OLD REPUBLIC CONSTRUCTION PROGRAM GROUP, Plaintiff and Respondent, v. THE BOCCARDO LAW FIRM, INC., et al., Defendants and Appellants.
No. H037989
Sixth Dist.
Oct. 21, 2014
230 Cal. App. 4th 859
The Boccardo Law Firm, John C. Stein and Linda S. Votaw for Defendants and Appellants.
OPINION
RUSHING, P. J.--Defendants The Boccardo Law Firm, Inc. (Boccardo), and one of its partners, John C. Stein, bring this appeal from an order denying their motion under the anti-SLAPP law (
BACKGROUND
A. The Carabello Action
Defendants Boccardo and Stein filed an action for damages in San Joaquin Superior Court on behalf of Albert Carabello, alleging that he had been injured when his pickup collided with a vehicle operated by Beverly Casby, the defendant in that action.1 Casby was insured under a policy of automobile insurance with liability coverage of $100,000.
It is apparently undisputed that at the time of the collision, Carabello was acting in the course and scope of his employment. Plaintiff Old Republic was the workers’ compensation insurer for Carabello‘s employer. It provided
In answer to both Carabello‘s and Old Republic‘s complaints, Casby raised the affirmative defense of Witt v. Jackson (1961) 57 Cal.2d 57 [17 Cal.Rptr. 369, 366 P.2d 641], which limits the ability of an employer, or its insurer, to obtain reimbursement out of an injured worker‘s recovery against a third party where the employer‘s own negligence contributed to the worker‘s injuries. (See 2 Witkin, Summary of Cal. Law (10th ed. 2005) Workers’ Compensation, § 92, pp. 653-655; Levels v. Growers Ammonia Supply Co. (1975) 48 Cal.App.3d 443 [121 Cal.Rptr. 779].)
Carabello and Casby agreed to settle the case for her $100,000 policy limits. Old Republic‘s claim to reimbursement, however, remained unresolved. Accordingly, Casby‘s insurer made the settlement check payable to Carabello, Boccardo, and Old Republic. Stein and counsel for Old Republic therefore signed a written stipulation stating “that the $100,000.00 settlement money . . . will be deposited into an interest bearing account” and that “[s]ignatures of both parties will be required to withdraw any money.” It was apparently understood that the funds would be placed in defendants’ client trust account. The settlement check was duly endorsed and deposited.
On December 14, 2009--the same day he signed the stipulation--counsel for Old Republic filed a motion “for apportionment of settlement proceeds,” to be heard on January 10, 2010. The motion asserted an entitlement to the entire settlement fund, but did not mention the issue of employer negligence. Stein later asserted that he objected to the motion at a December 18 case management conference, arguing that it “was not well taken because, as part of the settlement agreement, we had agreed to litigate against the Intervener and fully assert Witt v. Jackson[, supra,] [57] Cal.2d 57, as a defense to their lien.” According to him, the court set August 9, 2010, for a “[t]rial of that matter,” to be preceded by a mandatory settlement conference on July 6, 2010.
After the December conference, Old Republic withdrew its motion for apportionment. About a month later, on January 19, 2010, counsel for Old Republic filed a notice of lien seeking to recover $111,026.33 “against any settlement of [sic] judgment in this action.” At the same time, counsel filed a request to dismiss Old Republic‘s complaint in intervention with prejudice. The record contains no explanation for this action. Nor does it show that Old Republic notified Boccardo or Stein of the dismissal. About three weeks later, Stein dismissed the Carabello complaint with prejudice. The request recited that it was made “[a]s to defendants Beverly Casby and Gerald Casby only”
The trial court apparently conducted a settlement conference on July 6, 2010. Stein later asserted that it was during this conference, or shortly before it, that he became aware of Old Republic‘s dismissal of the complaint in intervention. Upon learning of it, he sought a hearing on shortened time for a motion authorizing release of the settlement funds to Carabello. He argued that by dismissing its pleading, Old Republic had forfeited any right to litigate the issue of employer negligence, and thus to recover on its lien. The trial court, however, concluded that the dismissal of all affirmative pleadings had deprived it of any power to grant the requested relief. In a formal order the court wrote, “This case has been dismissed in its entirety. This Court has no further jurisdiction.” It does not appear that either party sought relief from this order.
On July 9, 2010, Stein wrote to counsel for Old Republic indicating that he intended to distribute the deposited funds.2 He again asserted that by dismissing its complaint Old Republic had given up the right to seek reimbursement. He took issue with a prior assertion by opposing counsel “that the matter can be litigated before the WCAB [(Workers’ Compensation Appeals Board)].” He offered to forbear from withdrawal for one week to “give you time to go to the WCAB and get a Restraining Order prohibiting me from disbursing my settlement.” Old Republic apparently did nothing. On July 28, Stein wrote that having just received the court‘s formal order disclaiming the power to grant relief, he was disbursing the funds to his client forthwith.
B. The Workers’ Compensation Board Petition
On September 14, 2010, Old Republic petitioned the WCAB (Workers’ Compensation Appeals Board) to order disbursement of the settlement proceeds. Stein filed a trial brief in which he conceded that the WCAB had jurisdiction to determine Old Republic‘s entitlement to credit against future benefits. He argued, however, that the superior court had exclusive jurisdiction to determine the Witt v. Jackson issues as they might affect the existing settlement proceeds, and that Old Republic had lost the opportunity to secure an adjudication of that issue by dismissing its complaint in intervention.
On February 2, 2011, a workers’ compensation judge denied Old Republic‘s petition for disbursement. He found that the settlement funds had already been
C. The Present Action
Old Republic filed the complaint in this matter on June 16, 2011. Although it names only Boccardo and Stein as defendants, it alleges that the stipulation of December 14, 2009, was a binding contract “between plaintiff, Albert Carrabello [sic], and The Boccardo Law Firm.” The first cause of action alleges that “defendants“--i.e., Boccardo and Stein--breached this contract “by disbursing the settlement proceeds without the signature and/or consent of [Old Republic].” The second cause of action charges defendants with fraudulently inducing Old Republic to assent to the placement of funds in Boccardo‘s trust account by falsely promising not to distribute funds “until both parties agreed in [sic] the distribution amount.” The third cause of action characterizes defendants’ distribution of the funds as conversion. The fourth posits that defendants’ withdrawal of funds breached a fiduciary duty to Old Republic. The fifth alleges that defendants breached a duty of care to Old Republic by “negligently and carelessly distribut[ing] the funds” without Old Republic‘s consent. The sixth cause of action seeks declaratory relief, in that Old Republic “conten[d]s it is entitled to some or all of the settlement proceeds and defendants contend that plaintiff is not entitled to any and has [sic] in fact distributed the settlement proceeds.”
On August 5, 2011, defendants demurred to all causes of action. The court sustained the demurrer with leave to amend as to the third cause of action (conversion) and fourth cause of action (breach of fiduciary duty) on grounds of failure to state facts sufficient to constitute a cause of action. The demurrer was otherwise overruled. Old Republic did not amend the complaint.
On November 8, 2011, defendants filed a motion to dismiss the remaining causes of action under the anti-SLAPP law (§ 425.16). They prayed in the
DISCUSSION
I. Procedural Framework
The anti-SLAPP law authorizes a defendant to bring a “Special Motion to Strike” any cause of action “arising from any act of [the defendant] in furtherance of [the defendant‘s] right of petition or free speech . . . in connection with a public issue.” (
The statute thus mandates a two-step analysis. The first step is to determine whether the moving party has shown that the targeted cause of action arises from conduct protected by the statute. (Martinez v. Metabolife Internat., Inc. (2003) 113 Cal.App.4th 181, 186 [6 Cal.Rptr.3d 494].) If the answer is yes, the court considers whether the plaintiff has established the requisite probability of success. (Ibid.) As to both questions, a reviewing court applies its independent judgment, without deference to the trial court‘s ruling. (Cabral v. Martins (2009) 177 Cal.App.4th 471, 478 [99 Cal.Rptr.3d 394].) Of course, there is no occasion to consider the likelihood of success unless the action arises from protected activity.
II. For Purposes of the Anti-SLAPP Statute, the Challenged Causes of Action Arose from Defendants’ Withdrawal of Funds, Not from the Parties’ Stipulation
We are concerned on this appeal with only three of Old Republic‘s six original causes of action: breach of contract, negligence, and declaratory relief. The question whether these causes of action arise from protected activity involves two subsidiary inquiries: (1) From what acts or omissions do these causes of action arise, for purposes of applying this statute; and (2) do those acts or omissions come within the statute‘s definition of protected conduct? With respect to the first question, defendants assert at one point in their brief that the targeted causes of action “all aris[e] from [the] stipulation” which resulted in the deposit of settlement funds in defendants’ trust account. If true this would bring these causes of action within the statute‘s protection, because the stipulation was a “writing made in connection with an issue under consideration or review by a . . . judicial body.” (
However, this only establishes that any cause of action arising from the stipulation would be protected by the statute. It leaves unanswered the question whether the three causes of action before us arose from the stipulation. (
The concepts of “principal thrust” and “gravamen,” however, may be too indefinite and abstract to provide a clear rule with predictable results. (See Hydro-Mill Co., Inc. v. Hayward, Tilton & Rolapp Ins. Associates, Inc. (2004) 115 Cal.App.4th 1145, 1153 [10 Cal.Rptr.3d 582] [test for determining applicable limitations period variously stated as ” ’ “the ‘gravamen’ of the cause of action,” ’ ” ” ’ “[t]he nature of the right sued upon,” ’ ” and ” ’ “the primary interest invaded by defendant‘s wrongful conduct” ’ “]; Vafi v. McCloskey (2011) 193 Cal.App.4th 874, 880 [122 Cal.Rptr.3d 608] [equating ” ‘gravamen’ ” with “principal purpose . . . of the action“]; Yee v. Cheung (2013) 220 Cal.App.4th 184, 194 [162 Cal.Rptr.3d 851] [same]; Black‘s Law Dict. (9th ed. 2009) p. 770, col. 1 [defining “gravamen” as “[t]he substantial point or essence of a claim, grievance, or complaint“]; 6 Oxford English Dict. (2d ed. 1989) p. 781 [“[t]he particular part of an accusation that bears most heavily on the person accused“]; 3 Witkin, Cal. Procedure (5th ed. 2008) Actions, § 506, p. 648 [in limitations context, where contract may sound in both contract and tort, courts sometimes “arbitrarily assign a ‘gravamen’ to the suit, subjecting it to the shorter tort statute“].)
Fortunately the cases suggest a more concrete test: a cause of action arises from protected conduct if the wrongful, injurious act(s) alleged by the plaintiff constitute protected conduct. (See Coretronic Corp. v. Cozen O‘Connor (2011) 192 Cal.App.4th 1381, 1389 [121 Cal.Rptr.3d 254] [“Determining the gravamen of the claims requires examination of the specific acts of alleged wrongdoing and not just the form of the plaintiff‘s causes of action.“]; ibid. [court reviews record “to determine what conduct is actually being challenged“]; Martinez v. Metabolife Internat., Inc., supra, 113 Cal.App.4th 181, 188 [protected speech, though mentioned in complaint, was not gravamen of claims; it was “largely unrelated to and entirely distinct from the wrongful, injury-causing conduct” on which claims rested]; id. at p. 189 [“wrongful and injury-causing conduct” alleged by plaintiff was distinct from any engagement by defendant in expressive conduct]; id. at p. 193 [alleged “wrongful injury-producing conduct” was manufacture and sale of defective product, not labeling and advertising of product]; Scott v. Metabolife Internat., Inc. (2004) 115 Cal.App.4th 404, 416-417 [9 Cal.Rptr.3d 242] [although warranty and fraud causes of action would require “proof of some speech,” they did not arise out of protected activities; “the wrongful injury-producing conduct on which these claims are based arises from the nature of the defective product“]; Gallimore v. State Farm Fire & Casualty Ins. Co. (2002) 102 Cal.App.4th 1388, 1399 [126 Cal.Rptr.2d 560] [SLAPP motion would not lie merely because charges of unlawful claims practices relied on
We think the foregoing judicial authorities, and the statute itself, are best understood to mean that a cause of action can only be said to arise from protected conduct if it alleges at least one wrongful act--conduct allegedly breaching a duty and thereby injuring the plaintiff--that falls within the act‘s definition of protected conduct.
The causes of action at issue here refer to, and may depend on, defendants’ having entered into the stipulation, which was itself protected conduct; but they do not assert that there was anything wrongful about that conduct. In this regard the three causes of action now before us differ from the fraud cause of action, as to which the trial court granted the SLAPP motion. As the court recognized, that cause of action “[arose] from the stipulation.” The underlying wrongful conduct was defendants’ alleged entry into the stipulation without the intention to be bound by it, thereby inducing Old Republic to do likewise and depriving it of control over the settlement funds. With respect to the remaining three claims, however, there was nothing wrongful about the stipulation itself; entry into it is not the injurious conduct alleged. Rather, under those three causes of action Old Republic‘s injury arose from defendants’ withdrawal of the funds that were the subject matter of the stipulation. That is the conduct by which defendants allegedly breached the contract between the parties, violated a duty of care, and injured Old Republic. It is that conduct from which these causes of action must be held to arise. For purposes of the SLAPP statute, the stipulation must be viewed as incidental. (Cf. Navellier v. Sletten, supra, 29 Cal.4th 82, 92 [recognizing distinction between formation and breach of settlement agreement, but holding that under facts there, both were protected conduct].)
III. The Withdrawal of Funds Was Not Protected Conduct Because It Was Neither Communicative Nor Connected with an Issue of Public Interest
Given the foregoing conclusion, the question becomes whether the withdrawal of funds was itself protected by the statute. As noted above,
Defendants do not contend that the withdrawal of funds was a “written or oral statement” so as to fall within any of the first three numbered clauses of section 425.16(e). Nor do they contend that the withdrawal of funds was connected with a public issue so as to satisfy the concluding proviso of the fourth clause (
Defendants contend that clause (4) is burdened with an ambiguity in that “the final portion--beginning with the words ‘in connection with‘--could either modify both constitutional rights or else modify only the second right of free speech.” As they parse the clause, it “affords . . . SLAPP protection to [(1)] ‘any other conduct in furtherance of the exercise of the constitutional right of petition or [(2)] the constitutional right of free speech in connection with a public issue or an issue of public interest.’ ” But this deconstruction of the clause cannot withstand scrutiny. Grammatically, clause (4) is, in its entirety, an object of the verb “includes.” It is operated upon by the introductory phrase “As used in this section, ‘act in furtherance of a person‘s right or petition or free speech under the United States or California Constitution in connection with a public issue’ includes . . . .” (
This reading is reinforced by the fact that both prepositional phrases describe the manner on which some action is taken. As a matter of grammar they cannot be characterized as true adverbial phrases, because there is no verb for them to modify. But the noun “conduct” distinctly refers to action, and can be modified quite intelligibly by these two quasi-adverbial phrases; that is, one can properly characterize conduct as undertaken in furtherance of the exercise of a right, and in connection with a public issue. Under defendants’ reading, in contrast, the phrase “in connection with a public issue” would modify “right [of free speech],” which describes a pure phenomenon--a thing--that cannot sensibly be modified with what is in substance (if not in strict grammatical form) an adverbial phrase. (
The foregoing analysis disposes of defendants’ invocation of the so-called last antecedent rule, which declares that ” ’ “qualifying words and phrases and clauses are to be applied to the words or phrases immediately preceding and are not to be construed as extending to or including others more remote.” ’ ” (Briggs v. Eden Council for Hope & Opportunity (1999) 19 Cal.4th 1106, 1114 (Briggs), quoting White v. County of Sacramento (1982) 31 Cal.3d 676, 680.) The operation of that rule depends on the presence of multiple antecedents, and as already indicated the phrase at issue here is most reasonably parsed as having only one antecedent, i.e., “conduct.”6
Defendants acknowledge that the Supreme Court‘s gloss on these provisions contradicts their proposed reading of the statute, but they invoke the rule that “language contained in a judicial opinion is ’ “to be understood in the light of the facts and issue then before the court, and an opinion is not authority for a proposition not therein considered.” ’ ” (People v. Banks (1993) 6 Cal.4th 926, 945 [25 Cal.Rptr.2d 524, 863 P.2d 769].) We ourselves have often acknowledged that principle. (See, e.g., In re E.O. (2010) 188 Cal.App.4th 1149, 1156 [115 Cal.Rptr.3d 869].) However when a court has treated statutory language as having one meaning, it is at least some evidence that a different meaning is not obvious. That inference becomes weightier as more courts address the same language and come away with the same impression of its meaning and breadth, without acknowledging a competing interpretation urged only later.
We ourselves have twice issued published decisions that are irreconcilable with defendants’ proposed reading not only in dicta, but in their results. In
Supreme Court (2009) vol. 39, No. 2 Southwestern L.Rev. 325, 336 [“the Rule is so flexible that calling it a rule at all may be oxymoronic“]; id. at p. 337 [“Because the question of whether to apply the Rule essentially amounts to a coin toss, it seems entirely implausible to rely on it as a method of inferring actual congressional intent or meaning.“].)
We reaffirmed that view the following year in Robles v. Chalilpoyil, supra, 181 Cal.App.4th 566, 580, footnote 2, where we addressed a claim arising from conduct by an expert witness in a wrongful death action. Among the instances of allegedly wrongful conduct was the expert‘s ” ‘failing to continue to act as an independent expert and/or disrupting the prosecution of the [previous] case by entering into a business relationship’ ” impairing his utility as an expert. (Id. at p. 576.) This conduct, we observed, “was not a written or oral statement, nor was it ‘conduct . . . in connection with a public issue or an issue of public interest.’ (
Other courts have likewise noted the public interest requirement without suggesting that it might apply only to speech-related conduct, as distinct from petitioning conduct. (See Blackburn v. Brady (2004) 116 Cal.App.4th 670, 675 [10 Cal.Rptr.3d 696] [“only if the defendant‘s alleged acts or statements fall under the third or fourth categories of subdivision (e) of section 425.16, is the defendant required to independently demonstrate that the matter is a ‘public issue’ within the statute‘s meaning“]; Garretson v. Post (2007) 156 Cal.App.4th 1508, 1515 [68 Cal.Rptr.3d 230] [“If the alleged protected activity occurs in the context of a public or official proceeding, as stated above in (1) or (2), there is no additional requirement that it be connected with an issue of public importance.“]; Martinez v. Metabolife Internat., Inc., supra, 113 Cal.App.4th 181, 188 [“[A] defendant in an ordinary private dispute cannot take advantage of the anti-SLAPP statute simply because the
While none of these cases is binding authority on the question before us, their complete failure to even perceive the ambiguity asserted by defendants is a strong indication that defendants’ proposed interpretation is neither natural nor sound.
Defendants contend, however, that whatever the Supreme Court might have said in dicta, its reasoning in Briggs actually supports their position. They first allude to the doctrine of the last antecedent, which the court invoked there (Briggs, supra, 19 Cal.4th at p. 1114), but which we have already found inapplicable here. They then invoke the principle that if the Legislature uses different words or phrases where it might have used the same one, it will be supposed to have intended them to have different meanings. (See id. at p. 1117.) They contend that this principle applies here because the statute elsewhere refers to “the constitutional rights of freedom of speech and petition” (
Defendants assert that “[o]ne of the most compelling reasons” for adopting their proposed reading of the statute is the existence of “fundamental” and “crucial” differences between speech and petition rights. As we understand the supporting discussion, the essential difference asserted by defendants is that all petitioning activity implicates the public interest to some degree because it is by its nature addressed or directed to some official or quasi-official body, whereas a considerable proportion of speech-related activity is
Defendants’ arguments to the contrary overlook the core purpose of the anti-SLAPP law, which is not to pose new impediments to all lawsuits arising from speech and petitioning activity but to remedy a very specific pattern by which contestants in the arena of public affairs were using meritless litigation as a device to silence and punish their adversaries. (See
Defendants suggest that the Legislature might have been particularly anxious to limit the statute‘s application to noncommunicative speech-related conduct out of fear that claims arising from that conduct would impose a greater burden on the courts than claims arising from petition-related conduct. They “contend[],” with no attempt at substantiation, that “there are many more free speech SLAPP cases than there are petition cases.” We very much doubt the accuracy of this assertion. Defendants cite a particularly troublesome case where a student and his parents sued other students due to “cyberbullying.” (D.C. v. R.R. (2010) 182 Cal.App.4th 1190, 1218 [106 Cal.Rptr.3d 399].) But for every anti-SLAPP order coming before this court in a case arising from the exercise of speech rights, we see many cases of what might be called recursive litigation, where--as here--the anti-SLAPP law is invoked after one party sues another over the latter‘s conduct in litigation. Indeed, of the 16 SLAPP cases cited in defendants’ own supplemental brief, only five--less than a third--arose from pure speech or speech-related conduct unrelated to petitioning activity.9 Eight arose (or were claimed to arise) from litigation-related conduct,10 while three arose from other petitioning activity.11
Defendants raise several other arguments in support of their reading of the statute. They suggest that it would be anomalous to withhold the protection of
The court properly denied defendants’ motion to summarily dismiss the first, fifth, and sixth causes of action under the anti-SLAPP statute. Nothing in our opinion should be understood to suggest that these causes of action are meritorious. We are solely concerned with the question whether they are subject to the extraordinary remedy of expedited disposition by special motion to strike. In holding that they are not, we do not foreclose another pretrial disposition such as summary judgment.
DISPOSITION
The order appealed from is affirmed.
Elia, J., and Márquez, J., concurred.
Appellants’ petition for review by the Supreme Court was denied February 11, 2015, S222819.
Notes
In all of these cases we would search diligently for a surer guide to legislative intent before resorting to the doctrine of the last antecedent, which has been criticized as conforming poorly to linguistic reality and as providing an unreliable method for solving the problem it purports to address. (See LeClercq, Doctrine of the Last Antecedent: The Mystifying Morass of Ambiguous Modifiers (1996) 2 J. Legal Writing Inst. 81, 86 [“English does not have a set of rules that eliminates ambiguity; it has linguistic principles that help readers unravel meaning. Specifically, no English-language rule resolves the ambiguity that a modifier creates when it has more than one antecedent.“]; id. at p. 89 [doctrine “contradicts other linguistic principles” and “does not provide a concrete conclusion to the problem of ambiguous modifiers“]; Ross, A Rule of Last Resort: A History of the Doctrine of the Last Antecedent in the United States
“(b)(1) 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 under the United States Constitution or the California Constitution in connection with a public issue shall be subject to a special motion to strike . . . .” (
