Kearney v. Foley & Lardner , 566 F.3d 826 ( 2009 )


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  •                     FOR PUBLICATION
    UNITED STATES COURT OF APPEALS
    FOR THE NINTH CIRCUIT
    JOAN BROWN KEARNEY,                       
    Plaintiff-Appellant,
    No. 07-55566
    v.
    FOLEY & LARDNER, LLP; GREGORY                      D.C. No.
    CV-05-02112-L
    V. MOSER; LARRY L. MARSHALL
    OPINION
    MICHAEL MCCARTY,
    Defendants-Appellees.
    
    Appeal from the United States District Court
    for the Southern District of California
    M. James Lorenz, District Judge, Presiding
    Argued and Submitted
    October 22, 2008—Pasadena, California
    Filed May 12, 2009
    Before: Harry Pregerson and Cynthia Holcomb Hall, Circuit
    Judges, and David Alan Ezra,* District Judge.
    Opinion by Judge David Alan Ezra
    *The Honorable David Alan Ezra, United States District Judge for the
    District of Hawaii, sitting by designation.
    5653
    KEARNEY v. FOLEY & LARDNER               5657
    COUNSEL
    Joseph J. Wheeler, Jill M. Sullivan, Chapin Wheeler LLP, San
    Diego, California, for the appellant.
    Seth M. Galanter, Michael V. Sachdev, Morrison & Foerster
    LLP, Washington, D.C., Mark C. Zebrowski, Morrison &
    Foerster LLP, San Diego, California, for appellees Foley &
    Lardner LLP, Larry L. Marshall, and Gregory V. Moser.
    Daniel R. Shinoff, Paul V. Carelli, IV, Stutz Artiano Shinoff
    & Holtz, APC, San Diego, California, for appellee Michael T.
    McCarty.
    OPINION
    EZRA, District Judge:
    Joan Kearney (“Kearney”) appeals the district court’s dis-
    missal of the federal and state law claims she filed against a
    representative of the Ramona Unified School District
    5658             KEARNEY v. FOLEY & LARDNER
    (“RUSD”) and the law firm that represented RUSD (collec-
    tively “Defendants”) in an earlier eminent domain proceeding
    regarding her property. We have jurisdiction pursuant to 
    28 U.S.C. § 1291
    . As to Kearney’s federal law claims, we vacate
    the district court’s judgment and remand so that those claims
    may be heard. As to Kearney’s state law claims, we affirm the
    district court on all but the spoliation of evidence claim,
    which we instead remand.
    I.   Background
    A.     Events Leading Up to the State Valuation Trial
    We must begin, not with the case at hand, but with the ear-
    lier eminent domain proceedings from which Kearney’s cur-
    rent claims arose.
    Kearney is the former owner of a 52.06-acre parcel of prop-
    erty in Ramona, California. In June of 2000, RUSD initiated
    the condemnation process for that property. Pursuant to that,
    it hired Construction Testing & Engineering, Inc. (“CTE”) to
    conduct a septic system assessment, including percolation
    testing, of Kearney’s land and then issue a report with the
    results. Those results would reveal the number of residential
    lots the land could support, and thus determine the land’s
    value.
    CTE entered the property on December 12, 2000. On
    December 13, Kearney wrote RUSD that it must obtain her
    approval first. Two days later, Gregory Moser, of Foley &
    Lardner, LLP, replied on behalf of RUSD, requesting consent
    to enter to conduct percolation testing in exchange for a copy
    of the report generated. On December 26, Kearney’s attorney
    responded, making disclosure of the report a condition of
    Kearney’s consent. In late January and early February 2001,
    CTE completed its percolation testing. It did not prepare a
    formal report of the results.
    KEARNEY v. FOLEY & LARDNER               5659
    In response to Kearney’s March 2001 discovery request,
    RUSD produced no test results. Other documents produced
    suggested testing had been done. In his October 2001 deposi-
    tion, Michael McCarty, RUSD’s then-Business Manager, told
    Kearney’s attorney that he thought testing had been done.
    Nonetheless, no results were produced.
    B.   The Valuation Trial and Subsequent Appeals
    The trial to determine the property’s value lasted from
    April 29 to May 9, 2002. Kearney’s expert testified that,
    based on the percolation tests performed on the property in
    1996, the parcel could support up to sixteen residential lots,
    giving it a total value of $1.4 million. RUSD’s expert
    appraised the property at $850,000, based on her understand-
    ing that it could support six to eight lots. Larry Marshall
    (“Marshall”), one of RUSD’s attorneys, said in trial that no
    new percolation testing had been performed. The jury
    awarded Kearney $953,000 in compensation.
    It was only after the trial that Kearney learned from a
    school expense itemization report that percolation testing had
    actually been performed. But even then, her May 2002 Cali-
    fornia Public Records Act (“CPRA”) request for documents
    obtained no results. RUSD said it did not possess anything
    that had not been provided during discovery. It also said that,
    to the extent any documents existed in the offices of profes-
    sionals it employed, the documents were exempt from CPRA.
    Kearney moved for a new trial based on the itemization
    report. The state trial court denied the motion. Kearney
    appealed.
    While that appeal was pending, Kearney made another
    CPRA request and exchanged letters with Marshall. In one of
    these, Marshall said RUSD would waive its CPRA exemp-
    tion. On November 12, 2002, it produced a copy of the testing
    results, saying the document had never been in RUSD’s pos-
    session and was obtained after the trial. Kearney had RUSD’s
    5660             KEARNEY v. FOLEY & LARDNER
    experts review the results, and they determined that the results
    were significant to valuation and supported a higher value for
    the property.
    Kearney filed more motions for a new trial, but both were
    denied on jurisdictional grounds. Kearney appealed these as
    well. On March 3, 2004, the California Court of Appeal
    issued three opinions. One affirmed the trial court’s dismissal
    of Kearney’s motion for new trial, finding that Kearney failed
    to show that RUSD’s assertions about the absence of testing
    denied her a fair trial and that she should have instead pursued
    the evidence suggesting testing had been completed. The
    other two opinions affirmed the trial court’s orders on the
    grounds that it lacked jurisdiction. The California Supreme
    Court denied review.
    C.     The Current Action
    Having thus received no relief on valuation in state court,
    Kearney commenced the present action in federal court
    against RUSD’s representative, the law firm that represented
    RUSD in the state proceedings, and two of that firm’s law-
    yers, seeking relief for the conduct that led to that valuation.
    Her complaint alleged federal causes of action under RICO,
    conspiracy to violate RICO, and 
    42 U.S.C. § 1983
    . Her state
    causes of action included false promise, fraud and deceit, spo-
    liation of evidence, and prima facie tort.
    Defendants filed motions to dismiss. The district court
    granted them, dismissing Kearney’s federal claims under the
    Noerr-Pennington doctrine because the conduct on which
    Kearney relied to establish liability was incidental to First
    Amendment-protected petitioning activity. The court further
    held that the complaint did not fit into the “sham exception”
    to that doctrine because Kearney had not supported the posi-
    tion that defendants’ alleged intentional misrepresentations to
    the court “depriv[ed] the condemnation proceeding of its
    legitimacy.” The court also dismissed Kearney’s state claims
    KEARNEY v. FOLEY & LARDNER                      5661
    under California’s anti-SLAPP statute,1 finding that defen-
    dants acted in furtherance of their rights to petition and that
    Kearney had not showed a probability of prevailing on the
    merits.
    II.   Standard of Review
    This Court reviews de novo: (1) a district court’s dismissal
    of a complaint for failure to state a claim pursuant to Federal
    Rule of Civil Procedure 12(b)(6), Pack v. United States, 
    992 F.2d 955
    , 957 (9th Cir. 1993); (2) a district court’s dismissal
    based on the Noerr-Pennington doctrine, Sosa v. DIRECTV,
    Inc., 
    437 F.3d 923
    , 929 (9th Cir. 2006); and (3) a district
    court’s grant of a motion to strike under California’s anti-
    SLAPP statute, Vess v. Ciba-Geigy Corp. USA, 
    317 F.3d 1097
    , 1102 (9th Cir. 2003).
    III. Discussion
    A.    The Noerr-Pennington Doctrine
    On appeal, Kearney argues that the Noerr-Pennington doc-
    trine should not apply in this case because (1) this is not one
    of the limited situations in which government officials may
    receive immunity, and (2) Defendants’ conduct was not peti-
    tioning conduct. Although we find both of these arguments
    unavailing, we are persuaded that the doctrine’s sham litiga-
    tion exception applies to her claims and prevents the immuni-
    zation of Defendants’ petitioning conduct.
    [1] The Noerr-Pennington doctrine derives from the Peti-
    tion Clause of the First Amendment and provides that “those
    who petition any department of the government for redress
    are generally immune from statutory liability for their peti-
    1
    “SLAPP is an acronym for ‘strategic lawsuit against public participa-
    tion.’ ” Jarrow Formulas, Inc. v. La Marche, 
    31 Cal. 4th 728
    , 732 n.1
    (2003).
    5662             KEARNEY v. FOLEY & LARDNER
    tioning conduct.” Sosa, 
    437 F.3d at 929
    . It initially emerged
    in the antitrust context. See E. R.R. Presidents Conference v.
    Noerr Motor Freight, Inc., 
    365 U.S. 127
     (1961); United Mine
    Workers v. Pennington, 
    381 U.S. 657
     (1965). Recognizing
    that the “ ‘right to petition extends to all departments of the
    government’ ” and includes access to courts, the Supreme
    Court extended the doctrine to provide immunity for the use
    of “ ‘the channels and procedures’ ” of state and federal
    courts to advocate causes. Sosa, 
    437 F.3d at 929-30
     (quoting
    Cal. Motor Transp. Co. v. Trucking Unlimited, 
    404 U.S. 508
    ,
    510-11 (1972)).
    The Supreme Court has since held that Noerr-Pennington
    principles “apply with full force in other statutory contexts”
    outside antitrust. Id. at 930 (discussing BE & K Constr. Co.
    v. NLRB, 
    536 U.S. 516
    , 525 (2002)). In BE & K, the Court
    held that the National Labor Relations Act (“NLRA”) did not
    permit holding an employer liable for unsuccessfully prose-
    cuting retaliatory lawsuits against employees who were exer-
    cising rights the NLRA protects. 
    536 U.S. 516
    . In doing so,
    the Court adopted a three-part test to determine whether the
    defendant’s conduct is immunized: (1) identify whether the
    lawsuit imposes a burden on petitioning rights, (2) decide
    whether the alleged activities constitute protected petitioning
    activity, and (3) analyze whether the statutes at issue may be
    construed to preclude that burden on the protected petitioning
    activity. See 
    id. at 530-33, 535-37
    .
    [2] Not all petitioning activity is immunized, however. A
    “sham” exception to the doctrine developed to prevent the
    immunization of conduct that used “governmental process . . .
    as an anticompetitive weapon.” Kottle v. Nw. Kidney Ctrs.,
    
    146 F.3d 1056
    , 1060 (9th Cir. 1998). The Ninth Circuit has
    held that a defendant’s activities may fall into this exception
    if they include making intentional misrepresentations to the
    court that then “deprive[s] the litigation of its legitimacy.” 
    Id.
    As an initial matter, Kearney claims that the doctrine was
    meant to protect a citizen’s right to petition the government,
    KEARNEY v. FOLEY & LARDNER                  5663
    and never intended to bar suit by a private citizen against gov-
    ernment officials. In support of her argument, she cites Man-
    istee Town Ctr. v. City of Glendale, 
    227 F.3d 1090
     (9th Cir.
    2000), for the principle that the immunization of government
    officials or entities has been limited to cases in which those
    officials are lobbying other government officials on behalf of
    their constituents. She argues that a case of government initi-
    ated litigation against a citizen does not fit within the rationale
    supporting immunity for lobbying.
    [3] As a matter of first impression, the Manistee court held
    that Noerr-Pennington could apply to government entities or
    officials because the city officials’ lobbying efforts amounted
    to a petition on behalf of citizens. See 
    id. at 1093
    . There is no
    reason, however, to limit Manistee’s holding to lobbying
    efforts. In a representative democracy, the court recognized
    that branches of government often “act on behalf of the peo-
    ple” and “intercede” to “advance their constituents’ goals,
    both expressed and perceived.” 
    Id.
     Such intercession is just as
    likely to be accomplished through lawsuits—the very act of
    petitioning—as through lobbying. See Theofel v. Farey-Jones,
    
    359 F.3d 1066
    , 1078 (9th Cir. 2004). Furthermore, an eminent
    domain proceeding is consistent with the principles laid out in
    Manistee: a governmental entity acts on behalf of the public
    it represents when it seeks to take private property and con-
    vert it to public use. Cf. New West, L.P. v. City of Joliet, 
    491 F.3d 717
    , 721-22 (7th Cir. 2007) (holding that Noerr-
    Pennington applies to a municipality’s condemnation action).
    [4] We find that a governmental entity or official may
    receive Noerr-Pennington immunity for the petitioning
    involved in an eminent domain proceeding. The agents of that
    litigation—employees and law firms and lawyers—may bene-
    fit from the immunity as well. Freeman v. Lasky, Haas &
    Cohler, 
    410 F.3d 1180
    , 1186 (9th Cir. 2005). Noerr-
    Pennington may therefore protect Defendants here.
    We now apply the doctrine and its sham exception to the
    case at hand.
    5664             KEARNEY v. FOLEY & LARDNER
    1.   Does Kearney’s lawsuit burden Defendants’
    petitioning rights?
    Though the district court did not address this issue explic-
    itly, Kearney argues that her federal claims do not burden
    Defendants’ right to prosecute an eminent domain proceeding,
    but instead just challenge abuse of the process. She thus con-
    tends that, if her lawsuit were successful, it would not dis-
    courage future eminent domain proceedings, just fraudulent
    behavior in those lawsuits.
    [5] However, the question at this stage is not whether the
    conduct at issue is fraudulent and abusive, but instead whether
    the success of Kearney’s lawsuit would constitute a burden on
    petitioning rights. As Sosa v. DIRECTV, Inc., 
    437 F.3d 923
    (9th Cir. 2006), illustrates, the lawsuit may burden conduct
    incidental to litigation. Even though the prelitigation settle-
    ment demands at issue there were not themselves litigation,
    they were part of the “breathing space required” for the effec-
    tive exercise of petitioning rights. 
    Id. at 933
    . Imposing liabil-
    ity for that conduct burdened DIRECTV’s ability to avoid
    litigation through settlement. 
    Id. at 932
    .
    This question of burden is separate from the question of
    whether the conduct challenged included intentional misrepre-
    sentations or fraud. In Sosa, the plaintiff alleged that the let-
    ters amounted to extortion and fraud. 
    Id. at 927
    . Yet the court
    did not address these allegations when determining the burden
    under the test’s first step. Instead, it suggested that the ques-
    tion of whether there would be absolute immunity for conduct
    including intentional misrepresentations or fraud should be
    analyzed under the sham exception. See 
    id. at 938
     (declining
    to decide whether the exception applied since the plaintiff did
    not argue it). Other cases have similarly found petitioning
    rights burdened even though the plaintiffs were alleging mis-
    conduct in that petitioning. See BE & K Constr. Co. v. NLRB,
    
    536 U.S. 516
     (2002) (finding that declaring an employer’s
    lawsuit illegal burdens petitioning rights even though the law-
    KEARNEY v. FOLEY & LARDNER                5665
    suit itself was retaliatory); cf. Freeman v. Lasky, Haas &
    Cohler, 
    410 F.3d 1180
     (9th Cir. 2005) (finding that defen-
    dants who allegedly committed discovery misconduct in an
    earlier suit were protected by the Noerr-Pennington doctrine
    because the sham exception did not apply).
    [6] Kearney alleges misconduct in events that occurred in
    the course of Defendants’ petition on RUSD’s behalf in emi-
    nent domain proceedings. It is undisputed that those proceed-
    ings represent a petition to the government. Her challenge to
    the discovery communications, interactions with expert wit-
    nesses and contractors, and statements to the court by
    RUSD’s agents pursuant to those proceedings places a burden
    on RUSD’s ability to bring such actions.
    2.   Do Defendants’ alleged acts constitute protected
    petitioning activity?
    Kearney alleges that Defendants suppressed the percolation
    test results, instructed CTE’s engineers not to prepare a for-
    mal report of those results, and repeatedly misrepresented
    during trial that RUSD had not conducted percolation testing.
    None of these actions are petitions in and of themselves; they
    are not complaints, answers, counterclaims, or pleadings
    which make representations to the court. See Freeman, 
    410 F.3d at 1184
    .
    [7] However, in order to “preserve the breathing space
    required for the effective exercise of the rights [the Petition
    Clause] protects,” “conduct incidental to the prosecution of
    the suit” may also be immunized under the Noerr-Pennington
    doctrine. Sosa v. DIRECTV, Inc., 
    437 F.3d 923
    , 933-34 (9th
    Cir. 2004) (internal quotation marks omitted). As the district
    court noted, this court has held that discovery is incidental to
    litigation and comes within the Noerr-Pennington doctrine if
    the underlying litigation is protected by the Petition Clause.
    See Freeman, 
    410 F.3d at 1185
    .
    5666             KEARNEY v. FOLEY & LARDNER
    [8] Since we have already determined above that the under-
    lying litigation here was protected, it follows that the miscon-
    duct Kearney alleges in the discovery communications
    surrounding that litigation and the trial advocacy of that litiga-
    tion likewise comes within Noerr-Pennington. Kearney
    argues that, in so saying, we would be broadening the notion
    of what conduct is “incidental” beyond what our precedents
    have recognized. We disagree and do not find “incidental” so
    narrow. Discovery communications have already been recog-
    nized as “incidental,” see Freeman, 
    410 F.3d at 1185
    , and,
    like trial advocacy, are a “common . . . feature of modern liti-
    gation.” Sosa, 
    437 F.3d at 936
    . Defendants’ alleged instruc-
    tion to CTE not to prepare a report with the test results is
    perhaps more far afield. However, the testing was completed
    in preparation for the valuation trial, and so statements to
    those completing the testing would be incidental to that litiga-
    tion as well. See 
    id. at 935-36
     (discussing the protection of
    prelitigation communications).
    Kearney presses further that misconduct could not be peti-
    tioning conduct or conduct incidental because misconduct is
    not essential to the petition. In so doing, she collapses the
    question of petitioning conduct with that of the sham excep-
    tion’s application. See 
    id. at 938
     (“Finding that the protections
    of the Petition Clause extend to [conduct] does not mean that
    the [conduct is] absolutely protected from liability.”). We
    instead find the misconduct she alleges to be petitioning con-
    duct and now turn to the sham exception to determine whether
    it might nonetheless be subject to liability.
    3.   Does the sham exception apply to Defendants’
    conduct?
    [9] In Kottle v. Northwest Kidney Centers, 
    146 F.3d 1056
    ,
    1060 (9th Cir. 1998), the Ninth Circuit identified three cir-
    cumstances in which the sham litigation exception might
    apply. Kearney argues for the third here: where the allegedly
    unlawful conduct “consists of making intentional misrepre-
    KEARNEY v. FOLEY & LARDNER                  5667
    sentations to the court” and those misrepresentations or the
    “party’s knowing fraud upon . . . the court deprive the litiga-
    tion of its legitimacy.” 
    Id.
     We are persuaded that Defendants’
    alleged misconduct here was precisely the sort the sham
    exception was created to address.
    [10] Since this matter arose on a motion to dismiss, Kear-
    ney’s allegations must be assumed true. Kearney has alleged
    intentional misrepresentations to the court, and fraud upon the
    court through the suppression of evidence, that ultimately led
    to her property being valued lower than it should have been.
    In Sosa v. DIRECTV, Inc., the court described a similar situa-
    tion of a RICO suit predicated on “fraudulent discovery con-
    duct in prior litigation that induced the plaintiffs to settle the
    suit for a lower amount than they would have in the absence
    of the fraud.” 
    437 F.3d 923
    , 940 (9th Cir. 2006) (discussing
    Living Designs, Inc. v. E.I. Dupont de Nemours & Co., 
    431 F.3d 353
     (9th Cir. 2005)). Although Living Designs was not
    considered under Noerr-Pennington, the Sosa court said “the
    conduct alleged quite clearly fell within the third prong of
    Kottle’s sham litigation exception, in that it amounted to a
    ‘knowing fraud . . . upon the court depriv[ing] the litigation
    of its legitimacy.’ ” 
    Id.
     (quoting Kottle, 
    146 F.3d at 1060
    ).
    Kearney’s allegations are very similar to those described by
    the Sosa court in Living Designs and so should also fall within
    the third prong of the sham litigation exception. See also
    Freeman v. Lasky, Haas & Cohler, 
    410 F.3d 1180
    , 1185 (9th
    Cir. 2005) (“Had [the discovery misconduct] not been brought
    to light in time, it is entirely possible that [it] would so have
    infected the defense of the lawsuit as to make it a sham.”).
    The district court found that the exception did not apply
    because Kearney did not “support[ ] her position that defen-
    dants made intentional misrepresentations to the court thereby
    depriving the court of its legitimacy.” The requirement of
    “support” suggests the court was not taking her allegations as
    true. At the motion to dismiss stage, it was error to require
    such support.
    5668                KEARNEY v. FOLEY & LARDNER
    If, however, the court was actually faulting Kearney for
    insufficiently specific allegations, this could be a proper basis
    for denying the sham litigation exception. See Kottle, 
    146 F.3d at 1063
     (“[W]hen a plaintiff seeks damages . . . for con-
    duct which is prima facie protected by the First Amendment,
    the danger that the mere pendency of the action will chill the
    exercise of First Amendment rights requires more specific
    allegations than would otherwise be required.” (internal quo-
    tation marks omitted)). In Kottle, the court suggested the
    required specifics would include such things as “exactly what
    representations [defendant] made, or to whom; with whom
    [defendant] conspired; [and] what exactly its ‘improper and/or
    unlawful’ methods of advocacy were.” 
    Id.
     The district court
    did not indicate that it found any of these specifics lacking.
    Kearney’s complaint includes the required specifics with
    extensive factual descriptions.2 Thus, Kearney’s allegations
    are appropriate under Kottle.
    Instead of looking to Kearney’s allegations, the district
    court’s ruling seems based in large part on its belief that Kear-
    ney did not do enough to discover the test results she sought
    from Defendants. It is unclear why Kearney’s behavior on this
    point should matter since the Noerr-Pennington doctrine is
    concerned with the immunization of petitioning conduct and
    strips immunization in certain cases where a sham is perpe-
    trated by that petitioner. See Clipper Exxpress v. Rocky Moun-
    tain Motor Tariff Bureau, Inc., 
    690 F.2d 1240
    , 1261 (9th Cir.
    1982) (holding there is “no first amendment protection for
    furnishing with predatory intent false information to an . . .
    adjudicative body”). Thus, the concerns behind the doctrine
    have everything to do with the petitioner and little to do with
    the other party’s conduct. Even if, as the court found, Kearney
    could have done more to discover the test results, the suffi-
    2
    The specificity of these, as well as the fact that the misrepresentations
    alleged go to the central issue of the valuation litigation, make Defen-
    dants’ argument that Kearney alleged insufficient “isolated” instances
    unpersuasive.
    KEARNEY v. FOLEY & LARDNER                         5669
    ciency of Kearney’s efforts is a question of fact not properly
    dealt with at the pleading stage, and does nothing to negate
    allegations of Defendants’ misrepresentations to the court and
    jury on the central issue in the litigation.
    [11] We therefore find that the district court erred in hold-
    ing the sham litigation exception did not apply to Kearney’s
    allegations, and remand for consideration of her federal
    claims.
    B.      The Anti-SLAPP Statute
    [12] The anti-SLAPP statute establishes a procedure to
    expose and dismiss meritless and harassing claims that seek
    to chill the exercise of petitioning or free speech rights in con-
    nection with a public issue. See Bosley Med. Inst., Inc. v.
    Kremer, 
    403 F.3d 672
    , 682 (9th Cir. 2005). Analysis of an
    anti-SLAPP motion to strike involves a two-step process.
    First, the defendant must show that the cause of action arises
    from “any act of that person in furtherance of the person’s
    right of petition or free speech under the United States or Cal-
    ifornia Constitution in connection with a public issue . . . . ”
    Cal. Code Civ. P. § 425.16(b)(1).3
    3
    Such an act is defined within the same statute to mean:
    (1) any written or oral statement or writing made before a legis-
    lative, executive, or judicial proceeding, or any other official pro-
    ceeding authorized by law; (2) any written or oral statement or
    writing made in connection with an issue under consideration or
    review by a legislative, executive, or judicial body, or any other
    official proceeding authorized by law; (3) any written or oral
    statement or writing made in a place open to the public or a pub-
    lic forum in connection with an issue of public interest; (4) or any
    other conduct in furtherance of the exercise of the constitutional
    right of petition or the constitutional right of free speech in con-
    nection with a public issue or an issue of public interest.
    Cal.     Code Civ. P. § 425.16(e).
    5670             KEARNEY v. FOLEY & LARDNER
    If the court determines that the defendant has met this bur-
    den, it must then determine whether the plaintiff has demon-
    strated a probability of prevailing on the merits. DuPont
    Merck Pharm. Co. v. Superior Court, 78 Cal. App. 4th. 562,
    567 (Ct. App. 2000). To establish a probability of prevailing,
    the plaintiff must show that “the complaint is both legally suf-
    ficient and supported by a sufficient prima facie showing of
    facts to sustain a favorable judgment if the evidence submit-
    ted by the plaintiff is credited.” Navellier v. Sletten, 
    29 Cal. 4th 82
    , 88-89 (2002) (internal quotation marks omitted).
    Kearney initially argues that applying the anti-SLAPP stat-
    ute to her claims goes against the purpose of that statute. Her
    contentions here are similar to those she made regarding the
    application of the Noerr-Pennington doctrine to government
    officials. For similar reasons we find her arguments unpersua-
    sive: Kearney’s arguments ignore the fact that Defendants, as
    agents of RUSD, were petitioning on behalf of the citizenry
    by seeking to take private land for public use. See Bradbury
    v. Superior Court, 
    57 Cal. Rptr. 2d 207
    , 211 (Ct. App. 1996)
    (holding that governmental entities and their representatives
    are included in the anti-SLAPP statute’s protection of peti-
    tioning rights).
    We thus proceed to the analysis of the anti-SLAPP motion
    to strike.
    1.   An Act in Furtherance of Petitioning or Free Speech
    Rights
    As to the first inquiry, Kearney contends that her state
    claims are not based on conduct either in a judicial proceeding
    or in connection with an issue under consideration by a judi-
    cial body. The state claims are based on the same conduct as
    the federal claims, and, just as we found above in relation to
    the federal claims, we here hold that Kearney’s state claims
    are based on conduct “in furtherance of the exercise of the
    KEARNEY v. FOLEY & LARDNER                  5671
    constitutional right of petition.” Cal. Code Civ. P.
    § 425.16(e)(4).
    Kearney’s arguments to the contrary are not persuasive.
    The fact that some claims are based on events which took
    place prior to the initiation of the condemnation action does
    not prevent that conduct from being protected by the anti-
    SLAPP statute. See Briggs v. Eden Council for Hope &
    Opportunity, 
    19 Cal. 4th 1106
    , 1115 (1999) (finding that
    § 425.16’s definition includes “communications preparatory
    to or in anticipation of the bringing of an action or other offi-
    cial proceeding” (internal quotation marks omitted)). The fact
    that the claims allege misconduct also does not keep Defen-
    dants’ acts from being in furtherance of petitioning. See
    Taheri Law Group v. Evans, 
    72 Cal. Rptr. 3d 847
    , 852-53 (Ct.
    App. 2008) (finding that the cause of action arose from pro-
    tected activity when it concerned an improper solicitation of
    another attorney’s client).
    The “critical point is whether the plaintiff’s cause of action
    was itself based on an act in furtherance of the defendant’s
    right of petition . . . .” Peregrine Funding, Inc. v. Sheppard,
    Mullin, Richter & Hampton LLP, 
    35 Cal. Rptr. 3d 31
    , 38 (Ct.
    App. 2005). Kearney’s state claims are based on Defendants’
    communications with Kearney regarding the testing that
    would be done in preparation for the eminent domain pro-
    ceeding and disclosures in an ongoing lawsuit, as well as its
    communications with its expert witnesses and testing contrac-
    tor. All of these actions were in furtherance of the condemna-
    tion proceeding. See 
    id. at 40
     (finding conduct including
    refusing to allow a witness to testify, making threats, and
    withholding documents to be in furtherance as “litigation tac-
    tics . . . employed to benefit [the client’s] position in an ongo-
    ing lawsuit”). The district court therefore did not err in
    finding that Defendants had met their burden on this issue.
    5672                 KEARNEY v. FOLEY & LARDNER
    2.    Probability of Prevailing on the Merits
    Because we find the first requirement of an anti-SLAPP
    motion met, we now turn to the second requirement. Kearney
    argues that she stated valid claims as to spoliation of evidence
    and prima facie tort.4
    a.     Spoliation of Evidence
    Spoliation of evidence is the “destruction or significant
    alteration of evidence, or the failure to preserve property for
    another’s use as evidence, in pending or future litigation.”
    Hernandez v. Garcetti, 
    68 Cal. App. 4th 675
    , 680 (Ct. App.
    1998). The district court rests its holding on the fact that the
    tort is not recognized when “the spoliation was or should have
    been discovered before the conclusion of the litigation.” It
    held that, because the state trial and appellate courts found
    Defendants did not withhold evidence and Kearney could
    have discovered evidence during discovery or trial, Kearney
    had not showed a probability of prevailing on the merits.
    Kearney argues that her spoliation claim was based on the
    evidence that Defendants told the testing company not to pre-
    pare a formal report, and notes that this evidence was not
    mentioned by either state court. Kearney’s allegations do not
    indicate when she discovered this evidence, only that she
    believed the event occurred in 2001, which was prior to the
    valuation trial. Because Kearney may be able to show a prob-
    ability of prevailing on the merits here,5 we vacate the district
    4
    It is not clear whether Kearney contests the district court’s finding that
    she did not show a probability of prevailing on her fraud claim. She does
    not discuss her likelihood of prevailing on the merits, but does discuss the
    application of the Noerr-Pennington doctrine and the California litigation
    privilege to bar that fraud claim. To the extent she is contesting the dispo-
    sition of the fraud claim, we find that the district court properly found that
    the California litigation privilege barred the claim, as described under the
    prima facie tort section.
    5
    Spoliation claims are exempted from the litigation privilege. 
    Cal. Civ. Code § 47
    (b)(2).
    KEARNEY v. FOLEY & LARDNER                5673
    court’s holding on this issue and remand to determine whether
    she discovered or should have discovered the evidence prior
    to or during the valuation trial.
    b.   Prima Facie Tort
    The district court found Kearney had not showed a proba-
    bility of success on the merits here because it found the claim
    barred by both the Noerr-Pennington doctrine and Califor-
    nia’s litigation privilege and because it was unpersuaded to
    apply the prima facie tort claim as had been done in the case
    law cited by Kearney.
    As analyzed above, the Noerr-Pennington doctrine does not
    bar this suit because, even if the doctrine applied, the sham
    exception would also apply.
    Nonetheless, we find that the district court did not err when
    it held that California’s litigation privilege would bar Kear-
    ney’s claims. Though Kearney argues that her claims are
    based on conduct prior to the litigation, the district court was
    correct that even allegations of such conduct may be privi-
    leged if reasonably related to the action. See People ex rel.
    Gallegos v. Pacific Lumber Co., 
    158 Cal. App. 4th 950
    , 958
    (Ct. App. 2008) (“[T]he privilege is not limited to statements
    made during a trial or other proceedings, but may extend to
    steps taken prior thereto, or afterwards.” (internal quotation
    marks omitted)). Because the alleged misconduct is all rea-
    sonably related to the eminent domain proceeding, it is sub-
    ject to the litigation privilege bar.
    IV.    Conclusion
    For the foregoing reasons, we vacate the district court’s
    judgment as to Kearney’s federal law claims. Because Noerr-
    Pennington immunity does not apply to Defendants’ actions,
    we remand so that the court may consider Kearney’s claims.
    5674           KEARNEY v. FOLEY & LARDNER
    As to Kearney’s state law claims, we affirm the district
    court on all but the spoliation of evidence claim, which we
    remand for a determination of when Kearney discovered the
    evidence.
    Affirmed in part and vacated and remanded in part.
    

Document Info

Docket Number: 07-55566

Citation Numbers: 566 F.3d 826

Filed Date: 5/12/2009

Precedential Status: Precedential

Modified Date: 1/12/2023

Authorities (18)

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george-theofel-howard-teig-david-kelley-integrated-capital-associates , 359 F.3d 1066 ( 2004 )

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Ronald L. Pack, and Marla Pack, for Themselves and as ... , 992 F.2d 955 ( 1993 )

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Sheldon P. KOTTLE, Plaintiff-Appellant, v. NORTHWEST KIDNEY ... , 146 F.3d 1056 ( 1998 )

Briggs v. Eden Council for Hope & Opportunity , 81 Cal. Rptr. 2d 471 ( 1999 )

Navellier v. Sletten , 124 Cal. Rptr. 2d 530 ( 2002 )

Jarrow Formulas, Inc. v. LaMarche , 3 Cal. Rptr. 3d 636 ( 2003 )

manistee-town-center-an-arizona-limited-liability-company-v-city-of , 227 F.3d 1090 ( 2000 )

arleen-freeman-individually-and-on-behalf-of-all-others-similarly-situated , 410 F.3d 1180 ( 2005 )

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United Mine Workers v. Pennington , 85 S. Ct. 1585 ( 1965 )

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