Opinion
In this consolidated appeal, Dr. Mitchell (appellant) appeals the dismissal of his three separate state court actions against Frank R. Howard Memorial Hospital (the Hospital) and several named individuals affiliated with the Hospital (collectively respondents). The first action was dismissed for failure to bring it to trial within five years (Code Civ. Proc., *1399 § 583.310); the second action was dismissed for failing to serve the complaint within two years (Code Civ. Proc., § 583.420, subd. (a) (1)); and the third action was dismissed because all applicable statutes of limitations had run. We affirm.
I. Facts
Because the procedural history of appellant’s numerous lawsuits are intertwined, we will attempt to give a brief chronology of the pertinent events. In accordance with well-settled rules governing demurrers, we will accept the truth of appellant’s well-pled allegations, but not his opinions and conclusions.
(Gruenberg
v.
Aetna Ins. Co.
(1973)
Each of appellant’s lawsuits arises from the same set of facts. From July 1980 until August 1985, appellant served under oral contract as the radiologist for the Hospital, a 38-bed facility that is the only hospital in the rural town of Willits, Mendocino County, California. Substantial differences developed between appellant and the Hospital over the terms of appellant’s employment. When negotiations broke down, the Hospital began searching for a new radiologist. Appellant was given notice that unless he accepted the Hospital’s terms of employment, he would no longer be allowed to provide radiology services at the Hospital. On April 2, 1986, the Hospital’s board of directors awarded an exclusive contract for full-time radiology services to Dr. Steven Wentworth.
State Action No. 1
On August 30, 1985, appellant filed a lawsuit against respondents asserting numerous causes of action, including interference with his right to practice his profession, breach of contract, breach of the implied covenant of good faith and fair dealing, breach of fiduciary duty, fraud, wrongful termination, invasion of privacy, and accounting. Respondents answered the complaint and asserted several affirmative defenses. Thereafter, on three separate occasions, appellant unsuccessfully sought preliminary injunctive relief to prevent the Hospital from entering into an exclusive contract with any other radiologist. Each time the trial court found that appellant had failed to show irreparable harm would result from the termination of his radiology agreement and that monetary damages would afford him adequate relief. Significantly, the court also found that appellant had failed to show the likelihood of prevailing on the merits of his action.
Discovery commenced, and appellant began taking depositions, requesting documents, and responding to interrogatories. After June 1986, there was no further activity in State Action No. 1 until March 1990.
*1400 Federal Action
On October 7, 1986, appellant filed a federal action against respondents. (Mitchell v. Frank R. Howard Memorial Hospital, N.D.Cal. No. 86-5790 JPV.) This action, as amended, contained three antitrust claims under state and federal law, two religious discrimination claims under state and federal law, the eight state common law claims asserted in State Action No. 1, plus two additional state common law claims for defamation and interference with prospective economic advantage. On March 4, 1987, the federal district court granted summary judgment on the federal antitrust claims, finding the Hospital had no substantial involvement with interstate commerce to support Sherman Act jurisdiction. The court also dismissed the federal religious discrimination claims because appellant, as an independent contractor, had no “employment relationship” that was protected under title VII. With the dismissal of appellant’s federal claims, there was no longer any pendent jurisdiction over the remaining state law claims; consequently, appellant’s federal action was dismissed in its entirety.
In August 1988, the Ninth Circuit affirmed the dismissal of the federal antitrust claim but reversed as to the discrimination claim, finding that appellant’s relationship to the hospital, as alleged, was sufficiently employment-like to support title VII jurisdiction. (See
Mitchell
v.
Frank R. Howard Memorial Hospital
(9th Cir. 1988)
Upon remand to the federal district court, appellant filed a second amended complaint reasserting the federal and state discrimination claims, the 10 state common law claims and the state antitrust claims. The Hospital moved for summary judgment on the discrimination claims, based on the undisputed fact that appellant repeatedly refused the Hospital’s offer of the same contract ultimately awarded Dr. Wentworth. At the hearing in October 1989, the court expressed skepticism that appellant could prove his claim of religious discrimination. Nevertheless, a ruling on the Hospital’s motion for summary judgment was deferred to accommodate appellant’s request to take more depositions. The court warned appellant that if evidence of religious discrimination was not adduced, sanctions would be levied. Rather than proceeding with depositions, appellant secured respondents’ stipulation to a dismissal of his federal claims with prejudice and all other state claims without prejudice. On December 26, 1989, the court dismissed the federal action in accordance with the parties’ stipulation.
*1401 State Action No. 2
During the discussions leading to the dismissal of the federal action, appellant disclosed for the first time that two and a half years earlier, on May 11, 1987, he had filed, but not served, a second state court action against respondents. That action included appellant’s state antitrust claim and his state religious discrimination claim, as well as the two additional claims— for defamation and interference with prospective economic advantage—that had first been asserted in the federal action. All respondents acknowledged service of the first amended complaint on March 6, 1990, two years and ten months after it was filed.
In April 1990, the respondents moved to dismiss based upon appellant’s failure to serve the respondents within two years of the date he filed the complaint. (See Code Civ. Proc., § 583.420.) On July 31, 1990, the court granted respondents’ motion to dismiss for failure to prosecute, finding appellant’s failure to serve was “unexcused.” Appellant appeals the dismissal of this action.
Further Proceedings in State Action No. 1
In the meantime, after almost four years of inactivity, Dr. Mitchell attempted to revive State Action No. 1 by filing an amended complaint on March 28,1990. On May 8, 1990, respondents demurred to various causes of action. Concurrently, appellant filed a motion to specially set the case for trial before August 30, 1990, the five-year deadline for bringing the case to trial, or in the alternative, to extend the five-year period. (See Code Civ. Proc., § 583.310.) On June 4, 1990, following oral argument, the court issued its order denying appellant’s motion to specially set the case for trial. On July 2, 1990, the court entered its order granting respondents’ demurrer to certain causes of action, but denying it as to others.
On July 13, 1990, appellant attempted to renew his motion to specially set the case for trial. The court denied appellant’s request, and in doing so, set out its reasoning: “Well, here’s the deal: The reason I denied the motion was because I felt that there was a lack of diligence on the part of the plaintiff in pursuing the action. The [federal] district court basically gutted the federal action long, long ago. And then it went up and was sitting in the court of appeals for a couple of years. It seems to me that, at this late stage of the game, to expect the court that is already overburdened with cases to create a great big hole in its calendar so it can hear this case in a month or two is really very unrealistic and unfair. [][]... [W]e have a problem dealing with cases that are pursued diligently, not to mention cases that are allowed to sit *1402 on the shelves and gather dust.” The court then dismissed the case on its own motion. A judgment of dismissal for failure to bring this action to trial within five years was signed on September 10, 1990. Appellant appeals from the dismissal of this action.
State Action No. 3
On September 14, 1990, appellant filed yet another complaint in state court which contained all of the causes of action asserted in State Action No. 1 and State Action No. 2, with the exception of appellant’s wrongful discharge and discrimination claims. Respondents demurred to all of the causes of action alleged in the complaint on the ground that applicable statutes of limitations had long since run. On March 21, 1991, the trial court entered its judgment sustaining respondents’ demurrer without leave to amend on the ground that appellant’s action was time barred. Appellant appeals from the dismissal of this action.
II. Discussion
Dismissal of State Action No. 1
In arguing State Action No. 1 was improperly dismissed, appellant insists the court below should have excluded the time spent in federal court when calculating the five-year deadline for bringing the case to trial. In addition, appellant argues that the court abused its discretion in not granting his requests to specially set the case for trial and in denying his request to file an at-issue memorandum, as he had diligently pursued his claims against respondents.
In reviewing the lower court’s dismissal of this action for failure to prosecute, the burden is on appellant to establish an abuse of discretion.
(Blank
v.
Kirwan
(1985)
Code of Civil Procedure section 583.310 requires an action to be brought to trial within five years after it is commenced. Appellant, in essence, argues that the diligent pursuit of his later filed, virtually identical, federal action prevented him from getting this state court action ready for trial. He claims that until his federal action was resolved, including an appeal all the way to the United States Supreme Court, it was “impossible, *1403 impracticable, or futile” to bring the state action to trial. (Code Civ. Proc., § 583.340, subd. (c).) The critical factor, appellant claims, is that he exercised reasonable diligence in prosecuting his claims against respondents; consequently, he should be given a trial on the merits.
It has been recognized “that even though the same cause of action is asserted in two separate suits, a stay or an appeal in one action will not toll the five-year period in the second case and each action is separately subject to the five-year period. [Citations.]”
(Nassif v. Municipal Court
(1989)
On appeal, plaintiff argued that the four years during which he pursued his federal action should be excluded from the five-year computation because simultaneous prosecutions in both the state and federal forums would have been excessive and unreasonable. The appellate court rejected this argument, pointing out that plaintiff “chose to use two forums for essentially the same litigation and now seeks to avoid the penalty for its lack of diligence in prosecuting its second action—the one before us—by setting up as an excuse the pendency of its first action—the federal action.”
(Manor Drug Stores
v.
Blue Chip Stamps, supra,
The court in
Martin v. K & K Properties, Inc.
(1987)
We find the reasoning of Manor Drug Stores and Martin compelling. When a party makes a strategic decision to file identical actions in two forums, no judicial encouragement should be given to seeking a definitive ruling in one forum while allowing the case in the second forum to gather dust. Indeed, any ruling that it is “impracticable and futile” to prepare a case for trial because pertinent legal issues are being decided in another forum would sanction the indefinite postponement of preparing the dormant case for trial. This result would run contrary to the substantial and important policy in California requiring the expeditious resolution of litigation.
Appellant attempts to avoid the severe consequences of dismissal by relying on a number of cases where circumstances beyond a litigant’s control intervened and induced the litigant to refrain from diligent prosecution. (See, e.g.,
Holland
v.
Dave Altman’s R.V. Center
(1990)
Under similar reasoning, because of appellant’s lack of diligence, the trial court was not required to look favorably on his belated motions designed to expedite the case for trial. Our Supreme Court in
Salas
v.
Sears, Roebuck & Co.
(1986)
Dismissal of State Action No. 2
In arguing State Action No. 2 was improperly dismissed, appellant concedes that respondents’ whereabouts were known and they could have been served within the two-year statutory period; nevertheless, he points out respondents had adequate notice of the claims in State Action No. 2 because of the pendency of identical claims in the federal action. Appellant goes on to argue that the pendency of the federal action made it “impracticable . . . or futile” to serve respondents, since “no proceedings in state court were going to be prosecuted until the federal action was completed . . . .” He urges us to overturn the dismissal of this action, claiming respondents did not show they were prejudiced by the protracted delay in service.
Code of Civil Procedure section 583.420, subdivision (a)(1) confers discretion on the trial court to dismiss an action for delay in prosecution if, among other things, “[sjervice is not made within two years after the action is commenced against the defendant.” “[T]o avoid dismissal, a plaintiff who has delayed prosecution beyond the discretionary deadlines must make some showing that the lack of activity was excusable. [Citations.]”
(Trailmobile, Inc.
v.
Superior Court
(1989)
As with State Action No. 1, appellant has relied almost exclusively on his pursuit of identical claims in the federal action to justify his inactivity in this case. By parity of reasoning, appellant’s arguments are unconvincing. The fact that respondents were aware of the claims asserted in the federal action neither excuses appellant’s protracted delay in serving this action nor does it negate the prejudice inherent in such a delay. (See
Kuchins
v.
Hawes
(1990)
Finally, when the factors enumerated in rule 373(e) of the California Rules of Court are considered, it is clear the court did not abuse its discretion. It is conceded that respondents were always available for service, and appellant’s failure to serve State Action No. 2 for two years and ten months after the complaint was filed was intentional. There were no settlement negotiations or discovery conducted in this case. The case does not appear to present any complex legal or factual problems. As indicated above, the pendency of the federal action did not justify appellant’s inactivity. We have no doubt that justice is best served by a dismissal of this action.
Dismissal of State Action No. 3
In arguing State Action No. 3 was improperly dismissed, appellant claims that the statutes of limitation on the various causes of action were equitably tolled by the pendency of the federal court action. He also claims the trial court abused its discretion by not giving him an opportunity to amend his complaint to allege additional facts pertaining to the issue.
In
Addison
v.
State of California
(1978)
The central question here is whether appellant’s failure to file State Action No. 3 within the limitations period was the result of good faith and reasonable conduct. In Addison, the Supreme Court stressed plaintiff’s good faith and reasonable conduct was demonstrated by the timely filing of his state court action only one week after the federal court declined to exercise *1407 pendent jurisdiction. The procedural history of this case presents the flip side of Addison. By the time appellant filed State Action No. 3, his two other virtually identical state actions had already been dismissed for failure to prosecute and more than nine months had lapsed since he dismissed his federal action after receiving a warning from the federal court that he would be required to adduce facts supporting his federal claim. While we know of no California case dealing with similar facts, we find instructive a pair of cases from the Ninth Circuit which apply California law on equitable tolling.
In
Bacon
v.
City of Los Angeles
(9th Cir. 1988)
Similarly, in
Ervin
v.
Los Angeles County
(9th Cir. 1988)
The underlying assumption of these cases is that when the plaintiff has several alternative remedies and makes a good faith, reasonable decision to pursue one remedy in order to eliminate the need to pursue the other, the doctrine of equitable tolling will suspend the running of the statue of limitations if it becomes necessary to pursue the alternative remedy. However, equitable tolling is not available to a plaintiff whose conduct evidences an intent to delay disposition of the case without good cause; and it is certainly not available to a plaintiff who engages in the procedural tactic of
*1408
moving the case from one forum to another in the hopes of obtaining more favorable rulings. It is clear appellant falls into the second category of plaintiffs, and granting appellant leave to amend will not help to overcome the fundamental facts as they appear on this record. (See
Blank
v.
Kirwan, supra,
The judgments of dismissal in all three actions are affirmed.
Strankman, R J., and Newsom, J., concurred.
Appellant’s petition for review by the Supreme Court was denied August 26, 1992.
Notes
See also
Salinas
v.
Atchison, Topeka and Santa Fe Ry. Co.
(1992)
disapproved on unrelated grounds in
Denham
v.
Superior Court
(1970)
