Court Opinion

ID: 4647488
Source: CourtListenerOpinion
Date Created: 2020-12-29 19:02:00.347564+00
Date Added: 2024-06-11T08:01:06.156290
License: Public Domain

Filed 12/29/20
                      CERTIFIED FOR PUBLICATION

             COURT OF APPEAL, FOURTH APPELLATE DISTRICT

                                DIVISION ONE

                             STATE OF CALIFORNIA

 ROBERT DZIUBLA et al.,                     D076183
        Plaintiffs and Appellants,
        v.                                  (Super. Ct. No. 37-2018-00057391-
                                            CU-DF-NC)
 IGNATIUS A. PIAZZA II et al.,
        Defendants and Respondents.

       APPEAL from an order of the Superior Court of San Diego County,
Timothy M. Casserly, Judge. Affirmed in part; reversed in part and
remanded.
       Greer & Associates, Curtis Keith Greer and C. Tyler Greer for
Plaintiffs and Appellants.
       Call & Jensen, William Paul Cole and Nilab Rahyar Tolton for
Defendants and Respondents.

       This appeal concerns a soured business relationship that devolved into
a fight that was nothing if not personal. Plaintiffs and appellants Robert
Dziubla and Linda Stanwood claim that defendant Ignatius Piazza II, owner
of a Nevada firearms training facility, harassed and threatened them by
publishing defamatory statements along with their personal identifying
information and sending associates to invade their home. Piazza retorts that
plaintiffs conned him out of thousands of dollars and are now attempting to
steal his property and chill his constitutional rights.
      Cutting a path between these two extremes, the trial court
appropriately distinguished protected from unprotected activities in
evaluating Piazza’s special motion to strike under California’s anti-SLAPP
statute (Code Civ. Proc., § 425.16)—which it granted in part and denied in
part. With one important clarification as to the scope of protected activity,
we reach the same conclusion.
      That clarification involves so-called “doxing” allegations in the
complaint—plaintiffs’ claim that Piazza published private personal
identifying information about them to thousands of gun enthusiasts as a
thinly-veiled threat about what could happen if they continued to litigate the

business dispute.1 Although it was included in an otherwise-protected
litigation “alert” that discussed the pending lawsuit, the doxing information
was entirely extraneous to the court proceedings that were the ostensible
subject of the communication. We thus reject Piazza’s assertion that
plaintiffs cannot meet the “minimal merit” standard on the anti-SLAPP
motion because the doxing allegations would necessarily be barred by the
litigation privilege in Civil Code section 47, subdivision (b). Under well-
settled authority, the privilege does not extend to statements that bear no

1      “Doxing” is a relatively recent internet-based form of harassment that
involves posting a target’s private personal information online so it can be
used by other parties—perhaps the poster’s supporters or internet “trolls”—to
attack the targeted individual. Despite fear that this serious intimidation
tactic can even lead to physical assaults, countervailing concerns about
freedom of speech have made appropriate government regulation difficult.
(See generally MacAllister, The Doxing Dilemma: Seeking A Remedy for the
Malicious Publication of Personal Information (2017) 85 Fordham L.Rev.
2451.)
                                        2
reasonable relationship to any judicial proceedings on which the privilege is
assertedly based. Accordingly, we affirm in part, reverse in part, and remand
for further proceedings.
              FACTUAL AND PROCEDURAL BACKGROUND
1.    The Nevada Suit
      Defendant Piazza owns Front Sight, a firearms training and self-
defense business in Pahrump, Nevada. According to Piazza, Front Sight has
taught tens of thousands of individual students and built up a membership of
over 200,000 people. Members receive e-mail communications to keep them
informed on Front Sight developments and, of course, business promotions.
      In 2012, Piazza was pursuing a loan for an ambitious expansion project
that would transform Front Sight into a resort destination—complete with
timeshare condominiums and a full-service conference center. After he failed
to secure a traditional bank loan, Piazza explored higher risk options and
ultimately agreed to work with plaintiff Dziubla, who represented that his
team could raise $75 million from foreign investors if Front Sight paid
upfront installments to cover expenses. By 2015, the amount Dziubla
thought he could raise had decreased to $25 million. One year later, he
loaned Piazza about $6 million to get the project started.
      Piazza’s loan came from the Las Vegas Development Fund (LVDF),
which is run by Dziubla and his wife Stanwood. The loan agreement was
subject to certain conditions that Dziubla and Stanwood allege Piazza
breached in multiple ways. LVDF filed a notice of default in September 2018
and Piazza then sued in Nevada to prevent foreclosure on the Front Sight
property (among other relief). That litigation is ongoing and provides the
context for the dispute in this case.

                                        3
2.       The California Litigation
         Shortly after LVDF recorded a notice of default on Piazza’s Nevada
property, Dziubla and Stanwood began receiving disturbing visits at their
California residence from two men, Danielo Quidang and Patrick
Schneemann, who claimed to be private investigators. According to
plaintiffs, the men spied on their home, snuck onto their property to take
pictures and videos, and yelled threats when plaintiffs confronted them.
Dziubla and Stanwood obtained restraining orders against the men.
         The next month, Piazza published a manifesto characterizing Dziubla
as an enemy to Front Sight. This “Emergency Action Alert” (Alert) was
posted on Front Sight’s website and e-mailed to its 200,000 members. In the
Alert, Piazza described Dziubla as a “Lying, Two-Faced, Gun-Grabbing
Hillary Clinton Supporting, Con Man” who was “attempting to STEAL Front
Sight” through the Nevada suit. The Alert used forceful—even violent—
rhetoric and appealed for monetary contributions to Piazza’s “litigation war
chest.” Of particular significance in this case, Piazza also doxed Dziubla and
Stanwood in the Alert by publishing their home address, pictures of their
house, and photos of Dziubla including a close-up image of his face. These
pictures were taken by Quidang and Schneemann, who were allegedly hired
by Piazza.
         After learning about the Alert, plaintiffs filed this California lawsuit
against Piazza, Quidang and Schneemann alleging a dozen causes of action
that fall roughly into two categories: (1) trespass and privacy claims
concerning Quidang and Schneemann’s activities on their property; and
(2) defamation and harassment claims concerning Piazza’s publication of the
Alert.

                                           4
      Piazza challenged the defamation and harassment allegations under
California’s anti-SLAPP (strategic lawsuit against public participation)
statute, arguing that the Alert was protected speech. (Code Civ. Proc.,

§ 425.16.)2 The trial court agreed, shifting the burden to plaintiffs to show
minimal merit so that they could proceed on these claims. As to this second
step of the anti-SLAPP analysis, the court largely agreed with plaintiffs but
for their inability to overcome Piazza’s primary defense: that the Alert was
protected by the litigation privilege. As a result, the court granted most of
Piazza’s special motion to strike, effectively barring all of plaintiffs’ claims
that were based on the Alert (including the doxing allegations).
                                  DISCUSSION
      In its broad outline, we largely endorse the reasoning of the trial court:
Piazza’s Alert, which provides the basis for virtually all of plaintiffs’

challenged claims,3 is protected by the anti-SLAPP statute because it was
published in furtherance of Piazza’s right to petition. (§ 425.16, subds. (a),
(b)(1), and (e).) We likewise agree with the trial court that as to most of those
claims, plaintiffs could demonstrate minimal merit but for their failure to
overcome Piazza’s litigation privilege defense. However, the privilege does
not apply indiscriminately to everything included in the Alert just because
that document broadly relates to litigation. As we explain in more detail, the
doxing allegations should be treated separately from the rest of the
challenged statements in the Alert. Publishing plaintiffs’ personal
information was in no way rationally related to litigation, and the disclosure
of that information is not protected by the corresponding privilege.

2     All subsequent statutory references are to the Code of Civil Procedure
unless otherwise specified.
3     See post, footnote 4.
                                         5
      Although we diverge from the trial court on this particular point, our
decision has a limited effect. Only two causes of action that were previously
stricken are revived in part by our analysis. The real effect of our decision is
simply to clarify that it does not run afoul of the litigation privilege for
plaintiffs to rely on the harm caused by Piazza’s doxing activities as they
attempt to prove the surviving causes of action.
1.    Basic Anti-SLAPP Principles
      The anti-SLAPP statute enables defendants to quickly terminate
meritless actions against them that are based on their constitutionally
protected rights to speak freely and petition for redress of grievances.
(§ 425.16.) It allows litigants to file a special motion to strike “at an early
stage,” in which the trial court uses a “summary-judgment-like procedure” to

evaluate the claims.4 (Zhang v. Jenevein (2019) 31 Cal.App.5th 585, 592.) In
considering a special motion to strike, courts employ a two-step process.
(Park v. Board of Trustees of California State University (2017) 2 Cal.5th
1057, 1061.) In the first step, defendants must show that the claims they
challenge are based on conduct “aris[ing] from” an act that furthers their
speech or petition rights. (§ 425.16, subd. (b)(1).) This includes, among other

4      As the Supreme Court was careful to emphasize in Baral v. Schnitt
(2016) 1 Cal.5th 376 (Baral), the terms “cause of action” and “claim” can have
different meanings depending on the context in which they are used, and
both were employed by the Legislature in drafting section 425.16. (Baral,
supra, at pp. 381‒382.) With respect to the latter term, we follow Baral’s
lead in using “claim” to refer to a set of facts allegedly giving rise to relief
that constitutes a “proper subject of a special motion to strike.” (Id. at p. 382;
see also id. at p. 395 [anti-SLAPP motion is directed to “alleged acts giving
rise to a claim for relief”].) We use “cause of action” to mean the separate
counts as pleaded by the plaintiffs. A single cause of action can incorporate
more than one claim; at the same time, a single claim can sometimes form
the basis for more than one cause of action.
                                         6
things, any “writing made in connection with an issue under consideration or
review by a . . . judicial body.” (§ 425.16, subd. (e)(2).)
      If defendants can make this initial showing, the burden shifts to the
plaintiffs in the second step to demonstrate a prima facie case that would
enable them to prevail on the challenged claims. (Baral, supra, 1 Cal.5th at
pp. 384–385.) Plaintiffs only need to show “minimal merit” to defeat the
special motion to strike. (Navellier v. Sletten (2002) 29 Cal.4th 82, 94.) At
this stage, “[t]he court does not weigh evidence or resolve conflicting factual
claims . . . [but rather] accepts the plaintiff's evidence as true, and evaluates
the defendant's showing only to determine if it defeats the plaintiff's claim as
a matter of law.” (Baral, supra, at pp. 384–385.) Appellate courts
independently review orders granting or denying a special motion to strike.
(Rusheen v. Cohen (2006) 37 Cal.4th 1048, 1055 (Rusheen).)
2.    Step One: Plaintiffs’ Claims Arise Out of Protected Activity
      In this section, we independently evaluate the nature of the Alert. We
conclude that the first prong of the anti-SLAPP analysis is satisfied because
the Alert (1) forms the basis for plaintiffs’ claims, (2) relates to the Nevada
litigation, and (3) does not fall within the exceptions that plaintiffs highlight.
The first two points are not truly contested by plaintiffs, but we examine
them in the course of our independent review.
      a.     The Alert forms the basis for plaintiffs’ claims.
      As a preliminary matter, we note that Piazza’s anti-SLAPP motion
sought to strike only seven of plaintiffs’ twelve causes of action, targeting the
allegations dependent on the Alert and mostly avoiding those based on
Quidang and Schneemann’s activities at plaintiffs’ house. The challenged
causes of action included: (1) Criminal Threats, alleging that the “incendiary
language” in the Alert and the “very nature of the distribution list” amounts

                                          7
to a criminal threat against Dziubla; (2) Defamation, stating that the Alert
falsely characterized Dziubla as a con man and a liar; (3) Privacy (False
Light), claiming the Alert portrayed Dziubla in an offensive manner;
(9) Negligent Infliction of Emotional Distress, alleging defendants owed a
duty to plaintiffs that they breached by harassing, intimidating and defaming
them; (10) Injunction, asking the court to order the Alert taken down from
Front Sight’s website; (11) Civil Conspiracy, claiming defendants conspired to
harass plaintiffs; and (12) Violation of the Ralph Civil Rights Act of 1976
(Civ. Code, 51.7), alleging plaintiffs were targeted by Piazza based on their
political affiliations. Our review of the complaint leads us to the same

conclusion as the trial court; with one exception,5 each challenged cause of
action cites harms based at least in part on the Alert. (See Baral, supra,
1 Cal.5th 376, 396 [allegations arising in part from protected activity satisfy
the first step in evaluating a special motion to strike].) We turn now to the
more central question of the prong one analysis: whether the Alert
constitutes protected activity.
      b.    The Alert is protected because it relates to litigation.
      The Alert itself is an erratic ten-page document. It starts as a progress
report, transitions to an exposé, and ends as a fundraising solicitation.
Piazza opens by explaining the status of the renovation project and how it
will benefit Front Sight members. Dziubla is quickly introduced as a liar and
a con man, and then Piazza “divulge[s] the details of his identity, where he
lives, what he does, and how he hoodwinked us into falling for his scam.”

5     The eleventh cause of action included the only set of challenged
allegations that were untied to the Alert; it focused on defendants meeting
together to conspire to harm plaintiffs. The trial court properly denied the
motion to strike these allegations.

                                        8
This is the section that includes Dziubla’s residential address, photos of his
home and a close-up picture of his face. According to Piazza, this information
was included as evidence of Dziubla’s con; he apparently claimed to be broke
and asked Front Sight for more money, but all the while he owned a “million
dollar home and [a] Lexus and brand new Mercedes Benz.”
      After this section, the focus of the document turns to funding the
Nevada litigation. Piazza asks for monetary contributions and offers to
reward members with “surplus credits, memberships, and certificates” that
will be converted, in vague terms, to ownership interests in Front Sight when
the renovations are complete. Piazza states these funds will be used for three
purposes, to (1) “[d]estroy Dziubla by rapidly and aggressively prosecuting
our lawsuit against him,” (2) increase Front Sight marketing to grow the
business, and (3) “increase the pace of construction” to quickly complete the
resort.
      Despite its vacillating nature, reading the Alert as a whole makes it
clear that Piazza wrote and distributed the document in furtherance of his
right to petition the Nevada courts for relief. (§ 425.16, subd. (b)(1).) The
anti-SLAPP statute specifies that such an act includes “any . . . writing made
in connection with an issue under consideration or review by a . . . judicial
body.” (§ 425.16, subd. (e), italics added.) We easily conclude the Alert was
written and distributed in connection with the Nevada litigation. It returns
again and again to the lawsuit, and even the most forceful language is
contextualized to the court battle. Front Sight members can support Piazza
and “destroy” Dziubla “by rapidly and aggressively prosecuting our lawsuit
against him.” The Alert even provides the Nevada court pleadings and
encourages readers to review them. Its primary purpose seems to be
explaining the litigation to Front Sight’s members and asking for their

                                        9
financial help. (See Wilcox v. Superior Court (1994) 27 Cal.App.4th 809, 821–
822 (Wilcox) [“statements made in the context of exhorting [others] to
contribute to the cost of pursing . . . litigation” provides a “strong showing
those statements are rationally connected to the litigation itself”].) Piazza is
thus correct that allegations based on the principal content of the Alert fall
under the protections of the anti-SLAPP statute.
      c.    None of the exceptions cited by plaintiffs apply.
      Plaintiffs do not contest the general point that the anti-SLAPP statute
protects litigation-related documents, but they argue the Alert falls outside of
the statute’s purview because it is both illegal and constitutes commercial
speech. In plaintiffs’ view, these defects nullify any constitutional protection
the Alert might otherwise enjoy. Although plaintiffs have correctly identified
two exceptions to the anti-SLAPP statute’s reach, they have not
demonstrated that either applies here.
      As to illegal conduct, it is true that a special motion to strike cannot be
used by a defendant whose allegedly protected activity was illegal. (Flatley v.
Mauro (2006) 39 Cal.4th 299, 320 (Flatley).) Plaintiffs argue this was the
case, offering three separate theories of how the Alert was illegal. They
contend it was (1) a “terroristic criminal threat” under Penal Code section
422, (2) harassment under Code of Civil Procedure section 527.6, and (3) a
fraudulent sale of securities. But in the context of the case law, illegal means
criminal and not merely a violation of some statute. (Mendoza v. ADP
Screening & Selection Services, Inc. (2010) 182 Cal.App.4th 1644, 1654
(Mendoza).) Furthermore, it is not sufficient that the plaintiffs can
reasonably argue or offer some evidence that defendant’s conduct was
unlawful. Rather, at this early stage of the proceedings, the illegality
exception applies only if the defendant’s activity is “illegal as a matter of

                                        10
law,” meaning either the defendant concedes the point or the evidence
“conclusively establishes” as much. (Flatley, supra, 39 Cal.4th at p. 320.)
Neither occurred here. Piazza has never conceded that publishing the Alert

constituted criminal conduct.6 And the evidence is far from conclusive that
the Alert was illegal under any of plaintiffs’ theories.
      Regarding the criminal threats theory of illegality, the statute plaintiffs
highlight requires (1) a willful threat to commit a crime that would result in
death or great bodily injury to another, (2) with the specific intent that it be
taken as a threat by the victim, (3) which is so “unequivocal, unconditional,
immediate, and specific” that it (4) causes the victim to be in sustained fear,
and (5) that such fear is reasonable. (Pen. Code, § 422; People v. Toledo
(2001) 26 Cal.4th 221, 228.) Plaintiffs select certain clauses from the Alert
that they believe evidence a threat; we quote them in full to provide context:
         “I am going to need your help to not only stop [Dziubla] in
         his tracks, but also give him what he truly deserves for
         what he has done to us, while we come together as a group,
         200,000 strong, to complete the resort in record time!”
         [¶] . . . [¶]
         “I’ll bet it makes your blood boil as much as mine to think
         this traitor used the money we paid him that was supposed
         to support the Front Sight project and instead used it to
         support the gun-grabbing schemes of Hillary Clinton. This
         turncoat needs to be punished, to the full extent the law

6     Plaintiffs make much of the fact that Piazza was arraigned on a
misdemeanor count for electronic harassment, to which he pleaded not guilty.
The prosecutor did not pursue charges when Piazza agreed to remove the
Alert from the Front Sight website. There was never any admission of guilt.
We take judicial notice of the minute order and the stipulation and order
related to Piazza’s misdemeanor case, which is proper under Evidence Code
section 452, subdivision (d). Three separate requests for judicial notice from
both parties compile various other exhibits that we decline to notice. These
are either improper for judicial notice, unhelpful to our resolution of the case,
or both.
                                        11
         will allow, for what he has done to us and what he has done
         to you.” [¶] . . . [¶]
         “Here’s how we turn the tables on Dziubla and shove his
         dirty deeds against you right down his throat [. . . .] [¶]
         Now that we filed our lawsuit, we press our prosecution of
         the litigation like a blitzkrieg and we do not ease our
         blistering legal attack until we have decisively won, forcing
         Dziubla into debtor’s court to expose his assets for our
         collection or forcing him into financial ruin in bankruptcy
         court.” [¶] . . . [¶]
         [Beside a check box for financial contributions:]
         “Yes, Dr. Piazza. I want you to destroy the lying, two-faced,
         gun-grabbing Hillary Clinton supporting, con man Robert
         Dziubla by rapidly and aggressively prosecuting our
         lawsuit against him to overwhelming victory.”

      Plaintiffs might have a colorable argument that this language could be
interpreted as a threat, but that falls short of a necessary conclusion as a
matter of law. As seems apparent from context, the violent terms are not
meant to be read literally. Piazza describes destroying Dziubla, but only
through court action. His “ruin” will be financial, and his “punishment” will
be “to the full extent the law will allow.” Given the consistent references to
the lawsuit, we are unable to find anything that would qualify as an
indisputable threat under Penal Code section 422. (See People v. Maciel
(2003) 113 Cal.App.4th 679, 683; quoting People v. Solis (2001) 90
Cal.App.4th 1002, 1023 [“A violation of [Penal Code] section 422 requires
. . . the defendant [to] willfully threaten[] to kill or seriously injure another
person.”]; United States v. Villavicencio-Burruel (9th Cir. 2010) 608 F.3d 556,
562 [“[Penal Code] [s]ection 422’s plain text demonstrates that it requires a
threatened use of violent physical force against another person.”]; Toledo,
supra, at p. 228‒229 [explaining that the specific, immediate and unequivocal
language was added to Penal Code section 422 to bring it into constitutional

                                        12
compliance]; United States v. Kelner (2d Cir. 1976) 534 F.2d 1020, 1027.)
Although Penal Code section 422’s elements are not applied formulaically,
“the words actually used must constitute a threat in light of the surrounding
circumstances.” (In re George T. (2004) 33 Cal.4th 620, 636.) Plaintiffs have
not conclusively established such a threat.
      Cognizant of this deficiency, plaintiffs argue that Piazza’s threat can
only be understood in context, and that his dissemination of the Alert to
200,000 “gun enthusiasts” raised the specter of violent retaliation against
Dziubla. In doing so, however, plaintiffs merely describe the inherent risks of
doxing, and they ignore that a criminal threat requires specific intent. In
addition to other disputed issues, Piazza’s intent is contested; based on that
alone, we can conclude that plaintiffs have not demonstrated the Alert

contained a criminal threat as a matter of law.7
      Plaintiffs rely on substantially the same arguments and cases when
they suggest, in the alternative, that the Alert constitutes harassment under
section 527.6. This is an odd selection of statutes, as it details the procedure
for a party seeking a civil restraining order against an alleged harasser. But
even if we construe this argument liberally and look to the criminal statute
that Piazza was actually charged with violating—misdemeanor electronic
harassment under Penal Code section 653.2—the evidence again falls short of
establishing he was necessarily guilty of that crime. As the trial court noted,
“charges are only charges—not a conviction.”

7     Plaintiffs press their point by citing two cases to support their position
that the Alert was a “true threat,” but neither comes close to holding that
similar conduct amounted to a criminal threat as a matter of law. (See
Huntingdon Life Sciences, Inc. v. Stop Huntingdon Animal Cruelty USA, Inc.
(2005) 129 Cal.App.4th 1228, 1246 (Huntingdon Life Sciences); Planned
Parenthood of Columbia/Willamette, Inc. v. Am. Coalition of Life Activists
(9th Cir. 2002) 290 F.3d 1058, 1062.)
                                       13
      Taking a slightly different tact in their last illegality argument,
plaintiffs contend the Alert’s offer of Front Sight credits and memberships
was an unregistered sale of securities that violates both Nevada and federal
law. This suggestion, again, falls short of demonstrating a criminal act as a
matter of law. Instead, it raises a host of questions that are as yet
undetermined—such as whether these were investments or donations and, if
the former, whether any exemptions apply. Some language suggests a
donation; Piazza characterized his program as a “reward” to his “loyal and
supportive member[s] for your faith in Front Sight and your financial support
in overcoming the obstacles of litigation.” But other language suggests some
kind of investment structure; “benefits” will grow in accordance with the level
of participation. Even assuming the program is more than a donation, it is
unclear how various “credits” would later convert to ownership interests and
when an ownership interest might mature: “When it is time to turn over
Front Sight Firearms Training Institute to you, I will allow you to trade in
your surplus credits, memberships, and certificates for your percentage of
ownership.” Piazza seems to have left this intentionally vague. We agree
with the trial court that “some of [the Alert’s] language arguably involves the
sale of securities”—but this is less than definitive as a matter of law.
      On all of plaintiffs’ theories, there is a “factual dispute as to the
legality” of Piazza’s actions in writing and distributing the Alert. As such,
his special motion to strike cannot be denied on those grounds. (Paul for
Council v. Hanyecz (2001) 85 Cal.App.4th 1356, 1367.)
      Apart from framing the Alert as a crime, plaintiffs attempt to wrest
this communication from the protective reach of the anti-SLAPP statute by
asserting it falls within the statute’s exception for commercial speech. This
exception, detailed in section 425.17, subdivision (c), states that section

                                        14
425.16 “does not apply to any cause of action brought against a person
primarily engaged in the business of selling or leasing goods or services”
under specified conditions. It goes on to list the conditions that define the
exception. (§ 425.17, subd. (c)(1)‒(c)(2).) This added detail has aided courts
in determining that the legislature intended to exclude “ ‘only a subset of
commercial speech’—specifically, comparative advertising.” (FilmOn.com
Inc. v. DoubleVerify Inc. (2019) 7 Cal.5th 133, 147; see also All One God
Faith, Inc. v. Organic & Sustainable Industry Standards, Inc. (2010) 183
Cal.App.4th 1186, 1217.)
      We are doubtful that Piazza’s Alert can be fairly described as primarily
an effort to sell goods or services, but even assuming it was the Alert does not
contain the comparative advertising that marks the commercial speech
exception. This requirement is described in subdivision (c)(1), which clarifies
that the “statement or conduct” the plaintiff’s claims arise from must
“consist[] of representations of fact about [the defendant’s] or a business
competitor’s business operations, goods, or services.” (§ 425.17, subd. (c)(1).)
To fall within the exception then, the harm plaintiffs allege would have to
derive from Piazza’s representations about his own business or a competitor’s
business. (See, e.g., Mendoza, supra, 182 Cal.App.4th 1644, 1652.) That is
not the case here, where plaintiffs generally allege harm from defamation,
harassment, and threats.
3.    Step Two: Plaintiffs Failed to Show They Could Prevail on Most of the
      Claims
      In this section, we review the litigation privilege as applied to the facts
of this case and conclude it defeats most—but not all—of plaintiffs’
challenged claims. In particular, the doxing statements included in the Alert
are not privileged.

                                       15
      a.    The litigation privilege defeats most of plaintiffs’ claims.
      In the second prong of the anti-SLAPP analysis, where plaintiffs must
demonstrate the “minimal merit” of their claims, they must also show they
can overcome any affirmative defense the defendant has raised. (Dwight R.
v. Christy B. (2013) 212 Cal.App.4th 697, 715‒716; Bently Reserve LP v.
Papaliolios (2013) 218 Cal.App.4th 418, 434.) Here, the trial court
determined that plaintiffs could probably show minimal merit as to most of

their claims8 except that they could not overcome Piazza’s defense that the
litigation privilege applies to the Alert. We likewise agree that the litigation
privilege disposes of most of plaintiffs’ challenged claims in the second part of
the anti-SLAPP analysis.
      The litigation privilege is a statutory protection that has been
interpreted expansively. (Civ. Code, § 47, subd. (b); Rubin v. Green (1993)
4 Cal.4th 1187, 1194.) Although it is not a part of section 425.16, the
privilege is often invoked in anti-SLAPP motions. (Jarrow Formulas, Inc. v.
LaMarche (2003) 31 Cal.4th 728, 737.) It “applies to any communication
(1) made in judicial or quasi-judicial proceedings; (2) by litigants or other
participants authorized by law; (3) to achieve the objects of the litigation; and
(4) that have some connection or logical relation to the action.” (Silberg v.

8     The exception to this was plaintiffs’ first cause of action for criminal
threats, which was pleaded under a criminal statute—Penal Code section
422—that does not create a private right of action allowing an alleged threat
victim to sue. This court requested supplemental briefing on various related
issues, none of which proved central to our resolution of the case. However,
in the course of that briefing we received a related motion from plaintiffs to
consider additional evidence under Code of Civil Procedure section 909. We
ordered that the motion be considered in conjunction with the appeal. We
now deny it, however, finding no reason to depart from established norms
that section 909 should be used sparingly. (Monsan Homes, Inc. v.
Pogrebneak (1989) 210 Cal.App.3d 826, 830.)
                                       16
Anderson (1990) 50 Cal.3d 205, 212.) Its purpose is to “afford litigants and
witnesses free access to the courts without fear of being harassed
subsequently by derivative tort actions, to encourage open channels of
communication and zealous advocacy, to promote complete and truthful
testimony, to give finality to judgments, and to avoid unending litigation.”
(Rusheen, supra, 37 Cal.4th 1048, 1063.) These policy considerations are
paramount, and courts recognize that guarding them by adhering to the
privilege will “result[] in some real injuries that go uncompensated.”
(Silberg, supra, at p. 218.) This is “simply part of the price that is paid” for
free access to the courts. (Pettitt v. Levy (1972) 28 Cal.App.3d 484, 488
(Pettitt).) If the privilege applies, it cannot be set aside for any tort claim
except malicious prosecution. (Rubin, supra, at p. 1194.)
      Because the privilege “attaches to any publication that has any
reasonable relation to [a court] action and is made to achieve the objects of
the litigation,” we have little trouble concluding that the Alert generally falls
under its broad scope. (Pettitt, supra, 28 Cal.App.3d 484, 489.) As discussed
above, the Alert informed Front Sight members about the Nevada litigation
and asked for their help to fund it. As such, it was written and distributed to
achieve the ends of Piazza’s petition for judicial relief. (See Wilcox, supra,
27 Cal.App.4th 809, 826 [third-party who distributed memorandum to raise
funds for litigation “would have enjoyed an absolute immunity from suit
under the litigation privilege” for her efforts if she had been a party]; see also
Costa v. Superior Court (1984) 157 Cal.App.3d 673, 678; Izzi v. Rellas (1980)
104 Cal.App.3d 254, 262‒263; Rosenthal v. Irell & Manella (1982) 135
Cal.App.3d 121, 126.) However, the fact that the Alert generally falls under
the litigation privilege does not mean everything within it is automatically
protected.

                                        17
      b.    The doxing allegations are not barred by the litigation privilege.
      Even when a document broadly relates to litigation, it may contain
unrelated parts that do not find shelter in the privilege. When
communications are “substantially extraneous” to the court proceedings,
there are “reasonable limits” on the application of the privilege. (Nguyen v.
Proton Technology Corp. (1999) 69 Cal.App.4th 140, 142‒143 (Nguyen).)
      The allegedly defamatory statements in this case meet the logical
relation test because they serve the ends of the litigation. Impolite as his
name-calling may read, Piazza would be hard pressed to tell his version of
the story and request help from Front Sight members without the freedom to
describe Dziubla as a liar and a con man.
      Piazza’s doxing disclosures are a different matter. There was simply no
good reason to include Dziubla’s home address, images of his house and a
close-up picture of his face in a communication aimed at explaining the status
of ongoing litigation and soliciting financial support. Piazza argues to the
contrary, asserting that he “specifically referenced Dziubla’s address and
photos of his home to argue Dziubla was lying when he represented to Front
Sight that he was broke.” But the accompanying text, describing Dziubla’s
wealth based on the approximate worth of his home and possessions, had
already accomplished this same purpose. Furthermore, the precise address is
unnecessary and the pictures of the house hardly demonstrate Piazza’s point;
the home does not appear particularly lavish and the make of the cars,
depicted in an unlit garage, is indiscernible. All this information really
provides is an additional tool for a would-be harasser to find the right house.
Piazza’s failure to offer any justification at all for the close-up image of
Dziubla’s face underscores our conclusion.

                                        18
      We find Nguyen, supra, 69 Cal.App.4th 140, instructive due to its
factual similarity. In that case, a company called Proton noticed a movement
of employees and then customers to its competitor Excelsior and suspected
improper solicitation. Nguyen was one of the employees who left Proton to
join Excelsior. In a letter that threatened litigation, Proton advised Excelsior
that Nguyen had been “working for Proton under a work furlough program
sponsored by the Santa Clara County Probation Department [and] was in
prison for repeatedly and violently assaulting his wife.” (Id. at pp. 143–144.)
This turned out to be inaccurate, and Nguyen sued Proton for libel. (Id. at
p. 145.) The court gave measured consideration to whether the litigation
privilege protected Proton, but ultimately concluded it did not because
Nguyen’s conviction history was unrelated to Proton’s contemplated litigation
with Excelsior. (Id. at p. 152.) “The terms ‘related to’ or ‘connected with’
necessarily require more than a remote relationship or common factual
genesis between two otherwise unconnected subjects. To come within the
privilege, the fact communicated itself must have some bearing on or
connection with the subject matter of the litigation.” (Id. at p. 149; quoting
Younger v. Solomon (1974) 38 Cal.App.3d 289, 302.)
      In this same vein, we conclude that the doxing information included in
the Alert had no connection with, nor legitimate relation to, the Nevada
litigation. As a result, it is not protected by the litigation privilege. Contrary
to Piazza’s contentions, this court is not bound to interpret “logical relation”
so expansively that we cannot separate the wheat from the chaff. And as the
Nguyen court observed, enforcing the relevancy requirement does not narrow
the litigation privilege, but rather prevents its abuse. (Nguyen, supra,
69 Cal.App.4th 140, 150.)

                                       19
4.    Application on Remand
      In the preceding sections, we affirmed the principle that litigation-
related communications such as the Alert fall under the protections of the
anti-SLAPP statute in the first step of the analysis. In the second step, we
clarified the contours of the litigation privilege and concluded that the doxing
allegations fall outside of its protections because those disclosures were
unrelated to the Nevada litigation. This last section functions to bring the
discussion back to the practicalities of this case and clarify the effect of our
decision on what remains of plaintiffs’ case.
      As we noted previously, the trial court granted Piazza’s special motion
to strike as to six of the seven causes of action he challenged: Criminal
Threats, Defamation, Privacy (False Light), Negligent Infliction of Emotional
Distress, Injunction, and Violation of the Ralph Civil Rights Act of 1976 (Civ.
Code, § 51.7). Only two of these are revived by our decision because they
specify the doxing disclosures as a source of injury, which we have
determined provide a proper basis to proceed.
      The first is the civil rights cause of action, which partially survived the
anti-SLAPP motion. In the words of Baral, this was a “mixed cause of
action,” in that it included allegations of both protected and unprotected
activity. (1 Cal.5th at p. 382.) Because it considered the Alert protected by
the litigation privilege, the trial court struck the allegations based on the
Alert but declined to strike those based on Piazza’s hiring of Quidang and
Schneemann. Our decision modifies this result so that the alleged civil rights
violation evidenced by the doxing can still be developed by plaintiffs.

                                        20
      The second affected cause of action is plaintiffs’ request for an

injunction.9 Here, plaintiffs asked the court to order Piazza to take down the
Alert from Front Sight’s website, and it was stricken by the trial court under
the same rationale—that the entire Alert was protected by the litigation
privilege. In the meantime, Piazza took down the Alert as part of a deal to
avoid prosecution for a misdemeanor charge. But as plaintiffs point out, the
deal only requires Piazza’s compliance for six months. Given the personal
and contentious nature of this dispute, the trial court should have the
opportunity to consider whether an ongoing injunction to prevent Piazza from
republishing the doxing information is warranted.
      These are the only causes of action before us that are affected by our

decision. The others either did not rely on the doxing as a source of harm,10

or suffer from some other defect.11 There were additional causes of action
that Piazza did not challenge in his special motion to strike. Those theories,
of course, remain for plaintiffs to pursue. And as we read the complaint, the

9      We pass over the debate whether a claim for injunctive relief is
properly characterized as a “cause of action” or is rather a “remedy.” (See,
e.g., Guessous v. Chrome Hearts, LLC (2009) 179 Cal.App.4th 1177, 1787.)
10    This was the case with the Defamation and False Light causes of
action, which are based only on the alleged false statements about Dziubla in
the Alert.
11     The cause of action for Criminal Threats and the Negligent Infliction of
Emotional Distress both fall into this category. As to Criminal Threats,
plaintiffs essentially lack standing because the Penal Code violation they
allege creates no right for plaintiffs to sue. The cause of action for Negligent
Infliction of Emotional Distress is simply unsupported by the facts as pleaded
because plaintiffs alleged nothing to show there was a special relationship
that created a duty of care. (See Huntingdon Life Sciences, supra, 129
Cal.App.4th at p. 1264; Potter v. Firestone Tire & Rubber Co. (1993) 6 Cal.4th
965, 984‒985.)
                                       21
doxing allegations were incorporated by reference into each cause of action.
We mention this only to clarify that, where it is relevant, plaintiffs can
invoke the doxing activity as evidence to support any of their remaining
causes of action.
                                 DISPOSITION
      The order granting the special motion to strike is reversed in part as to
two of plaintiffs’ cause of action ‒ the tenth, seeking an injunction, and the
twelfth, alleging a civil rights violation ‒ but only as to the claims included in
these causes of action that allege injury from the publication of their personal
information, i.e., the doxing allegations. In all other respects, the order is
affirmed. The matter is remanded to the trial court for further proceedings
consistent with this opinion. The parties shall bear their own costs on
appeal.

                                                                        DATO, J.

WE CONCUR:

HUFFMAN, Acting P. J.

HALLER, J.

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