CITIZENS FOR CERES, Petitioner, v. THE SUPERIOR COURT OF STANISLAUS COUNTY, Respondent; CITY OF CERES et al., Real Parties in Interest.
No. F065690
Fifth Dist.
July 8, 2013
217 Cal. App. 4th 889
[CERTIFIED FOR PARTIAL PUBLICATION*]
COUNSEL
Herum Crabtree, Brett S. Jolley and Natalie M. Weber for Petitioner.
No appearance for Respondent.
Michael L. Lyions, City Attorney; Meyers, Nave, Riback, Silver & Wilson, Amrit S. Kulkarni and Edward Grutzmacher for Real Party in Interest City of Ceres.
K&L Gates and Edward P. Sangster for Real Parties in Interest Wal-Mart Stores, Inc., and Wal-Mart Real Estate Trust.
Jennifer B. Henning for California State Association of Counties and League of California Cities as Amici Curiae on behalf of Real Parties in Interest.
OPINION
WISEMAN, Acting P. J.—This case involves a challenge under the California Environmental Quality Act (
The dispute over these documents arose when the challenger pointed out that the administrative record prepared and certified by the city included no communications between the city and the developer. The city responded that the project had “the potential to be controversial“; that such communications therefore “were always made by and between legal counsel” for the city and the developer; and consequently all the communications were privileged. The challenger filed a motion to augment the administrative record by compelling the city to include the assertedly privileged communications. The trial court denied the motion, leading to these writ proceedings.
We reject the challenger‘s argument that CEQA‘s provisions defining the administrative record abrogate the attorney-client privilege and the attorney
We conclude, however, that the common-interest doctrine, which is designed to preserve privileges from waiver by disclosure under some circumstances, does not protect otherwise privileged communications disclosed by the developer to the city or by the city to the developer prior to approval of the project. This is because, when environmental review is in progress, the interests of the lead agency and a project applicant are fundamentally divergent. While the applicant seeks the agency‘s approval on the most favorable, least burdensome terms possible, the agency is dutybound to analyzе the project‘s environmental impacts objectively. An agency must require feasible mitigation measures for all significant impacts and consider seriously and without bias whether the project should be rejected if mitigation is infeasible or approved in light of overriding considerations.
The applicant and agency cannot be considered to be advancing any shared interest when they share legal advice at the preapproval stage. Under established principles, this means that the common-interest doctrine does not apply. After approval, by contrast, the agency and applicant have a united interest in defending the project as approved, and privileges are not waived by disclosures between them from that time onward. In making this distinction between preapproval and postapproval disclosures, we potentially disagree with California Oak Foundation v. County of Tehama (2009) 174 Cal.App.4th 1217, 1222-1223 [94 Cal.Rptr.3d 902] (California Oak), in which the court found the common-interest doctrine to be applicable to postapproval disclosures between an applicant and a lead agency and perhaps also to preapproval disclosures between them. We will grant writ relief to allow the trial court to apply the rule we have stated.
In the unpublished portion of the opinion, we consider several additional topics. First, we discuss the showing necessary to establish the common interest doctrine‘s protection for any postapproval communications for which it may be claimed. Second, there are many other assertedly privileged documents that were not disclosed between the city and the developer. It will still be necessary for the trial court to reexamine those privilege claims because the court applied an incorrect standard in upholding them. In upholding all the challenged privilege claims without exception, the court expressed the view that the party asserting a claim of privilege need only assert it to obtain protection. In reality, the party asserting the privilege is required to make a showing of preliminary facts supporting the privilege. The court made no findings of these preliminary facts, and there is no substantial evidence in the record that would have supported those findings for any document. The city will be permitted to amend its submissions to make the necessary showings.
Finally, we reject four arguments for denying writ relief which are based on the allegations that (1) the challenger forfeited most of its challenges to the privilege claims by not presenting them properly in the trial court; (2) the challenger has not made a showing of prejudice; (3) the challenger failed to exhaust administrative remedies; and (4) the writ petition in this court is defective in form.
We issue a writ of mandate requiring the trial court to reconsider the claims of privilege in light of the holdings in this opinion.
FACTUAL AND PROCEDURAL HISTORIES
Real parties in interest Wal-Mart Stores, Inc., and Wal-Mart Real Estate Trust (the developer) applied to the city for land use approvals necessary to build a 300,000-square-foot shopping center anchored by a 200,000-square-foot Wal-Mart store. On September 12, 2011, the city certified an environmental impact report (EIR) and approved the project. The challenger initiated proceedings in the superior court, claiming the city failed to comply with CEQA.
After the city prepared a draft index for the administrative record, the challenger sent a letter to the city, stating: “The index ... does not appear to include a single informal communication (such as [an] email or memo) between the аgency and its consultants or the applicant. In my experience representing applicants as well as my experience with CEQA administrative records, there are typically lengthy communications between the applicant and the agency in this form and these are appropriately included in the record.... Yet the index is completely devoid of such communications or notes. In fact, it does not appear the agency staff/consultant e-mail accounts were reviewed for communications related to this matter. Please explain whether this is an oversight that will be corrected or a deliberate omission. [¶] If the latter, please explain the basis for the omission and if claimed for reasons of privilege, please provide a privilege log or similar device....”
The challenger filed an objection to the certification of the record because of the omission of the communications. Later, the challenger filed a motion asking the trial court to order the city to augment the administrative record to include them. The motion arguеd that communications between the city and the developer, as well as the city‘s internal communications, were required to be included in the administrative record by
In its opposition to the motion, the city informed the court that it had agreed to provide a privilege log, although it continued to maintain that it was under no obligation to do so. The log, as later supplemented, listed 3,311 documents. An overwhelming majority of the log entries indicated that the city was claiming the attorney-client privilege, the protection of the attorney work-product doctrine, or both. Many entries also indicated that, although the documents were disclosed between the city and the developer, waiver of privileges was prevented by the common-interest doctrine. The log actually refers to a joint-defense privilege, but, as we will explain, California has no joint-defense privilege. The city‘s intention was to refer to the nonwaiver effect of the common-interest doctrine.
As far as we can tell from the record, the city provided little information on the basis of which it would be possible to determine whether any of the claimed privileges or protections applied. A total of about three dozen names appear in the privilege log as the names of people by or to whom documents were sent. With a few exceptions, however, neither the log nor any declaration supporting it provides any information identifying these people, stating which of them are attorneys or clients, or explaining which parties they represented or worked for. From the record as a whole, we have been able to identify six of them as attorneys for the city or the developer. There was, however, no straightforward way to identify the other 30 or so individuals listed. Further, although the record contains four declarations related to the assertedly privileged documents, none of these state the declarants’ personal knowledge that any of the documents were communications made in the course of an attorney-client relationship or were the work product of an attorney, with the exception of four items said to be attorney work product. Two declarations stated that the city and the developer sometimes disclosed privileged communications to each other and did so in pursuit of their common interests and with the expectation that the communications would remain confidential. The declarations did not, however, state that this was true, to the declarants’ personal knowledge, regarding any or all of the common-interest documents listed in the log except for four documents. For about 650 other documents where the protection of the common-interest doctrine is claimed in the log, there are no supporting facts.
The court held its first hearing on the motion to augment on April 20, 2012. The parties had formal meet-and-confer discussions in a jury room, and the hearing was continued. After the April 20 hearing, the challenger provided the city with a list of 2,275 privilege claims that it was disputing. On May 18, 2012, the city sent a chart indicating its responses regarding these disputed items. The responses indicated that the city had decided to disclose, and had already disclosed, a significant number of the documents. For the majority, however, the city adhered to its privilege claims—at least provisionally.
In a letter to the court dated May 23, 2012, describing the “issues that still remain between the parties,” the challenger reserved its right to maintain its challenges to the 2,275 items about which the city had supplied responses: “[O]n May 18, 2012 the City provided responses ... to the Initial and
In a letter to the court dated May 24, 2012, the city stated that its review of the 2,275 challenges “has provided the opportunity to make necessary changes to the privilege log,” and it would submit an amended log “when the City is sure that no further changes will need to be made.” This implied the city was uncertain which of its privilege claims actually were valid.
In his letter to the court dated May 23, 2012, the challenger‘s counsel described the city‘s production of “thousands of documents” after the April 20 hearing. These are documents conceded to be within CEQA‘s description of the administrative record in
The court held another hearing on May 25, 2012. The court and parties discussed four categories of documents and agreed there were no other categories. The court and parties also expressed an expectation that the list of disputed documents would be narrowed by the time of the next hearing, so that the city and the developer could give a general indication of the substance and purpose of the documents, the challenger could make arguments based on that additional information, and the court could rule. The
When the simultaneous briefs were filed on June 26, 2012, it was obvious that the parties had not reached any agreement about the number of documents that remained in contention. The challenger attached to its brief a list of more than 500 documents and asked the court to order their disclosure. The city‘s brief discussed 25 documents, implying that only these remained in dispute, while the developer‘s brief asserted that the parties “have boiled the disputed issues down to” 19 documents and redactions in 13 other documents.
The belief of the city and the developer that a drastic reduction in the scope of the dispute had taken place appears to be based on the challenger‘s letter of June 14, 2012, in which the challenger discussed 50 documents. That letter did not, however, state that it contained the challenger‘s list of the privilege claims being challenged. Instead, it explained that it contained the challenger‘s remarks on certain documents the city and developer had already produced, some of which the challenger was arguing should be included in the administrative record. It also stated the challеnger‘s responses to a new set of privilege claims asserted by the city in a recent letter. The letter did not contain any agreement to abandon the challenges to any of the privilege claims.
On June 29, 2012, counsel for the city and the developer wrote to counsel for the challenger to express their “outrage” at the fact that a large number of documents remained in dispute; they claimed there was an “extreme disconnect” between the challenger‘s statements at the May 25 hearing and its list of disputed documents in its June 26 brief. Counsel for the challenger wrote back that the challenger “has repeatedly stated that [it] does not waive any rights or claims to documents” and “has never agreed to limit its request” for documents in the manner the city and the developer assumed.
The final hearing on the challenger‘s motion to augment the administrative record took place on July 9, 2012. The court expressed surprise that a large number of documents were still in dispute. “I got the impression we were down to 30-some odd documents,” it said. This impression appears to have been derived from the city and developer‘s submissions alone, since the challenger‘s brief included a list of more than 500 disputed documents. The city‘s attorney said there were “[c]lose to 700,” the developer‘s attorney agreed, and the court often referred to that figure, but we have found no basis for it in the record.
The court later said it felt “blindsided” by the fact that the challenger was still challenging several hundred of the city‘s original 3,311 privilege claims. “I went from 32 documents, and now I‘m supposed to do 700,” it added, again apparently relying on the city‘s and the developer‘s representations about only a few documеnts being in dispute.
“That‘s not what I had in mind.” A moment later, it said, “And I‘m not going to look at 700, so give me an example.” Still later, it said, “I thought okay, well, 32, I can do 32. No problem. I can‘t do 700 ....”
Several times, the court stated its view that a party asserting a privilege had no burden beyond the mere assertion itself, while the party opposing the privilege claim had a burden of proving the privilege was inapplicable:
“You have the burden. They claim attorney/client privilege. They have the right to claim that as officers of the court. It‘s your obligation, your burden, to tell me why they‘re not attorney/client privilege. [¶] ... [¶]
“You have the burden to say what they‘re saying as officers of the court is not true. That‘s what you have to do on this thing .... [¶] ... [¶]
“They‘re officers of the Court. They‘re claiming a privilege, which I cannot force them to give up. Then the law says under privileges, attorney/client, just about any other privilege, the person ... who wants to say it‘s not claimed by a privilege, has the burden to show that it‘s not within a privilege .... [¶] ... [¶]”
Finally, saying, “I don‘t know what else to do with this,” and “I‘m getting to the point where we need to get this thing resolved one way or the other,” the court made a blanket ruling upholding all the privilege claims2 on the ground that the city and the developer had asserted the claims and the challenger had not disproved thеir applicability: “I‘m making the finding you have as officer of the court, they have the right to say attorney/client work product. They have done so ... . You can‘t make your requirement ... to show me that it‘s not carried, and it‘s not protected by attorney/client or work product .... [¶] I‘m not going to order any further review on these attorney/client [or] work product.” After discussing some other matters, the court set a hearing on October 5, 2012, for determination of the merits, with the challenger‘s opening brief due on August 24.
The challenger filed its petition for a writ of mandate in this court on September 7, 2012, seeking relief from the trial court‘s order. The petition argues that the allegedly privileged documents should be ordered included in the administrative record because
We issued a stay order on September 17, 2012. On the same day, the city filed a “Preliminary Opposition” to the writ. On September 18, 2012, Wal-Mart filed an “Informal Opposition.”
The preliminary and informal opposition briefs make six arguments: (1) The matter is not ripe for review because the trial court has not filed a written order embodying its ruling from the bench, and Court of Appeal, Fifth District, Local Rules, rule 3(b) (rule 3(b)), requires “a copy of the order or judgment from which relief is sought” to be attached to the writ petition. (2) The city and developer “are currently asking the trial court to directly address” their purported failure to establish the preliminary facts necessary to
On October 3, 2012, we issued an order to show cause why relief should not be granted. Included in the order to show cause was a briefing order, stating:
“The parties’ submissions should include, but need not be limited to, responses to the following questions:
“1. Did respondents sustain their burden of establishing preliminary facts necessary tо support all their claims of attorney-client privilege and attorney work product protection? If not, what additional declarations or other evidence must they submit to sustain this burden? Is their burden different when the privilege log shows that an attorney merely received a ‘cc’ of a document?
“2. For communications between the city and its attorneys and for work product of the city‘s attorneys, disclosure to Wal-Mart waives privileges unless the common interest doctrine applies. Likewise, for communications between Wal-Mart and its attorneys and for work product of Wal-Mart‘s attorneys, disclosure to the city waives privileges unless the common interest doctrine applies.
“(a) For privilege log entries that show disclosure between the city and Wal-Mart, which side has the burden of showing that privileges are or are not preserved under the common interest doctrine? What facts must be shown? What kinds of evidence can show those facts? Does the record contain substantial evidence on the basis of which the trial court could find that the doctrine protected each document for which it was claimed, assuming respondents had a burden of producing such evidence? Should the trial court have conducted an in-camera review to determine whether the common-interest doctrine applies to each document for which it was claimed? (See OXY Resources California LLC v. Superior Court (2004) 115 Cal.App.4th 874 [9 Cal.Rptr.3d 621].)
“3. Besides those already discussed in the petition and in respondents’ informal opposition briefs, are there any arguments or authorities that would help the court to determine whether the clause ‘[n]otwithstanding any other provision of law’ in
“4. According to the privilege log, many of the items challenged by petitioner not only are privileged, but also are excluded from the administrative record because they are ‘drafts’ within the meaning of
“If petitioner states in its traverse that it intends to challenge the ‘draft’ designations, respondents will be permitted to file an additional brief in response within 10 business days after the filing of the traverse.”
The city and developer filed returns in which they expanded on their earlier arguments and responded to the court‘s questions. The challenger filed a traverse, responding to the court‘s questions and stating that it intended to continue to challenge the “draft” designations. The city filed a reply to the traverse. We granted leave to amici curiae California State Association of Counties and League of California Cities to file a joint brief in support of the city and the developer.
DISCUSSION
I. CEQA does not abrogate privileges generally
The challenger‘s most sweeping argument is that
“Notwithstanding any other provision of law, in all actions or proceedings brought pursuant to [CEQA‘s judicial review provisions], except those involving the Public Utilities Commission, all of the following shall apply:
[¶] ... [¶]
“(e) The record of proceedings shall include, but is not limited to, all of the following items:
“(1) All project application materials.
“(2) All staff reports and related documents prepared by the respondent public agency with respect to its compliance with the substantive and procedural requirements of this division and with respect to the action on the project.
“(3) All staff reports and related documents prepared by the respondent public agency and written testimony or documents submitted by any person relevant to any findings or statement of overriding considerations adopted by the respondent agency pursuant to this division.
“(4) Any transcript or minutes of the proceedings at which the decisionmaking body of the respondent public agency heard testimony on, or considered any environmental document on, the project, and any transcript or minutes of proceedings before any advisory body to the respondent public agency that were presented to the decisionmaking body prior to action on the environmental documents or on the project.
“(5) All notices issued by the respondent public agency to comply with this division or with any other law governing the processing and approval of the project.
“(6) All written comments received in response to, or in connection with, environmental documents prepared for the project, including responses to the notice of preparation.
“(7) All written evidence or correspondence submitted to, or transferred from, the respondent public agency with respect to compliance with this division or with respect to the project.
“(8) Any proposed decisions or findings submitted to the decisionmaking body of the respondent public agency by its staff, or the project proponent, project opponents, or other persons.
“(9) The documentation of the final public agency decision, including the final environmental impact report, mitigated negative declaration, or negative declaration, and all documents, in addition to those referenced in paragraph (3), cited or relied on in the findings or in a statement of overriding considerations adopted pursuant to this division.
“(10) Any other written materials relevant to the respondent public agency‘s compliance with this division or to its decision on the merits of the project, including the initial study, any drafts of any environmental document, or portions thereof, that have been released for public review, and copies of studies or other documents relied upon in any environmental document prepared for the project and either made available to the public during the public review period or included in the respondent public agency‘s files on the project, and all internal agency communications, including staff notes and memoranda related to the project or to compliance with this division.
“(11) The full written record before any inferior administrative decisionmaking body whose decision was appealed to a superior administrative decisionmaking body prior to the filing of litigation.”
Section 21167.6 also provides that the lead agency “shall prepare and certify the record of proceedings” and “shall lodge a copy of the record of proceedings with the court....” (§ 21167.6, subd. (b)(1) .)
Recently in Madera Oversight Coalition, Inc. v. County of Madera (2011) 199 Cal.App.4th 48 [131 Cal.Rptr.3d 626] (Madera Oversight), we made several observations about the contents of the administrative record as defined by these provisions. First, the language is mandatory: The administrative record shall include the listed items. Second, the list is nonexclusive; the administrative record‘s contents include, but are not limited to, the listed items. (Id. at pp. 63-64.) Next, the administrative record as defined is very expansive. We quoted language that originated in one Court of Appeal case and was subsequently quoted in another:
