Pahnos v. City of Laguna Beach CA4/3 ( 2014 )


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  • Filed 9/12/14 Pahnos v. City of Laguna Beach CA4/3
    NOT TO BE PUBLISHED IN OFFICIAL REPORTS
    California Rules of Court, rule 8.1115(a), prohibits courts and parties from citing or relying on opinions not certified for
    publication or ordered published, except as specified by rule 8.1115(b). This opinion has not been certified for publication
    or ordered published for purposes of rule 8.1115.
    IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA
    FOURTH APPELLATE DISTRICT
    DIVISION THREE
    DAVID PAHNOS et al.,
    Plaintiffs and Appellants,                                        G049141
    v.                                                            (Super. Ct. No. 30-2012-00594010)
    CITY OF LAGUNA BEACH,                                                  OPINION
    Defendant and Respondent.
    Appeal from a judgment of the Superior Court of Orange County, Robert
    Monarch, Judge (retired Judge of the Orange Sup. Ct. assigned by the Chief Justice
    pursuant to art. VI, § 6 of the Cal. Const.). Affirmed.
    Mollis & Mollis and Charles A. Mollis for Plaintiffs and Appellants.
    Rutan & Tucker, Philip D. Kohn, and Ajit S. Thind for Defendant and
    Respondent.
    *               *               *
    Plaintiffs David Pahnos and Barry Stephens appeal from a judgment of
    dismissal after the court granted the motion of defendant City of Laguna Beach (the City)
    for judgment on the pleadings. On appeal plaintiffs contend the court erred by (1)
    granting the City’s motion for judgment on the pleadings, (2) denying plaintiffs’ request
    for leave to amend their complaint, and (3) denying plaintiffs’ request for judicial notice.
    We affirm.
    FACTS
    In a January 20, 2012 letter to plaintiffs, the City recounted the history that
    (1) plaintiffs’ neighbors had filed a hedge height claim against them in 2010 due to the
    vegetation at plaintiffs’ home in the City, (2) hearings were held by landscape architect
    James Dockstader, the design review board, and the city council, and (3) the city council
    had ordered plaintiffs to keep certain hedges and vegetation below a specified height and
    to remove two trees. The City’s letter informed plaintiffs they had 90 days to comply
    with the city council’s order, and stated, “Thereafter, the City Attorney may decide on a
    number of avenues to pursue enforcement, including . . . administrative citation, nuisance
    abatement, civil action, or criminal citation.”
    On February 1, 2012, plaintiffs submitted a claim (Claim) against the City
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    on the City’s official one-page form for claims under Government Code section 911.2,
    asserting that the alleged damage or injury occurred on January 17, 2012 at their home.
    To the form’s question, “How and under what circumstances did damage or injury
    occur?”, plaintiffs answered, “City has repeatedly persecuted Claimants, including
    1
    All statutory references are to the Government Code unless otherwise
    stated.
    Plaintiffs each filed a separate claim, but both claims were identical.
    Because the claims were identical, we refer to them as a single claim.
    2
    Criminal Charges that were dismissed by Order of the Court on January 17, 2012 —
    Favorable Termination.” To the form’s question, “What particular action by the City, or
    its employees, caused the alleged damage or injury?”, plaintiffs answered, “City has
    repeatedly persecuted Claimant making unsupported Demands and instituting Criminal
    Charges that were each favorably concluded in Claimant’s favor — dates are on October
    6, 2010 (Trees found to be conforming); October 4, 2011; January 17, 2012; with the
    latest Wrongdoing evidenced by the City’s Letter dated January 20, 2012 again
    threatening prosecution for the same issue previously decided in Claimant’s favor three
    times.” Plaintiffs each claimed $5 million for “Malicious Prosecution, Abuse of Process,
    and Intentional Infliction of Emotion [sic] Distress.” To the instruction, “List names and
    addresses of witnesses, doctors and hospitals,” plaintiffs answered, “City Council for City
    of Laguna Beach; Administrative Hearing Officers Dockstader and Kusunoki; and Other
    persons listed in Voluminous Documents relating to Dismissed Criminal Charges.”
    In March 2012, the City denied plaintiffs’ Claim.
    Plaintiffs’ complaint, filed August 27, 2012, alleged the City failed to
    2
    discharge a mandatory duty. Plaintiffs alleged the City’s “Safety Element” in its general
    plan, whose stated objective “is to reduce loss of life, injury, damage to property and
    economic and social dislocation resulting from future natural and manmade hazards,”
    imposes a duty on the City “to evaluate safety in areas where Trees and Vegetations on
    Slopes within the CITY are subject to removal and/or modification.” Plaintiffs further
    alleged the City sought to selectively enforce on them its hedge height ordinance by
    requiring modifications to plaintiffs’ slope and vegetation, and had ignored reports of a
    safety engineer and a horticulturist warning “of the severe Safety Risk to Life and
    Property at Plaintiffs’ Home that rests on a hillside and has a history of subsidence,
    flooding and mudslides . . . .” Plaintiffs further alleged the City had filed multiple
    2
    The complaint also alleged the City violated plaintiffs’ federal civil rights,
    but plaintiffs later withdrew that cause of action.
    3
    criminal pleadings in violation of its mandatory duties. Plaintiffs further alleged they had
    “complied with the Claims requirements of [section] 905, where the City denied
    Plaintiffs’ [Claim] by Letter of March 5, 2012. This Complaint has been filed within six
    (6) months of the Denial of [Claim] by Defendant CITY; it is based upon the same
    fundamental events set out in the [Claim] referring to ‘Voluminous Documents.’”
    The City moved for judgment on the pleadings on grounds (1) its general
    plan’s safety element “does not impose a mandatory duty upon the City as required for
    liability under the Government Claims Act,” and “even if it did, the alleged mandatory
    duty was not designed to protect [plaintiffs] from the emotional distress damages they
    claim,” (2) “the City is shielded from liability pursuant to multiple statutory immunities,”
    and (3) plaintiffs failed to comply with the procedural requirements of the Government
    Claims Act (§ 810 et seq.) (the Act).
    The court granted the City’s motion for judgment on the pleadings and
    ordered the dismissal of plaintiffs’ complaint.
    DISCUSSION
    The Court Properly Granted the City’s Motion for Judgment on the Pleadings Because
    Plaintiffs Failed to Satisfy the Requirements of the Act
    Plaintiffs argue the court erred by granting the City’s motion for judgment
    on the pleadings. They contend their Claim provided sufficient facts to enable the City to
    investigate the cause of action for breach of mandatory duty alleged in their complaint.
    They conclude their Claim sufficed to permit the filing of their complaint in compliance
    with the Act.
    The court granted the City’s motion for judgment on the pleadings on the
    ground, inter alia, that plaintiffs’ Claim “did not give notice that Plaintiffs were going to
    sue for breach of a mandatory duty under the Safety Element. The breach of duty alleged
    4
    in [plaintiffs’ Claim] is the duty not to prosecute the plaintiffs for violation of the hedge
    height ordinance.” The court concluded, “There is nothing in [plaintiffs’ Claim] that
    would give the [City] reason to investigate whether its duties under the Safety Element
    had been breached.”
    “A motion for judgment on the pleadings, like a general demurrer,
    challenges the sufficiency of the plaintiff’s cause of action and raises the legal issue,
    regardless of the existence of triable issues of fact, of whether the complaint states a
    cause of action.” (Brownell v. Los Angeles Unified School Dist. (1992) 
    4 Cal.App.4th 787
    , 793.) When considering a trial court’s decision to sustain a motion for judgment on
    the pleadings, the reviewing court applies the same standard of review applicable to a
    general demurrer. (Baughman v. State of California (1995) 
    38 Cal.App.4th 182
    , 187.)
    The reviewing court reviews the complaint “‘de novo to determine whether [the
    complaint] alleges facts sufficient to state a cause of action under any legal theory.’”
    (DiPirro v. American Isuzu Motors, Inc. (2004) 
    119 Cal.App.4th 966
    , 972.) “If the
    appealed judgment or order is correct on any theory, then it must be affirmed regardless
    of the trial court’s reasoning . . . .” (Hoover v. American Income Life Ins. Co. (2012) 
    206 Cal.App.4th 1193
    , 1201.)
    The Act requires that governmental entities be notified of claims against
    them. Accordingly, before a lawsuit for damages can be brought against a public entity,
    the individual claiming injury is first required to file a claim with the entity. (§ 945.4.)
    Only after the claim has been acted upon or rejected by the entity can the individual bring
    suit in court. (Ibid.) For personal injury claims, the individual must file the required
    claim within six months of the stated injury. (§ 911.2, subd. (a)).
    “The policy underlying the [Act] is to afford prompt notice of claims to
    governmental entities. [Citation.] The courts and commentators have considered prompt
    notice important for several reasons: to allow (1) early investigation of the facts, (2)
    informed fiscal planning in light of prospective liabilities, (3) settlement of claims before
    5
    the initiation of costly civil litigation, and (4) avoidance of similarly caused future
    injuries or liabilities.” (Minsky v. City of Los Angeles (1974) 
    11 Cal.3d 113
    , 123.)
    “[F]ailure to file a claim [in accordance with the Act] is fatal to a cause of action” on the
    claim (Pacific Tel. & Tel. Co. v. County of Riverside (1980) 
    106 Cal.App.3d 183
    , 188),
    even if the public entity has “‘actual knowledge of the circumstances surrounding’” the
    alleged injury (City of Stockton v. Superior Court (2007) 
    42 Cal.4th 730
    , 738).
    And, even if a claim is filed in compliance with the Act, its contents must
    correlate sufficiently with each cause of action in a complaint. (Stockett v. Association of
    Cal. Water Agencies Joint Powers Ins. Authority (2004) 
    34 Cal.4th 441
    , 448.)
    Otherwise, a variance between a claim and a complaint can be fatal to the complaint.
    (Ibid.) Although a “claim need not contain the detail and specificity required of a
    pleading,” it must “‘fairly describe what [the] entity is alleged to have done.’” (Id. at
    p. 446, italics added.) In other words, “the facts underlying each cause of action in the
    complaint must have been fairly reflected in a timely claim.” (Id. at p. 447, italics
    added.) The claim must notify the public entity of the plaintiff’s “cause of action, in
    compliance with section 954.4’s command that each ‘cause of action’ be presented by
    notice of claim.” (Stockett, at p. 447.) Separate causes of action must “be separately
    presented under section 945.4.” (Ibid.)
    In Fall River Joint Unified School Dist. v. Superior Court (1988) 
    206 Cal.App.3d 431
    , the appellate court issued a writ of mandate directing the trial court to
    grant the defendant’s motion for judgment on the pleadings (id. at p. 437) on the ground
    that the “plaintiff failed to file a Government Code tort claim describing the facts giving
    rise to the alleged liability” (id. at p. 433). The plaintiff’s claim stated he was hurt when
    a school door closed with force and slammed his head against the door frame due to the
    door’s “dangerous and defective condition.” (Id. at p. 434.) A cause of action in the
    plaintiff’s complaint sought “damages on the theory that school district personnel
    negligently failed to supervise students who were engaged in ‘dangerous horse-play.’”
    6
    (Ibid.) The Court of Appeal found this cause of action “patently attempt[ed] to premise
    liability on an entirely different factual basis than what was set forth in the tort claim,”
    creating a variance fatal to the plaintiff’s pleading. (Id. at p. 435.)
    Nelson v. State of California (1982) 
    139 Cal.App.3d 72
     also involved a
    fatal variance. There, the plaintiff, a state prison inmate (id. at p. 75), filed a claim
    against the State of California, alleging the Department of Corrections failed “‘to
    diagnose and treat or allow [him] to maintain his ongoing medications’” (id. at p. 80).
    The plaintiff’s complaint, however, alleged a different cause of action, i.e., “failure on the
    part of any employee to summon immediate and competent medical care.” (Ibid.) The
    trial court sustained the State of California’s demurrer. (Id. at p. 81.) The Court of
    Appeal affirmed the trial court’s ruling and judgment of dismissal, holding the facts and
    theory of liability alleged in the complaint were “not equivalent” to those described in the
    initial claim. (Ibid.) The appellate court stated, “Failure of a practitioner to prescribe or
    provide necessary medication . . . cannot be characterized as a failure to summon medical
    care.” (Ibid.) Nelson further held the “plaintiff’s claim, as a matter of law, failed to
    recite the requisite facts to support the theory and the allegations of” his complaint.
    (Ibid.; see also Donahue v. State of California (1986) 
    178 Cal.App.3d 795
    , 804
    [permitting uninsured motorist to take driving test is not “factual equivalent” of failure to
    control or direct motorist in the course of the test].)
    Here, the court correctly granted the City’s motion for judgment on the
    pleadings because plaintiffs’ Claim failed to afford the City notice of the injuries later
    alleged in plaintiffs’ complaint. Plaintiffs’ Claim alleged the City “repeatedly persecuted
    [them], including Criminal Charges,” and committed “Malicious Prosecution, Abuse of
    Process, and Intentional Infliction of Emotion [sic] Distress” against them.
    In contrast, the injuries alleged in plaintiffs’ complaint are built on an
    entirely different set of facts and on a disparate theory of liability. The complaint stated
    7
    the City refused to acknowledge the “Safety Risk to Life and Property at Plaintiffs’
    Home” and failed “to comply with the Safety Element of the [City’s] General Plan.”
    The complaint’s theory of liability — failure to discharge a mandatory
    safety duty — is absent from plaintiffs’ Claim. For example, plaintiffs’ Claim never
    mentioned the City’s general plan, the plan’s safety element, any mandatory duty of the
    City, or any words relating to safety, landslides, or subsidence. The causes of action
    specified in plaintiffs’ Claim did not include the failure to discharge a mandatory safety
    3
    duty. In sum, plaintiffs’ Claim failed to fairly reflect the facts underlying the cause of
    action alleged in their complaint.
    But plaintiffs assert their Claim did raise the issue of the City’s duty under
    the safety element merely by mentioning the dates October 4, 2010 and October 6, 2011,
    and referring to “Voluminous Documents relating to Dismissed Criminal Charges.” On
    appeal they assert the safety element issue was addressed at administrative hearings on
    those dates. This assertion, however, is never stated (or even hinted at) in plaintiffs’
    Claim. Rather, plaintiffs’ Claim states that the City’s persecution of, and demands and
    criminal charges against, plaintiffs were favorably resolved in plaintiffs’ favor on
    “October 6, 2010 (Trees found to be conforming); October 4, 2011; January 17, 2012,
    with the latest Wrongdoing evidenced by the City’s Letter dated January 20, 2012 again
    threatening prosecution for the same issue previously decided in Claimant’s favor three
    times.” Furthermore, plaintiffs’ Claim referred to “Voluminous Documents relating to
    Dismissed Criminal Charges” only with respect to witnesses listed in those documents.
    And, the Claim never identified any such documents with specificity. Moreover, the City
    had no obligation to review “voluminous” documents relating to multiple hearings in
    3
    Plaintiffs argue they were not required under section 910 (which specifies
    the required contents of a claim) or the City’s claim form to specify a cause of action.
    Nonetheless, plaintiffs chose to specify three causes of action in their Claim, thereby
    giving the City notice of the specific alleged torts to be investigated and evaluated.
    8
    order to ferret out potential claims against it. Rather, plaintiffs bore the duty to give the
    City a forthright succinct description of their claim — in other words, fair notice of their
    cause of action.
    In a related argument, plaintiffs argue the City had actual knowledge of the
    cause of action described in their complaint because the safety duty and general plan
    were both mentioned during an administrative hearing on October 6, 2010, and in a
    motion to dismiss criminal charges. But whether the City had actual knowledge is
    irrelevant in assessing the sufficiency of plaintiffs’ Claim. (City of San Jose v. Superior
    Court (1974) 
    12 Cal.4th 447
    , 455 [actual knowledge “constitutes neither substantial
    compliance [with the Act] nor basis for estoppel”].)
    Plaintiffs contend they substantially complied with the notice of claim
    requirement. But the “judicially formulated ‘substantial compliance’ exception to the
    strict claims requirement” is inapplicable “where the plaintiff seeks to impose upon the
    defendant public entity the obligation to defend a lawsuit based upon a set of facts
    entirely different from those first noticed. Such an obvious subversion of the purposes of
    the claims act, which is intended to give the governmental agency an opportunity to
    investigate and evaluate its potential liability, is unsupportable.” (Fall River Joint
    Unified School Dist. v. Superior Court, 
    supra,
     206 Cal.App.3d at pp. 435-436.) Here, the
    City had no warning that it might be sued by plaintiffs for failing to consider and apply
    the safety element until plaintiffs filed their complaint. Accordingly, plaintiffs “did not
    even rise to the level of minimal, much less substantial, compliance with the claim filing
    prerequisites.” (Id. at p. 436.)
    Finally, plaintiffs claim the City waived an opportunity to challenge the
    complaint (thus proscribing the trial judge from granting the motion for judgment on the
    pleadings) because the City did not “give notice of insufficiency of the claim” as required
    by section 910.8. The City’s argument on appeal, however, is not that plaintiffs’ Claim
    9
    failed to meet section 910’s statutory requirements, but rather, that plaintiffs’ complaint
    alleged a different injury based on a separate set of facts.
    Because the complaint alleges a theory of liability predicated on a separate
    set of facts than described in plaintiffs’ Claim, the City was not given the notice required
    under Minsky v. City of Los Angeles, supra, 11 Cal.3d at page 123. Plaintiffs’ complaint
    was therefore barred under the Act.
    The Court Did Not Abuse Its Discretion by Denying Plaintiffs Leave to Amend
    Plaintiffs sought leave to amend their complaint to “make it more clear to
    the court.” The court denied their request. On appeal plaintiffs contend an amended
    complaint “could easily have clarified the basis of the claim form.”
    We review for an abuse of discretion a court’s denial of leave to amend the
    complaint after granting a motion for judgment on the pleadings. (Ludgate Ins. Co. v.
    Lockheed Martin Corp. (2000) 
    82 Cal.App.4th 592
    , 602.) A court may grant a motion
    for judgment on the pleadings (Baughman, supra, 38 Cal.App.4th at p. 187) without
    leave to amend if it is “probable from the nature of the complaint . . . that the plaintiff
    cannot state a cause of action” (Kingsbury v. Tevco, Inc. (1978) 
    79 Cal.App.3d 314
    , 318).
    Here, plaintiffs argue they could amend their complaint to show how the
    dates stated in their Claim correlate to the safety element. Plaintiffs cannot amend their
    Claim, however. Thus, their failure to file a claim with the City regarding their
    mandatory duty cause of action precludes them from bringing suit on those grounds.
    Nor can plaintiffs amend their complaint to include a new cause of action
    without first filing a new claim with the City. But the statute of limitations on filing a
    claim has passed. (§ 911.2, subd. (a) [six months for death and injury to person, personal
    property, and crops; 12 months for other causes of action].)
    The statute of limitations has likewise passed on amending the complaint to
    include the theories of liability included in plaintiffs’ Claim. (§ 945.6(a)(1).) The City
    10
    informed plaintiffs in March 2012 that it was denying their Claim. From that date,
    plaintiffs had six months to file suit in court. (§ 945.6, subd. (a)(1).) Because the
    judgment denying leave to amend was announced more than a year after the denial of
    plaintiffs’ Claim, plaintiffs were left without a cause of action to include in amended
    pleadings.
    The Court Properly Denied Plaintiffs’ Request for Judicial Notice
    Concurrently with an opposition to the City’s motion for judgment on the
    pleadings, plaintiffs filed a request for judicial notice (Evid. Code, § 452 [non-mandatory
    matters]) of their motion to dismiss criminal charges filed on December 8, 2011
    (Dismissal Motion). Plaintiffs provided no explanation for their request, other than that
    the Dismissal Motion “contains exhibits,” and, according to plaintiffs, was “referred to”
    in their Claim. The court denied the request due to plaintiffs’ “failure to address the
    documents in the opposition or explain the significance of any one of the 191 pages to the
    Court.”
    On appeal plaintiffs argue their Dismissal Motion was relevant because it
    attached, as exhibit 15 thereto, the City’s general plan and safety element. They also
    argue, without elaboration, that the “same dates in the [Claim] are the same dates in the
    [Dismissal Motion].”
    A court may decline to judicially notice evidence irrelevant to the matter
    before the court. (Evid. Code, § 350 [only relevant evidence is admissible]; Schifando v.
    City of Los Angeles (2003) 
    31 Cal.4th 1074
    , 1089, fn. 4.) Here, the court denied
    plaintiffs’ judicial notice request because plaintiffs failed to explain the relevance of the
    Dismissal Motion and its exhibits. Furthermore, plaintiffs had already attached the safety
    element of the City’s general plan (the document they claim was the relevant portion of
    the Dismissal Motion) to their initial complaint.
    11
    Plaintiffs have failed to meet their burden to show their request for judicial
    notice was “so persuasive that no reasonable judge would have refused to take judicial
    notice of the matter.” (Willis v. State of California (1994) 
    22 Cal.App.4th 287
    , 291.) The
    court properly declined to take judicial notice of plaintiffs’ Dismissal Motion.
    DISPOSITION
    The judgment is affirmed. The City of Laguna Beach shall
    recover costs incurred on appeal.
    IKOLA, J.
    WE CONCUR:
    ARONSON, ACTING P. J.
    FYBEL, J.
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