Wilson v. Gonzalez CA4/2 ( 2020 )


Menu:
  • Filed 12/4/20 Wilson v. Gonzalez CA4/2
    NOT TO BE PUBLISHED IN OFFICIAL REPORTS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 This opinion has not been certified for publication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 TWO
    LANNY WILSON,
    Plaintiff and Appellant,                                       E071587
    v.                                                                      (Super.Ct.No. RIC606707)
    MARISA GONZALEZ,                                                        OPINION
    Defendant and Respondent.
    APPEAL from the Superior Court of Riverside County. Irma Poole Asberry,
    Judge. Affirmed.
    The Law Office of Jeff Grotke and Jeff Grotke for Plaintiff and Appellant.
    The Law Offices of Vincent Miller and Vincent Miller for Defendant and
    Respondent.
    1
    While in the hospital awaiting surgery, Paul Wilson1 drafted a will and left his
    entire estate to a friend, Marisa Gonzalez. After Paul died, his estranged brother, Lanny
    Wilson, initiated a will contest in which he claimed he was Paul’s rightful heir, and that
    Gonzalez had convinced Paul to execute a will entirely in her favor through fraud and
    undue influence. Some doubt was raised in the probate court whether the will contest
    was timely filed. Lanny filed this lawsuit against Gonzalez asserting causes of action for
    financial elder abuse and tortious interference with a right of inheritance. Essentially, the
    lawsuit made the same claim Lanny had made in the probate court, i.e., Gonzalez robbed
    him of his right to inherit Paul’s estate under the default intestate laws. The probate court
    eventually concluded the will contest was timely, but Lanny did not dismiss his
    duplicative lawsuit.
    After the probate court rejected Lanny’s will contest and appointed Gonzalez as
    the administrator of Paul’s estate, Gonzalez moved for summary judgment in this case.
    Lanny opposed the motion and requested leave to amend his complaint and allege a new
    cause of action for negligent elder abuse on the basis that Gonzalez caused Paul’s death
    by withholding needed dialysis treatment. The trial court found no good cause, denied
    Lanny’s request, and thereafter granted summary judgment for Gonzalez.
    Lanny appeals from the judgment against him. However, he failed to designate
    some of the most pertinent portions of the record, such as Gonzalez’s motion for
    summary judgment and his memorandum of points and authorities in opposition thereto.
    1  We will refer to the decedent and his brother by their first names, in the interest
    of clarity. We mean no disrespect.
    2
    We subsequently granted Lanny’s and Gonzalez’s motions to augment the record on
    appeal, but even those augmentations have not completely rectified Lanny’s oversight.
    And Lanny did not file a reply brief or oppose Gonzalez’s request to dismiss the appeal
    as frivolous.
    Although we agree with Gonzalez that this appeal lacks merit, we decline to
    dismiss it. Lanny’s cause of action for financial elder abuse was essentially duplicative
    of the claims he made in the will contest. This court affirmed the judgment in the will
    contest in toto, and that opinion is now final. (Estate of Wilson (Mar. 5, 2020, E070066)
    [nonpub. opn.].) We now conclude Lanny’s cause of action is barred under the doctrine
    of collateral estoppel. Although the trial court granted Gonzalez’s motion for summary
    judgment on a different ground, the result was correct.
    Moreover, although generally a party may amend their complaint at any time, and
    courts must liberally allow amendments to pleadings, the trial court correctly denied
    Lanny’s eleventh-hour bid to defeat summary judgment, finding that the proposed cause
    of action for negligent elder abuse was time-barred. On this record, we find no abuse of
    discretion.
    Therefore, we affirm the judgment.
    I.
    FACTS AND PROCEDURAL BACKGROUND
    Paul was admitted to the hospital on the morning of November 6, 2013, and he
    was scheduled for surgery that afternoon. With his attending nurse and Gonzalez as his
    witnesses, Paul dictated to Gonzalez the terms of his will. He left his entire estate to
    3
    Gonzalez. The same day, Paul executed a durable power of attorney for health care
    decisions and an all-purpose power of attorney, granting Gonzalez power of attorney over
    him. (Estate of Wilson, supra, E070066.)2 Paul died in mid-January 2014. He had been
    divorced and had no issue. Thereafter, Gonzalez petitioned the probate court to be
    appointed as administrator of Paul’s estate. (Ibid.)
    Lanny filed a will contest on May 23, 2016, in which he: (1) objected to
    Gonzalez’s appointment as administrator; (2) petitioned to have himself appointed as
    administrator; and (3) requested a declaration that the purported will was invalid, Paul
    died intestate, and his estate should pass according to the intestate laws (i.e., to Lanny).
    Lanny alleged Paul was a dependent adult, Gonzalez was Paul’s caregiver, and Gonzalez
    promised Paul she would train to administer his dialysis treatment, so she could curry
    favor with and influence him. According to Lanny, Gonzalez’s conduct and status as
    Paul’s caregiver gave rise to multiple presumptions of undue influence in the execution
    of the will. Moreover, Lanny alleged Paul lacked legal capacity to execute the purported
    will, and the document did not actually express testamentary intent.
    Eight days later, Lanny filed the complaint in this case alleging causes of action
    for financial elder abuse (Welf. & Inst. Code, § 15610.30) and tortious interference with
    an inheritance. Like the will contest, the complaint alleged that Gonzalez took advantage
    2  We grant Gonzalez’s unopposed request to take judicial notice of our decision in
    Estate of Wilson, supra, E070066. (Evid. Code, §§ 452, 459.) We may rely upon our
    unpublished decision because, as explained, post, “the opinion is relevant under the
    doctrines of law of the case, res judicata, or collateral estoppel.” (Cal. Rules of Court,
    rule 8.1115(b)(1).)
    4
    of her caregiver relationship to fraudulently procure a will, which “was not the genuine
    product of the decedent’s intent.” Specifically, with respect to the cause of action for
    financial elder abuse, Lanny alleged Gonzalez: (1) wrongly transferred to herself the title
    to four or five valuable classic cars (and perhaps a small plane too) belonging to Paul that
    otherwise would have been part of the estate; (2) forged Paul’s signature on checks made
    out to herself; (3) wrongfully, fraudulent, and through undue influence convinced Paul to
    execute a will giving Gonzalez his entire estate; and (4) breached her fiduciary duty to
    Paul by procuring gifts for herself while holding herself out as a trusted caregiver and
    confidant. In short, Lanny alleged Gonzalez robbed him of his rightful inheritance.
    Apparently, Lanny filed his complaint in the first place because there was some
    doubt whether the will contest was timely filed. At a hearing conducted on August 24,
    2016, the probate court overruled Gonzalez’s demurrer to the will contest and expressly
    ruled the contest was timely filed. However, Lanny did not dismiss his duplicative
    complaint.
    “After a ‘[bench] trial [that] took about a year,’ during which several witnesses
    testified, the probate court denied Lanny’s will contest, granted Gonzalez’s petition,
    found Paul’s will was valid . . . and appointed Gonzalez as administrator of Paul’s
    estate.”3 (Estate of Wilson, supra, E070066.) Relevant here, the probate court concluded
    3 Lanny had successfully petitioned the probate court to appoint David Wilson, a
    private professional fiduciary, as administrator of the estate. In its judgment, the probate
    court also granted Gonzalez’s request to remove David Wilson as administrator.
    5
    Gonzalez had rebutted by clear and convincing evidence presumptions of fraud and
    undue influence in the execution of Paul’s will.
    While Lanny’s appeal from the judgment in the will contest was pending before
    this court, Gonzalez moved for summary judgment on Lanny’s cause of action for elder
    abuse.4 Gonzalez argued there was no genuine dispute of material fact that she was
    entitled to judgment in her favor because: (1) Lanny lacked standing to bring a cause of
    action for financial elder abuse; and (2) he was collaterally estopped from bringing his
    claim because the probate court had already decided the exact same issues and found no
    merit to Lanny’s assertion that Gonzalez had used undue influence, fraud, menace. or
    oppression to procure Paul’s will.
    Lanny’s initial response to the motion was to request leave to file a first amended
    complaint (FAC). In addition to the existing claim for financial elder abuse, the FAC
    purported to state a new cause of action for negligent elder abuse (Welf. & Inst. Code,
    § 15610.57, subd. (a)) based on Gonzalez’s failure to provide Paul with needed dialysis
    treatment. In his memorandum of points and authorities, Lanny claimed his lawsuit had
    remained largely stagnant as the will contest proceeded and, while prosecuting the
    contest, he learned some “disturbing” facts, to wit: Gonzalez had promised to train to
    administer dialysis as a condition of the Veteran’s Administration discharging Paul from
    the hospital; and, although Gonzalez began such training, she did not administer dialysis
    4 Earlier, the trial court had granted in part Gonzalez’s anti-SLAPP motion and
    struck Lanny’s cause of action for tortious interference with an inheritance. Lanny did
    not appeal from that order.
    6
    to Paul, and he died two months later of septic shock. In addition, Lanny argued the
    judgment in the will contest did not bar him from pursuing his claims because the probate
    court proceeding involved a different primary right.
    Gonzalez opposed the motion, arguing Lanny did not act diligently in requesting
    leave to amend, he did not explain why he waited so long to seek leave to amend, his
    purported cause of action for negligent elder abuse was barred under the applicable two-
    year statute of limitations, and leave to amend would be prejudicial to Gonzalez.
    The trial court denied Lanny’s request for leave to file a FAC because: (1) the
    motion did not comply with rule 3.1324 of the California Rules of Court, because, inter
    alia, he did not identify by page and line number the additions and deletions to the
    complaint; (2) he lacked standing to bring a cause of action for negligent elder abuse; and
    (3) it appeared the purported cause of action for negligent elder abuse was time-barred,
    Lanny had “not pleaded the application of the discovery rule,” and it appeared the new
    cause of action did not relate back to the original complaint.
    Lanny filed a separate statement of undisputed material facts and an appendix of
    exhibits in opposition to Gonzalez’s motion for summary judgment, but the register of
    actions does not reflect he filed a memorandum of points and authorities. Gonzalez filed
    a reply, which tends to indicate she was served with an opposition memorandum. But
    Lanny did not designate that his opposition be included in the clerk’s transcript, and it
    was not included in his or in Gonzalez’s requests to augment the record on appeal either.
    If the evidentiary objections included in Lanny’s separate statement are any indication, it
    7
    would appear Lanny once again argued the judgment in the will contest had no preclusive
    effect.
    In a tentative decision, which the trial court adopted after hearing argument,5 the
    court took judicial notice of the judgment and statement of decision in the will contest,
    but it declined to rule that Lanny’s cause of action for financial elder abuse was barred by
    collateral estoppel, because the “will challenge has notably been appealed and is not a
    final judgment.”
    The trial court disagreed with Gonzalez’s assertion that Lanny lacked standing to
    bring his cause of action for financial elder abuse. Nonetheless, the court concluded
    Gonzalez had met “her initial burden to demonstrate that there is no merit to the cause of
    action . . . by submitting evidence to demonstrate that she did not take or retain any of
    [Paul’s] property for a wrongful use and further demonstrating that [Lanny] lacks any
    contrary evidence.” Moreover, the court concluded Lanny “fail[ed] to meet his burden to
    demonstrate a triable issue of material fact” in that he “offer[ed] no evidence to
    demonstrate that [Gonzalez] took, secreted, appropriated, obtained or retained any of
    [Paul’s] real or personal property for a wrongful use or with the intent to defraud.”
    Specifically, the court found insufficient evidence to support Lanny’s claim that
    Gonzalez forged checks because, inter alia, Gonzalez wrote and cashed the checks under
    “a valid power of attorney, which [Lanny] has not challenged in this action.”
    5
    Lanny did not designate that a transcript of the hearing—if it was transcribed—
    be included in the record on appeal.
    8
    Four days after granting Gonzalez’s motion for summary judgment, the trial court
    took Lanny’s motion for reconsideration of the order denying his request for leave to file
    a FAC off calendar. Thereafter, on August 24, 2018, the trial court issued a formal order
    granting Gonzalez’s motion for summary judgment and entered judgment for her.
    Lanny timely appealed.
    II.
    DISCUSSION
    A.     The Trial Court Properly Granted Summary Judgment for Gonzalez on
    Lanny’s Cause of Action for Financial Elder Abuse.
    Lanny contends the trial court erred by declining to rule on his objections to the
    evidence submitted by Gonzalez in support of her motion for summary judgment, and
    there are triable issues of material fact, which precluded summary judgment. Because
    Lanny did not properly state his evidentiary objections in a separate document, the trial
    court did not abuse its discretion by declining to rule on them. And, although the trial
    court correctly declined to grant summary judgment for Gonzalez on the ground Lanny’s
    claim for financial elder abuse was barred under the doctrine of collateral estoppel, we
    conclude his claim is so barred, and summary judgment was properly granted.
    1.     Standard of review.
    Code of Civil Procedure section 437c, subdivision (c), provides that summary
    judgment is to be granted “if all the papers submitted show that there is no triable issue as
    to any material fact and that the moving party is entitled to a judgment as a matter of
    law.” A defendant “moving for summary judgment bears an initial burden of production
    9
    to make a prima facie showing of the nonexistence of any triable issue of material fact.”
    (Aguilar v. Atlantic Richfield Co. (2001) 
    25 Cal.4th 826
    , 850 (Aguilar).) A defendant
    may meet this burden either by showing one or more elements of a cause of action cannot
    be established or by showing there is a complete defense. (Code Civ. Proc., § 437c,
    subd. (p)(2); Aguilar, at p. 850.)
    If the defendant’s prima facie case is met, the burden shifts to the plaintiff to show
    the existence of a triable issue of material fact with respect to that cause of action or
    defense. (Code Civ. Proc., § 437c, subd. (p)(2); Aguilar, 
    supra,
     25 Cal.4th at p. 850.)
    “[T]o meet that burden, the plaintiff ‘. . . shall set forth the specific facts showing that a
    triable issue of material fact exists as to that cause of action . . . .’” (Merrill v.
    Navegar, Inc. (2001) 
    26 Cal.4th 465
    , 476-477.) Ultimately, the moving party “bears the
    burden of persuasion that there is no triable issue of material fact and that he is entitled to
    judgment as a matter of law.” (Aguilar, at p. 850.)
    “‘“Because this case comes before us after the trial court granted a motion for
    summary judgment, we take the facts from the record that was before the trial court when
    it ruled on that motion. [Citation.] ‘“We review the trial court’s decision de novo,
    considering all the evidence set forth in the moving and opposing papers except that to
    which objections were made and sustained.”’ [Citation.] We liberally construe the
    evidence in support of the party opposing summary judgment and resolve doubts
    concerning the evidence in favor of that party.”’” (Hampton v. County of San Diego
    (2015) 
    62 Cal.4th 340
    , 347.)
    10
    “We owe the superior court no deference in reviewing its ruling on a motion for
    summary judgment; the standard of review is de novo. [Citation.] Furthermore, ‘[i]t is
    axiomatic that we review the trial court’s rulings and not its reasoning.’” (Coral
    Construction, Inc. v. City and County of San Francisco (2010) 
    50 Cal.4th 315
    , 336.)
    Therefore, we ask “‘whether the judge reached the right result . . . whatever path he [or
    she] might have taken to get there, and we decide that question independently of the trial
    court.’” (County of San Mateo v. Superior Court (2017) 
    13 Cal.App.5th 724
    , 729-730.)
    2.     The trial court properly declined to rule on Lanny’s evidentiary
    objections.
    In support of her motion for summary judgment, Gonzalez filed a separate
    statement that set forth 66 undisputed material facts. Many of those material facts
    referred to earlier rulings in the case and to testimony and findings from the will contest.
    In his responsive separate statement, Lanny disputed almost all those material facts and
    interposed objections to much of the evidence Gonzalez had relied upon. He did not file
    written evidentiary objections as a separate document.
    The trial court declined to rule on Lanny’s evidentiary objections because they
    were “inappropriately included in the response to the Separate Statement.”6 We cannot
    determine whether Lanny restated his objections orally because, as already noted (see,
    ante, fn. 5), he did not request that a transcript of the hearing be included in the record on
    appeal. In his brief, Lanny contends the trial court erred by not ruling on his objections
    6 Curiously, the trial court stated it overruled “Objection [No.] 69.” There was no
    such objection.
    11
    simply because they were included in his responsive separate statement. He argues it was
    enough that he made them in writing. We find no abuse of discretion.
    Code of Civil Procedure section 437c requires a party opposing summary
    judgment to file a separate statement that, inter alia, responds to the material facts set
    forth in the moving party’s separate statement and indicates whether the opposing party
    agrees or disagrees with the moving party’s material facts. (Code Civ. Proc., § 437c,
    subd. (b)(3); see Cal. Rules of Court, rule 3.1350(e)(1), (f).) Objections to the moving
    party’s evidence must be made “at the hearing” or they are deemed waived. (Code Civ.
    Proc., § 437c, subd. (b)(5).) By rule, the opposing party must file written evidentiary
    objections or arrange for a court reporter to be present at the hearing and make the
    objections orally. (Cal. Rules of Court, rule 3.1352.) Unless the court orders otherwise
    for good cause, written objections must be filed and served with the opposition papers.
    (Id., rule 3.1354(a).)
    The summary judgment statute is silent whether a party may include evidentiary
    objections in their separate statement, but the California Rules of Court expressly prohibit
    that practice. “All written objections to evidence must be served and filed separately
    from the other papers in support of or in opposition to the motion. Objections to specific
    evidence must be referenced by the objection number in the right column of a separate
    statement in opposition or reply to a motion, but the objections must not be restated or
    reargued in the separate statement.” (Cal. Rules of Court, rule 3.1354(b), italics added;
    see id., rule 1.5(b)(1) [“‘Must’ is mandatory.”].)
    12
    “The rules requiring evidentiary objections to be filed separately and not repeated
    in the separate statement are to allow the trial court to consider each piece of evidence
    and all of the objections applicable to that piece of evidence separately.” (Hodjat v. State
    Farm Mutual Automobile Ins. Co. (2012) 
    211 Cal.App.4th 1
    , 9 (Hodjat).) “[I]nterposing
    objections into the separate statement defeats the goal of allowing the trial court to
    quickly and efficiently determine what particular piece of evidence is admitted and what
    is not. This is because the separate statement is focused on individual facts, which may
    be supported by the same or different pieces of evidence. A trial court would be forced to
    wade through all of the facts in order to rule on a particular piece of evidence.” (Ibid.)
    By not filing his written evidentiary objections as a separate document and,
    instead, by inserting them into his responsive separate statement, Lanny did not properly
    interpose his objections, and the trial court did not abuse its discretion by declining to
    rule on them. (Hodjat, supra, 211 Cal.App.4th at pp. 8-9 [trial court did not abuse
    discretion by declining to overlook deficiency in opposing parties’ written objections set
    forth in separate statement and declining to permit them to reformat objections in
    separate document]; see Universal City Studios Credit Union v. CUMIS Ins. Society, Inc.
    (2012) 
    208 Cal.App.4th 730
    , 734, fn. 1 [including evidentiary objections in separate
    statement, “as opposed to a separate document raising only objections, was improper”].)
    Nonetheless, Lanny requests that this court “consider and rule on all relevant
    objections.” Assuming for the sake of argument that Lanny properly made his objections
    in the first place, they are deemed to have been overruled by the trial court. (Reid v.
    Google, Inc. (2010) 
    50 Cal.4th 512
    , 534 [“[I]f the trial court fails to rule expressly on
    13
    specific evidentiary objections, it is presumed that the objections have been overruled, the
    trial court considered the evidence in ruling on the merits of the summary judgment
    motion, and the objections are preserved on appeal.”].) Lanny argues that, by not ruling
    on his objections, the trial court improperly considered “unsettled determinations” from
    the will contest, “which ought not to have any evidentiary value.” But the findings in the
    will contest are now final and settled. And, as explained, post, they fatally undermine
    Lanny’s cause of action for financial elder abuse. Therefore, we conclude the objections
    were properly overruled.
    3.       Gonzalez was entitled to judgment as a matter of law because
    Lanny’s cause of action for financial elder abuse was barred under the doctrine of
    collateral estoppel.
    Inter alia, Gonzalez moved for summary judgment on the ground the judgment in
    the will contest had a preclusive effect in this lawsuit under the doctrine of issue
    preclusion. The trial court wisely declined to grant Gonzalez’s motion on that basis
    because the judgment was still on appeal. “Under California law, a judgment ‘is not final
    for purposes of res judicata during the pendency of and until the resolution of the
    appeal.’” (The Inland Oversight Committee v. City of San Bernardino (2018)
    
    27 Cal.App.5th 771
    , 780.) However, while this appeal was pending, we affirmed the
    judgment in the will contest, and the remittitur has since issued. (Estate of Wilson, supra,
    E070066 [remittitur issued June 8, 2020].) In other words, the probate court’s judgment
    is now final. To repeat, we may affirm the summary judgment if it is correct on any
    14
    ground, including on the ground of issue preclusion.7 (County of San Mateo v. Superior
    Court, supra, 13 Cal.App.5th at pp. 729-730.)
    Res judicata is often used “as an umbrella term encompassing both claim
    preclusion and issue preclusion, which [is] described as two separate ‘aspects’ of an
    overarching doctrine. [Citations.] Claim preclusion, the ‘“‘primary aspect’”’ of res
    judicata, acts to bar claims that were, or should have been, advanced in a previous suit
    involving the same parties. [Citation.] Issue preclusion, the ‘“‘secondary aspect’”’
    historically called collateral estoppel, describes the bar on relitigating issues that were
    argued and decided in the first suit.” (DKN Holdings, LLC v. Faerber (2015) 
    61 Cal.4th 813
    , 823-824.) “[I]ssue preclusion applies (1) after final adjudication (2) of an identical
    issue (3) actually litigated and necessarily decided in the first suit and (4) asserted against
    one who was a party in the first suit or one in privity with that party.” (Id. at p. 825.)
    When applicable, the doctrine of issue preclusion advances the public policies of
    “conserving judicial resources and promoting judicial economy by minimizing repetitive
    litigation, preventing inconsistent judgments which undermine the integrity of the judicial
    system, and avoiding the harassment of parties through repeated litigation.” (Murray v.
    Alaska Airlines, Inc. (2010) 
    50 Cal.4th 860
    , 879.)
    “‘Summary judgment is an appropriate remedy when the doctrine of collateral
    estoppel refutes all triable issues of fact suggested by the pleadings and supporting
    7 Because, in their briefs, the parties did not address whether an affirmance of the
    judgment in the will contest would have a preclusive effect in this case and would
    constitute an alternative ground to affirm the summary judgment, we invited them to file
    supplemental briefs on that question. (See Code Civ. Proc., § 437c, subd. (m)(2).)
    15
    documents.’” (Rodgers v. Sargent Controls & Aerospace (2006) 
    136 Cal.App.4th 82
    , 88;
    accord, Ayala v. Dawson (2017) 
    13 Cal.App.5th 1319
    , 1326 [“‘The defense of res
    judicata not only is properly raised by a motion for summary judgment but also is a
    proper ground upon which to grant a summary judgment.’”].)
    There is no serious dispute here that three of four elements of issue preclusion are
    met: the judgment in the will contest was a final adjudication of Lanny’s claims about
    the circumstances under which Paul executed his will and whether the will expressed
    testamentary intent; those issues were “actually litigated” in the probate court; and issue
    preclusion would be asserted against Lanny, the party who initiated the will contest and is
    the plaintiff here.8 (DKN Holdings LLC v. Faerber, supra, 61 Cal.4th at p. 824.) The
    only question is whether the issues decided in the will contest and the issues raised by
    Lanny’s complaint are identical. (Ibid.) “The identical issue requirement for issue
    preclusion addresses whether identical factual allegations are at stake, ‘not whether the
    8  Unlike in the trial court, Lanny now seems to argue that, in addition to there
    being a difference between the primary rights involved in the two actions, issue
    preclusion does not apply because it would not be asserted against him but essentially
    against Paul, someone who for obvious reasons was not a party to the will contest.
    Because Lanny could only maintain the elder abuse claim in the capacity of Paul’s
    representative, intestate heir, successor in interest, or as an “interested person” (Welf. &
    Inst. Code, § 15657.3, subd. (d)), at a minimum, he and Paul are in privity for purposes of
    issue preclusion. (See Arias v. Superior Court (2009) 
    46 Cal.4th 969
    , 985 [“Collateral
    estoppel . . . operates only against those who were parties, or in privity with parties, to
    that prior litigation and who are thus bound by the resulting judgment.”]; Dawson v.
    Toledano (2003) 
    109 Cal.App.4th 387
    , 399 [“‘Privity involves a person so identified in
    interest with another that he represents the same legal right.’”].) Therefore, the
    requirement of the same party or their privy is satisfied.
    16
    ultimate issues or dispositions are the same.’” (Key v. Tyler (2019) 
    34 Cal.App.5th 505
    ,
    534, quoting Lucido v. Superior Court (1990) 
    51 Cal.3d 335
    , 342.)
    As he did in the trial court, Lanny argues the judgment in the will contest has no
    preclusive effect on his cause of action for financial elder abuse because the will contest
    involved different primary rights. Relying primarily on Estate of Dito (2011) 
    198 Cal.App.4th 791
    , Lanny argues that, whereas the primary right at issue in the will contest
    was his right to inherit from Paul, the primary right at stake in this case is Paul’s right not
    to be victimized by elder abuse.
    Estate of Dito is distinguishable. There, the probate court determined the
    respondent was a surviving spouse of the decedent and entitled to receive a share of his
    estate. (Estate of Dito, supra, 198 Cal.App.4th at pp. 796-797.) The Court of Appeal
    affirmed the judgment. (Id. at p. 797.) After issuance of the remittitur, the decedent’s
    daughter and son-in-law filed a petition in the probate court alleging the respondent had
    committed financial elder abuse against the decedent and, therefore, should be deemed to
    have predeceased the decedent and not take from the estate. (Id. at pp. 797-798.) The
    probate court sustained the respondent’s demurrer to the petition without leave to amend,
    concluding the primary rights at stake in the prior final judgment and in the petition were
    identical—the respondent’s entitlement to receive a share of the estate as surviving
    spouse—and, therefore, the petition was barred under the doctrine of issue preclusion.
    (Id. at pp. 798-799.)
    The appellate court held that the primary rights at issue were not the same and,
    therefore, the trial court erred by concluding the petition was barred by issue preclusion.
    17
    “The primary right at issue in the former proceeding was [the respondent’s] own right . . .
    to receive a share of the decedent’s estate as an omitted spouse.” (Estate of Dito, supra,
    198 Cal.App.4th at p. 801.) The issues in that proceeding included the validity of the
    decedent’s marriage to the respondent and the validity of a spousal waiver contained in a
    prenuptial agreement. (Id. p. 802.) In contrast, “the primary right addressed by the
    petition [filed by the decedent’s daughter and son-in-law] is that of [the decedent] not to
    be abused or defrauded. This primary right belongs to [the decedent] and interested
    persons entitled to assert that right on his behalf.” (Ibid.) The court held the allegations
    of financial elder abuse “have no bearing upon the determination of whether [the
    respondent] is an omitted spouse entitled to receive a share of [the decedent’s] estate.”
    (Ibid.) Moreover, the court noted the request to find the respondent to have predeceased
    the decedent “does not affect or threaten the prior determination that [the respondent] is a
    surviving omitted spouse” and entitled to take her share from the estate, although that
    share would necessarily be limited or even completely offset by any damages that might
    be awarded against her. (Id. at p. 804.)
    Here, in contrast, Lanny’s cause of action for financial elder abuse did raise the
    same issues that were already addressed in the will contest, i.e., Gonzalez’s alleged fraud
    and use of undue influence over Paul to obtain a will favorable to her and to control his
    property. Lanny did not merely allege Gonzalez fraudulently transferred title to Paul’s
    property and pilfered his bank account, which caused Paul damage. Instead, the
    complaint alleged Gonzalez raided property and money that should have been part of the
    estate that he should have inherited. For instance, the complaint alleges Gonzalez
    18
    transferred to herself title to automobiles, “secreting them from the Estate.” (Italics
    added.) To make this clearer, Lanny alleged the classic automobiles “should be property
    of the Estate,” and Gonzalez’s “willful, outrageous and oppressive” conduct “was
    intended to deprive the Estate of those vehicles.” (Italics added.) Finally, the allegations
    of financial elder abuse were not segregated from the allegations related to the cause of
    action for tortious interference with an inheritance that was previously dismissed. To the
    contrary, in the actual claim for financial elder abuse, Lanny alleged, “Gonzalez
    wrongfully and fraudulently, using undue influence, caused the decedent to execute a
    ‘Living Will,’ which she now construes as giving her all of his property.”
    This case is more like Murphy v. Murphy (2008) 
    164 Cal.App.4th 376
    . In that
    case, the probate court granted a petition to enter a substituted judgment ratifying and
    funding a revocable living trust and pour-over will for William, a former conservatee.
    The estate instruments disinherited his son, William, Jr., and designated his daughter
    Maureen as successor trustee. (Id. at pp. 383, 390-392.) The petition argued that the
    living trust reflected William’s testamentary intent, he had and continued to have the
    capacity to form such an intent and knew the nature of his assets, and “the living trust and
    pour-over will were not the result of fraud or undue influence by ‘any party’ and reflected
    William’s testamentary intent and estate plan.” (Id. at p. 390.)
    After William’s death, William, Jr., filed a civil lawsuit against Maureen, as
    trustee, alleging William and his predeceased wife Elaine (mother to both parties) had
    orally promised that whichever of them survived would leave their estate to William, Jr.,
    and Maureen equally. (Murphy v. Murphy, supra, 164 Cal.App.4th at p. 392.)
    19
    William, Jr., alleged his sister “exerted undue influence over William after Elaine’s
    death,” and the son sought a judgment rescinding and nullifying the living trust and pour-
    over will. He alleged Maureen wrongly held title over William’s assets “as a result of
    [her] undue influence over William.” (Ibid.) Maureen filed a motion in limine arguing,
    inter alia, the causes of action were barred by the doctrine of issue preclusion because the
    probate court had already decided the validity of William’s estate plan and concluded
    there was no undue influence exerted upon him. (Id. at p. 393.) After a trial, the trial
    court concluded, inter alia, the issue of undue influence had not been tried in the probate
    case, so issue preclusion did not apply. (Ibid.) The trial court went on to find for
    William, Jr., on his claims, concluding his disinheritance was the result of Maureen’s
    undue influence over William. (Id. at pp. 393-394.)
    The appellate court held that William, Jr.’s claims were barred by issue preclusion.
    Relevant here, the Court of Appeal concluded William, Jr.’s lawsuit tried to relitigate the
    same issues of fraud and undue influence, which had already been finally decided in the
    probate court. The “complaint seeks to ‘rescind and nullify’ William’s living trust and
    pour-over will. According to the complaint, these testamentary dispositions resulted
    from William’s breach of an oral testamentary agreement between William and Elaine,
    and from appellant’s fraud, undue influence and interference with the oral testamentary
    agreement. William’s substituted judgment petition alleged that his living trust and pour-
    over will ‘were executed by [William] freely and are not the result of fraud or undue
    influence by any party,’ and that those instruments reflected his testamentary estate plan.
    The factual issues of undue influence and fraud are expressly identical in the instant and
    20
    prior proceedings. The factual issue of whether the dispositive provisions of the living
    trust and pour-over will reflected William’s estate plan were also at stake in both the
    instant action and the substituted judgment proceeding.” (Id. at p. 400, italics added; see
    id. at pp. 400-404 [concluding issues of fraud and undue influence were either “actually
    litigated” in the probate proceeding or could have been raised in that proceeding].)
    So too here. Lanny’s cause of action for financial elder abuse raises the same
    issues of fraud and undue influence by Gonzalez over Paul regarding the creation of his
    will (and the disposition of assets that would otherwise have been included in his estate),
    which have already been finally decided against Lanny in the will contest. And unlike in
    Estate of Dito, supra, 198 Cal.App.4th at page 804, a judgment for Lanny on his financial
    elder abuse claim would threaten the validity of the now-final judgment in the will
    contest.
    In sum, we conclude Lanny’s cause of action for financial elder abuse is barred by
    issue preclusion.9 The summary judgment for Gonzalez, therefore, must be affirmed.
    9   Lanny seeks to invoke the “manifest injustice” exception to collateral estoppel.
    He claims it would be unfair and unjust to apply the doctrine here because Gonzalez was
    subject to an elder abuse restraining order in a separate proceeding. But the manifest
    injustice exception is normally invoked when collateral estoppel is being used to bar
    relitigation of legal versus factual issues, the party to be barred was not a party to the
    prior action or had no meaningful opportunity to litigate the issue in the prior case, and/or
    barring the current claims would prevent a judicial determination of an issue that is
    important to the wider public. (See, e.g., Kopp v. Fair Pol. Practices Com. (1995)
    
    11 Cal.4th 607
    , 621-622; Vandenberg v. Superior Court (1999) 
    21 Cal.4th 815
    , 829-830.)
    This case presents neither of those situations.
    21
    B.     The Trial Court Did Not Abuse Its Discretion by Denying Lanny Leave to
    Amend.
    Last, Lanny argues the trial court erred by denying his request for leave to file a
    FAC and denied him due process of law by not conducting a hearing on his motion for
    reconsideration. For purposes of this appeal, we will deem the order taking Lanny’s
    motion for reconsideration off calendar to be an order denying the motion. (See
    American Advertising & Sales Co. v. Mid-Western Transport (1984) 
    152 Cal.App.3d 875
    ,
    877, fn. 1 [on appeal from dismissal of first amended complaint following grant of
    summary judgment, appellate court treated order “taking the motion for leave to file an
    amended complaint off calendar as a denial of that motion”].) We find no abuse of
    discretion.
    A trial court has wide discretion to allow amendment of any pleading, and its
    ruling will be upheld unless a manifest or gross abuse of discretion is shown. (Code Civ.
    Proc., § 473, subd. (a)(1); Record v. Reason (1999) 
    73 Cal.App.4th 472
    , 486; Bedolla v.
    Logan & Frazer (1975) 
    52 Cal.App.3d 118
    , 135-136.) Even if a reviewing court might
    have reached a different conclusion had it reviewed in the first instance the request for
    leave to amend, the trial court’s order will not be reversed unless, as a matter of law, it is
    not supported by the record. (M&F Fishing, Inc. v. Sea-Pac Ins. Managers, Inc. (2012)
    
    202 Cal.App.4th 1509
    , 1534.) The party challenging the order bears the burden of
    demonstrating an abuse of discretion. (Fair v. Bakhtiari (2011) 
    195 Cal.App.4th 1135
    ,
    1147.)
    22
    Generally, leave to amend is liberally granted, but appellate courts have affirmed
    the denial of leave when the proposed amendment clearly lacks merit, when there has
    been an unreasonable or unexplained delay in presenting the amendment, or when the
    opposing party will be prejudiced by the amendment. (See, e.g., Falcon v. Long Beach
    Genetics, Inc. (2014) 
    224 Cal.App.4th 1263
    , 1280 [denial affirmed because party seeking
    leave was not diligent in offering an amendment despite knowledge of the facts];
    Congleton v. National Union Fire Ins. Co. (1987) 
    189 Cal.App.3d 51
    , 62 [leave to amend
    properly denied because proposed amendment failed to state facts sufficient to constitute
    a cause of action]; Cain v. State Farm Mut. Auto. Ins. Co. (1976) 
    62 Cal.App.3d 310
    , 315
    [denial was justified because unwarranted delay would have prejudiced opposing party,
    such as by delaying trial or requiring additional discovery].)
    Relevant here, when deciding whether to grant leave to amend, a court need not
    blind itself to the timelines of proposed causes of action. “Leave to amend is in general
    required to be liberally granted [citation] provided there is no statute of limitations
    concern.” (Kolani v. Gluska (1998) 
    64 Cal.App.4th 402
    , 412.) “[L]eave to amend need
    not be granted if any possible amendment would inevitably be barred by the statute of
    limitations. ‘The law neither does nor requires idle acts.’ (Civ. Code, § 3532.)” (Cloud
    v. Northrop Grumman Corp. (1998) 
    67 Cal.App.4th 995
    , 1011; accord, Quiroz v. Seventh
    Ave. Center (2006) 
    140 Cal.App.4th 1256
    , 1281-1282 [There was no abuse of discretion
    by a trial court in denying leave to file an amended complaint because “the bar of the
    statute of limitations affecting the survivor cause of action was not cured by the proposed
    amendment. Nor could it have been by further amendment.”].)
    23
    The trial court essentially gave three reasons for denying Lanny leave to file a
    FAC, but we need only address one. In his motion for reconsideration, Lanny cured his
    initial failure to comply with rule 3.1324(a) of the California Rules of Court, and the trial
    court subsequently concluded Lanny did have standing to sue for elder abuse. However,
    we conclude the trial court correctly ruled the proposed cause of action for negligent
    elder abuse was time-barred, the new cause of action did not relate back to the original
    complaint, and Lanny did not plead facts to trigger the discovery rule.
    The elder abuse statute contains no statute of limitations, so Lanny’s proposed
    cause of action for negligent elder abuse was subject to the general two-year statute of
    limitations applicable to causes of action for “injury to, or for the death of, an individual
    caused by the . . . neglect of another.” (Code Civ. Proc., § 335.1; see Benun v. Superior
    Court (2004) 
    123 Cal.App.4th 113
    , 125-126 [§ 335.1 “is facially applicable to elder
    abuse actions”]; Banke & Segal, Cal. Practice Guide: Civil Procedure Before Trial
    Statutes of Limitations (The Rutter Group 2020) ¶ 4:326, p. 4-38 [so noting].) Paul died
    in mid-January 2014, but Lanny did not move for leave to file his proposed FAC until
    July 2018.10 Therefore, Lanny’s proposed cause of action for negligent elder abuse is
    time-barred unless it relates back to the original complaint or Lanny properly pleaded
    facts to trigger application of the discovery rule.
    10 The original complaint was also filed more than two years after Paul died.
    Gonzalez did not argue below that the original complaint itself was untimely filed for
    purposes of the relation-back doctrine, and the trial court did not rule on that question.
    For purposes of this appeal, we will assume Lanny’s proposed cause of action for
    negligent elder abuse would have been timely had he pleaded it in the original complaint.
    24
    “Where the statute of limitations has expired before the filing of an amended
    complaint, unless an amended complaint relates back to a timely filed original complaint,
    the amended complaint will be time-barred.” (Curtis Engineering Corp. v. Superior
    Court (2017) 
    16 Cal.App.5th 542
    , 548.) “‘The relation-back doctrine requires that the
    amended complaint must (1) rest on the same general set of facts, (2) involve the same
    injury, and (3) refer to the same instrumentality, as the original one.’” (Branick v.
    Downey Savings & Loan Assn. (2006) 
    39 Cal.4th 235
    , 244.) Relation back is appropriate
    when the amendment is “a restatement, revision, amplification or correction of the
    allegations of the original complaint, or a change of legal theory. It is essential to
    distinguish between a new cause of action arising out of ‘the same general set of facts’
    and a new cause arising out of different facts.” (Wiener v. Superior Court (1976)
    
    58 Cal.App.3d 525
    , 528-529.)
    The facts pleaded in the original complaint all relate to Gonzalez’s alleged
    skulduggery in obtaining a favorable will from Paul, how she abused his trust to take his
    personal property, and how those facts allegedly made out a cause of action for financial
    elder abuse. The FAC does not merely plead a different theory of liability based on those
    same general facts. Instead, the FAC pleads, for the first time, Gonzalez made certain
    promises to train in the administration of dialysis as a condition of Paul’s release from the
    hospital, she started that training but never completed it, she failed to give Paul the
    dialysis he needed, and he died two months later of septic shock. Because the FAC
    pleads a new cause of action based on new and different facts, it does not relate back to
    the original complaint.
    25
    Nor does the discovery rule apply. “A cause of action accrues, and the limitations
    period begins to run, when ‘“the cause of action is complete with all of its elements”’
    [citation]. Under certain circumstances, however, the accrual of the action may be
    postponed and the running of the limitations period tolled ‘until the plaintiff discovers, or
    has reason to discover the cause of action. [Citations.] [¶] A plaintiff has reason to
    discover a cause of action when he or she “has reason at least to suspect a factual basis
    for its elements.” [Citations.] Under the discovery rule, suspicion of one or more of the
    elements of a cause of action, coupled with knowledge of any remaining elements, will
    generally trigger the statute of limitations period.’” (Quarry v. Doe I (2012) 
    53 Cal.4th 945
    , 960.) “A plaintiff relying on the discovery rule must plead ‘“(1) the time and
    manner of discovery and (2) the inability to have made earlier discovery despite
    reasonable diligence.”’ [Citation.] Plaintiffs have an obligation to plead facts
    demonstrating reasonable diligence.” (WA Southwest 2, LLC v. First American Title
    Ins. Co. (2015) 
    240 Cal.App.4th 148
    , 157, some italics added, quoting and citing Fox v.
    Ethicon Endo-Surgery, Inc. (2005) 
    35 Cal.4th 797
    , 807-808.)
    As the trial court correctly noted, Lanny did not plead facts in his proposed FAC
    to support application of the discovery rule. For example, he did not plead when he
    learned about Gonzalez’s alleged promises to train for and administer Paul’s dialysis,
    when he learned of Gonzalez’s failure to follow through on her promises, and if he could
    have learned those facts sooner through the reasonable exercise of due diligence.
    Nor did Lanny file a declaration under penalty of perjury in support of his request
    for leave to amend or in support of his motion for reconsideration that averred facts to
    26
    support the application of the discovery rule.11 Instead, Lanny’s attorney filed a
    declaration in support of the motion for reconsideration, and stated “[s]ome of the new
    facts pleaded [in the FAC] were known previously,” but it was not until the trial in the
    will contest that he learned the facts to support a cause of action for negligent elder
    abuse. But, to repeat, Lanny himself did not declare under penalty of perjury when he
    personally discovered the facts underlying the new cause of action for negligent elder
    abuse and if he could have reasonably learned them sooner. Therefore, we must conclude
    Lanny did not plead application of the discovery rule, and his proposed cause of action
    for negligent elder abuse was time-barred.
    Because the two-year statute of limitations had run on Lanny’s proposed cause of
    action for negligent elder abuse, the relation-back doctrine did not apply, and Lanny did
    not plead facts to trigger application of the discovery rule, we conclude the trial court did
    not abuse its discretion by denying Lanny leave to file a FAC. In addition, because
    Lanny did not show “new or different facts, circumstances, or law” (Code Civ. Proc.,
    § 1008, subd. (a)) to avoid the time bar, the trial court correctly denied his motion for
    reconsideration, albeit implicitly.
    11  As noted, a plaintiff who wishes to rely on the discovery rule must plead facts
    in their complaint to trigger application of the rule. (WA Southwest 2, LLC v. First
    American Title Ins. Co., supra, 240 Cal.App.4th at p. 157.) We do not mean to suggest,
    and we do not decide, that an affidavit or declaration under penalty of perjury from the
    plaintiff setting forth such facts would constitute a proper substitute for pleading those
    facts. (See Mangini v. Aerojet-General Corp. (1991) 
    230 Cal.App.3d 1125
    , 1150
    [“Whether the discovery rule applies at all is initially a matter of pleading.”].) Instead,
    we discuss the absence of a declaration from Lanny merely to further underscore his
    failure to make a showing that the discovery rule should apply.
    27
    III.
    DISPOSITION
    The judgment is affirmed. Defendant and respondent Marisa Gonzalez shall
    recover her costs on appeal.
    NOT TO BE PUBLISHED IN OFFICIAL REPORTS
    McKINSTER
    J.
    We concur:
    RAMIREZ
    P. J.
    RAPHAEL
    J.
    28