RAY B. BOWEN, JR. v. VICTOR LIN et al.
2d Civil No. B312831
IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA SECOND APPELLATE DISTRICT DIVISION SIX
Filed 6/6/22
NOT TO BE PUBLISHED IN THE OFFICIAL REPORTS; California Rules of Court, rule 8.1115(a), prohibits courts and parties from citing or relying on opinions not certified for publication or ordered published, except as specified by rule 8.1115(b). This opinion has not been certified
Victor and Yvonne1 Lin and their adult children Calvin and Gail moved to strike a cross-complaint filed by Ray B. Bowen, Jr., as a
FACTUAL AND PROCEDURAL HISTORY
Victor and Calvin practiced medicine out of an Oxnard office owned by Victor and Yvonne. The office sustained $25,000 in damages when a pipe in an adjacent office started leaking. The Lins hired Bowen as their attorney to demand that the owner of the adjacent office, Cynthia Lau, pay to rectify the water damage.
After Lau rejected the settlement demands, Bowen recommended that the Lins sue. Victor and Yvonne agreed, but Calvin did not. Bowen nevertheless named him as a plaintiff in the lawsuit (the Lau case). He estimated that prosecuting the case would cost between $25,000 and $50,000.
Over the next three years, the Lins paid Bowen nearly $68,000. Frustrated with ever-mounting costs, Victor told Bowen to cease all nonessential work on the Lau case while Gail, a licensed attorney, tried to reach a settlement with Lau‘s estate.2 Bowen replied that he would not cease work and would not grant Gail permission to settle the case as long as he was counsel of record. Gail then formally substituted in and settled the case.
Bowen sued Victor and Yvonne for breach of contract and quantum meruit, seeking to recover the unpaid balance of his fees. Victor and Yvonne cross-complained, alleging that Bowen breached his fiduciary duties, committed malpractice, and failed to execute a written fee agreement. Calvin joined the lawsuit as a cross-complainant.
Bowen then filed his own cross-complaint. His first cause of action asserted that Calvin breached his oral contract with Bowen when he stopped
The Lins filed anti-SLAPP motions to strike relevant portions of Bowen‘s cross-complaint. The trial court granted Gail‘s motion, concluding that the actions she took on behalf of her parents and brother were protected by the anti-SLAPP statute and that the litigation privilege prevented Bowen from showing a probability of prevailing on the causes of action against her. The court denied the motions filed by Victor, Yvonne, and Calvin, concluding that the causes against them were “probably not” based on communications made “‘in connection with an issue under consideration or review by a judicial body.‘” It did not decide whether Bowen established a probability of prevailing on those causes. It also declined to rule on the parties’ evidentiary objections.
DISCUSSION
The anti-SLAPP statute
Bowen‘s causes of action against Victor, Yvonne, and Calvin
1. Protected activity
Victor, Yvonne, and Calvin first contend the trial court erred when it concluded that the causes of action against them did not arise from protected activity. We agree.
In his first cause of action, Bowen alleges that he entered into an oral contract to represent Calvin in the Lau case. Pursuant to the contract, “Calvin agreed to actively cooperate with Bowen . . . to achieve a successful result [and] . . . obtain[] an award for damages against the [Lau defendants].” Calvin breached that contract “by failing and refusing to actively cooperate with Bowen” and then “terminating [their] attorney-client relationship.”
Few acts are more squarely protected by the anti-SLAPP statute. Among the acts protected by the statute are “statement[s] or writing[s] made before a . . . judicial proceeding” (
We reach the same conclusion with respect to the interference causes of action. Bowen bases these causes on Calvin encouraging his parents to stop cooperating with Bowen in the Lau case, sever their attorney-client relationship with him, and instead have Gail negotiate a settlement. These communications were not tangential to the Lau case, but directly pertained to its resolution. (Taheri, supra, 160 Cal.App.4th at p. 489.) As such, they were “‘made in connection with an issue under consideration or review by a judicial body.‘” (Ibid., alterations omitted; see also Pech v. Doniger (2022) 75 Cal.App.5th 443, 462 (Pech) [advising clients to terminate attorney‘s services is protected activity].) Bowen‘s second, third, and fourth causes of action thus “plainly . . . arose from” protected conduct. (Taheri, at p. 489.)
So did the fifth and sixth. Bowen bases these causes of action on the Lins’ purported intent that he litigate the Lau case until “just before trial,” at which point they would “terminate [his] legal services, refuse to pay . . . the balance owed for fees and costs, [and] have [Gail] settle the [case].” But the communications Victor, Yvonne, and Calvin had with Gail about settling the Lau case were “made in connection with an issue under consideration or review by a . . . judicial body” (
Relying on Loanvest I, LLC v. Utrecht (2015) 235 Cal.App.4th 496 (Loanvest), Bowen counters that the trial court correctly determined that his causes of action against Victor, Yvonne, and Calvin did not arise from protected activity because they sued him for malpractice in their cross-complaint. We disagree.
Here, Bowen did not move to strike the malpractice cause of action from Victor, Yvonne, and Calvin‘s cross-complaint; Victor, Yvonne, and Calvin moved to strike causes from the cross-complaint Bowen filed in response to their cross-complaint. These anti-SLAPP motions do not challenge Bowen‘s handling of the Lau case, but instead challenge causes of action that arise from the decisions they made with regard to that handling. This distinction is critical: Unlike a threat of malpractice, an attorney threatening litigation against former clients for decisions they made while the attorney represented them would chill the constitutional right of petition by preventing the clients from fully and openly discussing litigation matters among themselves, with that attorney, or with another attorney. (See Taheri, supra, 160 Cal.App.4th at 489.) Such acts are at the very heart of the anti-SLAPP statute‘s protections. (Ibid.)
2. Probability of prevailing
Victor, Yvonne, and Calvin next contend Bowen failed to show a probability of prevailing on the causes of action against them. But the trial court did not consider the merits of this contention during the proceedings below. Nor did it rule on the admissibility of the parties’ evidence. “Under such circumstances, the more prudent course is to remand the matter [for] the trial court to determine in the first instance whether [Bowen] demonstrated a reasonable probability of prevailing on the merits of his causes of action.” (Hunter v. CBS Broadcasting Inc. (2013) 221 Cal.App.4th 1510, 1527.)
Bowen‘s causes of action against Gail
In his cross-appeal, Bowen contends the trial court erred when it concluded that: (1) his causes of action against Gail did not arise from activity protected by the anti-SLAPP statute, and (2) he did not show a probability of prevailing on the merits of those causes. We disagree with both contentions.
1. Protected activity
The interference and fraud causes of action against Gail allege that she urged her parents to stop cooperating with Bowen in the Lau case, fire him as their attorney, and have her negotiate a settlement. The trial court determined that these causes arose from protected conduct based on Taheri, supra, 160 Cal.App.4th 482. In that case, as here, a law firm sued an attorney for inducing the firm‘s clients to end their relationship with it and hire the attorney instead. (Id. at p. 485Id. at p. 486 and upheld the order granting the attorney‘s anti-SLAPP motion. (Id. at p. 489.)
Bowen‘s sole challenge to the trial court‘s reliance on Taheri is that the case is no longer good law. In 2018—10 years after Taheri was decided—the State Bar adopted Rule 4.2(a) of the Rules of Professional Conduct (Rule 4.2(a)). That rule states that, “[i]n representing a client, a lawyer [may] not communicate directly or indirectly about the subject of the representation with a person the lawyer knows to be represented by another lawyer in the matter, unless the lawyer has the consent of the other lawyer.” (Asterisks omitted.) To Bowen, had Rule 4.2(a) been in effect when Taheri was decided, the outcome of that case would have been different because violations of the Rules of Professional Conduct, like legal malpractice claims, would have been deemed unworthy of protection by the anti-SLAPP statute.
Bowen is wrong. Rules of conduct substantively identical to Rule 4.2(a) have been in effect for decades, including when Taheri was decided. (See Rules Prof. Conduct, former Rule 2-100(A); see also City of San Diego v. Superior Court (2018) 30 Cal.App.5th 457, 462, fn. 1 [“[t]he substance of former rule 2-100(A) . . . became rule 4.2(a)” in 2018].) And those rules simply do not apply to situations like the one here.
Rule 4.2(a), like former Rule 2-100(A), applies to an attorney “representing a client.” Its purpose is to prevent an attorney representing one party in a case from communicating with another represented party about the case without the consent of that party‘s attorney. ( Mitton v. State Bar of Cal. (1969) 71 Cal.2d 525, 534.) Gail, like the attorney in Taheri, did not represent any party in the Lau case when she allegedly engaged in the communications underlying Bowen‘s causes of action against her. Rule 4.2(a) was thus inapplicable. (HTC Corp. v. Technology Properties Ltd. (N.D.Cal. 2010) 715 F.Supp.2d 968, 972 [lawyer not involved in an action did not violate former Rule 2-100(A) when communicating with party represented in the action].) Bowen‘s challenge to the trial court‘s reliance on Taheri accordingly lacks merit.
2. Probability of prevailing
The trial court determined that the litigation privilege prevented Bowen from showing a probability of prevailing on his causes of action against Gail. Bowen does not directly challenge that determination, but instead argues that a consideration of the evidence he submitted in support of his cross-complaint shows he is likely to prevail. We disagree. Even if Bowen‘s evidence is considered and credited, the litigation privilege prevents him from prevailing on his causes of action against Gail.
“For well over a century, communications with ‘some relation’ to judicial proceedings have been absolutely immune from tort liability by the [litigation] privilege” set forth in
The litigation privilege bars liability for “any communication (1) made in judicial or quasi-judicial proceedings; (2) by litigants or other participants authorized by law; (3) to achieve the objects of the litigation; and (4) that ha[s] some connection or logical relation to the action.” (Silberg v. Anderson (1990) 50 Cal.3d 205, 212Flatley, supra, 39 Cal.4th at p. 323.) Whether the privilege shields Gail‘s actions is a question of law subject to our independent review. (Kashian v. Harriman (2002) 98 Cal.App.4th 892, 913.) “Any doubt about whether the privilege applies is resolved in favor of applying it.” (Ibid.)
Bowen‘s evidentiary objections
Finally, Bowen contends the trial court erred when it refused to rule on his objections to the Lins’ declarations. But there was no need to do so because the court did not reach the merits of any of Bowen‘s causes of action. Because the court must now evaluate the merits of the causes against Victor, Yvonne, and Calvin, it will have the opportunity to consider the admissibility of the evidence in support of or in opposition to those causes. We express no opinion as to how the court should rule on the objections.
DISPOSITION
The portions of the trial court‘s May 28, 2021, order denying Victor and Yvonne‘s anti-SLAPP motion and denying Calvin‘s anti-SLAPP motion are vacated, and the matter is remanded for the court to determine whether Bowen has demonstrated a probability of prevailing on the causes of action against Victor, Yvonne, and Calvin. In all other respects, the order is affirmed. The Lins shall recover their costs on appeal.
NOT TO BE PUBLISHED.
TANGEMAN, J.
We concur:
YEGAN, Acting P. J.
PERREN, J.
Henry J. Walsh, Judge
Superior Court County of Ventura
Hua Gallai & Gonzalez, Nicholas T. Hua, Giacomo Gallai and Steven C. Gonzalez for Cross-defendants and Appellants.
James A. Howard and Ray B. Bowen, Jr. for Cross-complainant and Appellant.
