Filed 2/23/23 Saunders v. Ziprick & Associates CA4/1
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COURT OF APPEAL, FOURTH APPELLATE DISTRICT
DIVISION ONE
STATE OF CALIFORNIA
GEORGE SAUNDERS, D080077
Plaintiff and Appellant,
v. (Super. Ct. No. CIVDS2019810)
ZIPRICK & ASSOCIATES, LLP et al.,
Defendants and Respondents.
APPEAL from orders of the Superior Court of San Bernardino,
Donald R. Alvarez, Judge. Affirmed.
Law Offices of Raul B. Garcia and Raul B. Garcia; Law Office of
Antoniette Jauregi and Antoniette Jauregui; and Raymond G. Ramirez for
Plaintiff and Appellant.
Hammett & Galan and Erik J. Hammett for Defendants and
Respondents.
George Saunders and Donald Paulson went into business together
buying and selling real estate. When disputes arose between them, Saunders
sued Paulson to enforce payment on a promissory note, among other causes of
action. Paulson retained the law firm Ziprick & Associates LLP (Law Firm),
including attorneys Robert H. Ziprick (Robert), Jonathan R. Ziprick
(Jonathan),1 and William F. Ziprick (William), to defend the suit and file a
cross-complaint against Saunders. Paulson also retained his accountant,
Louise Woiteshek (Woiteshek), as an expert and percipient witness in the
case.
After Saunders won favorable verdicts in two bifurcated trials, he
brought a separate suit for abuse of process and malicious prosecution
against Law Firm, attorneys Robert, Jonathan, and William, and accountant
Woiteshek (collectively, defendants). Defendants filed a special motion to
strike the complaint as a strategic lawsuit against public participation
(SLAPP) on the grounds that it arose from protected litigation activity and
lacked merit. In granting the motion, the trial court ruled that: (1) the
action arose from protected litigation activity, (2) the abuse of process claim
was barred by the litigation privilege, and (3) Saunders failed to demonstrate
a probability of prevailing on the malicious prosecution claim. Saunders
moved for reconsideration, and the trial court denied his motion.
Saunders contends on appeal that the court erred by granting
defendants’ anti-SLAPP motion and denying his motion for reconsideration.
We conclude the trial court correctly ruled that Saunders’s action arose from
protected activity and that he failed to establish a probability of prevailing on
either of his claims. We further conclude that Saunders failed to show there
were any new or different facts that would justify reconsideration.
Accordingly, we affirm.
1 Jonathan was not yet an attorney when the original suit and cross-
complaint were filed by the parties.
2
FACTUAL AND PROCEDURAL BACKGROUND
A. Underlying Litigation
In 2004, Saunders and Paulson agreed to purchase, develop, and sell
properties together and split the profits. The parties did not reduce their
agreement to writing or create a formal partnership entity. In early 2006,
after the parties had purchased four properties, Saunders sought to exit the
partnership. According to Paulson, their business relationship soured after
Paulson discovered discrepancies in the accounting done by Saunders’s wife
(Dawn), who was initially in charge of the partnership’s bookkeeping. After
Paulson asked his accountant, Woiteshek, to review the partnership’s
financial records, the parties negotiated an agreement under which Paulson
would pay Saunders $199,430.51, which was memorialized in a promissory
note. In exchange, Saunders agreed to give up his interest in three of the
four acquired properties.
However, Paulson never paid Saunders, and Saunders filed suit in late
2006 to recover the promissory note amount and seek other miscellaneous
relief. Paulson retained Law Firm, with Robert as his attorney of record, to
represent him in the suit. Paulson subsequently filed a cross-complaint
against Saunders alleging, among other claims, that Saunders owed Paulson
at least $65,000 in connection with diverted funds. Nearly four years later,
after extensive discovery, Paulson filed a third amended cross-complaint
against Saunders and his wife, alleging fraud and several other claims.
Paulson, through counsel, deposed Saunders and his wife in connection with
his cross-complaint and also retained Woiteshek as an expert and percipient
witness. During that time, Law Firm attorneys Jonathan and William also
assisted with preparing the case for trial.
3
Several years after Saunders first filed his original suit, he prevailed at
the first phase of trial in 2013 to determine the enforceability of the
promissory note. In the second phase in 2016, the court ruled mainly in favor
of Saunders as to both his complaint and Paulson’s cross-complaint, but
concluded that Saunders did not prove his contract claims based on the
promissory note. On cross-appeals by both parties, we reversed the judgment
against Saunders on his contract claims, directed entry of judgment in his
favor on those claims, and otherwise affirmed the judgment.
B. Current Complaint
In 2020, Saunders filed a complaint against Law Firm, Robert,
William, Jonathan, and Woiteshek alleging abuse of process and malicious
prosecution in one cause of action.2 According to the trial court’s description,
the complaint alleged the following misconduct: (1) that Paulson perjured
himself in the underlying litigation; (2) that Woiteshek testified falsely about
Saunders and his wife diverting funds; (3) that the attorney defendants
knowingly elicited perjured testimony and encouraged Paulson to sign a false
declaration; and (4) that respondents were “conspirators” in a scheme to use
the underlying litigation to help Paulson avoid payment and to “wear[]
Saunders down financially.”
Defendants filed an anti-SLAPP motion pursuant to California Code of
Civil Procedure3 section 425.16 on the grounds that the complaint arose from
protected litigation activity and also lacked merit. Specifically, defendants
argued that the abuse of process claim was barred by the litigation privilege.
2 The current Saunders complaint is not included in the record on
appeal.
3 All further undesignated statutory references are to the Code of Civil
Procedure.
4
(Civ. Code, § 47, subd. (b).) Defendants further argued that Saunders had no
probability of success on his malicious prosecution claim because (1) a
reasonable attorney would have believed probable cause existed for the
causes of action in Paulson’s cross-complaint, (2) defendants acted without
malice, and (3) certain defendants had limited involvement in the underlying
litigation.
In his opposition to the anti-SLAPP motion, Saunders submitted a
declaration by his attorney, Raul Garcia, with no exhibits or documents
attached. In Garcia’s 16-page declaration, he purported to summarize facts
known to him “based on [his] participation in depositions, exchange of
discovery, participation in trials and appeals and review of depositions
transcripts, trial transcripts and appellate opinions related to this case.”
Citing only to the declaration, Saunders argued there was no probable cause
for defendants to initiate or continue prosecuting Paulson’s cross-complaint
because they purportedly knew that supporting testimony was false and
certain claims were barred by statute. Saunders further argued that malice
could be inferred from lack of probable cause.
The trial court granted the anti-SLAPP motion, finding first that
Saunders’s complaint arose from defendants’ litigation of the underlying case,
a protected activity. Relatedly, the court found that since the complaint only
alleged conduct pertaining to the underlying suit, the litigation privilege was
a complete bar to Saunders’s abuse of process claim.
As to malicious prosecution, the court found that Saunders failed to
demonstrate a probability of prevailing because the only evidence he
submitted was Garcia’s declaration, which was a mere “recitation of the
unverified complaint’s allegations” about which Garcia had no personal
knowledge. The court also pointed out that there were no pleadings,
5
discovery, or trial transcripts submitted with the declaration to support its
recitation of alleged facts. In contrast, the court noted that defendants
submitted declarations with exhibits that tended to show, among other
things, that there was probable cause to pursue Paulson’s cross-complaint.
The court further found that through their declarations, defendants
demonstrated that William, Jonathan, and Woiteshek were not involved in
initiating or maintaining the litigation to a degree that they would be liable
for malicious prosecution.
Saunders moved for reconsideration, this time attaching an amended
declaration from Garcia including exhibits. According to Garcia, he did not
submit the exhibits with his original declaration because he “did not want to
burden the record with an abundance of documents and exhibits.” Saunders
argued in his motion that the attachments, consisting of pleadings, deposition
transcripts, discovery, and other documents, supported Garcia’s recitation of
the facts. Defendants argued in opposition that the court should deny the
motion to reconsider because it was untimely, was not based on new or
different facts as required by section 1008, and failed to give a satisfactory
explanation for why the exhibits were not provided in the first instance.
The trial court denied Saunders’s motion for reconsideration, finding
that it was both untimely and without merit because each of the newly
attached exhibits was part of the underlying litigation and could have been
included with Garcia’s initial declaration in response to the anti-SLAPP
motion. The court also found that Garcia’s desire to avoid “burden[ing] the
record” was not a satisfactory explanation for why he failed to provide the
exhibits earlier. Nonetheless, the court considered the exhibits and
concluded that Saunders still had not shown a likelihood of success on his
claims because the evidence did not show Paulson’s cross-claims lacked
6
probable cause, nor did the evidence indicate that defendants acted with
malice. Finally, the court again found that Jonathan, William, and
Woiteshek had limited roles in the underlying litigation and could not be held
liable for malicious prosecution.
Saunders timely appealed the orders granting defendants’ anti-SLAPP
motion and denying his motion for reconsideration.
DISCUSSION
I
A. Statutory Framework
The anti-SLAPP statute provides in relevant part that “[a] cause of
action against a person arising from any act of that person in furtherance of
the person’s right of petition or free speech . . . in connection with a public
issue shall be subject to a special motion to strike [anti-SLAPP motion],
unless the court determines that the plaintiff has established that there is a
probability that the plaintiff will prevail on the claim.” (§ 425.16, subd.
(b)(1).) Ruling on an anti-SLAPP motion involves a two-step process: first
the court must decide whether the defendant has shown the challenged claim
arises from activity protected by the anti-SLAPP statute, and if so, the court
then must decide whether the plaintiff has shown a probability of prevailing
on the claim. (Equilon Enterprises v. Consumer Cause, Inc. (2002) 29 Cal.4th
53, 67; Sugarman v. Brown (2021) 73 Cal.App.5th 152, 159.) Only a claim
that both arises from protected activity and lacks merit is a SLAPP subject to
being stricken. (Navellier v. Sletten (2002) 29 Cal.4th 82, 89 (Navellier);
Weeden v. Hoffman (2021) 70 Cal.App.5th 269, 282 (Weeden).)
B. Protected Activity
We review a ruling on an anti-SLAPP motion de novo and engage in the
same two-step process as the trial court. (Park v. Board of Trustees of
7
California State University (2017) 2 Cal.5th 1057, 1067; Weeden, supra, 70
Cal.App.5th at p. 282.) Regarding the first step, it is undisputed that
Saunders’s abuse of process and malicious prosecution claims arise from
protected speech or petitioning activity. According to the trial court, the
complaint alleges that defendants committed misconduct preparing for and
maintaining the underlying litigation. Because the complaint is not included
in the record, we presume the trial court correctly characterized the
complaint, and Saunders does not contest the court’s finding on this prong.
(See Hernandez v. California Hospital Medical Center (2000) 78 Cal.App.4th
498, 502 [appellant has burden of providing an adequate record, and failure
to do so on an issue requires that the issue be resolved against appellant].)
“The constitutional right of petition encompasses ‘ “ ‘the basic act of
filing litigation[,]’ ” ’ ” and a claim for relief filed in court is “indisputably . . .
a ‘statement or writing made before a . . . judicial proceeding[.]’ ” (Navellier,
supra, 29 Cal.4th at p. 90, citing § 425.16, subd. (e)(1).) The litigated issues
themselves need not be matters of public interest for the litigation to
constitute protected activity. (See Briggs v. Eden Council for Hope &
Opportunity (1999) 19 Cal.4th 1106, 1123.) Accordingly, we conclude that the
first prong of the anti-SLAPP statute is met.
C. Probability of Prevailing on Abuse of Process Claim
Turning to the second prong concerning Saunders’s probability of
prevailing, Saunders contends the trial court erroneously concluded that the
litigation privilege bars his abuse of process claim. We disagree.
Civil Code section 47 bars civil actions for damages based on
communications in any judicial proceeding, absent certain inapplicable
statutory exceptions. (See Hagberg v. California Federal Bank (2004) 32
Cal.4th 350, 360 (Hagberg); Daniels v. Robbins (2010) 182 Cal.App.4th 204,
8
216 (Daniels).) The Supreme Court explained in Hagberg that the privilege
prescribed by Civil Code section 47, subdivision (b) has been given broad
application, and in light of important policy considerations, “without respect
to the good faith or malice of the person who made the statement, or whether
the statement ostensibly was made in the interest of justice, ‘courts have
applied the privilege to eliminate the threat of liability for communications
made during all kinds of truth-seeking proceedings: judicial, quasi-judicial,
legislative and other official proceedings.’ [Citation.]” (Hagberg, at pp. 361,
372.) “Many cases have explained that [Civil Code] section 47[, subdivision]
(b) encompasses not only testimony in court and statements made in
pleadings, but also statements made prior to the filing of a lawsuit, whether
in preparation for anticipated litigation or to investigate the feasibility of
filing a lawsuit.” (Id. at p. 361.) Moreover, “[t]he privilege has been applied
specifically in the context of abuse of process claims alleging the filing of false
or perjurious testimony or declarations.” (Rusheen v. Cohen (2006) 37 Cal.4th
1048, 1058.)
According to the trial court and Saunders’s brief, it appears that his
complaint alleges misconduct based solely on the attorney defendants’ actions
in pursuing Paulson’s claims, and Woiteshek’s testimony at trial. There is no
indication that Saunders alleges any non-communicative conduct by
defendants that was unrelated to the pleadings and testimony in the
underlying litigation. (See Optional Capital, Inc. v. Akin Gump Strauss,
Hauer & Feld LLP (2017) 18 Cal.App.5th 95, 118 [concluding litigation
privilege barred plaintiff’s claims because “the communicative conduct at
issue—as established by the pleadings and documents submitted in
connection with motions—was made in judicial or quasi-judicial
proceedings”].) We therefore agree with the trial court and conclude that the
9
litigation privilege forecloses Saunders’s abuse of process claim against
defendants, which means Saunders has failed to meet his burden under the
second prong of the anti-SLAPP statute for his abuse of process claim.
D. Probability of Prevailing on Malicious Prosecution Claim
Saunders also challenges the trial court’s finding that he failed to show
a probability of success on his malicious prosecution claim. We again find no
error.
1. Admissibility of Attorney Garcia’s Declaration
Saunders first argues that the trial court erred by rejecting Garcia’s
original declaration submitted in opposition to the SLAPP motion on the
ground that it would be inadmissible at trial. In contending that the court
should have accepted Garcia’s declaration, Saunders relies on the Supreme
Court’s opinion in Sweetwater Union High School District v. Gilbane Building
Company (2019) 6 Cal.5th 931 (Sweetwater). In Sweetwater, a school district
brought suit to void construction contracts allegedly procured by the
defendants’ bribery. In response to the defendants’ anti-SLAPP motion, the
school district submitted sworn statements about the bribery scheme from a
related criminal proceeding—specifically, factual statements made under
penalty of perjury in guilty and no contest pleas and grand jury transcripts.
(Id. at pp. 937–939.)
After ruling that affidavits, declarations, and their equivalents may be
submitted in opposition to a SLAPP motion, the Supreme Court concluded
that the plea forms and grand jury testimony submitted by the school district
were equivalent to affidavits or declarations because they were made under
oath or penalty of perjury. (Sweetwater, supra, 6 Cal.5th at pp. 940–945.)
The Court went on to confirm that evidence relied on by the plaintiff to defeat
a SLAPP motion must “be admissible at trial.” (Id. at p. 946.) “ ‘[T]he proper
10
view of “admissible evidence” for purposes of the SLAPP statute is evidence
which, by its nature, is capable of being admitted at trial, i.e., evidence which
is competent, relevant and not barred by a substantive rule. Courts have
thus excluded evidence which would be barred at trial by the hearsay rule, or
because it is speculative, not based on personal knowledge, or consists of
impermissible opinion testimony. This type of evidence cannot be used by the
plaintiff to establish a probability of success on the merits because it could
never be introduced at trial.’ ” (Id. at p. 947.)
The Sweetwater defendants argued that the plea forms and grand jury
transcripts were inadmissible hearsay because there was no showing that the
declarants were unavailable as witnesses, as required under the former
testimony hearsay exception. (Evid. Code, § 1292; Sweetwater, supra, 6
Cal.5th at pp. 946–947.) The Supreme Court rejected this argument and held
that “evidence may be considered at the anti-SLAPP stage if it is reasonably
possible the evidence set out in supporting affidavits, declarations, or their
equivalent will be admissible at trial.” (Sweetwater, at p. 947.) The Court
concluded that the statements contained in the plea forms and grand jury
transcripts were “potentially admissible at trial” because “there is no
categorical bar” to their admission, they “appear to be statements against
interest” under Evidence Code section 1230, “there are no undisputed factual
circumstances suggesting the evidence would be admissible at trial,” and “it
is not unreasonable to expect that those witnesses may be deposed and/or
produced for trial.” (Id. at p. 949.)
For several reasons, Sweetwater does not support plaintiff’s argument
that the court should have considered attorney Garcia’s original declaration
in opposition to the SLAPP motion. First, in Sweetwater, the plaintiff
opposing the SLAPP motion submitted the actual sworn statements made by
11
the declarants in their grand jury testimony and plea forms. Here, by
contrast, Garcia’s 16-page declaration purported to summarize hearsay
evidence known to him from discovery, deposition transcripts, trial
transcripts, and appellate opinions in the underlying case, but none of the
relevant supporting documents were attached to his declaration or submitted
to the trial court. We cannot assess whether the facts asserted in Garcia’s
declaration would even be potentially admissible at trial without analyzing
the specific underlying documents Garcia references in support of each
assertion. Sweetwater does not allow a plaintiff to defeat a SLAPP motion by
submitting a hearsay declaration of his own counsel summarizing facts from
discovery, witness statements, or appellate opinions that are available to him
but not submitted to the court. (See Sanchez v. Bezos (2022) 80 Cal.App.5th
750, 769–780 [rejecting “broad interpretation of Sweetwater” permitting use
of any hearsay that can be cured by the time of trial].)
Second, in addition to being hearsay, Garcia’s declaration is not
competent evidence because it consists largely of unsupported speculation,
allegations about which Garcia has no personal knowledge, and his own
personal opinions or argumentative statements about the facts. For example,
his declaration states: (1) “These claims were initiated by the defendants
who know the true facts. . . . That information established that there was no
basis for suing George Saunders and his wife Dawn Saunders”; (2) “The
Attorney Defendants knew of the fabricated testimony regarding barter
claims because the falsity of the testimony was revealed during discovery”;
(3) “Offering perjured testimony surely constitutes wrongful use of civil
proceedings”; (4) “The testimony of [Woiteshek] was perjured”; (5) “Paulson
knew this testimony was false, [Woiteshek] knew the testimony was false,
and the attorney defendants knew the testimony was false”; (6) “The attempt
12
to justify the lawsuit against [Saunders] exploded in Paulson’s face, and is
yet other evidence of the wrongful use of civil proceedings”; and (7) “They
knew there was no documentation to back up the declaration, and yet elicited
the fabricated testimony at trial.”
We disregard such conclusory and argumentative statements at step
two of the anti-SLAPP analysis, because they are not even potentially
admissible at trial. (See Gilbert v. Sykes (2007) 147 Cal.App.4th 13, 26–27
[disregarding evidence in the SLAPP context that is “argumentative,
speculative, impermissible opinion, hearsay, or conclusory”].) A plaintiff
cannot defeat a SLAPP motion with self-serving opinions by his own attorney
about what he believes the facts will prove.
Third, the trial court found that the declaration itself was merely
“another recitation of the unverified complaint’s allegations” about which
Garcia had no personal knowledge. Because Saunders has failed to include
his complaint in the appellate record, we must presume the trial court’s
finding to be correct. A plaintiff cannot rely solely on the allegations of the
complaint to demonstrate a probability of prevailing. (See Sweetwater, supra,
6 Cal.5th at p. 940 [“As to the second step inquiry, a plaintiff seeking to
demonstrate the merit of the claim ‘may not rely solely on its complaint, even
if verified; instead, its proof must be made upon competent admissible
evidence.’ [Citations.]”].) Nor can a plaintiff evade this rule by merely
copying and pasting the allegations of the complaint into his own counsel’s
sworn declaration. (See Finton Construction, Inc. v. Bidna & Keys, APLC
(2015) 238 Cal.App.4th 200, 213 [“Once the court reaches the second prong of
the analysis, it must rely on admissible evidence, not merely allegations in
the complaint or conclusory statements by counsel.”].)
13
In sum, Saunders did not meet his burden of demonstrating a
probability of success. Saunders relied solely on attorney Garcia’s hearsay
and conclusory declaration in opposition to the SLAPP motion, without
submitting any of the trial transcripts or discovery responses Garcia was
purporting to summarize. (See Sweetwater, supra, 6 Cal.5th at pp. 938–939,
942.) At step two in the anti-SLAPP process, the plaintiff must make a prima
facie showing of facts that would be sufficient to sustain a favorable judgment
under the applicable evidentiary standard. (Padres L.P. v. Henderson (2003)
114 Cal.App.4th 495, 509 (Padres).) Because Saunders only proffered
Garcia’s inadmissible declaration to demonstrate a probability of prevailing
on his malicious prosecution claim, he failed to meet his burden.
2. Probability of Proving Malice
Even if we disregarded Garcia’s clearly inadmissible opinions, but
considered the other statements in his declaration purporting to summarize
material produced in discovery and at trial in the underlying case, Saunders
would still fall short of satisfying the second prong of the anti-SLAPP statute
because his evidence is insufficient to demonstrate a probability of prevailing
against defendants. (See Tuchscher Development Enterprises, Inc. v. San
Diego Unified Port Dist. (2003) 106 Cal.App.4th 1219, 1237.) To prevail in a
malicious prosecution claim, the plaintiff must show the underlying action
was: “(i) initiated or maintained by, or at the direction of, the defendant, and
pursued to a legal termination in favor of the plaintiff; (ii) initiated or
maintained without probable cause; and (iii) initiated or maintained with
malice.” (Parrish v. Latham & Watkins (2017) 3 Cal.5th 767, 775–776.)
We focus our analysis on malice because if Saunders’s evidence is
insufficient to show a probability of proving that element, his malicious
prosecution claim cannot succeed. In Soukup v. Law Offices of Herbert Hafif
14
(2006) 39 Cal.4th 260, the Supreme Court stated that the malice element of a
malicious prosecution cause of action “ ‘relates to the subjective intent or
purpose with which the defendant acted in initiating the prior action.
[Citation.] The motive of the defendant must have been something other
than . . . the satisfaction in a civil action of some personal or financial
purpose. [Citation.] The plaintiff must plead and prove actual ill will or
some improper ulterior motive.’ [Citations.]” (Id. at p. 292.) Applying this
standard, our task is to determine whether Saunders has presented sufficient
evidence to establish a prima facie showing of malice by a preponderance of
the evidence. (See Padres, supra, 114 Cal.App.4th at p. 522 [at step two in
anti-SLAPP analysis for malicious prosecution claim, plaintiff must make a
prima facie showing that would permit a finding of malice based on
preponderance of evidence standard]; Jacques Interiors v. Petrak (1987) 188
Cal.App.3d 1363, 1369, 1371 [applying a preponderance standard to the
malice element of a malicious prosecution claim].)
While lack of probable cause is one factor in determining the presence
of malice, it is insufficient to prove malice by itself. (See Jay v. Mahaffey
(2013) 218 Cal.App.4th 1522, 1543.) “ ‘In other words, the presence of malice
must be established by other, additional evidence.’ [Citation.]” (Ibid.) Such
other evidence is not limited to actual hostility or ill will, but also includes
proceedings instituted primarily for an improper purpose, including when:
“ ‘(1) the person initiating them does not believe that his claim may be held
valid; (2) the proceedings are begun primarily because of hostility or ill will;
(3) the proceedings are initiated solely for the purpose of depriving the person
against whom they are initiated of a beneficial use of his property; (4) the
proceedings are initiated for the purpose of forcing a settlement which has no
relation to the merits of the claim.’ [Citation.]” (Ibid.)
15
Saunders argues that defendants acted with malice by knowingly
preparing a false declaration for Paulson in which he stated he performed
certain hours of labor several years after the fact. Saunders also asserts that
defendants made claims against his wife solely for the improper purpose of
wearing Saunders down, and that malice can be inferred from the fact that
Paulson’s claims lacked probable cause. But without attorney Garcia’s
conclusory opinions purporting to support these allegations of subjective bad
faith, Saunders has failed to demonstrate a probability of proving malice.
First, excluding attorney Garcia’s opinions, Saunders did not produce
competent evidence that defendants knowingly fabricated Paulson’s
declaration. Garcia’s declaration states that there was no documentation
corroborating the labor estimates in Paulson’s declaration and asserts that
because Paulson had “memory problems,” he could not have remembered the
number of hours he worked over a decade later. While these assertions may
be relevant to the weight a trier of fact might give to Paulson’s declaration,
they do not show that defendants acted with an improper purpose in seeking
relief based on the declaration. As noted in the amended statement of
decision from the 2016 trial, the parties did not dispute that Paulson
rendered some labor and services at a non-partnership property owned by
Saunders, even though the court ultimately rejected Paulson’s claim for
reimbursement.
As for Paulson’s claims against Saunders’s wife, Saunders provided no
competent evidence indicating defendants’ sole purpose in bringing claims
against his wife was to “wear [him] down.” In fact, deposition transcripts
show that Saunders admitted funds were diverted from a partnership
property to a non-partnership property, and that Dawn was handling the
partnership’s finances during that time. According to Robert’s declaration
16
submitted in support of defendants’ anti-SLAPP motion, Paulson told Robert
he believed Saunders and his wife defrauded him, that Paulson wrote the
promissory note under pressure from Dawn, and that the note was not the
“final” agreement he had with Saunders. This evidence indicates that
defendants had probable cause to pursue at least some of Paulson’s counter-
claims against both Saunders and his wife based on the disputed promissory
note and alleged diversion. Saunders failed to submit any competent
evidence to the contrary.
Second, and more importantly, lack of probable cause is by itself
insufficient to prove malice, and Saunders has provided no competent
evidence of malice beyond lack of probable cause. Saunders relies on
MacDonald v. Joslyn (1969) 275 Cal.App.2d 282 (MacDonald), to argue that
lack of probable cause is sufficient to prove malice by inference. But
MacDonald predates the Supreme Court’s decision in Sheldon Appel Co. v.
Albert & Oliker (1989) 47 Cal.3d 863 (Sheldon Appel), which refocused the
probable cause analysis and undercut the holdings of older cases that malice
could be inferred solely from the absence of probable cause. (Downey Venture
v. LMI Ins. Co. (1998) 66 Cal.App.4th 478, 498 (Downey).) Under the Sheldon
Appel standard, the existence of a subjectively “reasonable” or “honest” belief
in the claim asserted became irrelevant to determining the existence of
probable cause, which is now based on whether a claim is objectively tenable.
(Downey, at p. 498.) Thus, “the conclusion that probable cause is absent
logically tells the trier of fact nothing about the defendant’s subjective state of
mind[,]” which is what malice is based on. (See ibid., italics added.)
While malice is usually proved by circumstantial evidence and may still
be inferred when a party knowingly brings an action without probable cause,
there is neither circumstantial nor direct evidence (aside from conclusory
17
assertions by attorney Garcia) that defendants acted with an improper
purpose, or knowingly brought baseless claims. (See Padres, supra, 114
Cal.App.4th at p. 522.) Even when evidence from discovery does not support
the claims in an underlying action, this does not, on its own, support a
finding of malice for anti-SLAPP purposes. (See Jarrow Formulas, Inc. v.
LaMarche (2003) 31 Cal.4th 728, 743 [“ ‘Merely because the prior action
lacked legal tenability, as measured objectively . . . without more, would not
logically or reasonably permit the inference that such lack of probable cause
was accompanied by the actor's subjective malicious state of mind.’
[Citation.]”].) And even if we could infer from the record that defendants
failed to adequately investigate Paulson’s and Woiteshek’s factual assertions,
evidence of their “possible negligence in conducting factual research is also
not enough on its own to show malice.”4 (Daniels, supra, 182 Cal.App.4th at
p. 225.)
Ultimately, it is Saunders’s burden to show a probability of success on
his malicious prosecution claim, and he has failed to establish a prima facie
showing of malice, even taking into account the portions of Garcia’s
declaration that are not his own inadmissible opinions and speculation.
Unlike in other cases where courts have found a sufficient showing of malice,
4 At oral argument, Saunders argued that Paulson’s claim for an offset
based on a check he wrote for approximately $5,000 was groundless because
the check was never cashed and Woiteshek actually had it in her possession.
According to Saunders’s opening brief, Woiteshek knew the check was never
cashed, and her knowledge could be imputed to the other defendants. But
without additional evidence in the record that the defendants acted with an
improper purpose or subjectively knew the claim was baseless—as opposed to
acting with a lack of diligence or failing to properly investigate—we conclude
that the circumstances surrounding the check are not, by themselves or in
combination with any other evidence, sufficient to establish a prima facie
showing of malice.
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there is no competent evidence that defendants had an improper purpose in
initiating and maintaining Paulson’s cross-complaint. (See, e.g., Daniels,
supra, 182 Cal.App.4th at p. 225 [concluding the record “clearly supports an
inference that” client defendant brought underlying case with malice because
“his personal relationship with and alleged threats to” plaintiff suggested his
subjective intent “may have been to exact revenge on” plaintiff]; HMS
Capital, Inc. v. Lawyers Title Co. (2004) 118 Cal.App.4th 204, 218 [malice
“can exist, for example, where the proceedings are initiated for the purpose of
forcing a settlement which has no relation to the merits of the claim”];
Padres, supra, 114 Cal.App.4th at p. 522 [plaintiff proved malice where
defendant repeatedly filed actions in order to interfere with a business
project].)
Because Saunders has not met his burden of showing a probability of
proving that defendants acted with malice, we need not reach the merits on
the remaining elements. We conclude that the trial court correctly granted
defendants’ anti-SLAPP motion.
II
Saunders also appeals the trial court’s denial of his motion for
reconsideration, arguing that his motion was timely and that the exhibits
attached to Garcia’s amended declaration were “new” facts justifying
reconsideration. Regardless of whether Saunders’s motion was timely, we
conclude that the exhibits did not constitute “new” facts, so the trial court
properly denied his motion.
A party seeking reconsideration of a court’s order under section 1008
must show the existence of new or different facts, circumstances, or law, and
explain why they were not produced at the original hearing. (The New York
Times Co. v. Superior Court (2005) 135 Cal.App.4th 206, 212.) “The burden
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under section 1008 is comparable to that of a party seeking a new trial on the
ground of newly discovered evidence: the information must be such that the
moving party could not, with reasonable diligence, have discovered or
produced it” at the original hearing. (Id. at pp. 212–213.) We review the
court’s ruling on a motion for reconsideration under an abuse of discretion
standard. (Id. at p. 212; Yolo County Dept. of Child Support Services v. Myers
(2016) 248 Cal.App.4th 42, 50.) Accordingly, whether Saunders proffered
new or different facts sufficient to satisfy the requirements of section 1008 is
a “question confided to the sound discretion of the trial court, with the
exercise of which [the appellate court] will not interfere absent an obvious
showing of abuse.” (Graham v. Hansen (1982) 128 Cal.App.3d 965, 971.)
Here, the trial court did not abuse its discretion because all of the
exhibits attached to Garcia’s amended declaration were not new and could
have been submitted with Saunders’s opposition to defendants’ anti-SLAPP
motion. Saunders concedes in his opening brief that “Garcia made no
statement of fact that was not based on discovery responses, deposition
testimony, trial testimony, or rulings and judgments in the underlying
action.” Rather than dispute that the exhibits existed at the time defendants
filed their motion and could have been submitted earlier, Saunders instead
insists that he did not submit them because of a misplaced reliance on
Sweetwater and because Garcia did not want to “burden the record” with
documents. Neither is a proper basis for reconsideration. A party’s mistaken
belief that certain evidence was not necessary at a hearing does not entitle
him to reconsideration. (See Foothills Townhome Assn. v. Christiansen
(1998) 65 Cal.App.4th 688, 692, fn. 6 [plaintiff’s belief that certain evidence
was not necessary at summary judgment hearing insufficient to justify
reconsideration].) Nor does an abstract concern about burdening the record
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excuse the failure to submit evidence in the first instance. Accordingly, we
affirm the trial court’s denial of Saunders’s motion for reconsideration and
decline to address the court’s other grounds for denying the motion.
DISPOSITION
The orders granting the anti-SLAPP motion and denying the motion for
reconsideration are affirmed. Respondents shall recover their costs on
appeal.
BUCHANAN, J.
WE CONCUR:
O’ROURKE, Acting P. J.
DO, J.
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