INDUSTRIAL WASTE AND DEBRIS BOX SERVICE, INC., et al., Plaintiffs and Respondents, v. BRUCE MURPHY et al., Defendants and Appellants.
No. A142388
First Dist., Div. Two.
Oct. 28, 2016.
4 Cal. App. 5th 1135
Archer Norris, Douglas C. Strauss and Tiffany J. Gates for Defendant and Appellant.
OPINION
STEWART, J.—This suit involves garbage and, more specifically, statements about garbage. Garbage, including its transport, handling and disposal, is heavily regulated. The Legislature enacted the California Integrated Waste Management Act of 1989 (
At the center of this dispute are statements about garbage; more specifically, statements about the activities of a company in the business of hauling solid waste. Plaintiff2 hauls waste under franchise agreements it has with several cities in Sonoma County. Defendants3 are a waste management
Shortly after plaintiff served its complaint on defendants, defendants filed an anti-SLAPP motion to dismiss the complaint. The trial court held defendants met their burden of showing plaintiff‘s claims involve speech concerning a matter of public interest and are therefore covered by the anti-SLAPP statute,
BACKGROUND
Plaintiff Industrial Waste and Debris Box Service, Inc., doing business as Industrial Carting, is engaged in the business of collecting and hauling waste, primarily in construction and demolition debris boxes, the waste from which is commonly referred to as “C&D.” Plaintiff provides debris box, recycling and hauling services in cities and unincorporated areas within the counties of Sonoma and Marin. As relevant here, it provides these services under licenses or franchises with the cities of Petaluma, Rohnert Park, Santa Rosa and the town of Windsor. Plaintiff‘s sister company,5 Global Materials Recovery Services, Inc. (Global Materials), operates a recycling operation and a materials recovery facility (MRF), which are licensed and regulated by the State of California.
Defendant Bruce Murphy is the owner, president and sole employee of his codefendant, Intelliwaste, Inc., which provides operational and financial review and analysis of solid waste management systems, including collection, recycling and disposal. Intelliwaste was commissioned by North Bay Corporation (North Bay), to review and analyze the C&D diversion rates by local licensed services providers in Petaluma, Rohnert Park, Santa Rosa and Windsor. North
Intelliwaste issued a report to North Bay, entitled Analysis of C&D Diversion for 2009 and 2010 in select Sonoma County Jurisdictions (the Report). The analysis in the Report was based on various public documents, including public reports made by licensees and franchisees to local jurisdictions, landfill records, and public reports made by Global Materials to a state agency, copies of which were appended to the report. The Report concluded that for the two years studied, diversion rates for North Bay (71.98 percent and 78.29 percent) and a company called M&M Services (71.30 percent and 81.70 percent) were “in agreement with expected results from processing C&D materials at C&D MRFs in the Bay Area.” The Report stated: “[f]or 2009 and 2010, Industrial Carting reported C&D diversion of 87% for Windsor and 100% diversion with no disposal for the cities of Santa Rosa, Rohnert Park, and Petaluma. These numbers exceed industry standard benchmarks and we consider the data not credible without further detailed information from the company.” The Report further stated that “[f]or 2009 and 2010, based on information available from public records, we calculated the total facility diversion rate for the Industrial Carting MRF, regardless of which jurisdiction the material came from, as being 33.5% and 34.75%, respectively” and that “[b]ased on public documents we concluded that the diversion rate of C&D only materials at the Industrial Carting MRF amounted to 14.9% in 2009 and 16.66% in 2010“—rates which “are well below industry standards for comparable C&D MRF operations in the Sacramento—San Francisco—San Jose area.” Finally, the Report concluded that “[t]he difference between the recycling diversion rates reported to the jurisdictions by Industrial Carting and the rates we calculated at its MRF should be further explored and analyzed.”
The Industrial Carting public reports attached to and summarized in defendants’ Report, the authenticity of which plaintiff does not dispute, contain charts indicating: (1) for Santa Rosa, the tonnage of “Construction and Demolition Debris” Industrial Carting collected for 2009 and 2010 was exactly the same as the tonnage reported as “Total Recycled,” and a “Total Disposed” tonnage of “0” and a “Recycling Rate” of “100%” was reported for both years; (2) for Rohnert Park, the “Total Tons Collected and Removed” for the periods 2008–2009 and 2009–2010 was the same as the “Total Tons Collected and Removed for Recycling,” and the “Total Tons Collected and Removed for Disposal” was reported as “0“; (3) for Petaluma, for seven of the eight quarters in 2009 and 2010, Industrial Carting reported the same number of “Total Tons Collected” as “Total Tons Diverted,” and it reported “Total Tons Disposed” as “0“; its reported “Diversion Level (%),” which it defined as “Tonnage diverted from disposal divided by tonnage collected, multiplied by 100,” was reported to be “100%“; (4) for Windsor, for 2009,
We pause here to discuss the terms “diversion,” “recycling” and the phrase “diversion rate,” which are used in defendants’ Report and in plaintiff‘s public reports. The Act defines the terms “[r]ecycle” and “recycling” to mean “the process of collecting, sorting, cleansing, treating, and reconstituting materials that would otherwise become solid waste, and returning them to the economic mainstream in the form of raw material for new, reused, or reconstituted products which meet the quality standards necessary to be used in the marketplace.” (
In June 2012, Industrial Carting, Global Materials and their principals filed their complaint. It focused on a former employee of both Industrial Carting and Global Materials named Ernie Carpenter, who is not a party to the appeal. Initially, Carpenter was the only named defendant and was sued along with 20 unnamed Does. The complaint alleged that Carpenter, in violation of a nondisclosure agreement he signed, and after he left Industrial Carting‘s and Global Materials’ employ, disclosed confidential information about their businesses to their competitors. He allegedly falsely reported permit and water quality violations at plaintiffs’ facility to the City of Santa Rosa, resulting in their being investigated by Sonoma County, and allegedly commissioned a report (bearing the same title as the Report) that made “numerous” unspecified “false statements” about Industrial Carting‘s business, along with statements that “were true but which were represented in such a way as to cast [Industrial Carting] in a false light.” His report was “intentionally distributed to harm the reputation of [plaintiff], in the business of refuse and recycling and in the communities in which [plaintiff] compete[s] with [Carpenter‘s] clients.” Carpenter allegedly solicited plaintiff‘s competitors claiming he had confidential information about Industrial Carting and Global Materials that made him valuable as a consultant. The complaint asserted causes of action for breach of employment contract, breach of the duty of loyalty, negligent and intentional interference with contract and prospective economic advantage, trade libel, defamation, trade secret misappropriation and unfair competition. Eventually, Industrial Carting, Global Materials and their principals named Murphy and Intelliwaste in place of the Doe defendants. The complaint did not mention either Murphy or Intelliwaste by name.
The complaint contained two other allegations of false statements that are even less enlightening. It alleged that defendants had “made false and defamatory statements regarding [plaintiffs]” and “[plaintiffs‘] products and services, and use of the Subject Property,” and “knew such statements were
Defendants filed a timely motion to strike the entire complaint against them under the anti-SLAPP statute, section 425.16. Industrial Carting opposed the motion.8 It stated that the only causes of action it was asserting against Murphy and Intelliwaste were for defamation, trade libel, negligent and intentional interference with prospective economic interest and unfair competition. After a hearing followed by supplemental briefing, the trial court issued a written order. It held that defendants met their burden on the threshold issue of whether the challenged causes of action arose from protected activity within the meaning of the anti-SLAPP law. It then held that plaintiff made a prima facie showing of facts that would support a judgment in its favor as to the defamation, trade libel, negligent interference and unfair competition claims against defendants, but not as to the intentional interference claim. In so holding, it rejected defendants’ argument that plaintiff was a “limited purpose public figure” under the First Amendment case law and was therefore required to prove, in addition to the other elements of its claims, “actual malice.” It therefore denied the motion as to all but the intentional interference claim, as to which it granted the motion on the ground that plaintiff failed to make a prima facie showing that defendants intended to disrupt plaintiff‘s potential relationship with the City of Novato.
Defendants timely appealed.
DISCUSSION
Not surprisingly, defendants agree with the trial court‘s ruling that they met their burden to show the causes of action plaintiff asserts against them fall within the protection of the anti-SLAPP law. Specifically, they argue the statements in the Report that are at the crux of all of plaintiff‘s claims against them fall within
Plaintiff contends that the anti-SLAPP statute does not protect the Report because the Report is commercial speech, arguing that while there is no case so holding, our Supreme Court‘s decision in Vegod Corp. v. American Broadcasting Companies, Inc. (1979) 25 Cal.3d 763 [160 Cal.Rptr. 97, 603 P.2d 14] (Vegod) supports its position. Plaintiff devotes the remainder of its brief to arguments in defense of the trial court‘s determinations that it met its burden of showing it had a probability of prevailing on its claims, including that it is not a public figure and is not required to prove malice, that there was in any event sufficient evidence of malice and that it made the required showing that the statements in the Report were susceptible to being proven false and defamatory. Plaintiff also contends it was defendants’ burden to establish that their statements were truthful and that they failed to meet that burden.
I.
The Anti-SLAPP Statute
In its two most recent decisions on the subject, the California Supreme Court described the analysis of a motion brought under the anti-SLAPP law. “California‘s anti-SLAPP statute provides that ‘[a] cause of action against a person arising from any act of that person in furtherance of the person‘s right of petition or free speech . . . shall be subject to a special motion to strike, unless the court determines . . . there is a probability that the plaintiff will prevail on the claim.’ (. . . § 425.16, subd. (b)(1).)” (Baral v. Schnitt, supra, 1 Cal.5th at p. 381.) “The anti-SLAPP statute does not insulate defendants from any liability for claims arising from the protected rights of
Regarding the first step, “[t]he Legislature spelled out the kinds of activity it meant to protect in section 425.16, subdivision (e): ‘As used in this section, “act in furtherance of a person‘s right of petition or free speech under the United States or California Constitution in connection with a public issue” includes: (1) any written or oral statement or writing made before a legislative, executive, or judicial proceeding, or any other official proceeding authorized by law, (2) any written or oral statement or writing made in connection with an issue under consideration or review by a legislative, executive, or judicial body, or any other official proceeding authorized by law, (3) any written or oral statement or writing made in a place open to the public or a public forum in connection with an issue of public interest, or (4) any other conduct in furtherance of the exercise of the constitutional right of petition or the constitutional right of free speech in connection with a public issue or an issue of public interest.‘” (City of Montebello v. Vasquez (2016) 1 Cal.5th 409, 422 [205 Cal.Rptr.3d 499, 376 P.3d 624] (City of Montebello).) “Because of these specifications, courts determining whether a cause of action arises from protected activity are not required to wrestle with difficult questions of constitutional law, including distinctions between federal and state protection of free expression. ‘The only means specified in section 425.16 by which a moving defendant can satisfy the requirement is to demonstrate that the defendant‘s conduct . . . falls within one of the four categories described in subdivision (e), defining subdivision (b)‘s phrase, “act in furtherance of a person‘s right of petition or free speech under the United States or California Constitution in connection with a public issue.“‘” (Ibid.) Thus, “courts determining whether conduct is protected under the anti-SLAPP statute look not to First Amendment law, but to the statutory definitions in section 425.16, subdivision (e).” (Ibid.)
The court has “described [the] second step as a ‘summary-judgment-like procedure.’ [Citation.] The court does not weigh evidence or resolve conflicting factual claims. Its inquiry is limited to whether the plaintiff has stated a legally sufficient claim and made a prima facie factual showing sufficient to sustain a favorable judgment. It accepts the plaintiff‘s evidence as true, and evaluates the defendant‘s showing only to determine if it defeats the plaintiff‘s claim as a matter of law. [Citation.] [C]laims with the requisite minimal merit may proceed.” (Baral v. Schnitt, supra, 1 Cal.5th at
We review anti-SLAPP rulings de novo. (Hecimovich v. Encinal School Parent Teacher Organization (2012) 203 Cal.App.4th 450, 464 [137 Cal.Rptr.3d 455] (Hecimovich); Lanz v. Goldstone (2015) 243 Cal.App.4th 441, 458 [197 Cal.Rptr.3d 227].)
II.
Defendants’ Statements Fall Within the Protection of the Anti-SLAPP Law.
A. The Report Is Speech in Connection with a Public Issue or an Issue of Public Interest Within the Meaning of Section 425.16, Subdivision (e)(4).
As already noted, defendants invoke two categories set forth in section 425.16, subdivision (e) in support of their argument that the anti-SLAPP statute applies: subdivision (e)(2), which protects statements “made in connection with an issue under consideration or review by a legislative, executive, or judicial body, or any other official proceeding authorized by law,” and subdivision (e)(4), which protects “conduct in furtherance of the exercise of the constitutional right of petition or the constitutional right of free speech in connection with a public issue or an issue of public interest.” First, defendants contend that the issue of “diversion rates of various Northern California companies engaged in solid waste collection and recycling,” which the Report addressed, is “under constant review by governmental bodies—both locally and at the state level.” This is so, they argue, because waste hauling and processing companies are heavily regulated at both the state and local level, which regulations include requirements to submit quarterly and annual reports to state and local government entities. Second, defendants contend the Report constitutes “speech in connection with an issue of public interest,” as reflected by the Legislature‘s adoption of laws governing recycling and diversion and by lawsuits and articles addressing those issues. Because, for the reasons we discuss below, we conclude defendants met their burden to show their statements concern a matter of public interest and thus fall within section 425.16, subdivision (e)(4), we need not reach their further argument that the statements were made in connection with review by a government body or official proceeding within the meaning of section 425.16, subdivision (e)(2).
As defendants point out, the subject of limited landfill capacity and the environmental effects of waste disposal in landfills are issues of significant
The Report shed light on these subjects, including whether and to what degree waste hauling companies in Sonoma County were meeting government standards. The Report derived its data from public reports the service providers, including plaintiff, were required by local government to prepare. The Report was not solely focused on plaintiff or its services; rather, it derived, stated and commented on diversion rates reported by the three governmentally authorized providers of C&D hauling and recycling services in four Sonoma County municipalities. According to the Report, more than 12,000 tons of C&D waste were hauled by the three companies for the four municipalities combined in 2009 and more than 15,000 tons in 2010. This is not an insignificant volume of waste. We conclude that whether plaintiff and other providers were diverting the amounts of waste they claimed to be diverting away from landfills by means of recycling or reuse was of significant interest to Sonoma County‘s local government bodies and their citizens.
Plaintiff argues the Report is exempt from the anti-SLAPP statute under
However, plaintiff failed to argue in the trial court that the Report did not fall within subdivision (e)(4). It argued only that its claims based on defendants’ statements were exempt from the anti-SLAPP statute under section 425.17, subdivision (c)—an argument that it raises again on appeal and that we address below. Further, its argument about the public interest category of protected conduct, made for the first time on appeal, consists of only a few paragraphs tucked into its argument about the section 425.17, subdivision (c) exemption, with no separate heading and no clear indication that it means to contest the trial court‘s determination that defendants’ speech was on a subject of public interest. Further, its briefing on the issue is less than adequate, in that it cites but a single case, All One God Faith (which does not support its position), and fails to discuss the substantial body of case law addressing the anti-SLAPP statute‘s public interest category. For all of these reasons, plaintiff has waived the argument and we disregard it on that ground. (People v. Turner (1994) 8 Cal.4th 137, 214, fn. 19 [32 Cal.Rptr.2d 762, 878 P.2d 521] [rejecting arguments asserted “perfunctorily . . . without development and . . . without a clear indication they are intended to be discrete contentions“]; Noble v. Draper (2008) 160 Cal.App.4th 1, 7, fn. 2 [73 Cal.Rptr.3d 3] [“We disregard points not adequately briefed“]; Kelly v. CB&I Constructors, Inc. (2009) 179 Cal.App.4th 442, 451–452 [102 Cal.Rptr.3d 32] [failure to raise issue in trial court or in briefs on appeal].)
But even if we were to consider this “too little, too late” argument, we would reject it. Whether speech has a commercial or promotional aspect is not dispositive of whether it addresses a matter of public interest. (See, e.g., Wilbanks v. Wolk (2004) 121 Cal.App.4th 883, 894, 898-901 [17 Cal.Rptr.3d 497] [statements by defendant author on website used to promote her books encompassed matters of public interest]; ComputerXpress, Inc. v. Jackson (2001) 93 Cal.App.4th 993, 1007–1008 [113 Cal.Rptr.2d 625] [statements by defendants on website regarding publicly traded corporation concerned public issue]; DuPont Merck Pharmaceutical Co. v. Superior Court (2000) 78 Cal.App.4th 562, 567 [92 Cal.Rptr.2d 755] [pharmaceutical company‘s statements regarding its drug, used by millions for a serious condition, were statements on issue of public interest].) As we stated in Hecimovich, supra, 203 Cal.App.4th 450: “Like the SLAPP statute itself, the question whether something is an issue of public interest must be ‘“construed broadly.“’ [Citations.] An ‘“issue of public interest“’ is ‘any issue in which the public is interested.’ ” (Id. at pp. 466–465.) “[T]he term has been broadly construed to include private conduct that impacts a broad segment of society and/or that affects a community in a manner similar to that of a governmental entity.” (Hailstone v. Martinez (2008) 169 Cal.App.4th 728, 737 [87 Cal.Rptr.3d 347].)
Further, plaintiff cites no case, nor are we aware of any, supporting its position that an existing controversy is necessary for speech to be on a matter of public interest. The commonly articulated definitions of “statements made in connection with a public issue” are not limited to speech made in the context of an ongoing controversy. “The first category comprises cases where the statement or activity precipitating the underlying cause of action was ‘a person or entity in the public eye.’ [Citation.] The second category comprises cases where the statement or activity precipitating the underlying cause of action involved ‘conduct that could affect a large number of people beyond the direct participants.’ [Citation.] And the third category comprises cases where the statement or activity precipitating the claim involved ‘a topic of widespread, public interest.‘” (Cross v. Cooper, supra, 197 Cal.App.4th at p. 373, fns. omitted.) None of these categories necessitates a showing of prior controversy. To be sure, the existence of a controversy could indicate a topic is one of public interest. But it is only one relevant factor and is not essential to such a finding.
B. The Report Is Not Exempt as a Representation by a Service Provider to a Customer or in a Regulatory Proceeding About Its Own or Its Business Competitor‘s Services Within the Meaning of Section 425.17, Subdivision (c).
We next address an argument plaintiff did make in the trial court and renews here, specifically its invocation of section 425.17, subdivision (c). That section creates an exemption from the anti-SLAPP statute, as pertinent here, for causes of action brought against persons “primarily engaged in the business of selling . . . services . . . arising from any statement or conduct by that person” if both of the following conditions exist: “(1) The statement or conduct consists of representations of fact about . . . a business competitor‘s
Although it invokes the exception, plaintiff concedes defendants’ speech “does not meet all the requirements of CCP §425.17.” It acknowledges that “defendants were not in the business of waste management.” Thus, plaintiff was not a “business competitor” of defendants as required by section 425.17, subdivision (c). Nonetheless, plaintiff urged the trial court, and requests us, to exclude its causes of action from the anti-SLAPP statute because, it contends, in making the statements defendants were “acting as North Bay‘s agent,” North Bay was a competitor of plaintiff, and “defendants’ statements were commercial in nature.” While further acknowledging there is “no case directly on point,” plaintiff cites Vegod, supra, 25 Cal.3d 763 for the proposition that “speech constituting ‘criticism of commercial conduct’ . . . does not deserve the special protection of the First Amendment.”
Plaintiff overstates the holding in Vegod, which was not that commercial speech critical of another‘s services was entitled to no First Amendment protection but only that it did “not deserve the special protection of the actual malice test.” (Vegod, supra, 25 Cal.3d at p. 770.) That test is not relevant here. Further, Vegod was not an anti-SLAPP case, and the protections afforded by the anti-SLAPP statute are not coextensive with the categories of conduct or speech protected by the First Amendment or its California counterparts (Cal. Const., art. I, §§ 2-4). As our high court recently reaffirmed, “courts determining whether conduct is protected under the anti-SLAPP statute look not to First Amendment law, but to the statutory definitions in section 425.16, subdivision (e).” (City of Montebello, supra, 1 Cal.5th at p. 422, citing Equilon Enterprises v. Consumer Cause, Inc. (2002) 29 Cal.4th 53, 66 [124 Cal.Rptr.2d 507, 52 P.3d 685].) The same is true with respect to the determination whether conduct is exempt from the statute; courts must look not to general First Amendment law, but to the statutory exemptions defined in section 425.17, subdivisions (b) and (c).
Section 425.17, by its terms, is limited to statements by one business competitor about the products or services of another, and requires that the statements be made “for the purpose of” promoting sales of the speaker‘s products. North Bay apparently was a competitor of plaintiff‘s and may well
Nor has plaintiff demonstrated that defendants were agents of North Bay in making their statements. It is undisputed that they provided the Report only to North Bay. They were not requested to and did not provide the Report to any public agency or anyone else on North Bay‘s behalf.12 Nor did defendants have an ongoing relationship with North Bay; they did not work for it before or after preparing the Report. In short, plaintiff fails to establish an agency relationship between defendants and North Bay with regard to the statements made by defendants to North Bay in the Report.
Finally, even if plaintiff could establish an agency relationship, its argument in effect asks us to expand the exemption for business competitors beyond the terms expressly afforded by the state Legislature, or at the very least to interpret the exemption broadly. This we cannot do. Because section 425.17, subdivision (c) is a statutory exemption from section 425.16, it should not be interpreted expansively, much less expanded beyond its terms. Rather we must construe it narrowly. (Simpson Strong-Tie Co. v. Gore, Inc. (2010) 49 Cal.4th 12, 22, 26-33 [109 Cal.Rptr.3d 329, 230 P.3d 1117] [rejecting argument that attorney‘s advertisement stating owners of decks using screws manufactured by plaintiff might have right to compensation was exempt from anti-SLAPP motion under
In a case cited by plaintiff for another proposition, the court rejected an argument similar to plaintiff‘s that it should read section 425.17, subdivision (c) as applying not only to “a person primarily engaged in the business of selling or leasing goods or services,” as the statutory language requires, but also “to ‘someone acting on behalf of’ a person primarily engaged in the business of selling or leasing goods or services.” (See All One God Faith, supra, 183 Cal.App.4th at p. 1213.) The court observed that if the Legislature
The same logic applies here. The statutory exemption covers “a person primarily engaged in the business of selling or leasing goods or services” who makes representations of fact about its own “or a business competitor‘s business operations, goods, or services.” (
We conclude that the Report and the statements it contains do not fall within the exemption from the anti-SLAPP statute set forth in section 425.17, subdivision (c).
III.
Plaintiff Failed to Demonstrate Probability of Success on the Merits.
Defendants having satisfied their threshold burden to show plaintiff‘s causes of action arise from acts in furtherance of the right of free speech within the meaning of the anti-SLAPP statute, the burden shifts to plaintiff to demonstrate a probability of prevailing on its claim. (Vogel v. Felice (2005) 127 Cal.App.4th 1006, 1017 [26 Cal.Rptr.3d 350] (Vogel);
While a plaintiff‘s burden has been described as “‘not high‘” and as requiring a showing of “‘minimal merit,‘” plaintiff must demonstrate that its claim is “legally sufficient” and “that it is supported by a sufficient prima facie showing, one made with ‘competent and admissible evidence.‘” (Hecimovich, supra, 203 Cal.App.4th at p. 469.) “[I]t is not sufficient that plaintiffs’ complaint survive a demurrer. Plaintiffs must also substantiate the legal sufficiency of their claim.” (DuPont Merck Pharmaceutical Co. v. Superior Court, supra, 78 Cal.App.4th 562, 568; see Varian Medical Systems, Inc. v. Delfino (2005) 35 Cal.4th 180, 192 [25 Cal.Rptr.3d 298, 106 P.3d 958] [under § 425.16, the trial court “evaluates the merits of the lawsuit using a summary-judgment-like procedure at an early stage of the litigation“].) Again, our review is de novo. (Lanz v. Goldstone, supra, 243 Cal.App.4th at p. 458.)
The complaint here, at least in regard to some of its claims, is patently insufficient to withstand even a demurrer.13 While the deficiencies in its complaint mean plaintiff “failed to establish the requisite likelihood that [it] could prevail on the merits if allowed to proceed with the lawsuit” (Vogel, supra, 127 Cal.App.4th at p. 1019), here, as in Vogel, “this point was never clearly raised by defendant as a distinct ground for dismissal.” (Ibid.) Even on appeal, defendants raised this issue for the first time in their reply brief. We will therefore follow the path taken by the Vogel court and avoid reliance on the obvious inadequacy of plaintiff‘s complaint, and “proceed to consider whether plaintiff[] carried [its] burden of showing an ability to prove [its] case on the merits.” (Ibid.)
We have already considered and rejected plaintiff‘s argument that defendants’ statements did not address matters of public concern. Because we conclude that it did, plaintiff has the burden of proving the falsity of the statements it contends are tortious. We turn now to whether it has met that burden. In evaluating this question, we are mindful that the requisite showing need not be overwhelming or even strong. But evidence of falsity must be minimally sufficient to support a verdict in a plaintiff‘s favor on the point. (Taus v. Loftus (2007) 40 Cal.4th 683, 745 [54 Cal.Rptr.3d 775, 151 P.3d 1185] [plaintiff “‘must demonstrate that the complaint is both legally sufficient
As we have noted, plaintiff‘s complaint lacks any specification of the allegedly false statements on which plaintiff‘s tort claims against defendants are based. However, plaintiff offered two declarations in the trial court that identify the statements it contends were false. The declaration of Gary Liss, a self-described “Zero Waste consultant” who provided consulting services to Industrial Carting and Global Materials for “over 10 years,” identifies as “false” three statements in defendants’ Report. The declaration does not quote the specific statements but paraphrases them. We understand the declarant to be referring to the following statements in the Report:
(1) “For 2009 and 2010, Industrial Carting reported C&D diversion of 87% for Windsor and 100% diversion with no disposal for the cities of Santa Rosa, Rohnert Park, and Petaluma. These numbers exceed industry standard benchmarks and we consider the data not credible without further detailed information from the company.” (2) “For 2009 and 2010, based on information available from public records, we calculated the total facility diversion rate for the Industrial Carting MRF, regardless of which jurisdiction the material came from, as being 33.5% and 34.75%, respectively.”
(3) “Based on public documents we concluded that the diversion rate of C&D only materials at the Industrial Carting MRF amounted to 14.90% in 2009 and 16.66% in 2010.”
The problem with the first statement, according to Liss, is that it “essentially states that [Industrial Carting] is falsely reporting and is lying about its diversion rates, and ignores that these are two separate entities.” The problem with the second and third are that Industrial Carting “does not operate a MRF,” and “[i]t is impossible to determine the [Global Materials] MRF facility diversion rate from the reports allegedly relied on by [defendants] or from other public records.”
The declaration of Industrial Carting/Global Materials business manager Lisa Hardin, also submitted by plaintiff, likewise describes defendant Murphy‘s approach in calculating diversion rates as “fundamentally flawed, in that he is taking regulatory reporting from the two separate companies and for separate purposes, and treating them as if they were the same company and further makes the assumption that he has the total volume of materials hauled and processed by both companies. None of these assumptions are true.” Hardin, too, claims “[i]t is impossible to derive a diversion rate for any of the municipalities which [Industrial Carting] serves by using the information and
The legal question we must address is what it means to prove falsity in this context. Defendants cite Vogel, supra, 127 Cal.App.4th 1006. There, the plaintiffs, Vogel and Grannis, were candidates for public office who claimed statements about them posted on the defendant‘s website were defamatory. (Id. at p. 1010.) In opposition to the defendant‘s anti-SLAPP motion, Vogel claimed the statement that he was “““WANTED as a Dead Beat Dad“,” and “owe[d] Wife and kids thousands““” (id. at p. 1012) was false “in that I do not owe my wife and kids thousands.” (Ibid.) Grannis claimed the statement that he was “‘Bankrupt, Drunk & Chewin’ tobaccy‘” was “‘false and highly offensive in that I am not an alcoholic or chew tobacco.‘” (Ibid.)
The Court of Appeal held Vogel and Grannis “failed to make a prima facie showing that the statements were substantially false.” (Vogel, supra, 127 Cal.App.4th at p. 1021.) The plaintiffs “could not demonstrate their ability to succeed on the merits without (1) identifying statements that conveyed a provably false and defamatory imputation, and (2) presenting evidence that the statements were in fact substantially false, i.e., diverged from the true facts in and to such manner and degree as to produce a more damaging effect on the mind of the reader than would the truth.” (Ibid.) “Neither plaintiff came close to carrying this burden.” (Ibid.)
Analyzing Vogel‘s evidence, the court explained: “The primary factual assertions identified by plaintiff Vogel as false were that he was a ‘deadbeat dad’ and ‘wanted’ as such, and that he ‘owes Wife and kids thousands.’ His only evidence concerning the true facts was the averment, ‘I do not owe my wife and kids thousands.’ This is a ‘negative pregnant,’ i.e., ‘a denial of the literal truth of the total statement, but not of its substance.’ (5 Witkin, Cal. Procedure (4th ed. 1997) Pleading, § 995, p. 451.) By denying a debt in a specified amount, it leaves open the possibility of a debt in some other, perhaps substantially equivalent, amount.” (Vogel, supra, 127 Cal.App.4th at pp. 1021-1022.) “Further, the use of the conjunction ‘and’ in both the challenged statement and the denial raises a hosts of difficulties. In all likelihood the meaning of the challenged statement was that Vogel‘s combined debt to both his wife and children was at least $2,000. But the use of ‘and’ in Vogel‘s denial (‘I do not owe my wife and kids thousands‘) could mean a number of things: (1) the combined debt to his wife and children is less than $2,000; (2) the debt to his children is less than $2,000, but the debt to his wife may be greater; or (3) the debt to his wife is less than $2,000, but the debt to his children may be greater. This ambiguity becomes all the more
The Vogel court‘s analysis of Grannis‘s declaration was similar: “Plaintiff Grannis tacitly admitted the substantial truth of describing him as ‘bankrupt‘; certainly he did not deny that he had filed a bankruptcy petition as asserted in defendant‘s moving papers. And he failed to demonstrate any substantial falsity in the characterization ‘Drunk and Chewin’ tobaccy.’ He described this characterization as false, but never stated the true facts to which the statement would have to be compared in order to establish its substantial falsity. He denied being an alcoholic, but not that he consumed alcohol to the point of inebriation, or that he had done so often, or that he liked to do so. Similarly, he used only the present tense in denying that he chewed tobacco; for all the record shows, he might have chewed it in the very recent past, and might intend to chew it again in the future.” (Vogel, supra, 127 Cal.App.4th at pp. 1022-1023.)
Vogel demonstrates that mere assertions that a statement is “false,” even in sworn declarations, do not satisfy a plaintiff‘s burden to demonstrate falsity. As the court there put it, the “simple negation of the challenged statement fails to fairly meet its substance.” (Vogel, supra, 127 Cal.App.4th at p. 1024, fn. 7.) More specifically, Vogel supports defendants’ argument that, in order to make a prima facie showing the falsity of defendants’ statement that Industrial Carting‘s reported diversion rates were “not credible,”15 plaintiff was required to do more than it did.
Focusing on the first allegedly defamatory statement—that plaintiff‘s reported diversion rates of 100 percent for three municipalities and 87 percent for a fourth are not credible—plaintiff‘s declarants negated defendants’ statements, saying they were false. They also described what they described as flaws in defendants’ methodology. But they did not “fairly meet the substance” of defendants’ statements that plaintiff‘s reported 100 percent and 87 percent rates were not credible. To do that, plaintiff would have to have provided some evidence of its actual diversion rates or at least some
Without knowing the actual percentages of material Industrial Carting hauled that were in fact recycled or otherwise diverted from a landfill, we cannot determine whether defendants’ assertion that the 100-percent and 87-percent rates plaintiff reported were not credible was “substantially false.” For example, if 99 percent of the trash plaintiff hauled from Santa Rosa, Petaluma and Rohnert Park was in fact recycled or otherwise diverted from landfill, defendants’ suggestion that its reported 100-percent rate was not credible would be substantially false. If on the other hand, only 65 percent of the trash plaintiff hauled from those jurisdictions was in fact diverted, then defendants’ statement that Industrial Carting‘s reported rate of 100 percent was not credible would be quite accurate.
Neither the Liss declaration nor the Hardin declaration provide any information about the actual percentage of the waste Industrial Carting collected that was recycled or otherwise diverted from a landfill. Most significantly, these declarants do not state that 100 percent of the C&D waste material Industrial Carting hauled for Santa Rosa, Petaluma and Rohnert Park in 2009 and 2010 or 88 percent of the material it hauled for Windsor in 2010 was actually recycled or that none of it (or for Windsor only 12 percent) was ultimately disposed in a landfill. Yet neither do they dispute that Industrial Carting reported recycling and diversion rates of 100 percent and zero “disposal” for Santa Rosa, Petaluma and Rohnert Park in 2009 and 2010, and a rate of 88 percent for Windsor for 2009.
Plaintiff offers no evidence showing the tonnage or percentages of waste it collected that it reported as having been recycled, diverted and disposed were in fact recycled and diverted, as those terms are used in the Act. As defendants point out, the statutory definitions of the terms “diversion,” “recycling” and “disposal” are consistent with defendants’ usage in their Report. As discussed above, the Act defines “divert” to mean to reduce or eliminate the amount of solid waste deposited in a landfill, and defines “recycle” to mean to sort, cleanse, and reconstitute materials that would otherwise become solid waste, and return them as raw material for use in products.
Hardin states, however, that Santa Rosa, Petaluma and Rohnert Park permitted Industrial Carting to report 100 percent as recycled or diverted so long as it had “delivered” all of the debris it collected “to the [Global Materials] MRF for ‘recycling‘” such that it was “out of Industrial Carting‘s custody and control.” In other words, defendants’ Report is false, according
These statements by Hardin do not demonstrate the Report was false. The Report does not purport to interpret Industrial Carting‘s contracts with the local governments; nor does it assert that plaintiff breached any of those contracts. Further, it attaches the specific Industrial Carting reports on which it is relying. Not only was the Report transparent regarding defendants’ sources,16 it was transparent about defendants’ methodology. It did not accuse Industrial Carting of false reporting. It did question the diversion and recycling rates reported by Industrial Carting, and in doing so assumed—according to plaintiff, inaccurately—that the use of the terms “disposed,” “recycled” and “diverted” in Industrial Carting‘s public reports was consistent with their usage in the relevant statutes and, apparently, in the industry.17 Plaintiff complains about this assumption but fails to explain why it was false.
Plaintiff‘s position boils down to this: Defendants took plaintiff‘s reports to mean that 100 percent of the C&D waste Industrial Carting had hauled from Santa Rosa, Petaluma and Rohnert Park in 2009 and 2010, and 88 percent of what it hauled from Windsor in 2009, was actually being recycled and diverted from a landfill. Instead, defendants should have divined that plaintiff‘s reports meant something quite different: that 100 percent and 88 percent of the waste had been delivered to a facility that would recycle or
In sum, plaintiff has failed to show that it in fact “recycled” or “diverted” 100 percent (or for Windsor, 88 percent) of the C&D waste it hauled or an amount representing percentages close to those it reported, as defendants used those terms in the Report. Nor has it shown that defendants’ implicit interpretation of plaintiff‘s reports to local governments, to be using those terms according to their statutory meaning, was false or misleading. Plaintiff has thus failed to make a prima facie showing of the falsity of the Report‘s statement that plaintiff‘s reported diversion rates were not credible.
We now turn to the second and third statements about which plaintiff complains: the Report‘s estimates of the diversion and recycling rates for the “Industrial Carting MRF” for 2009 and 2010 at 33.50 percent and 34.75 percent, respectively, and the estimates of the diversion and recycling rates for C&D materials in particular as 14.90 percent and 16.66 percent for those years. Plaintiff has failed to show that defendants’ estimates of the MRF‘s diversion and recycling rates are false.
Liss‘s declaration criticizes the Report for referring to the MRF as the “Industrial Carting MRF” when it is Global Materials, not Industrial Carting, that operates the MRF. Of course, that alone hardly renders the Report defamatory.18 But the overarching point made in the Hardin and Liss declarations regarding Industrial Carting‘s operations is that, because the companies are engaged in separate businesses, because they haul (Industrial Carting) and process (Global Materials) waste from different sources, and
Plaintiff‘s criticism misses the boat by ignoring what the figures in the Report represent. The Report does not purport to “derive a diversion rate for any of the municipalities which [Industrial Carting] serves“; rather, it states that “we calculated the total facility diversion rate for the Industrial Carting MRF, regardless of which jurisdiction the material came from.” (Italics added.) It does not equate the “total facility diversion rate for the Industrial Carting MRF” with diversion rates for the waste Industrial Carting hauled under contract with municipalities; rather it states that “[t]he difference between the recycling diversion rates reported to the jurisdictions by Industrial Carting and the rates we calculated at its MRF should be further explored and analyzed.” (Italics added.) This renders Hardin‘s criticism that the Global Systems reports defendants used do not reflect the diversion rates for particular jurisdictions or for materials received by the MRF from Industrial Carting alone irrelevant.
Further, as defendants point out, neither the Liss nor Hardin declaration states what the Global Materials MRF‘s actual diversion or recycling rates were—either for all materials or for C&D debris only—during the years in question. Instead, Hardin claims “the figures stated by Intelliwaste/Murphy are below the mandated diversion rates for municipalities and the [Global Materials] permit, are portrayed out of context and falsely make each of the companies look as if they are generally failing in the diversion work that they do.” Indeed, Hardin‘s statement that the figures “are portrayed out of context” implies the estimates are accurate. The closest Hardin comes to saying the estimates are inaccurate is her assertion that “[e]ach company, independent of the other, during 2009 and 2010, met or exceeded any diversion rate” required by “the state or the [Global Materials] permit.” This also falls far short. Without any explanation of how the “diversion goal required by the state or the [Global Materials] permit” relates to the estimates set forth in the Report, one cannot conclude that the estimates were “substantially false.” Among other things, plaintiff makes no effort to demonstrate that the goals set by the state or Global Materials’ permit targeted the same categories defendants estimated, i.e., “the total facility diversion rate for the Industrial Carting MRF, regardless of which jurisdiction the material came from” and “the diversion rate of C&D only materials at the . . . MRF.” Even assuming they address the same categories, the degree to which the goals Hardin claims plaintiff met exceeded the diversion rates defendants estimated is nowhere stated. If defendants’ diversion rate estimates are only slightly below the permit goals, then they cannot be said to be “substantially false.”
In the end, plaintiff‘s showing fails to make out a prima facie case of falsity regarding defendants’ estimated diversion rates. Plaintiff has failed to provide evidence sufficient to support a finding that defendants’ estimates are substantially false. For this reason, plaintiff failed to carry its burden of substantiating a valid cause of action. Because this determination alone requires that the order denying the special motion to strike be reversed, we need not reach defendants’ further argument that plaintiff was a limited purpose public figure and was therefore required to plead and prove malice.
DISPOSITION
The order denying defendants’ special motion to strike under the anti-SLAPP statute as to plaintiff Industrial Carting is reversed and this matter is remanded with directions to the trial court to grant the motion. Defendants shall recover their costs on appeal.
Kline, P. J., and Miller, J., concurred.
