ADRIANA GIANTURCO SALTONSTALL еt al., Plaintiffs and Appellants, v. CITY OF SACRAMENTO, Defendant and Respondent; SACRAMENTO BASKETBALL HOLDINGS, LLC, Real Party in Interest and Respondent.
No. C077031
Court of Appeal, Third District, California
Nov. 20, 2014
231 Cal. App. 4th 837
ADRIANA GIANTURCO SALTONSTALL et al., Plaintiffs and Appellants, v. CITY OF SACRAMENTO, Defendant and Respondent; SACRAMENTO BASKETBALL HOLDINGS, LLC, Real Party in Interest and Respondent.
The Smith Firm and Kelly T. Smith for Plaintiffs and Appellants.
Pioneer Law Group, Andrea A. Matarazzo and Jeffrey K. Dorso for Real Party in Interest and Respondent.
OPINION
HOCH, J.—The Sacramento Kings, a professional basketball team, have played at the Sleep Train Arena (formerly called Arco Arena) since 1988. In January 2013, the team‘s then owners entered into a tentative agreement to sell the Sacramento Kings to a group of investors in Seattle, Washington. Seeking to keep the team in Sacramento, the City of Sacramеnto (City) partnered with Sacramento Basketball Holdings, LLC, to build a new entertainment and sports center in downtown Sacramento at the site of a shopping mall with declining occupancy rates. In May 2013, the Board of Governors of the National Basketball Association (NBA) rejected an application to sell the team and move it to Seattle, and approved the sale of the team to Sacramento Basketball Holdings. The NBA‘s Board of Governors also reserved the right to acquire the Sacramento Kings and relocate the team to another city if a new arena in Sacramento does not open by 2017.
To meet the NBA‘s deadline, the City and Sacramento Basketball Holdings developed a schedule that targets October 2016 as the opening date of the downtown arena. To facilitate timely cоmpletion of the project, the Legislature added
Adriana Gianturco Saltonstall and 11 other individuals sued to challenge
Saltonstall appeals the denial of the preliminary injunction on two grounds. First, she argues
Based on Saltonstall‘s contention that the time limits imposed by
Sacramento Coalition for Shared Prosperity. The trial court consolidated the two actions. Sacramento Coalition for Shared Prosperity is not a party in this appeal from the denial of the preliminary injunction.
FACTUAL AND PROCEDURAL HISTORY
The Downtown Arena Project
The downtown arena project involves demolition of a part of the Downtown Plaza, a pedestrian-only shopping mall in Sacramento bounded by J Street to the north, L Street to the south, 7th Street to the east, and 4th Street to the west. In place of a portion of the shopping mall, the City and Sacramento Basketball Holdings plan to construct a 17,500-seat entertainment and sports center along with approximately 1.5 million square feet of related retail, commercial, office, and residential developmеnt.5 The project includes six offsite digital billboards on City-owned property as well as the transfer of ownership of certain other City-owned properties to Sacramento Basketball Holdings.
The downtown arena has been designed to meet the requirements of the U.S. Green Building Council‘s Leadership in Energy & Environmental Design (LEED) gold certification. Among the downtown arena‘s environmental design goals are carbon neutrality, reduction of vehicle-miles travelled per attendee, and reduced greenhouse gas emissions. Urban design goals include plans to spark redevelopment of the downtown area with an influx of basketball game and concert event attendees to the arena.
The demolition and construction schedule targets the opening date for the downtown arena as October 2016 because the NBA reserved the right to acquire the Sacramento Kings and relocate the team to another city if a new arena is not open by 2017.
Section 21168.6.6
On September 27, 2013, Governor Brown signed Senate Bill No. 743 (2013–2014 Reg. Sess.), which, among other things, added
The City‘s Review and Approval of the Downtown Arena Project
Consistent with the deadlines set forth in
As required by
Saltonstall‘s Lawsuit and Motion for Preliminary Injunction
The day after the City certified the final EIR and approved the project, Saltonstall filed a petition for writ of mandate in which she alleged the City violated CEQA by certifying the final EIR and that
On June 10, 2014, Saltonstall filed a motion for preliminary injunction to stay demolition of the shopping mall, reiterating her contentions that the City violated CEQA by certifying the final EIR and
The trial court also found Saltonstall had failed to make any showing of imminent harm sufficient to warrant a preliminary injunction. The trial court stated: ”
Saltonstall timely filed a notice of appeal from the order denying the motion for preliminary injunction.
DISCUSSION
I
Mootness
We begin by addressing the City‘s contention that this appeal should be dismissed as moot. We decline to dismiss Saltonstall‘s appeal as moot.
An appeal is moot when a decision of “the reviewing court ‘can have no practical impact or provide the parties effectual relief.’ ” (MHC Operating Limited Partnership v. City of San Jose (2003) 106 Cal.App.4th 204, 214.) We have the duty to avoid deciding a moot appeal. ” ‘[T]he duty of this court, as of every other judiciаl tribunal, is to decide actual controversies by a judgment which can be carried into effect, and not
However, “an appellate court may resolve controversies that are technically moot if the issues are of substantial and continuing public interest. (DeRonde v. Regents of University of California (1981) 28 Cal.3d 875, 880.) Although courts genеrally avoid issuing advisory opinions on abstract propositions of law, they ‘should not avoid the resolution of important and well litigated controversies arising from situations which are “capable of repetition, yet evading review.” ’ (In re William M. (1970) 3 Cal.3d 16, 23, fn. 14, italics added, quoting Moore v. Ogilvie (1969) 394 U.S. 814, 816.)” (In re J.G. (2008) 159 Cal.App.4th 1056, 1062.) Thus, ” ‘[w]e have discretion to decide otherwise moot cases presenting important issues that are capable of repetition yet tend to evade review. ’ ” (Californians for Alternatives to Toxics v. Department of Pesticide Regulation (2006) 136 Cal.App.4th 1049, 1070, quoting Conservatorship of Wendland (2001) 26 Cal.4th 519, 524, fn. 1.)
We conclude Saltonstall‘s appeal presents issues of a continuing interest to the public, which may by their very nature evade review. The gravamen of Saltonstall‘s constitutional challenge is that
II
Whether Section 21168.6.6 Violates Separation of Powers
Saltonstall contends
A. Separation of Powers Under the California Constitution
Unlike the United States Constitution, in which separation of powers is an implied doctrine, “[f]rom its inception, the California Constitution has contained an explicit provision embodying the separation of powers doctrine. (
The doctrine of separation of powers “prоhibits the legislative branch from arrogating to itself core functions of the executive or judicial branch.” (Carmel Valley Fire Protection Dist. v. State of California (2001) 25 Cal.4th 287, 298, italics added.) Even so, the doctrine “permits actions of one branch that may ‘significantly affect those of another branch.’ ” (Ibid.) Legislation that would “defeat or materially impair” the court‘s inherent power to decide cases would be an unconstitutional invasion of judicial power. (Ibid.)
In County of Mendocino, the California Supreme Court explained that “to say that a court has ‘inherent power’ with respect to a particular subject matter or function . . . appears to mean simply that the court, by virtue of its status as one of the three constitutionally designated branches of government, has the power to act even in the absence of explicit constitutional or legislative authorization.” (County of Mendocino, supra, 13 Cal.4th at p. 57.) Under this understanding of the inherent power of the courts, “[i]t does not follow . . . that the Legislаture necessarily violates the separation of powers doctrine whenever it legislates with regard to such an inherent judicial power or function.” (Ibid.) Indeed, case law has long recognized the propriety of the Legislature providing “reasonable regulations affecting a court‘s inherent powers or functions, so long as the legislation does not ‘defeat’ or ‘materially impair’ a court‘s exercise of its constitutional power or the fulfillment of its constitutional function.” (Id. at pp. 58-59.) Nearly a century ago, the California Supreme Court recognized the Legislature “may provide rules of procedure” for the courts—even to limit the monetary penalty and jail time a court may impose to punish a litigant for contempt. (In re Garner (1918) 179 Cal. 409, 413.)
The Legislature cannot abridge the prerogative of the courts to grant an injunction to protect a party‘s constitutional rights. (Modern Barber Col. v. Cal. Emp. Stab. Com. (1948) 31 Cal.2d 720, 728 (Modern Barber).) However, there is a difference between constitutional rights and statutory rights such as those derived from CEQA. That “a court has the power to grant certain remedies . . . does not mean that the rights which those remedies were intended to protect have been fixed in the Constitution as of the time of its adoption and are thereafter immune from legislative change or regulation.” (Modern Barber, at pp. 726-727.) As the Modern Barber court recognized, ” ‘Statutory changes are almost perpetual. New rights are created under which new equities arise. These make new cases in equity, of which the courts at once take cognizance. The jurisdiction of courts of equity is not
Under these principles, legislative additions and subtractions of statutory rights do not violate the California Constitution‘s doctrine of separation of powers, unless the new laws have the effect of materially impairing the core function of a coequal branch.
B. Facial or as-applied Challenge
Before we consider whether
In this case, Saltonstall presents a facial challenge to
C. Whether Section 21168.6.6 Denies Courts the Power to Issue Injunctive Relief
Saltonstall argues
Properly viewed,
Which interests should be weighed, or even considered, against the benefits of a new downtown arena may be determined by the Legislature. We do “not sit in review of the Legislature‘s wisdom in balancing these policies against the goal of environmental protection because, no matter how important its original purpose, CEQA remains a legislative act, subject to legislative limitation and legislative amendment.” (Napa Valley Wine Train, Inc. v. Public Utilities Com. (1990) 50 Cal.3d 370, 376, abrogated on another point in
Saltonstall properly concedes the Legislature could entirely exempt the downtown arena project from any review under CEQA. Such complete exemption from CEQA would not implicate any constitutional right because “[t]he rights derived from the environmental quality act are not of constitutional dimension and the Legislature constitutionally may eliminate any of its requirements.” (Sagaser v. McCarthy (1986) 176 Cal.App.3d 288, 299.) Because the complete elimination of any CEQA review for
D. Whether Section 21168.6.6 Imposes Impossible Timelines on the Courts
Next, it appears Saltonstall argues that the deadlines imposed for judicial review of the downtown arena are impossibly short and thereby prevent the courts from fulfilling their adjudicatory functions. At oral argument, we attempted to discern whether Saltonstall‘s separation of powers argument regarding the legislative directive for the Judicial Council to adopt a rule of court to implement
To the extent Saltonstall challenges the very fact of direction by the Legislature, we reject this argument because the Legislature may direct the Judicial Council to adopt rules of court to implement statutes that do not ” ‘defeat’ or ‘materially impair’ a court‘s exercise of its constitutional power or the fulfillment of its constitutional function.” (County of Mendocino, supra, 13 Cal.4th at pp. 58-59.) Thus, the mere fact of direction to adopt a rule of court does not violate the separation of powers doctrine. (E.g., Jevne v. Superior Court (2005) 35 Cal.4th 935, 940 [legislative direction to the Judicial Council to adopt ethics standards for neutral arbitrators in contract arbitration].)
Insofar as Saltonstall contends the deadlines imposed on the judicial function are impossibly short, we reject the contention based on
III
Denial of the Motion for Preliminary Injunction
Saltonstall appears to contend the trial court erred in denying her motion for preliminary injunction.9 We conclude Saltonstall does not establish any error by the trial court in denying the motion for preliminary injunction.
A. Saltonstall‘s Burden to Secure a Preliminary Injunction
A trial court‘s decision on whether to grant a preliminary injunction rests on ” ‘(i) the likelihood that the party seeking the injunction will ultimately prevail on the merits of his [or her] claim, and (ii) the balance of harm presented, i.e., the comparative сonsequences of the issuance and nonissuance of the injunction.’ ” (Law School Admission Council, Inc. v. State of California (2014) 222 Cal.App.4th 1265, 1280, quoting Common Cause v. Board of Supervisors (1989) 49 Cal.3d 432, 441-442.) The burden is on the party seeking the preliminary injunction to show all of the elements necessary to support issuance of a stay. (O‘Connell v. Superior Court, supra, 141 Cal.App.4th at p. 1481.) On appeal, we review the question of whether the trial court has abused its discretion in evaluating these factors. (Law School Admission Council, at p. 1280.)
B. Required Showing for a Preliminary Injunction Under Section 21168.6.6
Having rejected Saltonstall‘s facial challenge to
In the trial court, Saltonstall failed to make the necessary showing to secure a preliminary injunction. The trial court found Saltonstall made “only passing arguments, unsupported with citation to authority or evidence, that construction of the downtown arena presents an ‘imminent threat to the public health and safety’ or would adversely affect ‘unforeseen important’ historical/archaeological artifacts or ecological values.”
Rather than attempting to demonstrate she made the requisite evidentiary showing of the factors specified in
To secure a preliminary injunction, Saltonstall bears the burden of demonstrating an imminent threat to public health and safety or to previously unknown historical artifacts or ecological values. (O‘Connell v. Superior Court, supra, 141 Cal.App.4th at p. 1481;
We conclude Saltonstall failed to make the required showing for a preliminary injunction under
IV
The City‘s Request for Sanctions on Appeal
Citing
DISPOSITION
The order denying appellants‘, Adriana Gianturco Saltonstall et al., motion for a preliminary injunction is affirmed. Respondent City of Sacramento‘s request for monetary sanctions is denied. The parties shall bear their own costs on appeal. (
Nicholson, Acting P. J., and Mauro, J., concurred.
On December 18, 2014, the opinion was modified to read as printed above.
Notes
“(e) [¶] . . . [¶] (3) Within 10 days after the release of the draft environmental impact report, the lead agency shall conduct an informational workshop to inform the public of the key analyses and conclusions of that report.
“(4) Within 10 days before the close of the public comment period, the lead agency shall hold a public hearing to receive testimony on the draft environmental impact report. A transcript of the hearing shall be included as an appendix to the final environmental impact report.
“(5) . . . Within five days following the close of the public comment period, a commenter on the draft environmental impact report may submit to the lead agency a written request for nonbinding mediation. The lead agency and applicant shall participate in nonbinding mediation with all commenters who submitted timely comments on the draft environmental impact report and who requested the mediation. Mediation conducted pursuant to this paragraph shall end no later than 35 days after the close of the public comment period. [¶] . . . [¶]
“(6) The lead agency need not consider written comments submitted after the close of the public comment period, unless those comments address [new issues raised by the lead agency in response to comments, new information coming to light after release of the draft environmental impact report, project changes made after the comment period, documents released by the lead agency concerning mitigation measures after the close of the comment period, or other new information that was not known during the public comment period]. [¶] . . . [¶]
“(7) The lead agency shall file the notice required by
“(f)(1) The lead agency shall prepare and certify the record of the proceedings in accordance with this subdivision and in accordance with
“(2) No later than three business days following the date of the release of the draft environmental impact report, the lead agency shall make available to the public in a readily accessible electronic format the draft environmental impact report and all other documents submitted to or relied on by the lead agency in the preparation of the draft environmental impact report. A document prepared by the lead agency or submitted by the applicant after the date of the release of the draft environmental impact report that is a part of the record of the proceedings shall be made available to the public in a readily accessible electronic format within five business days after the document is prepared or received by the lead agency.
“(3) Notwithstanding paragraph (2), documents submitted to or relied on by the lead agency that were not prepared specifically for the project and are copyright рrotected are not required to be made available readily accessible in an electronic format.
“(4) The lead agency shall encourage written comments on the project to be submitted in a readily accessible electronic format, and shall make any such comment available to the public in a readily accessible electronic format within five days of its receipt.
“(5) Within seven business days after the receipt of any comment that is not in an electronic format, the lead agency shall convert that comment into a readily accessible electronic format and make it available to the public in that format.
“(6) The lead agency shall indicate in the record of the proceedings comments received that were not considered by the lead agency pursuant to paragraph (6) of subdivision (e) and need not include the content of the comments as a part of the record.
“(8) Within 10 days after being served with a complaint or a petition for a writ of mandate, the lead agency shall lodge a copy of the certified record of proceedings with the superior court.”
“(1)(A) In granting relief in an action or proceeding brought pursuant to this section, the court shall not stay or enjoin the construction or operation of the downtown arena unless the court finds either of the following: [¶] (i) The continued construction or operation of the downtown arena presents an imminent threat to the public health and safety. [¶] (ii) The downtown arena site contains unforeseen important Native American artifacts or unforeseen important historical, archaeological, or ecological values that would be materially, permanently, and adversely affected by the continued construction or operation of the downtown arena unless the court stays or enjoins the construction or operation of the downtown arena.
“(B) If the court finds that clause (i) or (ii) is satisfied, the court shall only enjoin those specific activities associated with the downtown arena that present an imminent threat to public health and safety or that materially, permanently, and adversely affect unforeseen important Nаtive American artifacts or unforeseen important historical, archaeological, or ecological values.”
