Filed 9/28/15 Chan v. Packard CA6
NOT TO BE PUBLISHED IN OFFICIAL REPORTS
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IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA
SIXTH APPELLATE DISTRICT
BILL S. CHAN, H040561
(Santa Clara County
Plaintiff and Appellant, Super. Ct. No. 109CV150251)
v.
DAVID R. PACKARD et al.,
Defendants and Respondents.
I. INTRODUCTION
Appellant Bill S. Chan brought a legal malpractice action against his former
attorney, David R. Packard, alleging that Packard had breached the standard of care in
connection with the underlying litigation, which arose from Chan’s dispute with his
neighbors regarding tree cutting. After a jury trial in the legal malpractice action,
judgment was entered in Packard’s favor.
On appeal, Chan contends that the trial court committed reversible evidentiary
error by granting Packard’s motion in limine No. 6 and excluding evidence of the threats
that Packard allegedly made to coerce Chan into settling the underlying action. For
reasons that we explain, we determine that Chan has failed to meet his burden as an
appellant to show that the claimed evidentiary error was prejudicial. We will therefore
affirm the judgment.
II. FACTUAL AND PROCEDURAL BACKGROUND
A. Chan v. Lund
The lawsuit that underlies the present legal malpractice action was the subject of
this court’s decision in Chan v. Lund (2010) 188 Cal.App.4th 1159. The neighbor
dispute that gave rise to the lawsuit was described in Chan v. Lund as follows: “This
five-year-old dispute arises out of the cutting of a number of Leyland cypress trees on
Bill Chan’s Los Altos property adjacent to a fence separating his property and the
property of Craig T. and Kathleen Lund (the Lunds). The Lunds hired an unlicensed tree
contractor, Norma Gonzalez, doing business as Norma Tree Service (Norma Tree), to
trim the trees, which had branches that extended onto the Lunds’ property. Chan brought
suit against the Lunds and (later) Norma Tree. The lawsuit was purportedly settled on the
eve of trial in August 2008 in proceedings before a mediator, and the terms of the
purported settlement were reduced to writing. Shortly thereafter, Chan discharged his
attorney, hired new counsel, and claimed that his consent to the purported settlement was
obtained through economic duress, undue influence, and fraud employed by his former
attorney. The court granted the Lunds’ and Norma Tree’s motions to enforce settlement
under Code of Civil Procedure section 664.6, and Chan appealed from the judgment
entered thereon.” (Chan v. Lund, supra, at pp. 1162-1163.)
Chan argued on appeal in Chan v. Lund that the motions to enforce settlement
should have been denied because his consent to the settlement was coerced by his
attorney, who had threatened to abandon him at trial, and the coercion would have been
corroborated by the mediator’s testimony. (Chan v. Lund, supra, 188 Cal.App.4th at
pp. 1168-1170.) Chan contended that the trial court had “erred by denying him the right
to present evidence from the mediator by applying the statutory scheme that prohibits a
party from introducing in a subsequent proceeding any evidence concerning a prior
mediation. He argue[d] at length that under the circumstances, the application of
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mediation confidentiality constituted a denial of Chan’s right to due process under the
federal and state Constitutions.” (Chan v. Lund, supra, at pp. 1179-1180, fn. omitted.)
This court rejected Chan’s claim of evidentiary error on the ground that “[t]he
record fails to disclose that the court specifically ruled that Chan was precluded from
introducing evidence in opposition to the motions on the basis of mediation
confidentiality. . . . [¶] In short, because there is no specific order or ruling in which the
court held that Chan was barred from introducing evidence to oppose enforcement of the
settlement, we need not address Chan’s constitutional argument.” (Chan v. Lund, supra,
188 Cal.App.4th at p. 1180.)
Finding no merit in Chan’s contentions on appeal, this court affirmed the order
granting the motions to enforce settlement pursuant to Code of Civil Procedure
section 664.6. (Chan v. Lund, supra, 188 Cal.App.4th at p 1181.)
B. The Present Action
1. The Pleadings
The operative complaint is the first amended complaint that was filed in
October 2011 (hereafter, the complaint). In his complaint, Chan alleged that he had an
attorney-client relationship with defendants Packard and Law Offices of David R.
Packard (hereafter, collectively Packard) and that Packard had represented him in
connection with the Chan v. Lund lawsuit from June 2005 until August 22, 2008.
In the first cause of action for legal malpractice, Chan alleged that Packard had
breached the standard of care in connection with the Chan v. Lund litigation by (1) failing
to contact his neighbors, the Lunds, within a reasonable period of time; (2) failing to send
a cease-and-desist letter to the Lunds in a timely manner; (3) failing to promptly seek a
temporary restraining order and a preliminary injunction against the Lunds; (4) failing to
include a request for injunctive relief in the complaint in Chan v. Lund; (5) failing to
promptly amend the complaint in Chan v. Lund to name a defendant previously identified
as a Doe defendant; (6) failing to include a request for injunctive relief in the amended
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complaint in Chan v. Lund and “generally failing to fully and properly investigate,
research, plead and litigate [Chan v. Lund].”
In the second cause of action for breach of fiduciary duty, Chan alleged that
Packard had (1) failed to advise him of their lack of experience in the subject matter of
Chan v. Lund; (2) failed to provide him with a written retainer agreement indicating the
hourly rate; (3) raised their hourly rates twice during the course of representation without
his agreement; and (4) “strongly dissuaded [Chan] from pursuing injunctive relief at the
very beginning of their representation, soon after the most recent trespass incidents on
[Chan’s] property.”
In the third cause of action for breach of contract, Chan alleged that Packard had
breached their “Engagement/Fee Agreement” by failing to provide competent legal
services and by raising the hourly rates.
The record reflects that Packard filed a cross-complaint against Chan for
attorney’s fees.
2. Jury Trial Proceedings
The matter proceeded to a jury trial in September and October of 2013. The trial
record on appeal is limited to three motions in limine and the testimony of Chan.
Motions In Limine
In his motion in limine No. 1, Chan sought an order prohibiting the introduction of
evidence, witnesses, and commentary at trial that referred to or related to the mediation,
settlement, and appeal of the underlying case, Chan v. Lund. The trial court denied
motion in limine No. 1 “to the extent it moves to exclude testimony of settlement,
mediation, appeal.”
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Packard’s motion in limine No. 6 also concerned mediation. Relying on the
mediation confidentiality provisions of Evidence Code section 1119,1 Packard sought
“to bar introduction of evidence of anything said or any admission made for the purpose
of, in the course of, or pursuant to, a mediation or a mediation consultation in the
underlying case.” The trial court determined that motion in limine No. 6 was governed
by the California Supreme Court’s decision in Cassel v. Superior Court (2011) 51 Cal.4th
113 (Cassel), which addressed mediation confidentiality in the context of a legal
malpractice action. The court granted the motion to the extent that if Packard’s “threat to
withdraw was made in the context of an anticipated scheduled mediation, it’s out under
Cassel.” During trial, the court elaborated on its ruling on motion in limine No. 6, stating
that “communication by Mr. Packard a few days ahead of what turned out to be a
scheduled mediation, whether or not it was known by Mr. Chan or not, falls within the
finding of Cassel. . . . [¶] . . . I will not permit testimony to that extent.”
Packard also filed a motion in limine No. 1, in which he sought an order excluding
evidence pertaining to claims that were not included in the operative complaint. The trial
court granted the motion, subject to Chan making a showing of good cause to amend the
complaint to conform to proof.
1
Evidence Code section 1119 provides in part: “(a) No evidence of anything said
or any admission made for the purpose of, in the course of, or pursuant to, a mediation or
a mediation consultation is admissible or subject to discovery, and disclosure of the
evidence shall not be compelled, in any arbitration, administrative adjudication, civil
action, or other noncriminal proceeding in which, pursuant to law, testimony can be
compelled to be given. [¶] . . . [¶] (c) All communications, negotiations, or settlement
discussions by and between participants in the course of a mediation or a mediation
consultation shall remain confidential.”
All further statutory references are to the Evidence Code unless otherwise
indicated.
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Chan’s Testimony
Chan testified at trial that he has lived at his home in Los Altos since 1986. The
Lunds became his neighbors around 1987. When the Lunds were landscaping their
property, Chan agreed to reduce the length of their common fence by 25 feet. After the
common fence was shortened, Chan planted photinia shrubs all along the length of his
side of the fence to provide a privacy screen. By 1993, the photinia shrubs were about
15 feet tall.
Chan came home from work one day in 1993 and found that the photinia shrubs
had been cut down to five feet tall. The contractor who was present told Chan that the
Lunds had hired him to cut the photinia. Chan called the police because the photinia
were on his property. Chan then decided to extend the common fence back to the street
at a height of four feet instead of the prior six feet. As a result of the fence extension, a
verbal altercation occurred between Chan and Craig Lund.
By 1998, Chan had concluded that the photinia shrubs were dying and needed to
be replaced in order to provide a privacy screen. He had the photinia shrubs removed and
replaced them with Leland cypress trees, which he planted three to four feet inside his
property line. By 2005, the Leland cypress trees were about 40 feet tall. On May 3,
2005, Chan was at home when he heard a chainsaw. He looked out a window and saw
workers in his backyard. Chan spoke to the worker operating the chainsaw, who said that
the Lunds had sent him to cut the trees. Chan called the police and showed the cuts in the
trees to the police officer who responded. Later, on June 3, 2005, Chan observed
additional cuts to the trees.
Chan decided he needed to do something about the damage to his trees. He
contacted Packard in a letter in which he mentioned that a police officer had suggested
obtaining an injunction. Packard requested that Chan take photographs of the damaged
trees and obtain an estimate for replacement costs from an arborist, which Chan did.
Chan eventually hired an additional arborist and a surveyor. He also discovered an
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attorney specializing in tree law who was retained to assist Packard. In a meeting,
Packard told Chan that he had never heard of anyone obtaining an injunction in a case
like this.
In December 2005 Packard sent a demand letter to the Lunds. A complaint was
filed on Chan’s behalf in October 2006. The first of five mediations took place in 2007
and the case was evidentially settled and dismissed. Chan testified that he was not
satisfied with Packard’s legal services because no injunction or large damages award was
obtained, which would have stopped the trespasses on his property and the damage to his
now dead and dying trees.
3. Judgment
The jury verdict was not included in the record on appeal. The judgment on jury
verdict entered on October 31, 2013, states that the jury returned its special verdict on
October 10, 2013; the jury found in favor of Packard on Chan’s complaint; and the jury
found in Packard’s favor on his cross-complaint and awarded Packard $16,032.35.
Chan filed a timely notice of appeal from the judgment.
III. DISCUSSION
A. The Parties’ Contentions
On appeal, we understand Chan to contend that the judgment should be reversed
because the trial court erred in granting Packard’s motion in limine No. 6. Chan asserts
in his opening brief that his attorney “sought permission to introduce testimony regarding
a threat made by Mr. Packard on August 3, 2008 and any prior similar or related attorney-
client communications. [Citation.] The threatening language was to the effect that
Mr. Packard would withdraw representation of Mr. Chan and abandon him at trial
(commencing less than two days later) if Mr. Chan did not attend mediation set by
Mr. Packard on August 4, 2008.”
Chan argues that the evidence of Packard’s threats was not barred by mediation
confidentiality because Chan did not consent to the August 4, 2008 mediation, and
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therefore a mediation was not scheduled within the meaning of section 1119 and the
decision in Cassel, supra, 51 Cal.4th 113. In support of this argument, Chan relies on the
decision in Wimsatt v. Superior Court (2007) 152 Cal.App.4th 137, 161, in which the
appellate court determined that the mediation confidentiality provided by section 1119
did not apply to a conversation between the plaintiff’s attorney and defense counsel that
was “made during a telephone call ‘scheduling the expert depos and touching on whether
a second mediation conf[erence] would be worthwhile.’ ”
Chan also contends that the evidence of his “disagreement to mediate” should
have been admitted because an agreement to mediate is expressly made admissible under
section 1120.2
In response, Packard states that he has “consistently denied” that he threatened
Chan that if Chan did not settle, Packard would not represent him at trial. Packard also
points out that Chan voluntarily appeared at the August 4, 2008 mediation. Packard
maintains that under Cassel, supra, 51 Cal.4th 113, evidence of the alleged threat was
properly excluded pursuant to the rules governing mediation confidentiality since the
threat was purportedly made during a meeting between Packard and Chan on August 3,
2008, to discuss a fifth mediation,
B. Analysis
The decision in Cassel involved a legal malpractice action in which the plaintiff
alleged that his attorneys had coerced him into accepting a settlement offer by threatening
to abandon him at trial and making various misrepresentations about the settlement.
(Cassel, supra, 51 Cal.4th at p. 120.) The defendant attorneys moved in limine under the
mediation confidentiality statutes to exclude all evidence of communications between the
plaintiff and the defendants that were related to mediation. (Id. at p. 121.) Our Supreme
2
Section 1120, subdivision (b)(1) provides: “This chapter does not limit any of
the following: [¶] The admissibility of an agreement to mediate a dispute.”
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Court ruled that “such attorney-client communications, like any other communications,
were confidential, and therefore were neither discoverable nor admissible—even for
purposes of proving a claim of legal malpractice—insofar as they were ‘for the purpose
of, in the course of, or pursuant to, a mediation . . . .’ (§ 1119, subd. (a).)” (Cassel,
supra, at p. 138; see also Amis v. Greenberg Traurig LLP (2015) 235 Cal.App.4th 331,
328-329 [summary judgment properly granted in legal malpractice case where the
mediation confidentiality statutes precluded admission of crucial attorney-client
communications during mediation].)
However, we need not determine whether the trial court erred under Cassel in
granting Packard’s motion in limine No. 6 and excluding evidence of Packard’s alleged
threats to Chan on the ground that the threats occurred pursuant to a mediation. As we
will discuss, even assuming that the trial court erred, Chan has not shown that the error is
reversible under the applicable standard of review, as set forth in this court’s decision in
Shaw v. County of Santa Cruz (2008) 170 Cal.App.4th 229, 281 (Shaw): “We review a
trial court’s evidentiary rulings for abuse of discretion. [Citation.] This is particularly so
with respect to rulings that turn on the relevance of the proferred evidence. [Citation.]
This standard is not met by merely arguing that a different ruling would have been better.
Discretion is abused only when in its exercise, the trial court ‘exceeds the bounds of
reason, all of the circumstances before it being considered.’ [Citation.] There must be a
showing of a clear case of abuse and miscarriage of justice in order to warrant a reversal.
[Citation.]” (Italics added.)
The standard of review stated in Shaw is consistent with section 354, which
provides in part that “[a] verdict or finding shall not be set aside, nor shall the judgment
or decision based thereon be reversed, by reason of the erroneous exclusion of evidence
unless the court which passes upon the effect of the error or errors is of the opinion that
the error or errors complained of resulted in a miscarriage of justice . . . .”
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The California Supreme Court has instructed that “[t]he phrase ‘miscarriage of
justice’ has a settled meaning in our law, having been explained in the seminal case of
People v. Watson (1956) 46 Cal.2d 818 []. Thus, ‘a “miscarriage of justice” should be
declared only when the court, “after an examination of the entire cause, including the
evidence,” is of the “opinion” that it is reasonably probable that a result more favorable to
the appealing party would have been reached in the absence of the error.’ [Citation.]
‘We have made clear that a “probability” in this context does not mean more likely than
not, but merely a reasonable chance, more than an abstract possibility.’ [Citation.]”
(Cassim v. Allstate Ins. Co. (2004) 33 Cal.4th 780, 800 (Cassim).)
In other words, “[t]he Watson standard is essentially congruent with the longtime
statutory standard for reversal set forth in Code of Civil Procedure section 475, which
provides in pertinent part that ‘[n]o judgment . . . shall be reversed or affected by reason
of any error, ruling, instruction, or defect, unless it shall appear from the record that such
error, ruling, instruction, or defect was prejudicial, and also that by reason of such error,
ruling, instruction, or defect, the said party complaining or appealing sustained and
suffered substantial injury, and that a different result would have been probable if such
error, ruling, instruction, or defect had not occurred or existed. There shall be no
presumption that error is prejudicial, or that injury was done if error is shown.’ (Italics
added.)” (Cassim, supra, 33 Cal.4th at p. 802.)
“[T]he appellant bears the duty of spelling out in his [or her] brief exactly how the
error caused a miscarriage of justice. [Citations.]” (Paterno v. State of California (1999)
74 Cal.App.4th 68, 106 (Paterno).) The reviewing court has no duty to review the entire
record unless the appellant has provided “a proper prejudice argument.” (Ibid.)
In the present case, we find that Chan has not provided any prejudice argument
on appeal. He has not attempted to satisfy his “duty of spelling out” how he would have
obtained a more favorable result in the jury trial of his legal malpractice action absent the
trial court’s error in granting Packard’s motion in limine No. 6 and excluding evidence
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of Packard’s threat that if Chan did not settle, Packard would not represent him at trial.
(See Paterno, supra, 74 Cal.App.4th at p. 106; Cassim, supra, 33 Cal.4th at p. 800.)
Therefore, even assuming that the trial court committed evidentiary error in its ruling on
motion in limine No. 6, we conclude that Chan has failed to satisfy his burden as an
appellant to show that the error was prejudicial. We will therefore affirm the judgment.
IV. DISPOSITION
The judgment is affirmed.
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___________________________________________
BAMATTRE-MANOUKIAN, ACTING P.J.
WE CONCUR:
__________________________
MIHARA, J.
__________________________
GROVER, J.