MARGARET J. REICHENBACH & another v. TIMOTHY G. HAYDOCK & another
16-P-1427
Appeals Court of Massachusetts
December 21, 2017
Bristol. September 6, 2017. Present: Wolohojian, Agnes, & Wendlandt, JJ.
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“Anti-SLAPP” Statute. Constitutional Law, Right to petition government. Practice, Civil, Motion to dismiss. Massachusetts Civil Rights Act.
Civil action commenced in the Superior Court Department on October 1, 2015.
A special motion to dismiss was considered by Robert J. Kane, J., and a motion for reconsideration was considered by him.
Daniel C. Perry for the defendants.
Robert B. Feingold (Heidi A. Nadel also present) for the plaintiffs.
WOLOHOJIAN, J. In 2008, the plaintiffs bought an oceanfront property with the plan to demolish the existing house1 and build a new residence. Two of the neighbors (the defendants, Timothy Haydock and Barbara Moss) vigorously objected and are alleged to have for years employed a variety of means -- some petitioning activity within the meaning of the “anti-SLAPP” statute,
We are not here concerned with the merits of that claim. Instead, we deal in this interlocutory appeal4 only with the denial of the defendants’ special motion to dismiss pursuant to the anti-SLAPP statute. That motion was decided before Blanchard v. Steward Carney Hosp., Inc., 477 Mass. 141 (2017), which was not handed down until after this appeal was already pending. Despite the timing, Blanchard applies,5 and applying its approach to the first prong of the Duracraft framework, see Duracraft Corp. v. Holmes Prods. Corp., 427 Mass. 156, 167-168 (1998), we affirm.
Background.6 All of the real estate involved in this case was once owned by Clara Frothingham in the Nonquitt area of South Dartmouth, located on the shores of Buzzards Bay. In 1979, the Frothingham land was subdivided into eight lots, which were conveyed to members of Frothingham‘s family. Defendant Timothy Haydock (whom we are given to understand is part of the Frothingham family) acquired one of those lots in 1991 (the Haydock lot); he also has a one-sixth interest in another family lot nearby (the Haydock family lot). Defendant Barbara Moss, Haydock‘s long-term companion, lives with him on the Haydock lot.
The waterfront lot at issue here (the Reichenbach lot) was purchased by the Reichenbachs in 2008 from the trustee of the Frothingham Family Holding Trust.7 The Reichenbach lot is adjacent
Although the Reichenbachs’ plan to demolish the existing house and build a new summer home implicated the State‘s Wetlands Protection Act and the town of Dartmouth wetlands protection by-law, and required one or more building permits, there is no indication in the record on appeal that the defendants ever asserted that the Reichenbachs were required to obtain either a special permit or a variance under the Dartmouth zoning by-laws. Haydock and Moss opposed the project and, over several years, repeatedly exercised their right to petition to various State and local officials in a continuing (and continuous) effort to block the Reichenbachs’ plans. Their extensive (and ultimately unsuccessful) petitioning efforts are set out in the margin.9 The
defendants’ petitioning activities was meritorious ab initio -- a point that Moss and Haydock vigorously dispute. In any event, none achieved the desired aim of blocking the project.
At the same time, Haydock and Moss also allegedly waged their campaign on different -- nonpetitioning -- fronts, including obstruction, interference, and dissuasion. These efforts were ongoing and serious, and we set them out in the margin only to streamline this recitation and not to diminish their significance.10
unsuccessful. The Reichenbachs’ new home was completed, and they received a final certificate of occupancy in 2014.
This suit followed in 2015. In response, the defendants filed a special motion to dismiss pursuant to the anti-SLAPP statute. As relief, the motion sought either that the MCRA count be dismissed in its entirety or, in the alternative, that thirty-eight specified paragraphs be struck from the complaint. After a staged approach to the motion (which we describe more fully in the margin),11 the judge denied it, finding, under the
second stage of the Duracraft framework, see 427 Mass. at 168, that Haydock and Moss‘s activities were devoid of any reasonable basis in fact or arguable basis in law and were thus unprotected sham petitioning.12
Discussion. Claims that are “based on [a] party‘s exercise of its right of petition under the constitution of the United States or of the commonwealth” are subject to dismissal under the anti-SLAPP statute via a special motion to dismiss.13
in sham petitioning.” Duracraft, 427 Mass. at 166-167. To address this concern, the Supreme Judicial Court formulated a two-step framework in 1998, which has come to be called the Duracraft framework. However, recognizing continuing problems of overbreadth in the statute‘s application, the court recently revisited the Duracraft framework in Blanchard v. Steward Carney Hosp., Inc., 477 Mass. 141 (2017). Blanchard is a significant development in our anti-SLAPP jurisprudence for two reasons. First, it augments the second prong of the Duracraft framework so as to provide a new, alternate method by which the nonmoving party can show that “its suit was not ‘brought primarily to chill’ the special movant‘s legitimate exercise of its right to petition,” Blanchard, 477 Mass. at 159. Second, it clarifies the application of Duracraft‘s stage one analysis. Although Blanchard represents a significant development, it supplemented, and did not overrule, Duracraft.
In this case, we are concerned only with the first prong of the Duracraft framework, as its application has been explicated by Blanchard. At the first stage, the moving party has the burden to demonstrate “that the claims against it are, in fact, ‘based on’ its petitioning activities alone and have no substantial basis other than or in addition to its petitioning activities.” Office One, Inc. v. Lopez, 437 Mass. 113, 122 (2002), citing Duracraft, 427 Mass. at 167-168. At this stage of the inquiry, “the motive behind the petitioning activity is irrelevant,” and “[t]he focus solely is on the conduct complained of.” Office One, supra, citing Fabre v. Walton, 436 Mass. 517, 523-524 (2002). Because the first stage of the Duracraft analysis is, like the analysis of an ordinary motion to dismiss under
Special movants survive the threshold phase of the Duracraft framework if they establish (1) the complained of conduct is petitioning
Blanchard clarified the analysis to be employed in stage one of the Duracraft framework when the special movant can demonstrate that “a portion of the nonmoving party‘s claim is based on petitioning activity.” 477 Mass. at 153. “[W]hen ascertaining whether petitioning activity is the sole basis of a claim, the structure of the nonmoving party‘s complaint ordinarily cannot be dispositive of the matter” because, were the opposite rule to apply, plaintiffs could easily avoid the consequences of the anti-SLAPP statute by “combining into a single count claims that are based on both petitioning and non-petitioning activities.” Id. at 155. Thus, the fact that both petitioning and nonpetitioning activities are together alleged as the basis of a single cause of action (in this case, violation of the MCRA) is not dispositive of the special motion to dismiss. If the claim “readily could have been pleaded as separate counts,” then we must examine the independently actionable acts as though separately pleaded. Ibid.
To see this principle in practice, we compare Blanchard with 477 Harrison Ave., LLC v. JACE Boston, LLC, 477 Mass. 162 (2017), which the Supreme Judicial Court decided the same day. In Blanchard, two separate types of statements (an internal electronic mail message [e-mail] to employees and statements made to the Boston Globe) were the basis for a single defamation claim. Concluding that each type of statement could have been equally pleaded as a separate claim of defamation, the court analyzed them separately for purposes of the first prong of Duracraft. The court then went on to find that the statements quoted in the newspaper constituted petitioning activity but that the internal e-mail did not -- which meant that the special movants in that case had met their threshold burden as to only a portion of the
Read together, these cases illustrate that where the individual underlying acts can each independently support the asserted cause of action, then they are to be analyzed separately for purposes of the first prong of the Duracraft test. This analysis should be undertaken with an eye toward the particular cause of action: where a course of conduct is the basis of the claim, such as is typical of c. 93A claims, as in 477 Harrison, then the acts should not be parsed one from the other; where the individual acts can stand alone to support the cause of action (as in the individual statements underlying the defamation claim in Blanchard), they should be examined one by one. The analysis depends on the nature of the cause of action alleged and the theory of the complaint.
The cause of action at issue here is violation of the MCRA on a theory that the defendants’ behavior (considered in its totality) constituted threats, intimidation, or coercion. This is a typical presentation of an MCRA claim, particularly in the context of a land use case such as here. An MCRA claim is often based on multiple or repeated acts that if taken individually would be insufficient to make out the claim but if taken collectively are sufficient to constitute threats, intimidation, or coercion. See, e.g., Haufler v. Zotos, 446 Mass. 489, 506-508 (2006) (pattern of “persistent and antagonistic” conduct satisfied MCRA). See also Bell v. Mazza, 394 Mass. 176, 180, 183 (1985) (course of conduct consisting of threats, “intemperate epithets,” and physical obstruction satisfied MCRA); Ayasli v. Armstrong, 56 Mass. App. Ct. 740, 753 (2002) (“While no single point is determinative, the aggregate facts of this case are sufficient to create a jury question whether the defendants’ conduct as a whole violated
Here, the complaint alleges that a lengthy pattern of abuses by the defendants collectively amounted to threats, intimidation, or coercion under the MCRA.16 The claim is based on the fact pattern as a whole, not on isolated incidents, any one or more of which might be considered insufficient to support a civil rights claim when separated from the rest. Thus, although the alleged behavior includes petitioning activities, the Reichenbachs’ claim is not based solely on petitioning activities and asserts a substantial basis beyond petitioning.
See Duracraft, 427 Mass. at 168 (denying motion to dismiss where a substantial basis existed beyond petitioning activity).
The conclusion we reach here is consistent with cases presenting similar facts. In Ayasli, we upheld the denial of a special motion to dismiss because “[a]lthough one could infer that the defendants’ persistent petitioning activities played a role in the plaintiffs’ decision to file the complaint, there was also an independent basis for the complaint -- that the defendants were intentionally interfering with the plaintiffs’ right to use and enjoy their property.” 56 Mass. App. Ct. at 748. The defendants had protested the plaintiffs’ building project to members of the local conservation commission, the building inspector, the local zoning board of appeals, and, eventually, the Superior Court. Id. at 743-746. But there was also evidence that the defendants had employed a variety of nonpetitioning methods to harass, threaten, and dissuade the plaintiffs from continuing with their project.17 This bundle of activity, strikingly similar to that alleged in this
(compare notes 10 & 17, supra), collectively supported the MCRA claim in addition to the petitioning activity. Id. at 748-749. Similarly, in Garabedian v. Westland, 59 Mass. App. Ct. 427 (2003), some of the defendants’ challenges to the plaintiff‘s project constituted petitioning activity, but “[o]ther aspects of [the defendants‘] intervention . . . were private and lacked the characteristics of petition, namely the harassing of Garabedian‘s contractor and the somewhat intrusive surveillance of Garabedian‘s activity.” Id. at 432. Because some of the activities targeted the plaintiff directly, and “involved no supplication to higher authority,” the plaintiff‘s declaratory judgment action “was not based alone on the petitioning activities of the neighbors.” Id. at 433.
For these reasons, Haydock and Moss failed to meet their threshold burden under Duracraft, and their special motion to dismiss was properly denied. Because we reach this conclusion based on the first stage of the Duracraft analysis, we need not consider the second stage.
Order denying special motion to dismiss affirmed.18
