M.D. v. R.W. and L.P. v. M.D. ( 2018 )


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    DISTRICT OF COLUMBIA COURT OF APPEALS
    No. 17-FM-588
    M.D., APPELLANT,
    V.
    R.W., APPELLEE,
    and
    No. 17-FM-589
    L.P., APPELLANT,
    V.
    M.D., APPELLEE.
    Appeals from the Superior Court
    of the District of Columbia
    (PCS-2050-2003)
    (RSR-1525-2010)
    (Hon. Rahkel Bouchet, Motion Judge)
    (Hon. Julie H. Becker, Reviewing Associate Judge)
    (Submitted June 25, 2018                           Decided September 27, 2018)
    Amee Vora, Stephanie Troyer, and Jonathan H. Levy, Legal Aid Society of
    the District of Columbia, were on the brief for appellant M.D. in appeal No. 17-
    FM-588.
    2
    Edward G. Varrone was on the brief for appellant L.P. in appeal No. 17-FM-
    589.
    Amee Vora, Stephanie Troyer, Jonathan H. Levy, and David Carpman,
    Legal Aid Society of the District of Columbia, were on the brief for appellee M.D.
    in appeal No. 17-FM-589.
    Before FISHER, THOMPSON, and BECKWITH, Associate Judges.
    PER CURIAM: In Appeal No. 17-FM-588, appellant M.D. seeks review of
    (1) a March 15, 2017, order by an Associate Judge of the Superior Court upholding
    the October 14, 2016, order by a Magistrate Judge in Case No. 2003-PCS-2050
    (the “paternity disestablishment case”) denying a Super. Ct. Dom. Rel. R. 60 (b)(6)
    motion for relief from an adjudication of paternity, and (2) a May 1, 2017, order by
    the Associate Judge denying M.D.’s motion to amend the March 15, 2017,
    judgment.    In Appeal No. 17-FM-589, appellant L.P. seeks reversal of the
    Associate Judge’s separate May 1, 2017, order denying L.P.’s motion to intervene
    in the paternity disestablishment case. We hereby sua sponte consolidate the
    appeals. For the reasons that follow, in Appeal No. 17-FM-588, we reverse and
    remand for further proceedings.       In Appeal No. 17-FM-589, we reverse and
    instruct that L.P. be permitted to intervene in the paternity disestablishment case.
    I.
    3
    In 2003, M.D. gave birth to a daughter (“minor child” or “child”) in the
    District of Columbia. During the month or so surrounding the child’s conception,
    M.D. was involved in sexual relationships with appellee R.W. and with L.P. On
    October 24, 2003, based on M.D.’s receipt of public benefits, the District of
    Columbia filed a petition to establish paternity and provide support for the minor
    child, naming R.W. as the putative father. R.W. waived his right to genetic testing,
    and on April 14, 2004, the Superior Court entered an Adjudication of Paternity,
    i.e., an order adjudicating him the father of the minor child. The Adjudication of
    Paternity was signed by R.W. but not by M.D. The Superior Court entered a
    consent order dismissing the petition upon information that M.D. and R.W. had
    entered into a private agreement regarding child support.
    Subsequently, M.D. (who at some point had moved to Maryland) and R.W.
    became involved in a paternity/child support proceeding in the Circuit Court for
    Prince George’s County, Maryland.        On June 10, 2008, the Maryland court
    dismissed the matter for want of prosecution upon ordering, on the basis of genetic
    testing, that R.W. “is excluded as the natural father of the minor child.” On
    December 3, 2009, M.D. filed a petition in the Superior Court to amend the child’s
    4
    birth certificate by removing R.W.’s name.1 The Superior Court judge, apparently
    unaware of the Adjudication of Paternity, granted the application the same day, on
    the ground that R.W. “is not the natural father” of the child. M.D. asserts that she
    “believed that she had [thereby] completed all that was needed to sever any legal
    ties between [R.W.] and [the child].”2
    On June 22, 2010, while M.D. still resided in Maryland, the District of
    Columbia filed an interstate uniform support petition against L.P. to establish
    1
    M.D. told the Magistrate Judge that “the courts [were] telling [her] that
    [she] had up to five years to . . . get [R.W.’s] . . . name removed” from the birth
    certificate.
    2
    As M.D.’s counsel noted during one of the hearings in the Superior Court,
    that court issued, on August 4, 2011, an Administrative Order (Administrative
    Order 11-13) that recognizes that “issues of paternity are raised when an applicant
    seeks to change the identity of the father listed in a birth certificate.” The
    Administrative Order directs that if there is no open CPO, child support order, or
    open Family Court case, the application to amend a birth certificate of a minor
    child to change the name of a parent “must be assigned for resolution to a Family
    Court calendar.” Administrative Order 11-13 at 1. The Administrative Order also
    directs that where an issue of paternity is raised, the judge to whom the application
    is assigned may “order the applicant to supplement the Application by filing a
    Petition to Disestablish Paternity with [Family Court] Central Intake,” and Central
    Intake must schedule a hearing before the assigned judge. 
    Id. at 2–3.
    Had these
    procedures been in place earlier, they might have averted the situation in this case,
    in which the birth certificate was amended despite the still-extant Adjudication of
    Paternity. M.D.’s counsel reasonably argued to the magistrate judge that
    Administrative Order 11-13 “is [a] recognition that pro se parties have been
    misunderstanding this amending the birth certificate process and have been using it
    as a means to disestablish paternity.”
    5
    paternity and to collect child support, attaching M.D.’s affidavit alleging that L.P.
    is the biological father of the minor child. L.P. argued in opposition to the petition
    that the court could not establish his paternity because R.W. had been adjudged the
    father of the child. The District of Columbia and L.P. then filed a joint stipulation
    of dismissal. M.D. asserts that she did not receive notice of the hearings in the
    case, was not present for any of the proceedings, and was not involved in the
    stipulation of dismissal.
    On January 5, 2016, after M.D. had moved back to the District, had begun
    receiving TANF benefits, and had assigned to the District of Columbia her right to
    collect child support, the District of Columbia filed a motion to reinstate and
    consolidate the cases involving R.W. and L.P. and to establish paternity for the
    child. The District asked the court to vacate the April 14, 2004, Adjudication of
    Paternity, arguing that vacatur was warranted because “there are conflicting orders
    regarding the paternity of the [m]inor [c]hild,” with the result that “the minor child
    is essentially stripped of her right to seek support, as [R.W.] was adjudicated by
    one court to be the father of the minor child, and subsequently excluded by another
    court as the father of the same minor child.” The District noted that L.P. had
    “objected to both formal and informal actions seeking to determine his biological
    connection to the minor child[] due to [R.W.’s] prior adjudication of paternity.”
    6
    The District also requested “leave to seek the establishment of paternity and child
    support from [L.P.]” The District of Columbia later withdrew from both cases,
    citing a “positional conflict,” and the court granted M.D.’s motion to proceed in
    the cases on her own behalf (and with the aid of counsel) to establish paternity.
    During a hearing on July 14, 2016, the court (Magistrate Judge Bouchet)
    stated from the bench that it would dismiss the case against L.P. because “paternity
    ha[d] been established [in 2004].” The court stated that it would still hold a
    hearing scheduled for September 13, 2016, in the case against R.W., but expected
    that its decision would be the same. Before that scheduled hearing, L.P. filed a
    motion to intervene in the case against R.W. in order to “protect his interests,” to
    take an adversarial stance with respect to M.D.’s and R.W.’s desire to vacate the
    2004 judgment of paternity, and to avoid the potential for inconsistent rulings.
    At the September 13, 2016, hearing in the case against R.W., the court said
    that it would dismiss that case as well. In an October 14, 2016, written order
    (entered in the docket in both cases), the court formally dismissed both cases,
    denied the motion to reinstate and consolidate, declined to order genetic testing of
    L.P., and denied the motion to disestablish paternity (which the court treated as a
    motion under Super. Ct. Dom. Rel. R. 60 (b)) on the grounds that neither M.D. nor
    7
    R.W. had acted with diligence and expedience and that the record revealed no
    extraordinary circumstances that justified their delay in seeking to vacate the
    Adjudication of Paternity.
    M.D. sought review of the October 14, 2016, Magistrate Judge’s order by an
    Associate Judge.     Before the Associate Judge, L.P. renewed his motion to
    intervene (on which the Magistrate Judge had not ruled), asked the court to
    consolidate the cases, and later filed a motion for limited access to the records in
    the paternity disestablishment case.
    On February 24, 2017, the Associate Judge affirmed the October 14, 2016,
    ruling. The Associate Judge found persuasive M.D.’s argument that her pro se
    action in 2009 to have the child’s birth certificate amended should be treated as a
    motion to disestablish paternity, but reasoned that even that “motion” was not filed
    within a reasonable time after M.D. became aware of the 2008 genetic testing
    results supporting her 2016 effort to disestablish paternity. The court also rejected
    M.D.’s claim of hardship, reasoning that it was far from clear that she suffered
    extreme hardship “during the past six years while her efforts to collect support lay
    dormant,” and that she could still pursue child support from R.W.
    8
    On May 1, 2017, the Associate Judge denied M.D.’s motion to amend the
    February 24, 2017, ruling (which the court recognized, based on its substance,
    could properly be treated as a Rule 59 (e) motion citing alleged errors of law). The
    Associate Judge rejected M.D.’s argument that the Magistrate Judge had erred by
    failing to consider the factors identified in Wylie v. Glenncrest, 
    143 A.3d 73
    (D.C. 2016) (the “Rule 60 (b)(6) factors”),3 reasoning that M.D made this
    argument for the first time in the motion to amend and that, in any event, it is not
    apparent that these factors are required considerations when a litigant seeks relief
    from a judgment that was entered on the merits. The Associate Judge also rejected
    M.D.’s arguments that extreme hardship warranted relief from the judgment and
    found that “[t]he record in this case . . . does not reflect [extraordinary]
    circumstances.” In a separate order issued on May 1, 2017, the Associate Judge
    denied L.P.’s motion to intervene and to consolidate, but granted him limited
    access to the records in the paternity disestablishment case.        These appeals
    followed.
    3
    I.e., “whether the [Rule 60 (b)(6)] movant (1) had actual notice of the
    proceedings, (2) acted in good faith, (3) took prompt action, [and] (4) made a
    prima facie showing of an adequate defense, and (5) whether vacatur would
    prejudice the non-moving party.” 
    Id. at 84.
                                               9
    M.D. argues that the Superior Court erred by failing to analyze the Rule
    60 (b)(6) factors and also “improperly analyzed whether [M.D.] acted within a
    reasonable time and in the face of extraordinary circumstances.” L.P. argues that
    the Superior Court erred in denying his motion for intervention because he satisfies
    the requirements for intervention as of right under Super. Ct. Dom. Rel. R. 24
    (a)(2) and has a legally protectable interest in the paternity disestablishment action.
    II.
    Upon a party’s motion “made within a reasonable time,” the Superior Court
    may “relieve a party . . . from a final judgment[] [or] order” for “any . . . reason
    justifying relief from the operation of the judgment.”4 Super. Ct. Dom. Rel. R.
    60 (b)(6). “[W]hat constitutes a reasonable time under Rule 60 (b) depends upon
    the circumstances of each case, including both the cause and consequences of the
    delay.” Carrasco v. Thomas D. Walsh, Inc., 
    988 A.2d 471
    , 476 (D.C. 2010)
    (internal quotation marks omitted) (explaining that “in deciding whether [the
    4
    “Because [Super. Ct. Dom. Rel. R. 60 (b)(6)] is identical in all material
    respects to the corresponding civil rule . . . we shall not differentiate between the
    two in this opinion.” See Cruz v. Sarmiento, 
    737 A.2d 1021
    , 1023 n.1 (D.C. 1999).
    10
    movant] should be penalized for not moving more expeditiously . . . , it makes
    sense to consider . . . whether and to what extent the non-movant would be
    prejudiced by granting the movant’s request for relief.”).       “Rule 60 (b)(6) is
    properly invoked in extraordinary circumstances or where a judgment may work an
    extreme and undue hardship, but is not narrowly defined.” Miranda v. Contreras,
    
    754 A.2d 277
    , 280 (D.C. 2000) (internal quotation marks omitted).
    We review the denial of a Rule 60 (b) motion (including an Associate
    Judge’s order upholding the denial of a Rule 60 (b)(6) motion) for abuse of
    discretion. See Onyeneho v. Allstate Ins. Co., 
    80 A.3d 641
    , 644 (D.C. 2013); M.M.
    v. T–M.M., 
    995 A.2d 164
    , 166 (D.C. 2010). Although ordinarily review of denial
    of a Rule 59 (e) motion is for abuse of discretion, Associated Estates LLC. v.
    BankAtlantic, 
    164 A.3d 932
    , 936 (D.C. 2017), “our review is de novo when the
    [trial] court considers and rejects a legal argument.” Zuza v. Office of the High
    Representative, 
    857 F.3d 935
    , 938 n.3 (D.C. Cir. 2017).
    “Where the trial court’s ruling on a motion to intervene as of right involves a
    question of law, appellate review is de novo, while to the extent the ruling is based
    on questions of fact, it is ordinarily reviewed for abuse of discretion.” HSBC Bank
    11
    USA, N.A. v. Mendoza, 
    11 A.3d 229
    , 233–34 (D.C. 2010) (internal quotation marks
    and alterations omitted).
    III.
    For a number of reasons, we decline to resolve this appeal on the basis of
    whether the Superior Court erred by failing to consider the Rule 60 (b)(6) factors.
    For one thing, our review of the record confirms that M.D. raised the issue for the
    first time in her motion to amend. We also are inclined to agree with the Associate
    Judge (although we decline to definitively decide) that the Rule 60 (b)(6) factors
    articulated in Wylie are most apposite in cases in which judgment has been entered
    without a determination on the merits. And, in any event, while it is true that the
    Associate Judge did not articulate or expressly apply those factors in determining
    whether to uphold denial of the Rule 60 (b)(6) motion, she did consider record
    facts relevant to those factors. For example, the Associate Judge acknowledged
    that M.D. might not have known about the Adjudication of Paternity at the time it
    12
    was entered;5 treated M.D.’s knowledge about the genetic testing and the resultant
    Maryland order confirming that R.W. is not the biological father as the starting
    point for prompt action by M.D. to disestablish R.W.’s paternity and to pursue L.P.
    for child support; cited, in considering the merits of M.D.’s motion, a decision
    from this court 
    (M.M., supra
    ) that affirmed the denial of a motion to disestablish
    paternity despite DNA evidence excluding the movant as the father; acknowledged
    that the question of child support from R.W. remained open; and vacated the
    portion of the Magistrate Judge’s ruling that “d[id] not belong in this action, to
    which [L.P.] is not a party.” Thus, to a great degree in conformity with the Rule 60
    (b)(6) factors, the Associate Judge did consider when M.D. had actual notice of the
    relevant proceedings; whether she acted in good faith to avoid what she now
    claims are hardships; whether she took prompt action; whether she had an adequate
    legal argument that relief from the Adjudication of Paternity was warranted; and
    what the impact of the Magistrate Judge’s ruling would be on R.W. and L.P., the
    non-moving parties in these cases.
    We nevertheless conclude that a remand is warranted because, as M.D.
    argues and as we explain below, the Associate Judge did not adequately analyze all
    5
    M.D. claimed throughout the proceedings on her motion that she lacked
    actual notice of the Adjudication of Paternity until the March 11, 2016, hearing.
    13
    of the hardship factors M.D. cited and whether M.D. acted within a reasonable
    time. In addition, the court seems to have conflated the requirement to show
    extraordinary circumstances with the requirement to show timely action, requiring
    that extraordinary circumstances have “justif[ied] the delay.”
    In addressing M.D.’s claims of hardship, the Associate Judge did not
    adequately consider the consequences to the child of denying the motion for relief
    from the Adjudication of Paternity. M.D. claimed to be motivated by her desire to
    sever the relationship between the child and R.W. — who she represented has
    never been active in the child’s life — because R.W. is “dangerous” and M.D. does
    not want him around the child. M.D. also asserted (in her opposition to L.P.’s
    motion to intervene) that her move to Maryland was to “escape [R.W.’s] abuse”
    and that R.W. “was arrested in Maryland in 2006 for assaulting [M.D.][] and pled
    guilty to second-degree assault.” For his part, R.W. repeatedly expressed his
    resentment towards M.D., and the Magistrate Judge remarked on the “volatile”
    nature of the parties’ in-court interactions.
    Despite this record, in addressing in the February 24, 2017, order M.D.’s
    argument that leaving the paternity judgment in place created extreme hardship,
    the Associate Judge considered only whether there would be hardship from the
    14
    lack of child support. The Associate Judge did not adequately consider M.D.’s
    argument that leaving the paternity adjudication in place created a continuing
    potential for R.W., who allegedly has a history of intrafamily violence,6 to have
    custody of and exercise decision-making with respect to the care and custody of a
    child with whom he had no biological relationship and (it appears from the record)
    no history of care or supervision,7 especially if M.D. were to die or become
    incapacitated. The Associate Judge was obligated to consider whether the risk
    6
    See D.C. Code § 16-1001 (8), (9) (2012 Repl.) (defining the term
    “intrafamily offense” to include “intrafamily violence” and defining “intrafamily
    violence” to include “a criminal offense that is committed . . . upon a
    person . . . with whom the offender has a child in common”); see also 
    id. § 16-914
    (a)(2) (“There shall be a rebuttable presumption that joint custody is not
    in the best interest of the child . . . if a judicial officer finds by a preponderance of
    the evidence that an intrafamily offense as defined in § 16-1001(8) . . . has
    occurred.”).
    7
    The Associate Judge did consider that hardship in denying the Rule 59 (e)
    motion, but incorrectly reasoned that this would be “at issue in any case involving
    misidentification of a child’s father.” This case — in which there is no evidence
    that R.W. has ever had a relationship with the child — is in stark contrast to M.M.,
    where the movant was the adjudicated father with whom the child had spent time
    over occasional weekends, during overnight visits to the movant’s parents’ home,
    and during a month in the 
    summer. 995 A.2d at 165
    .
    This case is also unlike M.M. in other important ways. In M.M., the
    adjudicated father asked the court to vacate an adjudication of paternity twelve
    years after it was entered, during which passage of time the child’s mother had
    died, thus disadvantaging the child and her caretakers in their efforts to “identify[]
    the true biological father.” 
    Id. at 167.
    Further, the movant appeared to be
    motivated by the fact that “he had fallen behind in support payments and was
    named in [a] neglect proceeding.” 
    Id. at 166–67.
                                             15
    from this potential consequence warranted a liberal application of the Rule 60 (b)
    “within a reasonable time” standard.
    As noted above, we have said that “what constitutes a reasonable time under
    Rule 60 (b) depends upon the circumstances of each case” and have emphasized
    that whether a movant “should be penalized for not moving more expeditiously”
    depends on “whether and to what extent the non-movant would be prejudiced by
    granting the movant’s request for relief.” 
    Carrasco, 988 A.2d at 476
    (internal
    quotation marks omitted). Thus, regardless of whether M.D. was slow to act in her
    efforts to disestablish R.W.’s paternity, “in deciding whether [she] should be
    penalized for not moving more expeditiously” to set aside the Adjudication of
    Paternity, the Associate Judge was obligated to consider whether there was
    prejudice to R.W. (and L.P.). There appears to be no dispute that vacating the
    paternity adjudication would not prejudice R.W., who indicated throughout the
    proceedings that he wanted the court to vacate the adjudication. Further, treating
    L.P. as a party in interest, on the present record we can discern no unfair prejudice
    to L.P. (who, as the Associate Judge observed in denying his motion to intervene,
    if he is the biological father, “has benefited financially for thirteen years from the
    adjudication [of R.W.’s paternity] — based on incorrect information, as it turns
    out” and “has avoided being held liable for supporting [the] child”).
    16
    The Superior Court also required M.D. to show not only that the motion for
    relief was made within a reasonable time, but also the existence of “extraordinary
    circumstances . . . that justify the delay,” which is not the correct standard. Relief
    under Rule 60 (b)(6) does require “extraordinary circumstances” or “extreme and
    undue hardship” arising out of a judgment, 
    Miranda, 754 A.2d at 280
    , but we have
    not required that the delay in seeking relief be the result of an extraordinary
    circumstance. Further, there is an extraordinary circumstance in this case, i.e., the
    existence    of    conflicting   court    orders    relating    to    paternity,   an
    “unusual . . . situation[]” that may “justify[] an exception to the overriding policy
    of finality,” Clement v. District of Columbia Dep’t of Human Servs., 
    629 A.2d 1215
    , 1219 (D.C. 1993), if the other relevant considerations are satisfied.8 To be
    clear, especially when there are conflicting orders concerning paternity, we reject
    the rule articulated by the Magistrate Judge, that “when paternity is established,
    th[e] [c]ourt [in all cases] is precluded from then re-litigating an issue that has
    already been established.”
    8
    Cf. Miller v. Charles, 
    439 S.E.2d 88
    , 90 (Ga. Ct. App. 1993) (“Biological
    evidence points overwhelmingly toward Miller as the father of the child,
    and . . . giving the [prior] adjudication against Glaze preclusive effect would
    perpetuate not simply an inconsistency, but more probably a falsehood and an
    injustice.”).
    17
    For the foregoing reasons, we conclude that the proper disposition is to
    vacate the Superior Court’s order upholding the denial of the Rule 60 (b) motion,
    and to remand for further consideration by the Superior Court in light of this
    court’s flexible approach toward “reasonable time.”
    IV.
    L.P. seeks to participate in the proceedings on remand, arguing that he has a
    right to intervene under Super. Ct. Dom. Rel. R. 24 (a)(2).9 That rule states that
    intervention “shall be permitted” if (1) the applicant “timely” files a motion to
    intervene, (2) the applicant “claims an interest relating to the subject of the action,”
    and (3) “the disposition of the action may as a practical matter impair or impede
    the applicant’s ability to protect that interest,” unless (4) the interest is “adequately
    represented by existing parties.” Super. Ct. Dom. Rel. R. 24 (a)(2). Our cases
    construing Civil Rule 24 (a)(2) — which, like the federal equivalent, is
    9
    L.P.’s original motion to intervene also argued for permissive intervention
    under Super. Ct. Dom. Rel. R. 24 (b), but he did not reassert that contention in his
    renewed motion to intervene or in this appeal.
    18
    substantially similar to Domestic Relations Rule 24 (a)(2) — interpret the rule
    “liberally.” HSBC 
    Bank, 11 A.3d at 233
    .
    We begin by assessing whether L.P. has proffered an adequate interest — a
    term this court has read “broad[ly].” McPherson v. District of Columbia Hous.
    Auth., 
    833 A.2d 991
    , 994 (D.C. 2003). Beyond requiring the applicant to identify
    an interest that is “legally protectable,” HSBC 
    Bank, 11 A.3d at 234
    , we have
    “eschew[ed] any attempt precisely to define the nature of the ‘interest’ required for
    intervention,” Calvin-Humphrey v. District of Columbia, 
    340 A.2d 795
    , 798
    (D.C. 1975). Instead, we have adopted a “flexible and practical approach,” 
    id. at 798–99,
    allowing “our construction [to] be guided by the policies behind the
    ‘interest’ requirement” — namely, the principle that the “‘interest’ test is primarily
    a practical guide to disposing of lawsuits by involving as many apparently
    concerned persons as is compatible with efficiency and due process,” 
    id. at 799
    (quoting Nuesse v. Camp, 
    385 F.2d 694
    , 700 (D.C. Cir. 1967)). Here, L.P. has
    satisfied this test.   He asserts an interest in not bearing the obligations of
    fatherhood for a child he asserts is not his. That interest clearly relates to the
    subject of M.D.’s action, which concerns the paternity of her child. Indeed, as one
    of only two people M.D. identified as a possible father to her daughter, L.P. bears a
    19
    highly particularized interest in the disestablishment suit — litigation that, if
    successful, could cut the list of putative fathers to one.
    L.P.’s interest is legally protectable. While the statutes governing paternity
    determinations mainly exist to protect “the child’s welfare,” District of Columbia
    ex rel. W.J.D. v. E.M., 
    467 A.2d 457
    , 465 (D.C. 1983), they also recognize the due
    process interests of putative fathers.          See, e.g., D.C. Code § 16-2341 (b)
    (2012 Repl.) (stating that in cases to establish paternity, court shall appoint
    attorney to “represent the respondent” when court “deems it necessary and
    proper”); 
    id. § 16-2343
    (a) (listing restrictions on court’s ability to require medical
    or genetic testing). The statutes thus encompass L.P.’s interest in a court not
    naming him the father of a child he contends is not his. Moreover, L.P.’s interest
    is not, as M.D. asserts, merely an economic one; that characterization trivializes
    the moral duties that come with fatherhood — obligations that a judicial
    determination of parentage would, in effect, impute to L.P., even if he is not eager
    to fulfill them.
    Although additional steps must be taken to prove that L.P. is the child’s
    father, the disestablishment action could “as a practical matter impair or impede”
    L.P.’s ability to protect his interest. Super. Ct. Dom. Rel. R. 24 (a)(2). “To satisfy
    20
    this element . . . , [L.P.] must show only that impairment of [his] substantial legal
    interest is possible if intervention is denied[,] [a] burden [that] is minimal.” HSBC
    
    Bank, 11 A.3d at 235
    (quoting Utah Ass’n of Counties v. Clinton, 
    255 F.3d 1246
    ,
    1253 (10th Cir. 2001)). Here, if M.D. obtains relief from the Adjudication of
    Paternity, L.P. would lose what amounts to a shield from future liability. M.D.
    essentially concedes this point in her brief in the Rule 60 (b) appeal, as she states
    that “the trial court . . . cited the Adjudication of Paternity as the basis for
    dismissing [the] action against [L.P.] . . . . The Adjudication thus prevents [the
    child] from obtaining child support from her biological father . . . .”10 Moreover,
    the D.C. Code imposes impediments to compelling L.P. to undergo a genetic test
    as long as the Adjudication of Paternity remains effective.11       See D.C. Code
    § 16-2343 (a)(2), (4) (discussing limits on court’s ability to order medical or
    genetic testing when “[a] legal finding of paternity has been made” or when a child
    10
    In making this point, M.D. emphasized the importance of allowing her
    daughter to “establish and maintain a relationship with her biological father.” This
    argument undercuts her assertion that it would be speculative to assume that she
    would file a paternity action against L.P. upon stripping R.W. of his status as the
    legal father.
    11
    This observation demonstrates the limits of M.D.’s argument — made in
    her brief opposing intervention — that L.P. cannot contest a parentage action by
    asserting a collateral estoppel defense predicated on the Adjudication of Paternity.
    Even if he cannot use the Adjudication to argue issue preclusion, L.P. could still
    rely on it to raise other challenges to a paternity test, such as ones predicated on
    § 16-2343 (a).
    21
    has a “presumed parent”); see also D.C. Code § 16-909 (a)(4) (stating that a
    presumption of paternity exists where “the putative father has acknowledged
    paternity in writing”). If M.D. succeeds in disestablishing R.W.’s paternity, then
    she would directly strip L.P. of these defenses to genetic testing—and, as she
    appears to concede, such testing would be central to any future action to establish
    L.P. as the child’s father. See Appellant M.D.’s Br. at 35, M.D. v. R.W., No. 17-
    FM-588 (stating that “the only thing standing in the way of genetic testing and the
    likely identification of [the child’s] biological father is the Adjudication of
    Paternity itself”). Thus, the R.W. action threatens to expose L.P. to a liability from
    which he currently enjoys substantial safeguards.
    The trial court effectively concluded, and M.D. essentially argues, that any
    harm to L.P is speculative because, even if the disestablishment suit succeeds,
    M.D. (or the District) would need to initiate a separate action to establish that L.P.
    is the father. In particular, M.D. urges us to hold that a court may not allow
    intervention where the applicant’s interest is in avoiding a potential liability that
    “remains contingent on a separate legal action.” She derives this rule primarily
    from federal cases concerning insurance disputes. Yet, as one case she cites
    explains, this rule exists partly to avoid opening the door to any entity that “might
    anticipate a benefit from a judgment in favor of one of the parties.” See Flying J.,
    22
    Inc. v. Van Hollen, 
    578 F.3d 569
    , 571 (7th Cir. 2009); see also Restor-A-Dent
    Dental Labs., Inc. v. Certified Alloy Prods., Inc., 
    725 F.2d 871
    , 876 (2d Cir. 1984).
    Allowing L.P. to intervene does not pose such a risk because, as noted, he and
    R.W. are the only men who M.D. asserts could be her child’s father.
    Nor is the rule that she urges one that federal courts have uniformly
    followed.   For example, in Crossroads Grassroots Policy Strategies v. Fed.
    Election Comm’n, 
    788 F.3d 312
    , 314–15 (D.C. Cir. 2015), the FEC declined to
    investigate a complaint against a nonprofit corporation and, when the complainant
    challenged that decision in district court, the D.C. Circuit allowed the nonprofit
    corporation to intervene to protect its interest in the decision. The district court
    could not, itself, impose liability on the corporation. 
    Id. at 315.
    At most, it could
    remand the complaint to the agency; a judgment would not be entered against the
    corporation unless the Commission subsequently voted to file a civil enforcement
    action and then prevailed in that suit. 
    Id. at 315–16,
    318. The long road to liability
    was not determinative, the D.C. Circuit explained, because the possibility that the
    district court case could “extinguish the current barrier to enforcement” provided a
    sufficient basis for intervention. 
    Id. at 319.
    Here, the circumstances are similar:
    L.P. benefits from a paternity adjudication that protects him from subsequent
    23
    liability; “[w]hatever the ultimate outcome, [L.P.] has a concrete stake in the
    favorable [adjudication] currently in place.” 
    Id. Turning to
    the final two considerations, neither the trial court nor M.D.
    questioned the timeliness of L.P.’s motion to intervene. Nor did either suggest that
    R.W. or M.D. could adequately represent L.P.’s interest. Such a position would be
    meritless, as M.D. seeks to establish L.P. rather than R.W. as the child’s legal
    father and R.W. supports that result. Indeed, if L.P. does not intervene, then no
    party will oppose M.D.’s motion, let alone “adequately represent[]” L.P.’s
    interests. These circumstances, on their own, strongly counsel in favor of allowing
    L.P. to participate in the proceedings on remand. See 
    Calvin-Humphrey, 340 A.2d at 800
    (noting that in suit where taxpayer sought to intervene to defend position
    abandoned by the District government, “the focus . . . should not be on a rigid
    definition of the interest required . . . but on the adequacy of representation
    afforded by municipal authorities”); 6 James Wm. Moore et al., Moore’s Federal
    Practice § 24.03[2][a] (3d ed. 2018) (“[P]ractical application of Rule 24(a)(2)
    involves a balancing and blending of the independent components.”).
    In reaching our holding today, we recognize that the case law on
    intervention is complicated and does not always yield rules that can easily be
    24
    applied to all circumstances. But these doctrinal challenges arise from real-world
    necessities. Rule 24 “attempts to address” the “wide variety of situations” in
    which a nonparty seeks to intervene. United States v. Tex. E. Transmission Corp.,
    
    923 F.2d 410
    , 412 (5th Cir. 1991). Consequently, “it is often true that ‘general
    rules and past decisions cannot provide uniformly dependable guides.’”         
    Id. (quoting Smuck
    v. Hobson, 
    408 F.2d 175
    , 179 (D.C. Cir. 1969) (en banc)). Due in
    part to this reality, our case law mandates a “practical approach” to intervention
    issues. 
    Calvin-Humphrey, 340 A.2d at 799
    . Applying it here, we hold that L.P.
    has a right to intervene in M.D. v. R.W., No. 2003 PCS 2050, and that the trial
    court erred as a matter of law by holding that he could not do so.
    For the reasons discussed above, we reverse the judgment that is the subject
    of Appeal No. 17-FM-588 and remand for further proceedings. We also reverse
    the judgment that is the subject of Appeal No. 17-FM-589 and instruct that L.P. be
    permitted to intervene in the paternity disestablishment case.
    So ordered.