telephone, with defendant using a voice-
      altering device to disguise her female voice.
¶5         During this same period, defendant continued to maintain a relationship under her own
      name with plaintiff. In addition, defendant created a universe of approximately 20 fictional

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       online characters either related to or involved with Jesse, including an ex-wife, a son, various
       family members, a therapist, and friends living both in the United States and abroad. These
       characters communicated with plaintiff from separate and distinct email accounts and even
       sent photos, handwritten mail, and packages from different states and foreign countries. For
       her part, plaintiff sent gifts totaling more than $10,000 to defendant, Jesse, and various other
       characters.
¶6          In September 2005, plaintiff purchased round-trip airline tickets from Burbank,
       California, to Denver, Colorado, for the purpose of meeting Jesse in person. Jesse, however,
       cancelled the plans. Shortly thereafter, defendant informed plaintiff that Jesse had attempted
       suicide. This caused plaintiff great emotional distress, and plaintiff began seeing a therapist,
       with bills totaling more than $5,000.
¶7          In April 2006, plaintiff and Jesse decided to move in together in Jesse’s Colorado home.
       The move was to take place in July 2006, and plaintiff spent approximately $700 preparing
       for the anticipated move. When July came, however, plaintiff was informed by Jesse’s
       “sister,” Alice, that Jesse had died of liver cancer. Posing as her other fictional characters,
       defendant sent plaintiff several letters of condolence. Plaintiff entered a deep depression at
       this point, experiencing headaches, exhaustion, inability to sleep, and inability to focus on
       job-related tasks. She also contracted a recurring infection known as MRSA (multidrug
       resistant staphylococcus aureus) because her immune system was so weakened.
¶8          Yet even after Jesse’s death, defendant stayed in touch with plaintiff, communicating
       with her on a daily basis for the next seven months. In September 2006, plaintiff and
       defendant met in Colorado to visit some of Jesse’s favorite places, after which they drove to
       New Mexico to visit other Jesse-related sites. During that trip, defendant gave plaintiff a
       letter that Jesse had written in which he professed his love for plaintiff and set out his dying
       wishes.
¶9          In February 2007, defendant visited plaintiff at her home in California. Plaintiff spent
       $1,000 preparing her home for defendant. The expenses included the purchase of an
       inflatable bed and linens and the installation of a handrail, sliding chair, and “medical bath
       assist devices.” It was during this trip that some of plaintiff’s actual friends discovered the
       fictional nature of the universe of people that defendant had created, and they confronted
       defendant. Defendant admitted on videotape that she had put plaintiff through an “emotional
       ringer [sic]” for “maybe a year and a half.” Plaintiff continued to see a therapist to deal with
       the emotional aftermath of the false statements regarding the existence of the fictional
       characters, and her therapy bills continued to accumulate. Her “affected mental state” also
       resulted in lost earnings.
¶ 10        Plaintiff filed a five-count complaint against defendant in February 2008. Her second
       amended complaint contained seven counts, including both intentional and negligent
       infliction of emotional distress, defamation per se and per quod, negligent defamation,
       fraudulent misrepresentation, and false light. Defendant moved to dismiss the second
       amended complaint pursuant to section 2-615 of the Code of Civil Procedure (735 ILCS 5/2-
       615 (West 2008)), and the trial court dismissed with prejudice all of plaintiff’s counts except
       fraudulent misrepresentation, which it dismissed without prejudice. Plaintiff filed a motion
       to reconsider, which the trial court denied.

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¶ 11       Plaintiff then filed a motion requesting either a finding pursuant to Illinois Supreme
       Court Rule 304(a) (eff. Jan. 1, 2006) or, alternatively, an order certifying four questions of
       law pursuant to Illinois Supreme Court Rule 308 (eff. Feb. 1, 1994). On the same day,
       plaintiff filed a notice of appeal from the trial court’s denial of her motion to reconsider. In
       that notice of appeal, plaintiff explained that, while the trial court had yet to rule on her
       pending motions, she was submitting the notice “to apprise the Courts of the procedural
       posture of this case.” On September 15, 2009, the trial court denied plaintiff’s motions, and
       plaintiff thereupon withdrew her notice of appeal and instead filed a third amended
       complaint, alleging a single count of fraudulent misrepresentation. Defendant again moved
       to dismiss pursuant to section 2-615, and the trial court dismissed plaintiff’s third amended
       complaint with prejudice.
¶ 12       Plaintiff appealed. On appeal, plaintiff attempted to challenge not only the dismissal with
       prejudice of her third amended complaint but also the dismissal with prejudice of the
       emotional distress and defamation counts from her second amended complaint. A divided
       appellate court affirmed in part and reversed in part. 407 Ill. App. 3d 1080. As to the counts
       dismissed from the second amended complaint, the appellate court unanimously affirmed on
       the grounds that plaintiff abandoned those counts by neither realleging nor incorporating
       them in her third amended complaint. Id. at 1083. As to the dismissal of the third amended
       complaint, a majority of the appellate court reversed, explaining that “plaintiff properly
       pleaded a cause of action for fraudulent misrepresentation in count I of her third amended
       complaint” and that the trial court therefore “erred in dismissing that complaint.” Id. at 1088.
       Justice Schostok dissented on this point, arguing both that “[i]t is not appropriate to expand
       the application of fraudulent misrepresentation to the facts in this case” and that, even if such
       expansion were appropriate, “plaintiff has not pleaded facts sufficient to establish the
       element of justifiable reliance.” Id. at 1088 (Schostok, J., concurring in part & dissenting in
       part).
¶ 13       Both parties filed petitions for leave to appeal (Ill. S. Ct. R. 315), which we allowed and
       consolidated for review.

¶ 14                                       DISCUSSION
¶ 15       Before this court, both sides contest some portion of the appellate court’s discussion.
       Plaintiff argues that the appellate court erred in concluding that she abandoned the counts
       that were dismissed with prejudice from her second amended complaint. Defendant, in turn,
       argues that the appellate court erred in reversing the trial court’s dismissal of plaintiff’s third
       amended complaint. We will address plaintiff’s argument first.

¶ 16                                      Abandonment
¶ 17       The rules governing the preservation of dismissed claims for purposes of appellate
       review are clear and well settled. This court has clearly and consistently explained that “a
       party who files an amended pleading waives any objection to the trial court’s ruling on the
       former complaints,” and “ ‘[w]here an amendment is complete in itself and does not refer to
       or adopt the prior pleading, the earlier pleading ceases to be a part of the record for most
       purposes, being in effect abandoned and withdrawn.’ ” Foxcroft Townhome Owners Ass’n

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       v. Hoffman Rosner Corp., 96 Ill. 2d 150, 153-54 (1983) (quoting Bowman v. County of Lake,
       29 Ill. 2d 268, 272 (1963)); see also Barnett v. Zion Park District, 171 Ill. 2d 378, 384 (1996)
       (holding same). Whether a dismissed claim has been preserved for review is strictly a
       question of law, and our review therefore is de novo. See People v. Gutierrez, 2012 IL
111590, ¶ 16.
¶ 18        In Barnett, for example, the plaintiff initially filed a complaint containing wrongful-death
       and survival counts sounding in both negligence and willful and wanton misconduct. The
       negligence counts were dismissed from the plaintiff’s second amended complaint, and the
       plaintiff proceeded to file third, fourth, and fifth amended complaints alleging only willful
       and wanton misconduct. The trial court ultimately entered summary judgment for the
       defendant, and the plaintiff appealed. Barnett, 171 Ill. 2d at 383. In this court, the plaintiff
       attempted to argue, inter alia, that the trial court erred in dismissing the negligence claims
       from her second amended complaint. This court refused to consider that argument, however,
       explaining that “[a]llegations in a former complaint not incorporated in the final amended
       complaint are deemed waived.” Id. at 384. Thus, by “proceed[ing] on her willful and wanton
       counts alone” and by failing to “reallege or otherwise incorporate those [negligence] counts
       in her third, fourth, or fifth amended complaint,” the plaintiff had “waived appellate review
       of the dismissal of the negligence counts.” Id.
¶ 19        We see no material distinction between the facts presently before us and those present
       in Barnett. Here, plaintiff filed a second amended complaint containing seven counts:
       intentional and negligent infliction of emotional distress, defamation per se and per quod,
       negligent defamation, false light, and fraudulent misrepresentation. On defendant’s motion,
       the trial court dismissed with prejudice all of these but fraudulent misrepresentation, which
       it dismissed without prejudice. Plaintiff then filed a single-count third amended complaint
       that alleged only fraudulent misrepresentation and in no way referenced or incorporated any
       of the other six counts. When her third amended complaint was likewise dismissed with
       prejudice, plaintiff appealed, and she now attempts to argue that the trial court erred in
       dismissing the emotional distress and defamation counts from her second amended
       complaint. Barnett precludes any such argument. Indeed, just as in that case, by electing to
       proceed on fraudulent misrepresentation only, and by filing a third amended complaint that
       neither referenced nor incorporated any of the previously dismissed counts, plaintiff here
       effectively abandoned and withdrew those counts and in so doing waived any appellate
       review of their dismissal. The law could not be clearer on this point.
¶ 20        In opposition to this result, plaintiff first argues that, although her third amended
       complaint fails to reference or incorporate the emotional distress and defamation counts that
       were dismissed with prejudice from her second amended complaint, she nevertheless took
       other steps that were effective to preserve her objections to the dismissal of those counts.
       Specifically, plaintiff points out that, following the trial court’s dismissal of her second
       amended complaint, she immediately filed a motion to reconsider that dismissal. When the
       trial court denied that motion, she filed a motion for Rule 304(a) findings and Rule 308(a)
       certification, as well as a notice of appeal. Although she later withdrew that notice of appeal
       and elected instead to file a one-count third amended complaint, she nevertheless insists that
       her initial notice of appeal “legally and literally” incorporated the counts that were dismissed
       with prejudice from her second amended complaint and “thereby preserved them.”

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¶ 21        The problem with this argument is that we rejected one very similar to it in Boatmen’s
       National Bank of Belleville v. Direct Lines, Inc., 167 Ill. 2d 88 (1995). In Boatmen’s, the
       decedent’s father, as special administrator of the decedent’s estate, brought a series of
       amended complaints against the defendants. All of these complaints were brought on behalf
       of decedent’s “next of kin,” and the first through seventh amended complaints attempted to
       include decedent’s parents and siblings within that classification. The trial court dismissed
       each of those complaints on the grounds that, because the decedent was married at the time
       of death, it was her husband, and not her parents or siblings, who was “next of kin” for
       purposes of the Wrongful Death Act. In the end, the estate filed eighth and ninth amended
       complaints that were brought solely on behalf of the decedent’s husband. The cause
       eventually proceeded to trial, and the estate appealed. Id. at 91-96.
¶ 22        In this court, the estate attempted to argue, inter alia, that the trial court erred in
       concluding that the decedent’s parents and siblings were not “next of kin.” Boatmen’s, 167
Ill. 2d at 98. Citing Foxcroft, this court found that, by filing eighth and ninth amended
       complaints that did not reference or incorporate the claims brought on behalf of the
       decedent’s parents and siblings, the estate “waived any objection to the trial judge’s
       dismissal” of those claims. Id. at 99. More importantly for present purposes, the court
       emphasized that this was the result even though the estate “continued to challenge the trial
       judge’s ruling regarding *** the claims for recovery by decedent’s parents and siblings,”
       both by including those claims in its motion for a new trial and in its objections to a motion
       in limine. Id. at 100. As Foxcroft made clear, this court “adhere[s] to the principle that a party
       who files an amended pleading waives any objection to the trial court’s ruling on the former
       complaints.” Id. at 100. Consequently, once the estate filed eighth and ninth amended
       complaints identifying only the decedent’s husband as her “next of kin,” it forfeited any
       objections to the trial court’s prior rulings concerning the status of decedent’s parents and
       siblings, and not even its ongoing objections to those rulings could “preserve [the] issues for
       review.” Id. at 100.
¶ 23        In this case, we are faced with similar facts. Again, plaintiff filed a second amended
       complaint containing seven counts. On defendant’s motion, the trial court dismissed with
       prejudice all but fraudulent misrepresentation, which it dismissed without prejudice. Plaintiff
       then filed a single-count third amended complaint that alleged only fraudulent
       misrepresentation and in no way referenced or incorporated any of the other six counts. To
       be sure, plaintiff took some steps to register her objection to the trial court’s dismissal of the
       other six counts, and we recounted those steps above. But as Boatmen’s teaches, once
       plaintiff took the step of filing a third amended complaint sounding solely in fraudulent
       misrepresentation, none of those other actions were effective to preserve those objections.
       We repeat, unless the amended pleading somehow incorporates or references the pleadings
       in the former complaint, “a party who files an amended pleading waives any objection to the
       trial court’s ruling on the former complaints.” Boatmen’s, 167 Ill. 2d at 99.
¶ 24        Plaintiff also argues that application of the waiver rule is inappropriate in this case
       because, in filing the one-count third amended complaint, she was simply “follow[ing] the
       Circuit Court’s instructions at all times” and therefore “should not be punished for any
       misdirection she received.” In support of this argument, plaintiff insists that “the Circuit
       Court made it clear that it wanted Plaintiff to file a third amended complaint stating only one

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       count of fraudulent misrepresentation and then appeal all the dismissed claims.” (Emphasis
       in original.)
¶ 25        There are two problems with this argument. The first and most fundamental is that the
       record in no way supports plaintiff’s factual assertions concerning the trial court’s
       “instructions.” The portion of the record that plaintiff cites in support of these assertions is
       an order dated September 15, 2009. That order states, in its entirety:
                “Plaintiff’s Motion for Findings under Supreme Court Rules 304a or, in the
                alternative, 308a is denied. Prior scheduling order to stand.”
       Nothing in this language amounts to an instruction, “clear” or otherwise, to file a third
       amended complaint containing only a single count of fraudulent misrepresentation. In fact,
       quite the opposite is true. The “prior scheduling order” referred to in the order above was
       entered on August 27, 2009, and it states, in its entirety:
                “Plaintiff shall have 28 days to file a Third Amended Complaint (on or by September
                24, 2009); Defendant shall have 21 days thereafter to plead to said Third Amended
                Complaint (on or by October 15, 2009).”
       Contrary to plaintiff’s representations, this order places no restrictions whatsoever on what
       the third amended complaint may plead, reference, or incorporate, and neither it nor the
       September 15 order precluded plaintiff from incorporating her emotional distress and
       defamation claims by reference so as to preserve her arguments on review. The decision not
       to plead that way was entirely plaintiff’s, and we take exception to plaintiff’s repeated
       attempts to shift responsibility for that decision to the trial court.
¶ 26        That said, even had the trial court instructed plaintiff to appeal the dismissal of her
       defamation and emotional distress counts only after filing her third amended complaint, her
       argument would remain unavailing. Indeed, the estate in Boatmen’s made a similar argument,
       and this court rejected it out of hand. In Boatmen’s, the trial court expressly assured the estate
       that, despite the denial of the estate’s motion to reconsider the dismissal of one of its claims,
       the estate’s arguments relative to that claim “would be preserved for review.” Boatmen’s,
167 Ill. 2d at 100. In reliance on this, the estate filed subsequent amended complaints that
       neither referenced nor incorporated the dismissed claim. On appeal, this court held that, by
       filing subsequent amended complaints that neither referenced nor incorporated the dismissed
       claim, the estate had waived any objections to the dismissal of that claim. Id. at 99. Not only
       that, but this court went out of its way to note that even the trial court’s express assurance
       that the estate’s objections were in fact preserved for review “does not preclude a finding of
       waiver.” Id. at 100. On the contrary, a party “should not be excused from following rules
       intended to preserve issues for review by relying on a trial court’s erroneous belief that an
       issue was properly preserved for review.” Id. Thus, even assuming that the trial court in this
       case had instructed plaintiff to file a one-count third amended complaint and only then
       appeal the dismissal of her other six counts, plaintiff could not treat that instruction as license
       to ignore Foxcroft. On the contrary, if plaintiff wished to challenge on appeal the trial court’s
       dismissal of her emotional distress and defamation claims, it was incumbent upon her to

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       somehow reference or incorporate those counts in her third amended complaint.1 Having
       failed to do so, plaintiff has waived any such challenges.
¶ 27        Finally, plaintiff argues that application of the waiver rule is inappropriate in this case
       because none of the policy concerns that inform the Foxcroft rule are present. More
       specifically, plaintiff argues that, because her motion to reconsider, her motion for Rule
       304(a) findings or a Rule 308 certification, and her initial notice of appeal all referenced the
       six counts that were dismissed with prejudice from her second amended complaint, “neither
       the court nor the Defendant will have to speculate as to which legal theories or claims
       Plaintiff intends to advance.”
¶ 28        We disagree. In Foxcroft, this court explained that there are “significant policy
       considerations” that favor adherence to the waiver rule, most notably “the interest in the
       efficient and orderly administration of justice.” Foxcroft, 96 Ill. 2d at 154. To this end, “[i]t
       is expected that a cause will proceed to trial on the claims as set forth in the final amended
       complaint,” as “[n]o interest would be served by requiring the judge to speculate as to which
       legal theories or claims a party intends to advance during trial.” Id. Similarly, “[t]he
       complaint notifies the defendant of the alleged causes of action and theories of recovery,”
       and “[w]hen a complaint is amended, without reference to the earlier allegations, it is
       expected that these allegations are no longer at issue.” Id. Accordingly, permitting a plaintiff
       to “proceed to trial on different issues contained in separate complaints” would certainly
       disadvantage defendants, whereas there is “no undue burden in requiring a party to
       incorporate in its final pleading all allegations which it desires to preserve for trial or
       review.” Id.
¶ 29        Plaintiff’s argument to the contrary notwithstanding, not only are these policy concerns
       not absent from this case, each of them is present. Again, plaintiff’s third amended complaint
       is utterly silent as to the six counts that were dismissed from her second amended complaint.
       Thus, there is simply no objective indication anywhere in the record as to which, if any, of
       those counts plaintiff intends to pursue. Maybe all, maybe some, or maybe none. As it stands,
       only plaintiff knows for sure. And while the trial court and defendant may be able to hazard
       an informed and perhaps even accurate guess, that is not a position either of them should ever
       have to be in. Stated differently, had plaintiff intended to abandon the six counts that were
       dismissed with prejudice from her second amended complaint, the record in this case might
       very well look exactly the same. Again, the purpose of the Foxcroft rule is to ensure that the
       court and the defendant possess objective means of knowing with certainty which claims the
       plaintiff is pursuing, as well as to ensure that a cause proceeds to trial only on the claims
       contained in the final amended complaint. Allowing plaintiff to proceed on any of the six
       counts that were dismissed with prejudice from her second amended complaint would

               1
                 The burden for accomplishing this is not onerous. Indeed, our appellate court has for some
       time recognized that “[a] simple paragraph or footnote in the amended pleadings notifying
       defendants and the court that plaintiff [is] preserving the dismissed portions of [the] former
       complaints for appeal” is sufficient to avoid the consequences of Foxcroft.” Tabora v. Gottlieb
       Memorial Hospital, 279 Ill. App. 3d 108, 114 (1996); see also Vilardo v. Barrington Community
       School District 220, 406 Ill. App. 3d 713, 719 (2010); Zawadzka v. Catholic Bishop of Chicago, 337
Ill. App. 3d 66, 70 (2003).

                                                   -8-
       undermine both of these principles, and it would open the door to piecemeal and disorderly
       litigation where no one but the plaintiff would ever know for certain which claims are
       ultimately at issue.
¶ 30        On this last point, we note that plaintiff’s own pleadings in this case illustrate the
       confusion that can ensue when Foxcroft is ignored. In her motion to reconsider the trial
       court’s order dismissing the second amended complaint, plaintiff defended all seven counts
       of that complaint. In her motion for Rule 304(a) findings and Rule 308(a) certification,
       plaintiff sought permission to appeal the trial court’s dismissal of counts I, II, III, IV, V, and
       VII of the second amended complaint. And in both of her notices of appeal, which of course
       are filed in the trial court, plaintiff indicated that she would be appealing the trial court’s
       dismissal of counts I, II, III, IV, V, and VII of the second amended complaint. Despite all of
       this, plaintiff insists to this court she has only ever attempted to preserve counts I through IV
       of her second amended complaint, and that both defendant and the trial court clearly
       understood this. According to plaintiff’s opening brief, “[a]t all times subsequent to the
       Circuit Court’s dismissal of Counts I-IV of Plaintiff’s Second Amended Complaint, Plaintiff
       has intended, as the Circuit Court and Defendants understood, to appeal those dismissals.”
       (Emphases added.) In the same vein, plaintiff concludes her opening brief in this court by
       insisting that she has “doggedly pursued *** the claims understood by both parties and the
       Court to be at issue: Counts I-IV of the Second Amended Complaint and Count I of the Third
       Amended Complaint.” (Emphasis added.) Thus, according to plaintiff, although every
       relevant trial court pleading expressly states that plaintiff was or would be contesting the
       dismissal of counts I, II, III, IV, V, and VII from the second amended complaint, both
       defendant and the trial court somehow and nevertheless understood that in fact only counts
       I through IV of that complaint remained at issue. This is precisely the type of uncertainty that
       Foxcroft exists to avoid, and it underscores our resolve to enforce that decision in this case.
¶ 31        In sum, plaintiff’s third amended complaint pleaded a single count of fraudulent
       misrepresentation. That complaint was “complete in itself” and “[did] not refer to or adopt”
       any of the six previously dismissed claims. As a result, and consistent with nearly 50 years
       of unbroken jurisprudence from this court, plaintiff has “in effect abandoned and withdrawn”
       those six claims, and our consideration of the dismissal of those claims “may be at once
       eliminated from the appeal.” See Bowman v. County of Lake, 29 Ill. 2d 268, 272 (1963).

¶ 32                                Fraudulent Misrepresentation
¶ 33        We now turn to defendant’s argument that the appellate court erred in reversing the trial
       court’s dismissal of plaintiff’s third amended complaint, which alleged a single count of
       fraudulent misrepresentation.
¶ 34        A motion to dismiss brought under section 2-615 of the Code of Civil Procedure (735
       ILCS 5/2-615 (West 2008)) attacks the legal sufficiency of a complaint. Vitro v. Mihelcic,
       209 Ill. 2d 76, 81 (2004). In ruling on a section 2-615 motion, a court must accept as true all
       well-pleaded facts in the complaint, as well as all reasonable inferences therefrom. Id. The
       critical inquiry is whether the allegations of the complaint, when construed in the light most
       favorable to the plaintiff, are sufficient to establish a cause of action upon which relief may
       be granted. Id. Orders granting a section 2-615 motion to dismiss are reviewed de novo. Id.

                                                  -9-
¶ 35        To prevail on a claim of fraudulent misrepresentation, a plaintiff must establish the
       following elements: (1) a false statement of material fact; (2) known or believed to be false
       by the person making it; (3) an intent to induce the plaintiff to act; (4) action by the plaintiff
       in justifiable reliance on the truth of the statement; and (5) damage to the plaintiff resulting
       from such reliance. Doe v. Dilling, 228 Ill. 2d 324, 342-43 (2008). In Doe, this court
       exhaustively examined the history and scope of fraudulent misrepresentation, and we need
       not repeat that discussion here. Suffice it to say, the history and origin of this tort lie in the
       common law action of deceit, a very narrow tort that applies only to cases involving business
       or financial transactions between parties. Id. at 343. And while the courts of this state have,
       on rare occasions, recognized claims for fraudulent misrepresentation in settings that are not,
       strictly speaking, “commercial” or “financial” in nature (see, e.g., Roe v. Jewish Children’s
       Bureau of Chicago, 339 Ill. App. 3d 119 (2003); Roe v. Catholic Charities of the Diocese
       of Springfield, 225 Ill. App. 3d 519 (1992)), they have never recognized fraudulent
       misrepresentation in a setting that is “purely personal” in nature (Doe, 228 Ill. 2d at 348).
¶ 36        In Doe, the plaintiff sought to hold the Dillings liable for their alleged failure to disclose
       and alleged misrepresentation of the HIV status of their adult child. In this court, the
       threshold question was whether the appellate court properly extended the cause of action for
       fraudulent misrepresentation “beyond its traditional application in commercial and
       transactional settings.” Id. at 342. In support of the appellate court’s decision stating that it
       could, the plaintiff in Doe argued that this issue had already been settled. Citing Jewish
       Children’s Bureau and Catholic Charities, two cases involving adoption agencies, the
       plaintiff argued that “two prior Illinois decisions have previously recognized the tort of
       fraudulent misrepresentation in seemingly noncommercial settings,” that “this is no longer
       an issue of first impression,” and that “Illinois has already expanded the tort of fraudulent
       misrepresentation outside of the business arena.” Id. at 346.
¶ 37       This court rejected the Doe plaintiff’s argument, explaining that “[a] close examination
       of the two cases relied upon by Doe *** does not support her broad interpretation of those
       decisions.” Id. at 346. The court explained that, contrary to the plaintiff’s argument, agency-
       assisted adoption is not a “purely personal” setting. On the contrary, the defendants in those
       cases were agencies “in the business of facilitating adoptions.” Id. at 347-48. Moreover,
       adoptions are highly regulated proceedings in which the state has a strong public policy
       interest. Id. at 348. In light of this, the court concluded that “these decisions [do not] support
       Doe’s argument that Illinois has recognized the tort of fraudulent misrepresentation in purely
       personal settings,” and that the appellate court therefore “incorrectly expanded the tort of
       fraudulent misrepresentation *** beyond its general historical application to cases arising in
       the commercial context.” Id. at 348, 350-51.
¶ 38        In light of Doe, the crucial question in this case is whether the facts at issue are purely
       personal in nature, or whether there exists some commercial, transactional, or regulatory
       component that moves them beyond the purely personal. This is not a difficult question to
       answer. When all is said and done, what lies beneath this case is two private persons engaged
       in a long-distance personal relationship. To be sure, it was a personal relationship built
       wholly on one party’s relentless deceit, but it was a purely personal relationship nonetheless.
       Indeed, all of the hallmarks of ordinary human relationship are present: correspondence,
       conversation, intimacy, trust, mutual beneficence, emotional support, affection,

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       disappointment, and even grief. And just as importantly, there is absolutely nothing of the
       commercial, transactional, or regulatory at work. Plaintiff and defendant were not engaged
       in any kind of business dealings or bargaining, and the veracity of representations made in
       the context of purely private personal relationships is simply not something the state
       regulates or in which the state possesses any kind of valid public policy interest.
       Consequently, as regrettable as the alleged facts are, we hold that they are not the types of
       facts upon which a claim for fraudulent misrepresentation may be pled.2
¶ 39       For these reasons, we hold that the appellate court below erred in reversing the trial
       court’s order dismissing plaintiff’s third amended complaint.

¶ 40                                      CONCLUSION
¶ 41       For the reasons set forth above, we affirm that portion of the appellate court’s decision
       affirming the dismissal of defendant’s second amended complaint, reverse that portion of the
       appellate court’s decision reversing the dismissal of plaintiff’s third amended complaint, and
       affirm the judgment of the circuit court in its entirety.

¶ 42       Appellate court judgment affirmed in part and reversed in part.
¶ 43       Circuit court judgment affirmed.

               2
                In reaching this result, we reiterate what we said in Doe, namely, that “if the tort of
       fraudulent misrepresentation is not recognized for a certain fact pattern, this does not necessarily
       mean that a plaintiff is left without a remedy for his or her injuries, as other tort actions may be
       available.” Doe, 228 Ill. 2d at 344-45. On this point, our appellate court has correctly explained that,
       although not every misrepresentation gives rise to a cause of action for fraudulent misrepresentation,
       misrepresentations themselves often play a large role in a variety of other torts. See Neurosurgery
       & Spine Surgery, S.C. v. Goldman, 339 Ill. App. 3d 177, 185 (2003).

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