Court Opinion

ID: 9902250
Source: CourtListenerOpinion
Date Created: 2023-11-24 18:02:07.851918+00
Date Added: 2024-06-11T09:21:48.190976
License: Public Domain

IN THE COURT OF CHANCERY OF THE STATE OF DELAWARE

PURVI GANDHI-KAPOOR,                      )
                                          )
              Petitioner,                 )
                                          )
       v.                                 )   C.A. No. 2022-0881-JTL
                                          )
HONE CAPITAL LLC AND CSC                  )
UPSHOT VENTURES I, L.P.,                  )
                                          )
              Respondents.                )

  OPINION DENYING RULE 12(B)(1) MOTION TO DISMISS IN FAVOR OF
      ARBITRATION AND RULE 60 MOTION TO VACATE ORDERS

                        Date Submitted: September 26, 2023
                         Date Decided: November 22, 2023

Evan O. Williford, THE WILLIFORD FIRM LLC, Wilmington, Delaware; Ellen A.
Cirangle, LUBIN OLSON & NIEWIADOMSKI LLP, San Francisco, California;
Attorneys for Petitioner Purvi Gandhi-Kapoor.

Blake K. Rohrbacher, RICHARDS, LAYTON & FINGER LLP, Wilmington, Delaware;
Attorneys for Respondent CSC Upshot Ventures I, L.P.

Hone Capital LLC, Unrepresented.

LASTER, V.C.
      Petitioner Purvi Gandhi-Kapoor filed this summary advancement proceeding

in September 2022. Eight months later, in April 2023, the court granted summary

judgment establishing her right to receive advancements from CSC Upshot Ventures

I, L.P. (“Upshot”). The summary judgment order also determined that Upshot owed

Gandhi specific amounts. When Upshot failed to pay, Gandhi moved for sanctions. In

July 2023, the court granted that motion, held Upshot in contempt, and imposed

coercive sanctions designed to compel Upshot to comply. When Upshot still failed to

pay, the court issued an order requiring Upshot to show cause why further sanctions

should not be imposed.

      At that point, Upshot invoked an arbitration provision in its operating

agreement (the “Arbitration Provision”) and moved to dismiss this action under Rule

12(b)(1) for lack of subject matter jurisdiction. Upshot also moved under Rule 60 to

vacate the court’s prior orders, arguing that because the Arbitration Provision

deprived the court of subject matter jurisdiction, those rulings were void.

      This opinion denies the motion to dismiss for lack of subject matter

jurisdiction. That concept refers to a court’s power to hear particular claims. By

statute, the court has subject matter jurisdiction over an action to enforce an

advancement provision in a limited liability company agreement. Properly

understood, an arbitration provision does not deprive a court of subject matter

jurisdiction. An arbitration provision is a special type of forum selection clause. By

agreeing to arbitrate, the parties commit contractually to litigate their dispute in a

private forum. A court can—and generally will—enforce the arbitration agreement,
but that outcome flows from principles of contract law, not the absence of subject

matter jurisdiction.

      The fact that Delaware decisions have considered motions to dismiss in favor

of arbitration under Rule 12(b)(1), which the rule describes as a defense of lack of

subject matter jurisdiction, does not mean that an arbitration provision deprives a

court of subject matter jurisdiction. Despite its description, Rule 12(b)(1) is not used

exclusively where subject matter jurisdiction is lacking. Parties also use the rule to

advance arguments about why courts should not exercise jurisdiction they have.

Examples include the failure to exhaust remedies, abstention doctrines, and standing

doctrines.

      Because an arbitration provision does not deprive a court of subject matter

jurisdiction, case law holds universally that a party can waive a right to arbitrate by

participating sufficiently in a court proceeding. If an arbitration provision truly

deprived a court of subject matter jurisdiction, it would not be waivable.

      Upshot next argues that even if the Arbitration Provision could be waived, the

arbitrator—and not the court—must determine whether waiver occurred. Case law

distinguishes between procedural waivers and judicial conduct waivers. Arbitrators

address procedural waivers. Courts rule on judicial conduct waivers.

      The exception is Meyers v. Quiz-Dia LLC,1 a decision I authored. The parties

in Meyers did not brief the concept of a judicial conduct waiver. Presented only with

      1 2016 WL 7048783 (Del. Ch. Dec. 2, 2016).

                                           2
authorities that addressed procedural waivers, I applied those rules and deferred to

the arbitrator. The outcome in Meyers resulted from the case-specific arguments that

the parties made.

         Upshot further argues that even if a court generally decides whether a judicial

conduct waiver has occurred, parties can delegate that issue to the arbitrator by

agreeing to arbitrate all disputes under a set of arbitral rules that authorize the

arbitrator to decide questions involving its own jurisdiction. A majority of courts

reject that position. Regardless, the Federal Arbitration Act (the “FAA”)2 requires

that a court determine whether a judicial conduct waiver has occurred. Under the

FAA, a court—not an arbitrator—must determine whether an agreement to arbitrate

exists. An arbitrator cannot make that determination, because without an agreement

to arbitrate, the arbitrator has no power.

         When a plaintiff files an arbitrable claim in court, the plaintiff implicitly offers

to litigate the claim. A defendant can accept that offer by engaging sufficiently in

litigation to warrant a judicial conduct waiver. When viewed from this perspective,

determining whether a judicial conduct waiver has occurred is a means of asking

whether the parties have reached a new agreement to litigate—rather than

arbitrate—the claim that the plaintiff filed. Under the FAA, a court must decide that

issue.

         2 See 9 U.S.C. §§ 1–402.

                                              3
      On the merits of the waiver question, Upshot argues that it did not waive its

right to arbitrate by failing to invoke the provision at the outset of a summary

advancement proceeding, failing to mention it in its answer, failing to mention it in

its response to the summary judgment motion, and failing to mention it in the

response to the motion for contempt. Upshot has not pointed to any case in which a

court permitted a party to invoke an arbitration provision after losing on the merits

and being held in contempt. That would be the ultimate do-over.

      Upshot’s Rule 12(b)(1) motion is therefore denied. Upshot’s Rule 60 motion is

also denied. That motion depends on the case being subject to arbitration, but because

Upshot waived its right to arbitrate, there is no longer any basis for relief. The court

therefore need not consider whether grounds would exist to vacate its orders if the

dispute was arbitrable.

                          I.   FACTUAL BACKGROUND

      Some of the facts pertinent to the motions were established when the court

ruled on Gandhi’s motion for summary judgment. Other facts are drawn from the

parties’ submissions in connection with Upshot’s motions.

A.    The California Action

      Upshot is an indirect subsidiary of China Science & Merchants Investment

Management Group Co., Ltd. (“CSC Group”), a private equity fund. Upshot invests

in technology companies.

                                           4
      Hone Capital LLC (“Hone”) is another entity controlled by the CSC Group.

Hone is a de facto manager of Upshot.3 Gandhi served as CFO of Hone and had the

title of Partner. She reported to Bixuan Wu.

      Gandhi and Wu’s compensation included a profit interest based on Upshot’s

performance. For disputed reasons, the CSC Group terminated Gandhi and Wu.

      In 2020, Hone sued Gandhi in California Superior Court. Hone’s complaint

asserted that Gandhi breached her fiduciary duties and engaged in fraud when

managing Upshot.

      Gandhi and Wu responded by filing suit to enforce their right to a profit

interest. Hone moved to consolidate the lawsuits. The California Superior Court

granted the motion, resulting in what this decision calls the “California Action.”

B.    This Proceeding

      Gandhi incurred significant expenses defending against Hone’s claims and

pursuing her own counterclaims in the California Action. On September 29, 2022,

Gandhi sent a written demand to Hone and Upshot asking them to advance her

expenses. The next day, Gandhi filed this action to enforce her right to advancement.

      The parties initially stipulated that Gandhi was entitled to advancement from

Hone. Upshot answered Gandhi’s complaint but did not refer to arbitration.

      3 Upshot now argues that Hone is not its manager, citing a provision in its LLC

agreement which identifies a different entity as Upshot’s general partner. Whether
Hone formally manages Upshot as its general partner is a different question than
whether Hone is a de facto manager of Upshot. See In re P3 Health Gp. Hldgs., LLC,
285 A.3d 143, 153–54 (Del. Ch. 2022). When Gandhi moved for summary judgment,
she argued that Hone managed Upshot. Hone and Upshot did not dispute that point.

                                          5
C.    The Motion for Summary Judgment

      In November 2022, Hone moved to vacate the stipulations regarding Gandhi’s

advancement rights. Hone contended that its Delaware counsel lacked authority to

agree to those stipulations. Delaware counsel withdrew and new Delaware counsel

appeared for Hone and Upshot.

      Gandhi opposed the motion to vacate. Gandhi also filed a cross motion for

summary judgment to establish her advancement rights.

      Gandhi briefed the summary judgment motion in a meaningful way. In support

of her motion, Gandhi submitted an affidavit with three exhibits. She also relied on

an affidavit from her forwarding counsel with nine exhibits. Her opening brief was

thirty-three pages long.

      Upshot and Hone filed a bare-bones response that was just fourteen pages long.

Upshot and Hone did not provide any supporting affidavits or exhibits. Most

significantly, they did not take issue with any of Gandhi’s factual assertions.

      Gandhi filed a detailed reply. At sixteen pages, it was longer than the response

that Upshot and Hone had filed.

      During briefing, Upshot did not rely on the Arbitration Provision. No one

mentioned the possibility of arbitration.

      By order dated April 5, 2023, the court granted Gandhi’s motion for summary

judgment (the “Advancement Order”). The court held that Gandhi was entitled to

advancement for the California Action from both Upshot and Hone. That ruling

rendered it unnecessary to address the motion to vacate, because even if the court

                                            6
granted the motion and vacated the earlier stipulations, Gandhi would be entitled to

advancement under the Advancement Order.

D.    The Sanctions Ruling

      After the court entered the Advancement Order, Gandhi sent a written

demand for advancements to Upshot on April 16, 2023. Upshot was obligated to pay

any amounts to which it did not object by May 11. Upshot did not object to any

amounts and did not make any payments.

      On May 15, 2023, Gandhi moved for sanctions to enforce the Advancement

Order. The parties briefed the motion. No one mentioned the possibility of arbitration.

The court issued an opinion that granted the sanctions motion in part.4

      Despite the imposition of sanctions, neither Upshot nor Hone paid any of the

advancements that were due. Gandhi served discovery to determine why Upshot and

Hone were not paying. Upshot and Hone resisted those efforts.

      On May 2, June 20, and July 20, 2023, Gandhi sent additional demands for

advancements to Upshot and Hone. Upshot and Hone did not object to any items.

They also did not pay any amounts.

E.    Upshot Invokes The Arbitration Provision.

      On August 10, 2023, Gandhi filed a renewed motion for sanctions. That same

day, new counsel appeared for Upshot.

      4 Gandhi-Kapoor v. Hone Cap. LLC, 2023 WL 4628782 (Del. Ch. July 19, 2023).

                                          7
      On August 18, 2023, Upshot invoked the Arbitration Provision in multiple

filings. Upshot moved for dismissal under Rule 12(b)(1) because the court lacked

subject matter jurisdiction in light of the Arbitration Provision. Upshot also asserted

that because the court lacked subject matter jurisdiction, all of the orders that the

court had issued regarding Upshot were void. And Upshot opposed the second motion

for sanctions because the court’s orders were void.

      Upshot blamed the court for not identifying and addressing the Arbitration

Provision. Its opposition to the renewed sanctions motion stated: “Both the SJ Order

and the Contempt Opinion overlooked key language in the Fund’s Second Amended

and Restated Limited Partnership Agreement . . . . In particular, they did not address

the Agreement’s arbitration clause.”5 In its motion to dismiss, Upshot objected that

the Arbitration Provision “was neither referenced nor analyzed in the SJ Order.”6

Later, Upshot complained that that “the SJ Order did not explain how this Court

could exercise subject-matter jurisdiction in the face of the Agreement’s exclusive

arbitration clause.” 7 The answer to those criticisms is simple: Upshot had never

mentioned the Arbitration Provision.

      5 Dkt. 70 ¶ 9.

      6 Dkt. 73 ¶ 2.

      7 Dkt. 73 ¶ 11.

                                          8
      On September 26, 2023, the court heard oral argument on Gandhi’s renewed

sanctions motion and Upshot’s motions. Hone did not appear. The court ruled orally

on the sanctions motion against Hone. Upshot took action after the hearing to render

the sanctions motion moot. This decision therefore only addresses Upshot’s motions

under Rule 12(b)(1) and Rule 60.

                               II.   LEGAL ANALYSIS

      Upshot has moved to dismiss this case in favor of arbitration. Upshot has also

moved to vacate this court’s rulings on the theory that the Arbitration Provision

deprives the court of subject matter jurisdiction.

A.    The Motion To Dismiss For Lack Of Subject Matter Jurisdiction

      Upshot’s motion to dismiss relies on Rule 12(b)(1). That rule states:

      Every defense, in law or fact, to a claim for relief in any pleading,
      whether a claim, counterclaim, cross-claim, or third-party claim, shall
      be asserted in a responsive pleading thereto if one is required, except
      that the following defenses may at the option of the pleader be made by
      motion: (1) Lack of subject matter jurisdiction.8

Upshot observes that Delaware courts generally entertain motions to dismiss in favor

of arbitration under Rule 12(b)(1). Upshot infers that an arbitration provision

therefore must deprive the court of subject matter jurisdiction.

      For Upshot, framing its motion as a challenge to the court’s subject matter

jurisdiction carries another advantage. Rule 12(h)(3) makes clear that a defense of

      8 Ct. Ch. R. 12(b)(1).

                                           9
lack of subject matter jurisdiction cannot be waived.9 For a party that first invoked

the Arbitration Provision eleven months into a summary proceeding, after losing on

the merits, after being held in contempt, and after hiring its third set of lawyers, a

nonwaivable defense is its only refuge.

      Unfortunately for Upshot, the Arbitration Provision does not deprive this court

of subject matter jurisdiction. True, Delaware courts have entertained motions to

dismiss in favor of arbitration under Rule 12(b)(1), but that approach reflects a

widespread practice in which the rule is used not only for arguments about a court’s

lack of subject matter jurisdiction, but also for arguments that the court should

decline to exercise its jurisdiction. And contrary to situations where a court truly

lacks subject matter jurisdiction, a party can waive its right to arbitrate. Here,

Upshot waived its ability to rely on the Arbitration Provision.

      1.     Whether The Court Has Subject Matter Jurisdiction Over
             Gandhi’s Claims.

      Subject matter jurisdiction refers to a court’s “authority to adjudicate the type

of controversy involved in the action.”10 A court derives its subject matter jurisdiction

from the constitutional or statutory provisions that create or empower the court.11 A

      9 Ct. Ch. R. 12(h)(3) (“Whenever it appears by suggestion of the parties or

otherwise that the Court lacks jurisdiction of the subject matter, the Court shall
dismiss the action.”).

      10 Restatement (Second) of Judgments § 11 (Am. L. Inst. 1982).

      11 Id. § 11, cmt. a.

                                           10
court’s subject matter jurisdiction thus refers to the types of cases that the sovereign

creating the court has authorized the court to hear.12

       Because a court’s subject matter jurisdiction derives from a grant of sovereign

authority, parties cannot alter it by private ordering. “[S]ubject matter jurisdiction

may not be created by waiver or by agreement of the parties. Similarly, such an

agreement also may not restrict or eliminate subject matter jurisdiction that is

otherwise present.”13

       By agreeing to litigate a dispute in a particular forum, parties can commit

among themselves not to ask a court to exercise the subject matter jurisdiction it

possesses. Such an agreement does not deprive a court of its authority to hear a

particular type of case. The clause does not “oust” a court of its subject matter

jurisdiction over an action; instead, “it raises the question of whether a ‘court

should . . . exercise[ ] its jurisdiction to . . . give effect to the legitimate expectations

       12 See Arbaugh v. Y & H Corp., 546 U.S. 500, 514 (2006) (explaining that
subject matter jurisdiction refers to a court’s “power to hear a case”); accord Union
Pac. R.R. v. Bhd. of Locomotiv Eng’rs & Trainmen Gen. Comm. of Adjustment, 558
U.S. 67, 81 (2009).

       13 2 Moore’s Federal Practice § 12.30[1], Lexis+ (3d. ed. coverage through Nov.

2023); see Kroll v. City of Wilmington, 2023 WL 6012795, at *14 (Del. Ch. Sep. 15,
2023) (“Subject matter jurisdiction concerns this court’s powers, not the parties’
rights. Therefore, parties may not waive the existence or non-existence of subject
matter jurisdiction.”); de Adler v. Upper N.Y. Inv. Co. LLC, 2013 WL 5874645, at *8
(Del. Ch. Oct. 31, 2013) (“The Court’s subject matter jurisdiction cannot be
determined by contract, by consent in the pleadings, or even by procedural waiver.”
(footnotes omitted)).

                                             11
of the parties.’”14 The court does not dismiss the case because it lacks the power to

hear it, but because “where contracting parties have expressly agreed upon a legally

enforceable forum selection clause, a court should honor the parties’ contract and

enforce the clause.” 15 Principles of contract law, not a lack of subject matter

jurisdiction, generate that outcome.

      An arbitration provision “is, in effect, a specialized kind of forum selection

clause,” so the same principles apply.16 Following this reasoning, the United States

Courts of Appeals for the Third, Fifth, Seventh, and Eight Circuits have held that an

arbitration agreement does not alter a court’s subject matter jurisdiction. 17 A

      14 Schwartz v. Cognizant Tech. Sols. Corp., 2022 WL 880249, at *5 (Del. Ch.

Mar. 25, 2022) (quoting M/S Bremen v. Zapata Off-Shore Co., 407 U.S. 1, 12 (1972)).

      15 Ingres Corp. v. C.A., Inc., 8 A.3d 1143, 1145 (Del. 2010).

      16 Scherk v. Alberto–Culver Co., 417 U.S. 506, 519 (1974), quoted in Nat’l Indus.

Gp. (Hldg.) v. Carlyle Inv. Mgmt. L.L.C., 67 A.3d 373, 384 n.41 (Del. 2013); accord
Fairstead Cap. Mgmt. LLC v. Blodgett, 288 A.3d 729, 753–54 (Del. Ch. 2023).

      17 See Lloyd v. Hovensa, LLC, 369 F.3d 263, 272 (3d Cir. 2004) (overruling

precedent and holding that arbitration is not a jurisdictional issue); Ruiz v. Donahoe,
784 F.3d 247, 250 (5th Cir. 2015) (“[A]greements to arbitrate implicate forum
selection and claims-processing rules not subject matter jurisdiction.”); Grasty v.
Colo. Tech. Univ., 599 Fed. Appx. 596, 597 (7th Cir. 2015) (“[A]n agreement to
arbitrate does not affect a district court’s subject-matter jurisdiction.
An arbitration clause is a type of forum-selection clause.”); Seldin v. Seldin, 879 F.3d
269, 272 (8th Cir. 2018) (“[T]he existence of that [arbitration] agreement alone does
not deprive the federal courts of jurisdiction.”).

                                          12
majority of the federal district courts to consider the issue have reached the same

conclusion.18

      This court has subject matter jurisdiction over Gandhi’s claims. The Delaware

Limited Liability Company Act (the “LLC Act”) empowers LLCs to grant

advancement and indemnification rights in their LLC agreements.19 Section 18-111

of the LLC Act provides that “[a]ny action to interpret, apply or enforce the provisions

of a limited liability company agreement, or the duties, obligations or liabilities of a

      18 See, e.g., Brown v. Five Star Quality Care, Inc., 2016 WL 8710474, at *5

(D.S.C. 2016) (“Arbitration clauses are forum-selection clauses. . . . This Court’s
subject-matter jurisdiction is not subject to diminution by private agreement.”
(citation omitted)); Hess v. Positive Energy Fleet, LLC, 571 F. Supp. 3d 844, 848 (E.D.
Mich. 2021) (“[A]n arbitration clause is more like a claim-processing rule than a
restriction on the Court’s adjudicatory authority.”); FCCI Ins. Co. v. Nicholas Cty.
Library, 2019 WL 1234319, at *4 (E.D. Ky. Mar. 15, 2019) (“[T]he defect created by
the binding arbitration clause, assuming it applies to these claims, does not appear
to be a lack of subject matter jurisdiction where the Court in fact has and may retain
subject matter jurisdiction pending arbitration.”); Am. E Gp. LLC v. Livewire
Ergogenics Inc., 432 F. Supp. 3d 390, 399–400 (S.D.N.Y 2020) (“Because enforcement
of a forum selection clause is not jurisdictional, enforcement of a provision
compelling arbitration does not implicate the Court’s subject matter jurisdiction.”).
But this view is not unanimous, and some district courts continue to maintain that
an arbitration provision deprives a court of subject matter jurisdiction, or at least
should be viewed through that lens. See, e.g., LeCann v. Aliera Cos., Inc., 2021 WL
2554942, at *53 (N.D. Ga. June 22, 2021) (maintaining that “motions [to compel
arbitration] are factual attacks on the existence of subject matter jurisdiction . . . .”);
United States v. Int’l Fid. Ins. Co., 232 F. Supp. 3d 1193, 1200 (S.D. Ala. 2017) (finding
no reason to reject the Rule 12(b)(1) framing); see also Powers Distrib. Co. v.
Grenzebach Corp., 2016 WL 6611032, at *2–3 (E.D. Mich. Nov. 9, 2016) (analyzing
the different treatment of arbitration provisions under Rules 12(b)(1) and 12(b)(6),
finding that the choice would not change the outcome, and using the more traditional
route of Rule 12(b)(1)).

      19 E.g., Morgan v. Grace, 2003 WL 22461916, at *2 (Del. Ch. Oct. 29, 2003)

(interpreting 6 Del. C. § 18-108 to authorize advancements as well as
indemnification).

                                            13
limited liability company to the members or managers of the limited liability

company, . . . may be brought in the Court of Chancery.”20 An action to enforce the

advancement and indemnification provisions in Upshot’s LLC agreement is thus an

action “to interpret, apply or enforce the provisions of a limited liability company

agreement,” as well as an action “to interpret, apply or enforce . . . the duties,

obligations or liabilities of a limited liability company to the members or managers of

the limited liability company.”21

      Gandhi has asserted claims for advancement and indemnification under the

provisions in Upshot’s LLC agreement. The General Assembly has given the Court of

Chancery subject matter jurisdiction over those claims. Private parties cannot

eliminate that jurisdiction by contract. Accordingly, to the extent Upshot argues that

this court lacks subject matter jurisdiction in the sense of the power to hear Gandhi’s

claims, the motion is denied.

      2.       The Role Of The Rule 12(b)(1) Motion

      Upshot’s strongest argument in favor of the Arbitration Provision depriving

this court of subject matter jurisdiction relies on the fact that courts entertain

motions to dismiss in favor of arbitration under Rule 12(b)(1) and have used the

language of subject matter jurisdiction when analyzing the issue. Despite its framing

as a motion to dismiss for lack of subject matter jurisdiction, Rule 12(b)(1) is also used

      20 6 Del. C. § 18-111.

      21 Id.

                                           14
to argue about whether a court should exercise the subject matter jurisdiction that it

possesses. Admittedly, courts do not always conduct their analyses with that degree

of precision, and the Supreme Court of the United States has lamented “drive-by

jurisdictional rulings” in which a federal court dismisses a case for lack of subject

matter jurisdiction “without explicitly considering whether the dismissal should be

for lack of subject matter jurisdiction.”22 The Court affords them “no precedential

effect on the question whether the federal court had authority to adjudicate the claim

in suit.”23 It thus does not follow that any argument advanced under Rule 12(b)(1)

necessarily challenges a court’s subject matter jurisdiction, nor that any decision that

rules on a Rule 12(b)(1) motion and uses the language of subject matter jurisdiction

necessarily establishes that a court lacks the power to hear that type of case. Close

attention is required.

      As a leading treatise explains, parties and courts do not use Rule 12(b)(1)

exclusively to raise a lack of subject matter jurisdiction; they also use the motion to

address “a variety of other defenses that one normally would not think of as raising

subject-matter jurisdiction questions.”24 Those defenses generally involve whether a

court should decline to exercise subject matter jurisdiction that the court otherwise

      22 Arbaugh, 546 U.S. at 510 (cleaned up).

      23 Id. at 511 (cleaned up).

      24 5B Charles Alan Wright & Arthur R. Miller, Federal Practice and Procedure

§ 1350 (3d ed. 2023).

                                          15
would have, such as abstention doctrines and justiciability issues.25 “Thus, the scope

of Rule 12(b)(1) is flexible, often serving as a procedural vehicle for raising various

residual defenses” that “share the common theme of challenging the court’s ability to

proceed with the action.”26

       For example, a defense that a party has failed to exhaust administrative

remedies “is not a jurisdictional or an absolute requirement; it is a judicially created

doctrine, which courts exercise discretionally.” 27 Rule 12(b)(1) is the vehicle that

parties often use to raise this issue.28

       Other examples include the justiciability doctrines of standing, ripeness, and

mootness. Federal courts often frame those issues as involving subject matter

jurisdiction, because the Case or Controversy Clause of the United States

Constitution limits the judicial power of the federal courts to “cases” and

“controversies.”29 The Supreme Court of the United States has held that a federal

court only has subject matter jurisdiction when (i) the plaintiff has suffered an injury

       25 Id. The authors note that the motion is sometimes used to argue that a claim

is barred by the statute of limitations. That defense does not challenge a court’s
ability to hear the type of case that the plaintiff has filed, but rather argues that the
plaintiff cannot state a viable claim because the case was brought too late. The
defense is therefore properly asserted under Rule 12(b)(6).

       26 Id.

       27 Salem Church (Del.) Assocs. v. New Castle Cty., 2006 WL 2873745, at *4 (Del.

Ch. Oct. 6, 2006).

       28 E.g., id. at *4.

       29 U.S. Const. art. III, § 2, cl. 1.

                                              16
in fact, (ii) the injury is fairly traceable to the defendant’s actions, and (iii) the injury

is capable of redress by the court.30 The Case or Controversy Clause deprives federal

courts of jurisdiction where no case or controversy exists.31

       State courts apply similar doctrines, but prudentially and “as a matter of self-

restraint.” 32 Justiciability doctrines technically do not limit state courts, because

state courts draw their jurisdiction from the original sovereignty of the several states

as governments with plenary and unenumerated powers. 33 State courts “are not

bound by the federal Constitution’s ‘case or controversy’ requirement.”34

       30 Allen v. Wright, 468 U.S. 737, 751 (1984).

       31 Flast v. Cohen, 392 U.S. 83, 96 (1968); Hollingsworth v. Perry, 570 U.S. 693,

706 (2013).

       32 Dover Historical Soc’y v. City of Dover Planning Comm’n, 838 A.2d 1103,

1111 (Del. 2003); accord Stuart Kingston, Inc. v. Robinson, 596 A.2d 1378, 1382 (Del.
1991).

       33 See generally John Dimanno, Beyond Taxpayers’ Suits: Public Interest
Standing in the States, 41 Conn. L. Rev. 639, 658–63 (2008) (collecting authorities);
Randy J. Holland, State Constitutions: Purpose and Function, in The Delaware
Constitution of 1897: The First One Hundred Years 3, 13–14, 16 (Randy J. Holland &
Harvey Bernard Rubenstein eds. 1997).

       34 Eli Savit, States Empowering Plaintiff Cities, 52 U. Mich. J.L. Reform 581,

605 (2019); see ASARCO Inc. v. Kadish, 490 U.S. 605, 617 (1989) (“We have
recognized often that the constraints of Article III do not apply to state courts, and
accordingly the state courts are not bound by the limitations of a case or controversy
or other federal rules of justiciability . . . .”); Helen Hershkoff, State Courts and the
“Passive Virtues”: Rethinking the Judicial Function, 114 Harv. L. Rev. 1833, 1857
(2001) (“‘State courts need not become enmeshed in the federal complexities and
technicalities involving standing and are free to reject procedural frustrations in
favor of just and expeditious determination on the ultimate merits.’” (quoting State
ex rel. Ohio Acad. of Trial Lawyers v. Sheward, 715 N.E.2d 1062, 1081–82 (Ohio 1999)
(quoting 59 Am. Jur. 2d Parties § 30 (1987)))).

                                             17
      Take standing. That concept “refers to the right of a party to invoke the

jurisdiction of a court to enforce a claim or redress a grievance.” 35 A dispute over

standing is concerned “only with the question of who is entitled to mount a legal

challenge and not with the merits or the subject matter of the controversy.”36 In state

court, therefore, standing does not implicate the court’s power to hear a particular

claim. It asks whether a particular party can assert it. Rule 12(b)(1) is often used to

challenge standing.37

      Or take ripeness. Strictly speaking, a ripeness determination does not involve

a court determining whether a particular claim falls within its jurisdictional

authority. The ripeness inquiry requires “a common sense assessment of whether the

interests of the party seeking immediate relief outweigh the concerns of the court in

postponing review until the question arises in some more concrete and final form.”38

The court thus makes a discretionary determination about whether to “decline to

      35 Stuart Kingston, 596 A.2d at 1382.

      36 Id.

      37 E.g., Cont’l Auto. Sys., Inc. v. Nokia Corp., 2023 WL 1370523, at *6 (Del. Ch.

Jan. 31, 2023).

      38 XL Specialty Ins. Co. v. WMI Liquid. Tr., 93 A.3d 1208, 1217 (Del. 2014)

(cleaned up).

                                          18
exercise jurisdiction” that it otherwise possesses. 39 Ripeness is therefore an

abstention doctrine. Rule 12(b)(1) is often used to challenge claims as unripe.40

      Last, take mootness. As a general rule, a mooted case becomes nonjusticiable.41

Yet there are exceptions, and a court will rule on mooted issues that involve “matters

of public importance” and “situations that are capable of repetition but evade

review.”42 In state court, mootness is an abstention doctrine. Rule 12(b)(1) is often

used to challenge claims as moot.43

      These defenses are subject-matter-jurisdiction adjacent in that they ask a

court to decline to exercise the subject matter jurisdiction it otherwise has. The court

technically may not lack subject matter jurisdiction, but as a matter of established

doctrine, the court should abstain from exercising subject matter jurisdiction. Rule

12(b)(1) is a suitable vehicle for raising these arguments.

      Using Rule 12(b)(1) also has a practical benefit, because a litigant can bring a

Rule 12(b)(1) motion at any point in a case. That is important, because while

      39 Id.; accord Stroud v. Milliken Enters., Inc., 552 A.2d 476, 480 (Del. 1989)

(“Courts in this country generally, and in Delaware in particular, decline to exercise
jurisdiction over cases in which a controversy has not yet matured to a point where
judicial action is appropriate.”).

      40E.g., B/E Aerospace, Inc. v. J.A. Reinhardt Holdings, LLC, 2020 WL
4195762, at *1 (Del. Super. July 21, 2020).

      41 Gen. Motors Corp. v. New Castle Cty., 701 A.2d 819, 823–24 (Del. 1997).

      42 Id. at 823 n.5.

      43 E.g., PPL Corp. v. Riverstone Hldgs. LLC, 2020 WL 3422397, at *3 (Del. Ch.

June 22, 2020).

                                          19
questions of ripeness typically present themselves at the start of a case, questions of

mootness or loss of standing can arise at any point.

      Both the abstention concept and the timing advantage explain the courts’

traditional use of Rule 12(b)(1) to entertain motions to dismiss in favor of

arbitration.44 As discussed previously, a motion to dismiss in favor of arbitration does

not deprive a court of subject matter jurisdiction; it asks the court to enforce the

parties’ agreement to arbitrate and abstain from exercising jurisdiction that the court

otherwise would have. A motion to dismiss in favor of arbitration challenges the

forum in which suit was filed, and the proper motion for disputing forum invokes Rule

12(b)(3) and presents a defense of improper venue.45 But strictly using Rule 12(b)(3)

requires that a party raise the forum issue at the outset of the case,46 which means

that if a party fails to invoke a forum selection clause promptly, a busy court could

      44 Another link between arbitration provisions and Rule 12(b)(1) is historical.

Courts originally declined to enforce arbitration provisions as contrary to public
policy because “their effect was to ‘oust the jurisdiction’ of the court.” M/S Bremen,
407 U.S. at 9; see Pettinaro Constr. Co. v. Harry C. Partridge, Jr. & Sons, Inc., 408
A.2d 957, 961 (Del. Ch. 1979) (collecting authorities). In 1925, Congress enacted the
FAA, which overruled the ouster doctrine for arbitration clauses. United States
Arbitration Act, Act of Feb. 12, 1925, ch. 213, § 1, 43 Stat. 883. In 1972, the M/S
Bremen case did the same for forum selection clauses. 407 U.S. at 12. After these
developments, the ouster doctrine no longer played any role, but the historical
connection between those provisions and the concept of subject matter jurisdiction
may have contributed to the continuing use of Rule 12(b)(1).

      45 E.g., In re Bay Hills Emerging P’rs I L.P., 2018 WL 3217650, at *4 (Del. Ch.

July 2, 2018) (“The proper procedural rubric for addressing a motion to dismiss based
on a forum selection clause is found under Rule 12(b)(3), improper venue.”); Bonanno
v. VTB Hldgs., Inc., 2016 WL 614412, at *5 (Del. Ch. Feb. 8, 2016) (same).

      46 See Ct. Ch. R. 12(h).

                                          20
end up presiding over a case that the parties had agreed to litigate somewhere else.

Enforcing the parties bargain becomes attractive both from the standpoint of

upholding contractual expectations and for purposes of docket management, at least

so long as the case has not progressed to a meaningful degree.47 It thus becomes

understandable why judges would be receptive to a procedural vehicle that enables a

party to raise an arbitration provision or a forum selection clause later in the case.

      Rule 12(b)(1) fits the bill. Using Rule 12(b)(1) does not mean that the parties’

agreement deprives the court of subject matter jurisdiction. As with other abstention

doctrines, the agreement provides strong grounds for the court to decline to exercise

the jurisdiction that it possesses. Rule 12(b)(1) is a suitable vehicle for raising

challenges to a court’s subject matter jurisdiction in its strict sense, as well as for

raising arguments about why a court should not exercise its jurisdiction.

      Understanding the use of Rule 12(b)(1) also helps harmonize cases that have

used the language of subject matter jurisdiction when addressing arbitration

provisions with cases explaining the nature of subject matter jurisdiction.          In

Delaware, one of the leading decisions on arbitration provision is Elf Atochem, where

the Delaware Supreme Court enforced an arbitration provision in an LLC agreement

which directed that “all disputes be resolved exclusively by arbitration or court

proceedings in California.” 48 When a member of the LLC sued in the Court of

      47 Cf. Richard A. Posner, What Do Judges and Justices Maximize? (The Same

Thing Everybody Else Does), 3 Supr. C. Econ. Rev. 1 (1993).

      48 Elf Atochem N. Am., Inc. v. Jaffari, 727 A.2d 286, 287 (Del. 1999).

                                          21
Chancery, the defendant moved to dismiss under Rule 12(b)(1), and the trial court

granted the motion. On appeal, the parties framed their dispute in terms of subject

matter jurisdiction, and the Delaware Supreme Court spoke in those terms. The high

court affirmed the Court of Chancery’s decision, explaining that “since the Act does

not prohibit the members of an LLC from vesting exclusive subject matter jurisdiction

in arbitration proceedings (or court enforcement of arbitration) in California to

resolve disputes, the contractual forum selection provisions must govern.” 49 The

gravamen of the decision was thus that the contract controlled, but the decision used

the language of subject matter jurisdiction to reach that result.

      As this decision has explained, an arbitration provision does not deprive a

court of subject matter jurisdiction in its strict sense. The language of Elf Atochem

therefore prompted the authors of the leading treatise on Delaware LLCs to

recommend taking its references to subject matter jurisdiction with a grain of salt.

They suggest “reading Elf Atochem less expansively as a decision that simply . . .

enforces a contractual ‘forum selection clause,’”50 and they argue that even “the DLLC

Act’s enhanced freedom of contract policy lacks sufficient vitality to alter the general

rule that parties by agreement cannot confer subject matter jurisdiction on a court.”51

Once Elf Atochem is understood as holding that a court should decline to exercise its

      49 Id.

      50 RobertL. Symonds, Jr. & Matthew J. O’Toole, Symonds & O’Toole on
Delaware Limited Liability Companies § 4.09[D][1] n.294 (2d. ed. 2019).

      51 Id.

                                          22
subject matter jurisdiction when parties have agreed to an otherwise enforceable

arbitration provision, the conflict disappears.

       The same charitable interpretation can be given to subsequent Delaware

decisions that followed Elf Atochem in referring to an arbitration provision as

depriving the court of subject matter jurisdiction.52 That is preferable to trying to

explain how the loss of subject matter jurisdiction works.

       One decision attempted that feat by reasoning that when parties have agreed

to arbitrate, an adequate remedy exists at law in the form of the arbitration

proceeding. 53 Although superficially attractive, that theory does not explain why

other courts, like the federal courts or the Delaware Superior Court, dismiss claims

in favor of arbitration. It also does not explain why the Court of Chancery still

dismisses a case in favor of arbitration when a party only seeks equitable relief. Nor

does it explain why the Court of Chancery would dismiss a case grounded on statutory

jurisdiction.

       52 See NAMA Hldgs., LLC v. Related World Mrkt. Ctr., LLC. 922 A.2d 417, 429

(Del. Ch. 2007) (citing Elf Atochem and stating that “Delaware courts lack subject
matter jurisdiction to resolve disputes that litigants have contractually agreed to
arbitrate”); see also Pers. Decisions, Inc. v. Bus. Plan. Sys., Inc., 2008 WL 1932404, at
*6 (Del. Ch. May 5, 2008 (citing Elf Atochem and NAMA for the proposition that a
valid arbitration provision divests the court of subject matter jurisdiction).

       53 Dresser Indus., Inc. v. Global Indus. Techs., Inc., 1999 WL 413401, at *4 (Del.

Ch. June 9, 1999) (positing that “this court will not ‘accept jurisdiction over’ claims
that are properly committed to arbitration since in such circumstances arbitration is
an adequate legal remedy”) (citing McMahon v. New Castle Assocs., 532 A.2d 601, 693
(Del. Ch. 1987); see Julian v. Julian, 2009 WL 2937121, at *3 (Del. Ch. Sep. 9, 2009);
Nash v. Dayton Super. Corp., 728 A.2d 59, 62 (Del. Ch. 1998).

                                           23
      More broadly, the adequate-remedy-at-law explanation does not track how the

Court of Chancery evaluates whether it lacks jurisdiction because of the existence of

an adequate remedy at law. When confronting that issue, the court examines the

nature of the claims that the party has asserted and the remedies that the party

seeks.54 When determining whether an arbitration provision applies, the court simply

determines whether the claim falls within the scope of the clause. The adequate-

remedy-at-law explanation thus does not hold up. The better course is to accept that

Rule 12(b)(1) can be used to ask a court to abstain from exercising the subject matter

jurisdiction that it possesses, and the presence of an arbitration provision or forum

selection clause provides a generally persuasive reason for abstention.

      In light of these considerations, the prevailing trend outside of Delaware is to

treat motions to dismiss in favor of arbitration as arising under Rule 12(b)(3), not

Rule 12(b)(1).55 A leading federal treatise explains that

      [t]hough such an agreement waives the parties’ right to a federal forum
      and requires dismissal, that is due to the court’s decision to enforce the

      54 See McMahon, 532 A.2d at 603.

      55 See Air-Con, Inc. v. Daikin Applied Latin Am., LLC, 21 F.4th 168, 174–75

(1st Cir. 2021) (collecting cases which hold that Rule 12(b)(1) is the wrong mechanism
to decide a motion to compel arbitration); Grasty, 599 Fed. Appx. at 597
(“An arbitration clause is a type of forum-selection clause. Motions to compel
arbitration thus concern venue and are brought properly under Federal Rule of Civil
Procedure 12(b)(3), not Rule 12(b)(1).”); Seldin, 879 F.3d at 272 (“[A] Rule
12(b)(1) motion to dismiss for lack of subject matter jurisdiction is not the appropriate
mechanism to use to attempt to compel arbitration.”) (citing City of Benkelman v.
Baseline Engineering Corp., 867 F.3d 875, 880–81 (8th Cir. 2017)); Brown, 2016 WL
8710474, at *5 (“Arbitration clauses are forum-selection clauses. Thus, in this this
Circuit, motions to dismiss claims because the claims are subject to
binding arbitration are properly made under Rule 12(b)(3).” (citation omitted)).

                                           24
      waiver and surrender its jurisdiction, not because of a lack of
      jurisdiction over the dispute. Accordingly, a motion seeking to enforce
      the agreement does not challenge the court’s subject matter jurisdiction
      and cannot be brought under Rule 12(b)(1).56

Delaware need not follow that trend, as long as the more flexible role of a Rule 12(b)(1)

motion is understood. The fact that parties have used Rule 12(b)(1) when invoking

arbitration provisions does not mean that arbitration provisions deprive a court of

subject matter jurisdiction.

      3.     Whether The Arbitration Provision Can Be Waived

      As noted previously, the main reason why Upshot insists that an arbitration

provision deprives the court of subject matter jurisdiction is because a defense based

on subject matter jurisdiction cannot be waived. That principle is critical for Upshot’s

motion because Upshot invoked the Arbitration Provision eleven months into a

summary advancement action, after Upshot lost on the merits, and after Upshot was

held in contempt for failing to comply with the court’s merits ruling.

      Authorities on a party’s ability to waive arbitration both speak to that issue

and shed additional light on whether an arbitration provision deprives a court of

subject matter jurisdiction. If it does, then courts should permit parties to raise

arbitration provisions at any time, including on appeal. But if courts permit waiver,

then an arbitration provision cannot deprive a court of subject matter jurisdiction,

because lack of subject matter jurisdiction cannot be waived.

      56 2 Moore’s, supra, § 12.30[1].

                                           25
       The federal courts of appeals have held unanimously that a party can waive a

right to arbitrate by engaging sufficiently in litigation.57 In the Morgan case, the

Supreme Court of the United States recently reaffirmed that proposition.58

       57 E.g., Jones Motor Co. v. Chauffeurs, Teamsters & Helpers Local Union No.

633, 671 F.2d 38, 44 (1st Cir. 1982) (“In sum, there is no question but that the court
had the power to find a waiver [of an arbitration provision] on the facts before it.”);
La. Stadium & Exposition Dist. v. Merrill Lynch, Pierce, Fenner & Smith, Inc., 626
F.3d 156, 159 (2d Cir. 2010) (“In determining whether a party has waived its right to
arbitration by expressing its intent to litigate the dispute in question, we consider the
following three factors . . . .”); Ehleiter v. Grapetree Shores, Inc., 482 F.3d 207, 217 (3d
Cir. 2007) (“[O]ur Court has long decided questions of waiver based on litigation
conduct instead of referring the issue to an arbitrator . . . .”); MicroStrategy, Inc. v.
Lauricia, 268 F.3d 244, 249 (4th Cir. 2001) (“A party may waive its right to insist on
arbitration if the party so substantially utilizes the litigation machinery that to
subsequently permit arbitration would prejudice the party opposing the stay.”
(quotation omitted)); Nicholas v. KBR, Inc., 565 F.3d 904, 907 (5th Cir. 2009)
(“Although waiver of arbitration is a disfavored finding, waiver will be found when
the party seeking arbitration substantially invokes the judicial process to the
detriment or prejudice of the other party.”(quotation omitted)); Gen. Star Nat’l Ins.
Co. v. Administratia Asigurarilor De Stat, 289 F.3d 434, 438 (6th Cir. 2002) (finding
judicial conduct waiver because movant’s failed to raise arbitration until its motion
to vacate a default judgment); Cabinetree of Wisconsin, Inc. v. Kraftmaid Cabinetry,
Inc., 50 F.3d 388, 390 (7th Cir. 1995) (“[A]n election to proceed before a nonarbitral
tribunal for the resolution of a contractual dispute is a presumptive waiver of the
right to arbitrate.”); Lewallen v. Green Tree Servicing, L.L.C., 487 F.3d 1085, 1090
(8th Cir. 2007) (holding a party may waive its right to arbitrate by engaging in
litigation, including through extensive discovery); Hill v. Xerox Bus. Servs., LLC, 59
F.4th 457, 471 (9th Cir. 2023) (finding waiver satisfied when choosing to litigate in
federal court rather than engage in arbitration); BOSCA, Inc. v. Bd. Of Cty. Comm’rs,
853 F.3d 1165, 1170 (10th Cir. 2017) (“We have recognized two forms of waiver, . . .
(2) when a party’s conduct in litigation forecloses its right to arbitrate.”); Krinsk v.
SunTrust Banks, Inc., 654 F.3d 1194, 1203 (11th Cir. 2011) (“The invocation of the
judicial process ordinarily establishes a waiver of the defendant’s right to compel
arbitration . . . .”); Nat’l Found. for Cancer Rsch. v. A.G. Edwards & Sons, Inc., 821
F.2d 772, 775 (D.C. Cir. 1987) ([T]his court held that one example of conduct
inconsistent with the right to arbitrate is active participation in a lawsuit.”) (citing
Cornell & Co. v. Barber & Ross Co., 360 F.2d 512, 513 (D.C. Cir. 1966)).

       58 Morgan v. Sundance, Inc., 596 U.S. 411 (2022).

                                            26
      The Morgan decision addressed an employee’s suit for breach of an

employment agreement that contained an arbitration provision. The employer

initially defended the case as if no arbitration provision existed. The employer moved

to dismiss the case without invoking the arbitration provision. When that motion was

denied, the employer answered the complaint and raised fourteen affirmative

defenses, none of which mentioned the arbitration provision. The employer

subsequently negotiated a schedule for the litigation and engaged in mediation. Then,

eight months later, the employer moved to compel arbitration. The district court

denied the motion, but the United States Court of Appeals for the Eighth Circuit sent

the case to arbitration.

      The Supreme Court of the United States granted certiorari and reversed. The

Supreme Court noted that all of the federal appellate courts permitted a party to

waive an arbitration provision by engaging in litigation. The Supreme Court also

noted that all but two of the circuits required that a plaintiff show prejudice to

establish that a defendant had waived its right to arbitrate, even though prejudice is

not generally required for waiver. The circuit courts consistently justified requiring

a showing of prejudice on the theory that the FAA had established a “policy favoring

arbitration.”59

      In Morgan, the Supreme Court of the United States explained that the federal

policy favoring arbitration “is merely an acknowledgment of the FAA’s commitment

      59 Id. at 414.

                                         27
to overrule the judiciary’s longstanding refusal to enforce agreements to arbitrate and

to place such agreements upon the same footing as other contracts.” 60 The policy

exists “to make arbitration agreements as enforceable as other contracts, but not

more so.”61 It was thus error for the circuit courts to expand that policy to create

procedural rules that favored arbitration. The Supreme Court vacated the Court of

Appeals’ decision and remanded the case so that the waiver issue could be analyzed

anew, without any requirement to show prejudice. The resulting inquiry would turn

solely on the employer’s conduct and whether, by engaging in the litigation, the

employer “knowingly relinquish[ed] the right to arbitrate by acting inconsistently

with that right.”62

       Delaware cases likewise permit parties to waive their right to arbitrate. 63

While serving as a Vice Chancellor, Justice Jacobs wrote that “a waiver of arbitration

will be found if the party seeking arbitration has ‘actively participated in a lawsuit

or taken other action inconsistent with the right to arbitration.’”64 The defendant had

included the arbitration provision as an affirmative defense in its answer, but chose

       60 Id. at 418 (quotation omitted).

       61 Id. (quotation omitted).

       62 Id. at 419.

       63 Parfi Hldg. AB v. Mirror Image Internet, Inc., 842 A.2d 1245, 1260 n.39 (Del.

Ch. 2004) (“[A] party may waive its right to arbitration . . . .”).

       64 Dorsey v. Nationwide Gen. Ins., 1989 WL 102493, at *1 (Del. Ch. Sep. 8, 1989)

(quoting Falcon Steel Co. v. Weber Eng’g Co., Inc., 517 A.2d 281, 288 (Del. Ch. 1986).

                                            28
to engage in discovery for years. 65 Justice Jacobs held that under those

circumstances, the right to arbitrate had been waived.66

      A party like Upshot can waive its right to arbitrate by engaging sufficiently in

litigation. That also means that an arbitration provision cannot deprive a court of

subject matter jurisdiction, because a lack of subject matter jurisdiction cannot be

waived.

      4.       Who Decides Whether The Arbitration Provision Has Been
               Waived?

      Holding that the Arbitration Provision can be waived does not enable the court

to jump into analyzing whether the provision has been waived. It requires analyzing

whether the arbitrator or the court decides that issue.

      In the abstract, disputes over arbitrability can encompass “every condition or

requirement that must be met in order for an arbitration to go forward.”67

•     Arbitrability may turn on whether the domestic law of a particular sovereign
      permits an issue to be arbitrated.68 For civil claims involving private litigants

      65 Id.

      66 Accord Wilshire Rest. Gp, Inc. v. Ramada, Inc., 1990 WL 195910, at *3 (Del.

Ch. Dec. 5, 1990).

      67 George A. Bermann, The “Gateway” Problem in International Commercial

Arbitration, 37 Yale J. Int’l L. 1, 10 (2012).

      68 See George A. Bermann, Arbitrability Trouble, 23 Am. Rev. Int’l Arb. 367,

371 (2012) (“[A] claim or dispute is ‘non-arbitrable’ within a given legal system if the
system’s legislature or, less commonly, the system’s courts acting on their own
determine that its adjudication is reserved, as a matter of law, to the courts of that
system. This represents what may be called arbitrability stricto sensu.”).

                                            29
      in the United States, Section 2 of the FAA effectively eliminates concerns about
      whether a dispute may not be arbitrable because of an issue of domestic law.

•     Arbitrability may turn on whether an arbitration agreement was ever
      formed.69

•     Arbitrability may turn on whether, even though the arbitration agreement was
      formed, the agreement is nevertheless unenforceable due to fraud, duress, or
      unconscionability.70

•     Arbitrability may turn on whether the controversy falls within the scope of an
      arbitration agreement.71

•     Arbitrability may turn on whether a party complies with the procedural
      requirements necessary to arbitrate a dispute.72

Judicial decisions group these issues into the categories of substantive arbitrability

and procedural arbitrability. Substantive arbitrability encompasses gateway issues

that are for a court to decide, such as the scope, validity, and enforceability of an

arbitration agreement, whether it encompasses the controversy in question, 73 and

      69 See, e.g., China Minmetals Mat’ls Imp. & Exp. Co. v. Chi Mei Corp., 334 F.3d

274, 277 (3d Cir. 2003); Sphere Drake Ins. Ltd. v. All Am. Ins. Co., 256 F.3d 587, 590
(7th Cir. 2001).

      70 See, e.g., Buckeye Check Cashing, Inc. v. Cardegna, 546 U.S. 440, 444 (2006);

Prima Paint Corp. v. Flood & Conklin Mfg. Co., 388 U.S. 395, 425 (1967).

      71 See, e.g., Sherer v. Green Tree Servicing LLC, 548 F.3d 379, 381 (5th Cir.

2008); Trippe Mfg. Co. v. Niles Audio Corp., 401 F.3d 529, 532–33 (3d Cir. 2005).

      72 See, e.g., Lumbermens Mut. Cas. Co. v. Broadspire Mgmt. Servs., 623 F.3d

476, 477 (7th Cir. 2010); Shopman’s Local 493 v. EFCO Corp., 359 F.3d 954, 956 (8th
Cir. 2004).

      73 See, e.g., Howsam v. Dean Witter Reynolds, Inc., 537 U.S. 79, 84 (2002) (“[A]

disagreement about whether an arbitration clause in a concededly binding contract
applies to a particular type of controversy is for the court.”); Viacom Int’l, Inc. v.
Winshall, 72 A.3d 78, 82 (Del. 2013) (“Issues of substantive arbitrability are gateway

                                         30
“whether the parties are bound by a given arbitration clause.” 74 Procedural

arbitrability concerns “whether the parties have complied with the terms of an

arbitration provision.” 75 Examples include “whether prerequisites such as time

limits, notice, laches, estoppel, and other conditions precedent to an obligation to

arbitrate have been met.”76 Issues of procedural arbitrability are for the arbitrator to

decide.77 Normally a court decides whether an issue is substantive or procedural, but

questions relating to the scope of an arbitration provision and its applicability to a
given dispute. . . .”) (cleaned up); Legend Nat. Gas II Holdings, LP v. Hargis, 2012
WL 4481303, at *4 (Del. Ch. Sept. 28, 2012) (“Substantive arbitrability involves,
among other things, the applicability of an arbitration clause, the scope of an
arbitration provision, and whether an arbitration clause is valid and enforceable.”);
David Horton, Pirate Arbitration, 106 Minn. L. Rev. 2111, 2124 n.103 (2021)
[hereinafter Horton, Pirate Arbitration] (“[C]ourts presumptively decide ‘substantive
arbitrability’: whether a dispute falls within the scope of a valid arbitration clause”).

      74 Howsam, 537 U.S. at 84; see also Meso Scale Diagnostics, LLC v. Roche

Diagnostics GMBH, 2011 WL 1348438, at *15 (Del. Ch. Apr. 8, 2011) (identifying “two
categories of disputes where we presume that courts rather than arbitrators should
resolve the gateway dispute: (1) disputes about whether the parties are bound by a
given arbitration clause; and (2) disagreements about whether an arbitration clause
in a concededly binding contract applies to a particular type of controversy” (cleaned
up)) (citing Kristian v. Comcast Corp., 446 F.3d 25, 39 (1st Cir. 2006)).

      75 Viacom, 72 A.3d at 82 (cleaned up).

      76 Id. (quoting Howsam, 537 U.S. at 85); see also Horton, Pirate Arbitration,

supra, at 2124–25 n.103 (“Arbitrators hear ‘procedural arbitrability,’ which
encompasses topics that are likely to arise in arbitration, such as time limits, notice,
laches, estoppel, and other conditions precedent to an obligation to arbitrate.”
(cleaned up)).

      77 Fairstead Cap. Mgmt. LLC v. Blodgett, 288 A.3d 729, 751 (Del. Ch. 2023).

                                           31
parties can delegate that question to an arbitrator through a “delegation clause” or a

“delegation agreement.”78

              a.     Is A Judicial Conduct Waiver Substantive Or Procedural?

       The who-decides inquiry starts by examining whether a judicial conduct

waiver is an issue of substantive or procedural arbitrability. If it is procedural, then

it is for the arbitrator to decide.

       Extant precedent holds overwhelmingly that a judicial conduct waiver is

substantive, not procedural. The eight federal courts of appeal that have considered

the issue have decided in favor of substantive arbitrability.79 The highest courts in

Alabama, Alaska, Colorado, the District of Columbia, Florida, Georgia, Iowa,

       78 See, e.g., New Prime Inc. v. Oliveira, 139 S. Ct. 532, 538 (2019) (“A delegation

clause gives an arbitrator authority to decide even the initial question whether the
parties’ dispute is subject to arbitration.”).

       79 Marie v. Allied Home Mortg. Corp., 402 F.3d 1, 11 (1st Cir. 2005) (holding

that judicial conduct waiver is an issue for the court, then analyzing whether there
was a delegation); Meyer v. Uber Techs., Inc., 868 F.3d 66, 81 (2d Cir. 2017) (holding
that judicial conduct waiver is an issue for the court); Ehleiter v. Grapetree Shores,
Inc., 482 F.3d 207, 219 (3d Cir. 2007) (holding that judicial conduct waiver is an issue
for the court, then analyzing whether there was a delegation); Int’l Energy Ventures
Mgmt., L.L.C. v. United Energy Gp., Ltd., 999 F.3d 257, 265 (5th Cir. 2021) (holding
that judicial conduct waiver is an issue for the court, then analyzing whether there
was a delegation), cert. denied, 142 S. Ct. 2752 (2022); JPD, Inc. v. Chronimed Hldgs.,
Inc., 539 F.3d 388, 394 (6th Cir. 2008) (holding that judicial conduct waiver is an issue
for the court without analyzing whether there was a delegation); Sitzer v. Nat’l Ass’n
of Realtors, 12 F.4th 853, 856 (8th Cir. 2021) (holding that judicial conduct waiver is
an issue for the court without analyzing whether there was a delegation); Cox v.
Ocean View Hotel Corp., 533 F.3d 1114, 1120–21 (9th Cir. 2008) (holding that judicial
conduct waiver is an issue for the court without analyzing whether there was a
delegation); Grigsby & Asscs., Inc. v. M Sec. Inv., 664 F.3d 1350, 1353 (11th Cir. 2011)
(holding that judicial conduct waiver is an issue for the court without analyzing
whether there was a delegation).

                                           32
Kentucky, Maine, Minnesota, Montana, Nebraska, Nevada, New Hampshire, South

Dakota, and Texas agree,80 as do intermediate appellate courts in California, Hawaii,

      80 See Ocwen Loan Serv., LLC v. Washington, 939 So.2d 6, 11–14 (Ala. 2006)

(holding that judicial conduct waiver is an issue for the court, then analyzing whether
there was a delegation); Hudson v. Citibank (S. D.) NA, 387 P.3d 42, 47 (Alaska 2016)
(holding that federal law applies to judicial conduct waiver, thus incorporating
precedent from the Court of Appeals for the Ninth Circuit); Radil v. Nat’l Union Fire
Ins. Co. of Pittsburgh, 233 P.3d 688, 695 (Colo. 2010) (holding that judicial conduct
waiver is an issue for the court, then analyzing whether there was a delegation);
Hossain v. JMU Props., LLC, 147 A.3d 816, 821–23 (D.C. 2016) (holding that judicial
conduct waiver is an issue for the court without analyzing whether there was a
delegation); Fla. Educ. Ass’n/United v. Sachs, 650 So. 2d 29, 30 (Fla. 1995) (quashing
the lower court decision to permit the court to consider the issue of waiver but not
discussing delegation); Brown v. RAC Acceptance E., LLC, 809 S.E.2d 801, 805 (Ga.
2018) (holding that judicial conduct waiver is generally an issue for the court, then
analyzing delegation); Pa. Life Ins. Co. v. Simoni, 641 N.W.2d 807, 813 (Iowa 2002)
(noting that judicial conduct waiver is an issue for the courts without analyzing
delegation); Am. Gen. Home Equity, Inc. v. Kestel, 253 S.W.3d 543, 551 (Ky. 2008)
(holding that judicial conduct waiver is generally an issue for the court, then
acknowledging and leaving open the question of delegation); Macomber v. MacQuinn-
Tweedie, 834 A.2d 131, 137 (Me. 2003) (holding that judicial conduct waiver question
is for the court without analyzing delegation of waiver); Bros. Jurewicz, Inc. v. Atari,
Inc., 296 N.W.2d 422, 428 (Minn. 1980) (holding that judicial conduct waiver is a
question for the court without analyzing delegation); Peeler v. Rocky Mountain Log
Homes Can., Inc., 431 P.3d 911, 922 (Mont. 2018) (holding that judicial conduct
waiver is a question for the court then analyzing delegation); Good Samaritan Coffee
Co. v. LaRue Distrib., Inc., 748 N.W.2d 367, 373–74 (Neb. 2008) (holding that judicial
conduct waiver is a question for the court, then analyzing delegation), overruled on
other grounds by Kingery Constr. Co. v. 6135 O St. Car Wash, LLC, 979 N.W.2d 762,
770 (Neb. 2022) (rejecting pre-Morgan rule that a judicial conduct waiver under the
FAA requires a showing of prejudice); Principal Invs. v. Harrison, 366 P.3d 688, 695
(Nev. 2016) (holding that waiver is a question of fact for the trial court to decide, then
analyzing delegation); Babcock v. Sol Corp. of Maine, 386 A.2d 1259, 1261 (N.H. 1978)
(noting that waiver is a question of fact for the trial court to decide without analyzing
delegation); Tjeerdsma v. Glob. Steel Bldgs., Inc., 466 N.W.2d 643, 645 (S.D. 1991)
(holding that judicial conduct waiver is a question for the court without analyzing
delegation); Perry Homes v. Cull, 258 S.W.3d 580, 588–89 (Tex. 2008) (holding that
judicial conduct waiver is a question for the court without analyzing delegation);
Williams v. Tucker, 801 S.E.2d 273, 278 (W. Va. 2017) (holding that the judicial
conduct waiver question is for the court, then analyzing delegation).

                                           33
Illinois, Maryland, Massachusetts, Michigan, Missouri, New York, North Carolina,

Ohio, Washington, and West Virginia. 81 Only courts in Kansas and Oregon

disagree.82

      81 Hong v. CJ CGV Am. Hldgs., Inc., 166 Cal. Rptr. 3d 100, 111–14 (Cal. Ct.

App. 2013) (holding that judicial conduct waiver is an issue for the court without
discussing delegation); Cassedy v. Hofmann, 153 So. 3d 938, 942 (Fla. Dist. Ct. App.
2014) (holding that judicial conduct waiver is an issue for the court without discussing
delegation); Cty. of Hawaii v. Unidev, LLC, 289 P.3d 1014, 1038 (Haw. Ct. App. 2012)
(holding that judicial conduct waiver is an issue for the court without discussing
delegation), opinion aff’d in part, vacated in part, 301 P.3d 588, 593 n.10 (Haw. 2013),
as corrected (July 24, 2013) (noting that neither party appealed the question of
judicial conduct waiver); Ford Motor Credit Co. v. Cornfield, 918 N.E.2d 1140, 1154
(Ill. App. Ct. 2009) (holding that judicial conduct waiver is an issue for the court, then
analyzing delegation); Gannett Fleming, Inc. v. Corman Constr., Inc., 220 A.3d 411,
422 (Md. Ct. Spec. App. 2019) (acknowledging the longstanding holding that judicial
conduct waiver is a question for the courts without analyzing delegation); Kettle Black
of MA, LLC v. Commonwealth Pain Mgmt. Connection, LLC., 189 N.E.3d 1257, 1263–
64 (Mass. App. Ct. 2022) (holding that judicial conduct waiver is an issue for the court,
then analyzing delegation) (citing Martin v. Norwood, 395 Mass. 159, 162, 478 N.E.2d
955 (1985)); SCA Servs., Inc. v. Gen. Mill Supply Co., 341 N.W.2d 480, 482–83 (Mich.
Ct. App. 1983) (holding that judicial conduct waiver is an issue for the court without
analyzing delegation); Latenser v. Tarmac Int’l, Inc., 549 S.W.3d 461, 463 (Mo. Ct.
App. 2018) (holding judicial conduct waiver to be a question for the court, then
analyzing the delegation question); Cusimano v. Schnurr, 991 N.Y.S.2d 400, 405
(App. Div. 2014) (holding that judicial conduct waiver is a question for the court not
an arbitrator), rev’d on other grounds, 44 N.E.3d 212 (N.Y. 2015) (holding that the
intermediate appellate court should have found applicant to have waived
arbitration); Barnhouse v. Am. Exp. Fin. Advisors, Inc., 566 S.E.2d 130, 131–32 (N.C.
Ct. App. 2002) (holding that the waiver question is for the court without analyzing
delegation); Westlake Servs., LLC v. Chandler, --- N.E.3d ---, 2023 WL 6632850, at *9
(Ohio Ct. App. Oct. 12, 2023) (holding that judicial conduct waiver is an issue for the
court then analyzing delegation); River House Dev. Inc. v. Integrus Architecture, P.S.,
272 P.3d 289, 297 (Wash. Ct. App. 2012) (holding that the waiver question is for the
court without analyzing delegation).

      82 See Portfolio Recovery Assocs., LLC v. Dixon, 366 P.3d 245, 251 (Kan. Ct.

App. 2016) (relying on the United States Supreme Court’s opinion in BG Group, PLC
v. Republic of Argentina, 572 U.S. 25 (2014), to hold that an arbitrator must decide
the judicial conduct waiver question under federal law); Livingston v. Metro.

                                           34
      Decisions advance multiple reasons for holding that a court should decide

whether a judicial conduct waiver has occurred. For starters, courts traditionally

decided whether a judicial conduct waiver had occurred. The law became unsettled

after the Supreme Court of the United States issued its decisions in Howsam and BG

Group, because some read those decisions as holding that all waiver issues are

procedural questions for the arbitrator. 83 But neither decision involved a judicial

conduct waiver. 84 Having courts rule on judicial conduct waivers accords with

precedent.

      Second, courts have a comparative advantage when evaluating a judicial

conduct waiver.85 The sufficiency of a waiver turns on court procedures, and judges

Pediatrics, LLC, 227 P.3d 796, 802–03 (Or. Ct. App. 2010) (holding that the question
of waiver is one for the arbitrator), accord Thornburgh Resort Co., LLC v. Loyal Land,
LLC, 385 P.3d 1116, 1118 (Or. Ct. App. 2016) (applying the holding in Livingston to
judicial conduct waiver and deciding the question is one for an arbitrator).

      83 See BG Group, 572 U.S. at 35 (“These procedural matters include claims of

‘waiver, delay, or a like defense to arbitrability.’” (quoting Moses H. Cone Mem’l Hosp.
v. Mercury Constr. Corp., 460 U.S. 1, 25, (1983))); Howsam v. Dean Witter Reynolds,
Inc., 537 U.S. 79, 84 (2002) (noting that “the presumption is that the arbitrator
should decide ‘allegations of waiver, delay, or a like defense to arbitrability’”
(quoting Moses H. Cone, 460 U.S. at 25).

      84 See BG Group, 572 U.S. at 35 (“The provision before us is of the latter,

procedural, variety.”); Howsam, 537 U.S. at 85 (putting an time limit rule from the
National Association of Securities Dealers within the scope of procedural rather than
substantive arbitrability).

      85 E.g., Tristar Fin. Ins. Agency, Inc. v. Equicredit Corp. of Am., 97 Fed. Appx.

462, 464 (5th Cir. 2004) (explaining that judge has the expertise to rule on a judicial
conduct waiver); Jones Motor Co., 671 F.2d at 43 (same).

                                          35
should be more familiar with those.86 Judges also are well positioned to assess when

belated reliance on an arbitration provision smacks of forum shopping.87

      Third, allowing judges to decide the issue promotes judicial economy.

“[S]ending waiver claims to the arbitrator would be exceptionally inefficient.”88 The

judge presiding over the case has seen the facts first hand, which gives the judge an

inherent advantage. The drafters of the Revised Uniform Arbitration Act similarly

recognized that “[i]t is also a matter of judicial economy to require that a party, who

pursues an action in a court proceeding but later claims arbitrability, be held to a

decision of the court on waiver.”89

      Fourth, having courts to address judicial conduct waivers respects the court’s

power to control the proceedings before it. “Where the alleged waiver arises out of

conduct within the very same litigation in which the party attempts to compel

      86 E.g., Marie, 402 F.3d at 13 (noting that judicial conduct waiver “heavily

implicates judicial procedures” (cleaned up)); see Unidev, 289 P.3d at 1038 (“[T]he
procedural question whether there was a litigation-based waiver is unrelated to the
merits of the dispute, which the parties intended to be decided by an arbitrator.”); see
Revised Uniform Arbitration Act § 6 cmt. 5 (Unif. L. Comm’n 2000) (“Allowing the
court to decide this issue of arbitrability comports with the separability doctrine
because in most instances waiver concerns only the arbitration clause itself and not
an attack on the underlying contract.”)

      87 E.g., Ehleiter, 482 F.3d at 218 (“[H]aving been directly involved in the entire

course of the legal proceedings, [are] better positioned to determine whether the
belated request for arbitration is a thinly veiled attempt to forum shop.”); Marie, 402
F.3d at 13 (“Judges are well-trained to recognize abusive forum shopping.”).

      88 Marie, 402 F.3d at 13–14; accord Jones Motor Co., 671 F.2d at 43 (“to hold

that courts cannot find waiver would waste scarce judicial time and effort.”).

      89 Revised Uniform Arbitration Act § 6 cmt. 5 (Unif. L. Comm’n 2000).

                                          36
arbitration or stay proceedings, then the district court has power to control the course

of proceedings before it and to correct abuses of those proceedings.”90 Allowing judges

“to determine the legal consequences of prior judicial proceedings” recognizes that

judges have “inherent authority to control their dockets.”91

      Finally, there is the issue of fairness. When a case has advanced so far that a

judicial conduct waiver may have occurred, then it is unfair to force the parties to

arbitrate over that issue. 92 Doing so “would effectively allow a party sensing an

adverse court decision a second chance in another forum.”93

      In Delaware, virtually all of the decisions to consider a judicial conduct waiver

have jumped over the who-decides question and treated the issue as one for the

      90 Marie,  402 F.3d at 13; accord Jones Motor Co., 671 F.2d at 43 (“[I]t is
important that judges remain free to control the course of proceedings before them
and to correct any abuse of those proceedings by, for example, denying a belated
motion for arbitration.”).

      91 Macomber v. MacQuinn-Tweedie, 834 A.2d 131, 137 (Me. 2003).

      92 Jones Motor Co., 671 F.2d at 43.

      93 Id.

                                            37
court. 94 The one exception is my decision in Meyers. 95 There, after litigating

advancement and indemnification issues for approximately two years, the plaintiffs

amended their complaint to add new claims under their employment agreements.

Those agreements contained broad arbitration provisions, and the defendants moved

to dismiss the new claims in favor of arbitration. The plaintiffs argued that the

defendants had waived their right to arbitrate because the case had been going on for

two years, but that argument was barely colorable when the plaintiffs had only just

added the new claims. It also seemed readily apparent that the new claims fell within

the scope of the arbitration provisions. No one briefed the difference between a

procedural waiver and a judicial conduct waiver, and I was unaware of the authorities

from other jurisdictions that treated judicial conduct waivers differently. The parties

only referred to Delaware authorities that treated waiver as an issue of procedural

      94 Menn v. Conmed Corp., 2019 WL 925848, at *2 (Del. Ch. Feb. 25, 2019); Align

Strategic P’rs LLC v. Moesser, 2016 WL 791261, at *5 (Del. Ch. Feb. 26, 2016); Delta
& Pine Land Co. v. Monsanto Co., 2006 WL 1510417, at *5 (Del. Ch. May 24, 2006);
The Town of Smyrna v. Kent Cty. Levy Ct., 2004 WL 2671745, at *3 (Del. Ch. Nov. 9,
2004); Parfi Hldg. AB v. Mirror Image Internet, Inc., 842 A.2d 1245, 1260–62 (Del.
Ch. 2004); Ballenger v. Applied Digit. Sols., Inc., 2002 WL 749162, at *7–8 (Del. Ch.
Apr. 24, 2002); Russykevicz v. State Farm Mut. Auto. Ins. Co., 1994 WL 369519, at *2
(Del. Ch. June 29, 1994); Wilshire Rest. Gp, 1990 WL 195910, at *3; Dorsey v.
Nationwide Gen. Ins. Co., 1989 WL 102493, at *2 (Del. Ch. Sept. 8, 1989); James
Julian, Inc. v. Raytheon Serv. Co., 424 A.2d 665, 668 (Del. Ch. 1980); W. R. Ferguson,
Inc. v. William A. Berbusse, Jr., Inc., 216 A.2d 876, 878 (Del. Super. 1966).

      95 Meyers v. Quiz-Dia LLC., 2016 WL 7048783 (Del. Ch. 2016).

                                          38
arbitrability. Taking those authorities at face value, I happily deferred to the

arbitrator to address the waiver question.96

      Here, Gandhi has briefed the distinction between a procedural waiver and a

judicial conduct waiver and introduced authorities from other jurisdictions that treat

a judicial conduct waiver as an issue for the court. The doctrine of stare decisis does

not mean that a court is shackled by a precedent in which the parties did not advance

a critical argument or identify dispositive authority. To the extent Meyers implies

that a judicial conduct waiver is an issue of procedural arbitrability, it is incorrect.

Whether a judicial conduct waiver has occurred is an issue of substantive

arbitrability for the court to decide.

             b.     The Delegation Question

      As noted, parties can alter the outcome of the “who decides” question by

delegating to the arbitrator the power to decide an issue of substantive arbitrability.

An effective delegation agreement must provide “clear and unmistakable evidence”

of the parties’ intent to delegate the issue to the arbitrator.”97 The Delaware Supreme

Court has held that when parties agree to a broad arbitration provision and

incorporate a set of arbitral rules that empower an arbitrator to decide issues of

substantive arbitrability, i.e., a set of jurisdictional arbitral rules, then “the

      96 Id. (citing SBC Interactive, Inc. v. Corp. Media P’rs, 714 A.2d 758, 762 (Del.

1998)).

      97 See First Options of Chi., Inc. v. Kaplan, 514 U.S. 938, 944–45 (1995); AT &

T Techs., Inc. v. Commc’ns Workers of Am., 475 U.S. 643, 649 (1986).

                                          39
incorporation serves as clear and unmistakable evidence of the parties’ intent to

delegate such issues to an arbitrator.” 98 The Arbitration Provision in this case

satisfies that standard. It calls for arbitration before Judicial Arbitration and

Mediation Service Inc. (“JAMS”) “in accordance with its then existing arbitration

rules or procedures regarding commercial or business disputes.”99 Those rules state

that “[t]he Arbitrator has the authority to determine jurisdiction and arbitrability

issues as a preliminary matter.”100

      Whether the incorporation by reference of arbitral rules is sufficient to delegate

the issue of a judicial conduct waiver to the arbitrator is a separate question. The

United States Courts of Appeals for the First, Third, and Fifth Circuits have held

that without something more explicit than a reference to a set of arbitral rules, the

court decides whether a judicial conduct waiver has occurred.101 The highest courts

of Colorado, Georgia, Montana, Nebraska, Nevada, and West Virginia agree that

      98 James & Jackson, LLC v. Willie Gary, LLC, 906 A.2d 76, 79 (Del. 2006).

      99 Dkt. 72 Ex. 1 § 15.15(a).

      100 Dkt. 73 ¶ 18 n.4.

      101 Marie, 402 F.3d at 14–15 (holding that judicial conduct waiver is an issue

for the court, then analyzing whether there was a delegation relying on the high
standard for delegation and the enumerated list of delegated issues to find that the
issue of judicial conduct waiver was not delegated); Ehleiter, 482 F.3d at 219 (holding
summarily that the parties’ agreement failed to meet the “clear and unmistakable
evidence” standard); Int’l Energy Ventures, 999 F.3d at 264–265 (holding that
reference to the AAA rules sufficient to delegate issues of substantive arbitrability
but not the issue of judicial conduct waiver), cert. denied, 142 S. Ct. 2752 (2022).

                                          40
something more is required, although they disagree about what is sufficient. 102

Intermediate appellate courts in Illinois, Massachusetts, and Ohio also require more

than a reference to a set of jurisdictional arbitral rules.103 Only the United States

Court of Appeals for the Tenth Circuit, the Supreme Court of Alabama, and the Court

of Appeals of Missouri hold that a reference to a set of arbitral rules is sufficient to

empower the arbitrator to decide whether a judicial conduct waiver has occurred.104

      102 See Radil, 233 P.3d at 693 (presuming that courts deal with issues related

to the scope of arbitration provisions, then finding that judicial conduct waiver was
outside the scope of the arbitration provision, and thus not properly delegated);
Peeler, 431 P.3d at 925 (finding that reference to the AAA rules without reference to
threshold issues like enforceability or application was insufficient to delegate the
judicial conduct waiver issue); Good Samaritan Coffee, 748 N.W.2d at 375 (noting
that parties may delegate the issue of judicial conduct waiver but that reference to
the arbitration rules of the Green Coffee Association did not constitute clear and
unmistakable evidence), overruled on other grounds by Kingery Constr., 979 N.W.2d
at 770 (rejecting pre-Morgan rule that a judicial conduct waiver under the FAA
requires a showing of prejudice); Principal Invs., 366 P.3d at 695–96 (relying on the
“silence or ambiguity rule” to hold that a delegation agreement including issues
related to validity, enforceability or scope did not include judicial conduct waiver);
Williams, 801 S.E.2d at 278 n.4 (noting “the absence of a ‘clear and unmistakable’
delegation provision evincing that the parties agreed to arbitrate arbitrability”); see
also Brown, 809 S.E.2d at 805 (finding a broad delegation agreement contained
sufficiently clear and unmistakable language to delegate the judicial conduct waiver
issue).

      103 Ford   Motor Credit, 918 N.E.2d at 1154 (holding finding that a general
delegation of the arbitrability question does not include judicial conduct waiver);
Kettle Black, 189 N.E.3d at 1264–65 (holding that reference to the AAA rules was
insufficient to delegate the judicial conduct waiver issue); Westlake Servs., --- N.E.3d
---, 2023 WL 6632850, at *9–10 (questioning whether a judicial conduct waiver issue
could be delegated but finding that the incorporation of the AAA rules or “any other
national or regional arbitration organization” was insufficient regardless).

      104 Goldgroup Res., Inc. v. DynaResource de Mex., S.A. de C.V., 994 F.3d 1181,

1191 (10th Cir. 2021) (finding reference to the AAA rules sufficient to delegate the
arbitrability question, including judicial conduct waiver); Fed. Ins. Co. v. Reedstrom,

                                          41
      The majority rule rests on the principle that silence in a set of arbitral rules

about who decides a judicial conduct waiver does not provide sufficiently clear and

unmistakable evidence of the parties’ intent to delegate that issue to the arbitrator.105

The majority rule also recognizes that there are numerous policy reasons for having

a court decide whether a judicial conduct waiver has occurred, so a specific reference

should be necessary to delegate that issue to an arbitrator.

      The decisions applying the majority rule are persuasive. The Arbitration

Provision in this case is insufficient to empower the arbitrator to decide whether a

judicial conduct waiver has occurred.

             c.     A Non-Delegable Issue

      Assuming for the sake of argument that the parties had specified that the

arbitrator would decide whether a judicial conduct waiver had occurred, the

attempted delegation would be contrary to the FAA.

197 So. 3d 971, 976 (Ala. 2015) (“[A]n arbitration provision that incorporates rules
that provide for the arbitrator to decide issues of arbitrability clearly and
unmistakably evidences the parties’ intent to arbitrate the scope of the arbitration
provision.” (quotations omitted)); Latenser, 549 S.W.3d at 463 (finding that reference
to the AAA rules was sufficient to delegate the judicial conduct waiver issue).

      105 E.g., Int’l Energy Ventures., 999 F.3d at 264 (holding that a reference to a

set of arbitral rules can encompass questions of substantive arbitrability identified
in the rules but cannot address a judicial conduct waiver where “the rules do not
expressly give arbitrators the power to resolve questions of waiver through
litigation”); Westlake Servs., 2023 WL 6632850, at *10 (declining to permit an
arbitrator to decide whether a juridical conduct waiver occurred after noting that
“[t]he AAA rules make no mention of waiver by litigation conduct”); see also Marie,
402 F.3d at 14 (finding that a reference to a set of arbitral rules did not encompass a
judicial conduct waiver where there were “no references to waiver or similar terms
anywhere in the arbitration agreement”).

                                           42
      Section 3 of the FAA provides a court should stay a court proceeding in favor

of arbitration only if “the applicant for the stay is not in default in proceeding with

such arbitration.”106 For purpose of Section 3, a “default” has generally been viewed

by courts as including a “waiver.”107 If a party has chosen to engage in significant

litigation efforts rather than pursue its right to arbitrate, then the party is “in default

in proceeding with such arbitration.”108 Under the FAA, a court determines whether

to deny a stay because of a default in proceeding with arbitration. “This language

would seem to place a statutory command on courts, in cases where a stay is sought,

to decide the [judicial conduct] waiver issue themselves.109

      Section 4 of the FAA dictates the same result. It provides that when a party

seeks to compel another party to arbitrate, the court may order arbitration “upon

being satisfied that the making of the agreement for arbitration or the failure to

comply therewith is not in issue . . . .”110 Under that provision, “a court may order

      106 9 U.S.C. § 3.

      107 See Marie, 402 F.3d at 13 (citing Patten Grading & Paving, Inc. v. Skanska

USA Building, Inc., 380 F.3d 200, 204–05 (4th Cir. 2004); Ivax Corp. v. B. Braun of
Am., Inc., 286 F.3d 1309, 1316 n. 17 (11th Cir. 2002); MicroStrategy, Inc. v. Lauricia,
268 F.3d 244, 249 (4th Cir. 2001); County of Middlesex v. Gevyn Constr. Corp., 450
F.2d 53, 56 n. 2 (1st Cir. 1971)).

      108 Id.

      109 Id.

      110 9 U.S.C. § 4.

                                            43
arbitration of a particular dispute only where the court is satisfied that the parties

agreed to arbitrate that dispute.”111

      To be satisfied that the parties agreed to arbitrate, the court must determine

that an arbitration agreement exists. 112 The Supreme Court of the United States

recently underscored this point. Despite holding that a court must enforce a

delegation agreement even if a court thought the argument for arbitrability was

wholly groundless, the justices reiterated that a court must determine whether an

arbitration agreement exists in the first place.

      This Court has consistently held that parties may delegate threshold
      arbitrability questions to the arbitrator, so long as the parties’
      agreement does so by “clear and unmistakable” evidence. To be sure,
      before referring a dispute to an arbitrator, the court determines whether
      a valid arbitration agreement exists. But if a valid agreement exists, and
      if the agreement delegates the arbitrability issue to an arbitrator, a
      court may not decide the arbitrability issue.113

The arbitrator cannot rule on the existence of the arbitration agreement that gives

rise to the arbitrator’s authority. A court must therefore always address challenges

to the existence of the arbitration agreement.114

      111 Granite Rock Co. v. Int’l Bhd. of Teamsters, 561 U.S. 287, 296 (2010).

      112 MZM Constr. Co., Inc. v. New Jersey Building Laborers Statewide Benefit

Funds, 974 F.3d 386, 397 (3d Cir. 2020); accord Robert D. Mabe, Inc. v. OptumRX, 43
F.4th 307, 326 (3d Cir. 2022).

      113 Henry Schein, Inc. v. Archer & White Sales, Inc., 139 S. Ct. 524, 530 (2019)

(citations omitted).

      114 See Fairstead, 288 A.3d. at 752–53 (collecting authorities).

                                          44
      Determining whether a judicial conduct waiver has occurred is “in effect, a

determination of whether the agreement to arbitrate still exists; and, under the

statute, that is a proper issue for the court.” 115 An arbitration agreement cannot

delegate the issue of a judicial conduct waiver to an arbitrator, because that issue

asks whether an arbitration agreement exists in the first place. Assume two parties

formally agree to waive an arbitration provision for a particular category of disputes,

and they enter into a written contract that memorializes their agreement. If they

subsequently disagree about whether a specific dispute falls within the waiver

agreement, a threshold question exists as to whether they have any agreement to

arbitrate that dispute. Under Section 4 of the FAA, a court must decide that issue.

      Of course, parties need not execute a formal agreement. A party may indicate

through its conduct that it has waived an arbitration provision. If a dispute arises

about whether the party’s conduct waived the arbitration provision, the issue is the

same as in the formal setting: a threshold question exists as to whether they have

any agreement to arbitrate that dispute. That remains an issue that a court must

determine.

      When a plaintiff files an arbitrable claim in court, the plaintiff implicitly offers

to litigate the claim rather than arbitrate it. When a court determines whether a

judicial conduct waiver has occurred, a court assesses whether the defendant has

sufficiently engaged in litigation such that the defendant has implicitly accepted the

      115 Stauffer Constr. v. Bd. of Educ., 54 Md. App. 658, 668, 460 A.2d 609 (1983)

(emphasis omitted).

                                           45
plaintiff’s offer. A dispute over a judicial conduct waiver thus operates as a dispute

over whether the parties have reached a new agreement to litigate the specific claims

that the plaintiff filed. It is no longer clear whether there is an agreement to arbitrate

those claims. A court must decide whether an agreement to arbitrate exists, meaning

that a court must decide whether there has been a judicial conduct waiver.

      Accordingly, whether a judicial conduct waiver has occurred is always an issue

that a court must decide. It is not something that parties can delegate to an

arbitrator, just as parties cannot delegate to the arbitrator the comparable question

of whether an agreement to arbitrate exists.

      Admittedly, such a conclusion departs from the majority rule.116 Most courts

have reasoned that a delegation agreement that is sufficiently clear and

unmistakable could encompass a judicial conduct waiver.117 Those decisions have not

      116 Only one court has reasoned similarly. Pacelli v. Augustus Intel., Inc., 459

F. Supp. 3d 597, 614 (S.D.N.Y. 2020) (“The Court concludes that parties cannot
delegate to arbitrators the question of whether, under the judge-made principle of
litigation-conduct waiver, a party is barred from asserting its right to arbitration.”).
Two others have questioned whether a judicial conduct waiver should be delegable.
See Int’l River Ctr. v. Johns-Manville Sales Corp., 861 So. 2d 139, 144 (La. 2003)
(questioning whether a party should be able to delegate whether a judicial conduct
waiver has occurred); Kettle Black of MA, LLC v. Commonwealth Pain Mgmt.
Connection, LLC., 189 N.E.3d 1257, 1263 (Mass. App. Ct. 2022) (same). One court has
held that a judicial conduct waiver is for the court to decide without considering the
delegation issue. See Meyer v. Uber Techs., Inc., 868 F.3d at 81.

      117 Marie, 402 F.3d at 14–15 (requiring additional clarity to delegate the issue

of judicial conduct waiver); Ehleiter, 482 F.3d at 219 (requiring additional clarity to
delegate the issue of judicial conduct waiver); Int’l Energy Ventures, 999 F.3d at 264–
265 (requiring additional clarity to delegate the issue of judicial conduct waiver), cert.
denied, 142 S. Ct. 2752 (2022); Brown, 809 S.E.2d at 805 (finding a broad delegation
agreement sufficient to manifest clear and unmistakable delegation of the judicial

                                           46
considered whether a judicial conduct waiver equates to whether the arbitration

agreement exists in the first place.

      5.     Did A Judicial Conduct Waiver Occur?

      With the who-decides question answered, the court can address whether a

judicial conduct waiver occurred. A right to arbitrate can be waived “if the party

seeking arbitration has actively participated in a lawsuit or taken other action

inconsistent with its right to arbitrate.”118 Here, that standard is met.

      Upshot delayed raising the Arbitration Provision for eleven months. Upshot

answered the complaint without mentioning the Arbitration Provision, stipulated to

a schedule for presenting a case-dispositive motion that did not mention arbitration,

and briefed Gandhi’s motion for summary judgment without mentioning the

Arbitration Provision. The motion for summary judgment resulted in the issuance of

conduct waiver issue); Peeler, 431 P.3d at 925 (requiring additional clarity to delegate
the issue of judicial conduct waiver); Good Samaritan Coffee, 748 N.W.2d at 375
(noting that parties may delegate the issue of judicial conduct waiver but that
reference to the arbitration rules of the Green Coffee Association did not constitute
clear and unmistakable evidence), overruled on other grounds by Kingery Constr., 979
N.W.2d at 770 (rejecting pre-Morgan rule that a judicial conduct waiver under the
FAA requires a showing of prejudice); Principal Invs., 366 P.3d at 695–96 (relying on
the “silence or ambiguity rule” to hold that a delegation agreement including issues
related to validity, enforceability or scope did not include judicial conduct waiver);
Williams, 801 S.E.2d 278 n.4 (noting “the absence of a ‘clear and unmistakable’
delegation provision evincing that the parties agreed to arbitrate arbitrability”); Ford
Motor Credit, 918 N.E.2d at 1154 (analogizing to delegation of res judicata issues and
finding that a general delegation of the arbitrability question does not include judicial
conduct waiver).

      118 Wilshire Rest. Gr., 1990 WL 195910, at *3; see also Morgan, 596 U.S. at 419

(waiver occurs where a party “knowingly relinquish[ed] the right to arbitrate by
acting inconsistently with that right”).

                                           47
the Advancement Order, which resolved Gandhi’s right to obtain advancements on

the merits. Upshot then failed to comply with the Advancement Order, and the court

held Upshot in contempt. It was only after Gandhi filed a second motion for sanctions

that Upshot raised the Arbitration Provision.

      By taking these actions, Upshot did not act like a party intent on asserting a

right to arbitrate. Upshot plainly new about the Arbitration Provision, which appears

in its own LLC agreement. Upshot chose to litigate.

      To minimize the significance of its actions, Upshot strives to portray itself as a

passive respondent. Upshot has been a respondent, but not a passive one. Upshot

filed an answer, briefed a motion for summary judgment, and briefed a motion for

contempt before raising the Arbitration Provision.

      Upshot also argues that courts have generally found waiver only when a party

avails itself of the benefits of litigation, such as by taking discovery that is not

typically available in arbitration.119 Upshot points out that it did not take discovery,

but that is because of the nature of the case. Advancement proceedings are summary

and expedited. Parties do not typically take discovery, and the court generally

resolves the case as a matter of law. For an advancement case, the failure to take

discovery does not change the outcome.

      Next, Upshot points to cases where courts sent litigants to arbitration after

time periods ranging from four months to two-and-a-half years. None of those cases

      119 Dorsey, 1989 WL 102493, at *2.

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involved a summary proceeding. Upshot’s eleven months did not take place in a non-

expedited case, but rather in a summary advancement proceeding. Advancement

actions are expedited by nature, and the Court of Chancery strives to resolve them in

forty-five to ninety days so that the advancement right—if it exists—can fund the

underlying litigation.120

      Finally, Upshot argues that the court should not find waiver because Delaware

has a strong public policy favoring arbitration. To be sure, there are Delaware cases

that say that,121 but those pronouncements generally echoed what was understood to

be federal policy.122 The United States Courts of Appeal made similar statements.123

      120 See Trascent Mgmt. Consulting, LLC v. Bouri, 152 A.3d 108, 110 (Del. 2016)

(explaining that advancement proceedings should be summary and expedited);
Guidelines to Help Lawyers Practice in the Court of Chancery § (C)(5)(c)(i) (updated
Aug. 2021) (“Summary proceedings generally can be completed in 45–90 days.”)
[https://courts.delaware.gov/forms/download.aspx?id=99468].

      121 E.g., James Julian, 424 A.2d at 668 (“There is a strong public policy favoring

arbitration and, therefore, waiver is not to be lightly inferred.”); NAMA, 922 A.2d at
429 (“Because the strong public policy in favor of arbitration embodied in federal law
is given equal respect in this State . . . .”).

      122 See, e.g., Willie Gary, 906 A.2d at 79 (“Delaware arbitration law mirrors

federal law”); Pettinaro., 408 A.2d 957 (citing federal policy favoring arbitration);
Action Drug Co. v. R. Baylin Co., 1989 WL 69394 (Del. Ch. June 19, 1989) (citing the
Supreme Court of the United States to emphasize policy on arbitration provisions);
City of Wilmington v. Wilmington Firefighters Local 1590, Int’l Ass’n of Firefighters,
385 A.2d 720, 724 (Del. 1978) (looking to federal forums for guidance on dealing with
arbitration provisions in labor disputes).

      123 E.g., Carcich v. Rederi A/B Nordie, 389 F. 2d 692, 696 (2d Cir. 1968) (“[T]

here is an overriding federal policy favoring arbitration.”); Invista S.A.R.L. v. Rhodia,
S.A., 625 F.3d 75, 83 (3d Cir. 2010) (“Congress designed the FAA to overrule the
judiciary’s longstanding reluctance to enforce agreements to arbitrate and its refusal
to put such agreements on the same footing as other contracts, and in the FAA

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In Morgan, the Supreme Court of the United States rejected the contention that there

was “an overriding federal policy favoring arbitration” and explained that “[t]he

federal policy is about treating arbitration contracts like all others, not about

fostering arbitration.” 124 The Court overruled the federal precedents that held there

was a higher standard for waiving an arbitration provision because of a perceived

federal policy to favor arbitration generally.125

      The Morgan decision is binding for purposes of the FAA. Upshot’s argument

that the court should ignore its waiver of the Arbitration Provision on public policy

grounds is no longer sound.126

expressed a strong federal policy in favor of resolving disputes through arbitration.”);
Answers in Genesis of Ky., Inc. v. Creation Ministries Int’l, Ltd., 556 F.3d 459, 470
(6th Cir. 2009) (“[T]he FAA manifests a liberal federal policy favoring arbitration
agreements.” (cleaned up)); Galt v. Libbey-Owens-Ford Glass Co., 376 F.2d 711, 714
(7th Cir. 1967) (“The policy of the Federal Arbitration Act is to promote arbitration to
accord with the intention of the parties and to ease court congestion.”); Coneff v. AT
& T Corp., 673 F.3d 1155, 1157 n.1 (9th Cir. 2012) (“The FAA declares a national
policy favoring arbitration and supersedes state legislative attempts to undercut the
enforceability of arbitration agreements.” (cleaned up)); Bazemore v. Jefferson Cap.
Sys., LLC, 827 F.3d 1325, 1329 (11th Cir. 2016) (“If there is an arbitration agreement
governing this dispute, it is governed by the Federal Arbitration Act which embodies
a liberal federal policy favoring arbitration agreements.”(cleaned up)).

      124 Morgan, 596 U.S. at 418 (2022).

      125 Id.

      126 Citing a recent Delaware Supreme Court decision, Upshot argues that an

arbitration provision in an alternative entity agreement should be given greater
protection against waiver. Holifield v. XRI Inv. Hldgs. LLC, --- A.3d ---, 2023 WL
5761367, at *23 (Del. Sept. 7, 2023). The Holifield decision doubled down on the
concept of incurable contractual voidness. It did not involve an arbitration provision,
much less a judicial conduct waiver. It is possible that drafters could rely on Holifield
to create a next-generation arbitration provision in an LLC agreement that would

                                           50
      Upshot has not pointed to any precedent in which a court permitted a party to

invoke an arbitration provision after losing on the merits and being held in contempt.

To permit a party to invoke an arbitration provision at that stage would be the

ultimate do-over. From every perspective, Upshot waived its right to arbitrate.

B.    The Rule 60(b) Motion

      In addition to moving to dismiss this action in favor of arbitration, Upshot asks

the court to vacate the Advancement Order and Contempt Order under Rule 60(b).

That rule identifies grounds for relief from “a final judgment, order, or proceeding.”

Whether to grant relief under Rule 60(b) is a “discretionary matter which requires

the Trial Judge to weigh the facts and circumstances of [the] case.”127

      Upshot relies on two of the grounds for relief identified in Rule 60(b). One is if

“the judgment is void.”128 The other is a catchall for “any other reason justifying relief

rely on incurable contractual voidness. Such a provision might state that “any action
taken to litigate a case that the arbitrator determines to be arbitrable is null and
void.” In Holifield, the Delaware Supreme Court held that clear language like “null
and void,” when present in a provision in an LLC agreement, rendered the covered
conduct void ab initio, which in Holifield was sufficient to deprive this court of its
power to enforce equitable defenses. The power to apply those defenses is part of this
court’s constitutional jurisdiction, vested in the court by the Constitution of 1792 and
maintained by the Constitutions of 1831 and 1897. See DuPont v. DuPont, 85 A.2d
724, 727 (Del. 1951). For a case like this one, where the court’s subject matter
jurisdiction is statutory, it would be a lesser step to hold that designating litigation
filings as “null and void” prevented those filings from having any effect. Under
Hollifield, such a provision might deprive the court of subject matter jurisdiction in
the strict sense and be non-waivable. The Arbitration Provision is not a next-
generation provision, so the current law governing judicial conduct waivers applies.

      127 Bachtle v. Bachtle, 494 A.2d 1253, 1256 (Del. 1985).

      128 Ct. Ch. R. 60(b)(4).

                                           51
from the operation of the judgment.” 129 Both arguments rely on the Arbitration

Provision. Because Upshot has waived the Arbitration Provision, Upshot cannot rely

on it for purposes of its Rule 60 motion.

                                 III.   CONCLUSION

      By failing to raise the Arbitration Provision until late in this litigation, Upshot

waived its right to arbitrate. Upshot’s motion to dismiss under Rule 12(b)(1) is

DENIED. Without any ability to rely on the Arbitration Provision, Upshot’s Rule

60(b) motion is DENIED.

      129 Ct. Ch. R. 60(b)(6).

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