Court Opinion

ID: 3174834
Source: CourtListenerOpinion
Date Created: 2016-02-05 09:53:12.225168+00
Date Added: 2024-06-11T14:49:26.720345
License: Public Domain

Filed 2/3/16 LaChance v. Holt CA4/2

                      NOT TO BE PUBLISHED IN OFFICIAL REPORTS
 California Rules of Court, rule 8.1115(a), prohibits courts and parties from citing or relying on opinions not certified for
publication or ordered published, except as specified by rule 8.1115(b). This opinion has not been certified for publication
                                     or ordered published for purposes of rule 8.1115.

           IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA

                                   FOURTH APPELLATE DISTRICT

                                                 DIVISION TWO

IRENE LACHANCE,

         Plaintiff and Respondent,                                       E062069

v.                                                                       (Super.Ct.No. CIVDS1408373)

STEVEN HOLT,                                                             OPINION

         Defendant and Appellant.

         APPEAL from the Superior Court of San Bernardino County. Joseph R. Brisco,

Judge. Reversed with directions.

         Wagner & Pelayes, Tristan G. Pelayes and Mary C. Myers, for Defendant and

Appellant.

         Michael L. Gilmore for Plaintiff and Respondent.

                                                             1
       Plaintiff and respondent Irene LaChance (plaintiff) sued defendant and appellant

Steven Holt1 (defendant) alleging six causes of action: defamation, intentional infliction

of emotional distress, negligent infliction of emotional distress, intentional interference

with prospective economic advantage, negligent interference with business relationships,

and tortious interference with a contract. Plaintiff alleged that all of these injuries flowed

from a single source: several allegedly defamatory statements about her in her capacity

as the Labor Relations Representative (LRR) for California School Employees

Association Local Chapter 183 for the San Bernardino Unified School District (Local

183) that defendant posted on Facebook. In response, defendant filed a special motion to

strike the complaint as a strategic lawsuit against public participation (anti-SLAPP

motion) pursuant to Code of Civil Procedure2 section 425.16 (anti-SLAPP statute).

       The trial court denied defendant’s anti-SLAPP motion. Defendant appeals,

contending the trial court erred in concluding that the statements were not protected

under the anti-SLAPP statute because they were not connected with an issue of public

interest. Plaintiff contends that the trial court properly found the statements concerned a

“private transaction” not connected with an issue of public interest, and that there is a

       1 Plaintiff also sued defendants Does 1 through 20, but for ease of discussion, we
refer only to defendant.

       2 All further statutory references are to the Code of Civil Procedure unless
otherwise noted.

                                              2
probability plaintiff will prevail on her claims. We agree with defendant, disagree with

plaintiff, and reverse the trial court’s order denying defendant’s anti-SLAPP motion.

                  FACTUAL AND PROCEDURAL BACKGROUND3

       Sometime during the period of 2010 to 2014,4 defendant served as the vice-

president for Local 183. Local 183 was part of the California School Employees

Association (CSEA), “the largest classified school employees union in the United States,

representing more than 210,000 school support staff throughout California.” The CSEA

“thrive[s] as a member-run union,” and is “democratically controlled by member

volunteers in more than 750 local chapters throughout the state”; through the channels of

“collective bargaining” and “political action,” CSEA seeks to advance the “rights” of,

and secure “benefits” for, its members. CSEA assigned plaintiff, an LRR, to represent

and advance the interests of Local 183 by providing leadership in collective bargaining,

organizing, political mobilizing, and other areas.

       Declarations from officers and members of Local 183 indicate that the working

relationship between Local 183 and plaintiff grew contentious. According to the

declarations of three Local 183 officers, plaintiff was “constantly” absent from her duties

to attend to personal hardships, but failed to notify Local 183 members and their officers.

       3 Plaintiff notes several paragraphs in defendant’s underlying anti-SLAPP motion
and defendant’s opening brief that do not have “any evidentiary support in the record.”
For our background, we rely only on the information revealed in the pleadings,
supporting declarations, and exhibits.

       4 The complaint and the declarations supporting the anti-SLAPP motion are short
on specific dates.

                                             3
As one of those officers declared, this tended to leave Local 183 at a disadvantage,

because the membership received no assistance “[d]uring negotiations and furloughs.”

Another of Local 183’s officers declared that “many” of Local 183’s members

complained that plaintiff “never resolved disputes” or “returned phone calls,” and another

declared that plaintiff “was known for raising her voice and making unwelcome remarks

at Chapter meetings.” A Local 183 member declared that, during the period of “2010 [to]

2014,” she and other members were “scared” of plaintiff, and that “some schools even

created a ‘Charlie Door’[5] to keep [plaintiff] out of administrative buildings and offices.”

This last member further declared that plaintiff asked her to meet “secret[ly]” at a coffee

shop to discuss her replacing defendant as Local 183’s vice-president, and that she

“resigned from [her] position in the union because [plaintiff] created dysfunction [and]

chaos within the union.” In a supplemental declaration, plaintiff generally denied,

disputed, or offered competing explanations for these events.

       Around May 2012, defendant allegedly posted the statements at issue on the

public Facebook group “AEU and CSEA free chat.”6 According to the complaint and

plaintiff’s declaration in support, the posted statements read: plaintiff “is a crappy Labor

Representative who likes to abandon her job and sell members down the river”; plaintiff

“does not do justice to AEU’s cause as she should not be paid at all for doing nothing but

       5   Plaintiff had the nickname “Charlie.”

       6 The complaint also refers in passing to a blog where the statements may have
been posted, but the only site mentioned in the trial court record with any specificity is
the Facebook group.

                                              4
sitting on her ass!”; and plaintiff “disappears from her chapter for months with no notice,

conspires and has secret meetings with members to turn on other members and threatens

to sue CSEA if they don’t play ball with her.” The parties did not submit copies of the

actual statements, and neither party was able to provide a posting date more specific than

“May of 2012.”

       On June 11, 2014, plaintiff filed the instant complaint against defendant. In her

complaint, plaintiff alleged that defendant “published” the statements at issue “[o]n or

about May 2012 and continuing to the present time.” In relevant part, plaintiff alleged

for each of her six causes of action that the allegedly defamatory statements were the

direct and proximate cause of her injuries, due to the damage the statements inflicted on

her reputation. Plaintiff also alleged that she was at all relevant times, and still is, a

CSEA LRR in San Bernardino.

       On July 24, 2014, defendant filed his anti-SLAPP motion. The motion argued in

relevant part that the anti-SLAPP statute protected the statements at issue; they were

written in a public forum on the internet and were connected with an issue of public

interest in that they occurred in an ongoing discussion of an issue of interest to Local 183,

“a limited, but definable portion of the public,” and so were protected under subdivision

(e)(3) of the anti-SLAPP statute.7 The motion also argued in relevant part that plaintiff

       7  Anti-SLAPP statute, subdivision (e), reads: “As used in this section, ‘act in
furtherance of a person’s right of petition or free speech under the United States or
California Constitution in connection with a public issue’ includes: . . . (3) any written or
oral statement or writing made in a place open to the public or a public forum in
connection with an issue of public interest, . . .”

                                               5
could not demonstrate a probability of prevailing on her claims, because the single

publication rule8 imposed a one-year statute of limitations that had run before plaintiff

filed her complaint. Plaintiff filed an opposition, arguing in relevant part that the

statements concerned a purely personal matter; they “attacked an individual” and did not

meet the criteria for an issue of public interest. Plaintiff also argued that defendant’s

statute of limitations defense was meritless, because the complaint alleged that the

statements at issue “continued to the present time,” and that two of her causes of action

had two-year statutes of limitations.

       On September 17, 2014, the trial court adopted its tentative ruling denying

defendant’s anti-SLAPP motion. The trial court found that defendant’s statements were

made “on a public forum and were an exercise of free speech,” but that defendant did not

“submit[] any evidence with respect to when the statements were published on

Facebook,” and that “[d]efendant conceded [it was] unclear when the statements were

published.” The trial court thus concluded the statements “did not concern an ongoing

public issue or controversy” and were “personal to [p]laintiff.”

       We will reverse with further instructions.

       8  As explained in greater detail below, the single publication rule codified at Civil
Code section 3425.3 converts into one cause of action for defamation “any other tort
founded upon any single [defamatory, mass] publication” and thus provides for a one-
year statute of limitations.

                                              6
                                  STANDARD OF REVIEW

       We review de novo an order denying an anti-SLAPP special motion to strike.

(Integrated Healthcare Holdings, Inc. v. Fitzgibbons (2006) 140 Cal. App. 4th 515, 521.)

                                       DISCUSSION

       The trial court’s order indicates that it declined to find the statements at issue were

connected with a matter of public interest primarily on the ground that it could not

determine whether the statements formed part of a discussion that was then “ongoing”

within Local 183. The trial court also declined to find the statements were connected

with a matter of public interest because they were “personal” to plaintiff, which we take

to mean the trial court found the statements attacked plaintiff in what was a personal,

private dispute with defendant.

       On appeal, both parties advance essentially the same key arguments described

above. Defendant contends the trial court erred in finding the statements were a personal

attack on plaintiff and were not connected with “the politics of the union’s

representation.” Plaintiff contends simply that the trial court came to the proper findings

and conclusions. We agree with defendant, and disagree with plaintiff.

   1. Step 1: “Issue of Public Interest” Requirement

       Subdivision (b)(1) of the anti-SLAPP statute calls for a two-step, summary

judgment-like procedure when determining whether to grant an anti-SLAPP motion.

(E.g., Du Charme v. International Brotherhood of Electrical Workers (2003) 110
Cal. App. 4th 107, 111 (Du Charme).) Under the first step, the defendant has the burden

                                              7
of making a prima facie showing that the acts of which the plaintiff complains were taken

in furtherance of the defendant’s rights of petition or free speech. These rights extend to

any written statement made in a public forum “in connection with an issue of public

interest.” (§ 425.16, subd. (e)(3); see Du Charme, at p. 111.) “The Internet [provides] a

classic public forum [within the meaning of subdivision (e)(3) of the anti-SLAPP statute]

which permits an exchange of views in public about [nearly any subject matter].”

(Chaker v. Mateo (2012) 209 Cal. App. 4th 1138, 1146.)

       Plaintiff does not dispute the trial court’s finding that the statements at issue

satisfied anti-SLAPP statute, subdivision (e)(3)’s initial “written in a public forum”

element, because they were posted on a public Facebook group. That finding was

correct.

       a. Du Charme Factors

       However, defendant rightly disputes the trial court’s finding that the statements

did not satisfy subdivision (e)(3)’s “in connection with an issue of public interest”

requirement. As relevant in this case, an issue must be: (1) “of interest”; (2) to “a

limited, but definable portion of the public,” such as a “private group, organization, or

community”; and (3) the statements complained of must occur within an “ongoing . . .

discussion” connected with that issue. (Du Charme, supra, 110 Cal.App.4th at p. 119.)

              i. First Two Du Charme Factors

       Here, the trial court’s order did not indicate any reasons for denying defendant’s

anti-SLAPP motion based on the first two Du Charme factors, and we quickly explain

                                              8
why the statements and the issues they concern satisfy these factors. First, the statements

concerned how well plaintiff was representing Local 183’s interests, which included the

bargaining of their labor contracts, the advancement of their political and workplace

goals, and the organization’s governance; such issues would have been “of interest” to

Local 183, because they would bear on the livelihood and working conditions of the

members. Second, Local 183 is an organization for school employees in the San

Bernardino Unified School District; it is a “limited” and “definable” portion of the public.

              ii. Third Du Charme Factor

       The dispositive issue in this case is whether defendant’s statements took place

within an “ongoing” discussion about plaintiff’s representation of Local 183 under the

third Du Charme factor. Du Charme itself and Hailstone v. Martinez (2008) 169
Cal. App. 4th 728 (Hailstone) are illustrative on this point.

       In Du Charme, the plaintiff was an assistant business manager for the defendant

union until he was terminated from that position following an investigation and

independent financial audit. (Du Charme, supra, 110 Cal.App.4th at p. 113.) The

defendant union then posted a statement on its Web site stating that the plaintiff’s

termination resulted from the plaintiff’s “financial mismanagement” of union funds,

precipitating the plaintiff’s defamation suit and the defendant’s anti-SLAPP motion,

which was denied. (Ibid.)

       On appeal, the court affirmed the denial, because the court found no evidence of

an “ongoing” union discussion connected with the plaintiff’s termination at the time the

                                             9
defendant union posted the statement on the Web site. Instead, the court found that the

plaintiff’s termination was a “fait accompli” (Du Charme, supra, 110 Cal.App.4th at

p. 118) and that the Web site statement concerning the termination was merely

informational, because, in relevant part, the record did not demonstrate how the statement

was connected with any union discussion of the plaintiff’s management before the fact of

his termination. (Id. at p. 114.)

       In Hailstone, the plaintiff was a senior business agent for Teamsters Local Union

No. 948. (Hailstone, supra, 169 Cal.App.4th at p. 732.) The defendant—Local 948’s

secretary-treasurer—suspended the plaintiff from his position for alleged “ ‘double

dipping’ ” into union funds. (Id. at p. 733.) The defendant then spoke with others about

the alleged double dipping, distributed a dated letter describing the double dipping

accusations to various union officers and, finally, terminated the plaintiff as Local 948’s

business agent. (Id. at pp. 733-734.) This chain of events precipitated the plaintiff’s

defamation suit and the defendant’s anti-SLAPP motion, which the trial court denied on

the ground the defendant’s oral and written statements were not connected with an issue

of public interest. (Id. at p. 734.)

       On appeal, the court affirmed the denial, but held, relying on Du Charme, that the

trial court incorrectly concluded the statements complained of were not connected with

an issue of public interest. (Hailstone, supra, 169 Cal.App.4th at pp. 737-738, 743.)

Concerning Du Charme’s ongoing discussion factor, Hailstone distinguished its

otherwise factually-similar case from Du Charme on the ground that the defendant

                                             10
published the oral and written statements at issue while the plaintiff, who played a

leadership role in the union by serving in a “fiduciary capacity,” was still a leader in the

union—he had only been suspended, not yet terminated—and was still subject to

investigation. (Hailstone, at p. 738.) In this way, the statements at issue in Hailstone

were part of an ongoing discussion rather than merely informational, like the statements

at issue in Du Charme.

       Taken together, Du Charme and Hailstone stand for the proposition that context

may provide sufficient indication that a particular discussion was ongoing when the

complained of statements were made. Both cases involved statements concerning a

union leader’s performance of his or her duties that were subject to investigations. In

Du Charme, the record revealed the statement at issue was published after the union

leader had been terminated and the investigation concluded, whereas in Hailstone, the

record revealed the statements at issue were published while the union leader was still, in

a technical sense, a union leader and could perform the same duties that formed the

subject of the investigation (or discussion). Both cases involved dated statements, but

nothing in either case indicates precise dates are strictly necessary to the ongoing

determination. Thus, in the instant case involving defendant’s statements about plaintiff

fulfilling a union leadership role, the key consideration in determining whether defendant

has met his prima facie burden of establishing an ongoing discussion is whether the

record reveals defendant published the statements during the time plaintiff was still

                                             11
employed with the union, and performing the same union leadership duties subject to

discussion.

       Here, the record contains evidence showing that defendant has satisfied his prima

facie burden of establishing an ongoing discussion. The declarations show that Local 183

members discussed concerns with one another and with officers across the time plaintiff

represented the organization—there were complaints that plaintiff was “constantly absent

from her duties as labor relations representative,” that plaintiff “never resolved disputes

or returned phone calls,” and that plaintiff “was known for raising her voice and making

unwelcome remarks” at meetings. One declaration further describes how, in the period

“from 2010 [to] 2014,” members felt “scared” of plaintiff, and that these individual

concerns rose to such a level of collective, enduring concern that a special door was

designated for plaintiff in certain buildings and offices during the same period, which

would indicate that plaintiff’s performance of her leadership duties as an LRR were then

subject to discussion during that period. In the middle of this period—around May 2012,

according to plaintiff’s complaint—defendant posted the statements at issue. The

statements at issue also concern plaintiff’s absences and the performance of her LRR

duties. Based on the declarations and plaintiff’s complaint, plaintiff was employed as an

LRR at the time the statements were posted, and thus was performing the same duties

subject to discussion. Moreover, the statements are written in the present tense, which

further indicates their connection with a contemporaneous discussion. Thus, there is

prima facie evidence in the record showing defendant’s published statements occurred in

                                             12
the context of an ongoing discussion because, as in Hailstone, they were published while

plaintiff was employed in a leadership role in the union and performing the same duties

that were subject to discussion among Local 183’s members.

       The trial court erred in finding that defendant did not meet his burden of showing

an ongoing discussion on the ground that defendant conceded it was unclear when the

statements were posted. The trial court was concerned with being able to identify

whether any discussion about plaintiff’s LRR representation had died down—and had

become a Du Charme-like fait accompli—by the time defendant posted the statements at

issue. As our discussion ante illustrates, it is only a prima facie burden the defendant

must satisfy, and it may be satisfied by providing evidence bearing the hallmarks

discussed in Hailstone, which defendant did here by submitting declarations from Local

183 members and officers revealing the time frame and events discussed ante.9 In this

way, defendant was not transparent about the timing of the statements, but he was just

clear enough. As our discussion ante further illustrates, the record in this case also shows

additional evidence of an ongoing discussion: not only do the statements at issue address

the same concerns with plaintiff’s representation that are revealed in the declarations, but

the statements also are written in the present tense. It would not make sense for

defendant to use the present tense in discussing those exact concerns if the events giving

       9  Though not necessary, we add that the burden is a prima facie one for good
reason: the anti-SLAPP was designed to screen against frivolous lawsuits (§ 425.16,
subd. (a)), which, by their very nature, often are short on details and on context such that
a defendant does not know what precisely it is that he is defending against.

                                             13
rise to them were not occurring and being discussed among Local 183’s members and

officers around the same time defendant posted the statements.

               iii. Whether the Statements were “Personal” to Plaintiff

       Concerning the trial court’s other ground for denying defendant’s anti-SLAPP

motion, namely, that the statements were personal to plaintiff and therefore did not

constitute an issue of public interest, it is true that the statements were of a personal

nature to plaintiff in that they directly criticized how she may have been performing her

LRR duties. However, what distinguishes the statements here from a purely private,

personal attack not protected by the anti-SLAPP statute is the representative capacity—

the leadership role—plaintiff fulfilled as an LRR on behalf of CSEA for an entire

organization, Local 183. In such a role, plaintiff undertook activities potentially

impacting the livelihoods of all of Local 183’s members and officers, and so, as our

discussion ante illustrates, her fitness for those activities would be of interest to the

organization, taking the statements at issue outside the realm of a merely personal, or

private, dispute.

               iv. Plaintiff’s Contentions

       Finally, concerning plaintiff’s contentions, she recites the factors to be considered

in determining whether an issue is of public interest as set forth in Olaes v. Nationwide

Mutual Ins. Co. (2006) 135 Cal. App. 4th 1501, but then asserts in conclusory fashion only

that the statements at issue do not fulfill those factors. As our discussion above

illustrates, the statements at issue fulfill the public interest analysis for limited sections of

                                               14
the public established in Du Charme, supra, 110 Cal. App. 4th 107. (See, e.g., Berger v.

California Ins. Guarantee Assn. (2005) 128 Cal. App. 4th 989, 1007 [an appellate court

need not discuss issues raised in briefs unsupported by legal argument].)

       In sum, defendant made a prima facie showing that the statements here addressed,

as part of an ongoing discussion, an issue of interest to a limited, definable portion of the

public—the union representation plaintiff was providing at the time to the Local 183

organization. Thus, the statements were connected with “an issue of public interest”

under subdivision (e)(3) of the anti-SLAPP statute.10

   2. Step 2: Reasonable Probability of Prevailing

       If the defendant satisfies the threshold burden under step 1, then the burden shifts

to the plaintiff under step 2 to show a reasonable probability of prevailing on the merits

of her claims. (Du Charme, supra, 110 Cal.App.4th at p. 112, citing § 425.16,

subd. (b)(1).) The trial court in this case did not reach step 2 because it denied the anti-

SLAPP motion at step 1. Thus, we initially consider whether to reach step 2 ourselves, or

to remand the case to the trial court so that it may initially consider step 2.

              i.      Whether to Address Step 2 Ourselves or Remand to Trial Court

       An appellate court has discretion either to consider step 2 in the first instance or to

remand a case to a trial court for it to consider step 2 in the first instance. (Wallace v.

       10  Because defendant met his burden by showing the statements at issue occurred
in an ongoing discussion about plaintiff’s overall fitness as Local 183’s LRR, we do not
reach his arguments that the statements occurred in an ongoing decertification
controversy, that plaintiff’s duties affected the larger San Bernardino community, or that
plaintiff was a limited purpose public figure.

                                              15
McCubbin (2011) 196 Cal. App. 4th 1169, 1195.) Where a plaintiff’s probability of

success on any part of her claim hinges on a question of fact that requires the resolution

of unresolved evidentiary matters, it is appropriate to remand the case to the trial court for

it to consider step 2 in the first instance. (See Birkner v. Lam (2007) 156 Cal. App. 4th
275, 286 [remanding case to trial court to consider step 2 in the first instance because the

plaintiff’s probability of success under the litigation privilege hinged on the trial court’s

ruling on unresolved evidentiary objections].) Thus, it stands to reason that where a

plaintiff’s probability of success on her entire claim hinges on a question of law that an

appellate court may fully resolve by reviewing in the light most favorable to the plaintiff

the uncontroverted evidence already adduced in the trial court, it is appropriate for the

appellate court to consider step 2 in the first instance. In this case, plaintiff’s probability

of success on her entire claim hinges entirely upon questions of law—namely, whether

the single publication rule applies to her case, which in turn depends on interpreting her

complaint—and so we consider step 2 in the first instance.

               ii.    Evaluating Plaintiff’s Probability of Prevailing

       On appeal, plaintiff argues in conclusory fashion that “the evidence and pleadings”

demonstrate she can satisfy all of the necessary elements on each of her causes of action.

We disagree.

       The plaintiff must adduce competent, admissible evidence demonstrating

“ ‘ “ ‘that the complaint is both legally sufficient and supported by a sufficient prima

facie showing of facts’ ” ’ ” (Hailstone, supra, 169 Cal.App.4th at p. 735), which

                                              16
includes showing the action’s “timeliness” in the face of a statute of limitations defense

(Traditional Cat Assn., Inc. v. Gilbreath (2004) 118 Cal. App. 4th 392, 398-399

(Gilbreath)).

       Concerning a statute of limitations defense based on the single publication rule,

the rule is codified: “No person shall have more than one cause of action for damages for

libel or slander or invasion of privacy or any other tort founded upon any single

publication or exhibition or utterance [in mass communications].” (Civ. Code, § 3425.3.)

Thus, if a plaintiff alleges multiple torts that arise from reputational injuries caused by an

allegedly defamatory, mass publication, then the rule applies, and the one-year statute of

limitations begins to run from the date of publication. (See Strick v. Superior Court

(1983) 143 Cal. App. 3d 916, 922-923 [discussing the rule’s application to causes of action

for negligence, fraud, and deceit when, in substance, they are actions for defamation]; see

also Gilbreath, supra, 118 Cal.App.4th at p. 404 [applying the rule to statements on the

internet].)

       Plaintiff cannot meet her burden of showing a reasonable probability of prevailing

on the merits of her claim under step 2 because the causes of action forming her claim

fall within the scope of the single publication rule, and her claim thus expired one year

after the statements at issue were published. All of plaintiff’s six causes of action

sounded in tort, and they all alleged that the statements posted publicly on Facebook

formed the direct and proximate cause of her various injuries; thus, the six causes of

action were “tort[s] founded upon [a] single [defamatory, mass] publication.” (Civ.

                                              17
Code, § 3425.3.) The complaint alleges the statements were posted around May 2012,

but plaintiff did not file the current action until June 11, 2014, by which time the one-year

statute of limitations had run.

       Plaintiff’s contention in the trial court that the statute of limitations commenced on

the date the complaint either was drafted or filed because the complaint alleged the

publication of the statements “continu[ed] to the present time” does not avail her here.

That same argument has been rejected before, because internet posts, unless reposted

(and thus repeated), are one-time publications that are not continuously republished

simply by virtue of being on the internet. (See Gilbreath, supra, 118 Cal.App.4th at

pp. 395, 399 [rejecting the plaintiffs’ contention that their action for defamation “arose

continuously” while the Web site where the statements were posted was operating].)11

       Finally, plaintiff’s contention in the trial court that longer statutes of limitations

apply for some of her causes of action also has been rejected before in light of the single

publication rule. (See, e.g., Long v. Walt Disney Co. (2004) 116 Cal. App. 4th 868, 872-

874 [holding under the single publication rule that the plaintiffs could not circumvent

statutory limitations by proceeding on theories other than defamation, where their causes

of action, including intentional infliction of emotional distress, arose from allegedly

defamatory broadcasts and related internet activity].) Plaintiff showed only that the

       11  To the extent this phrasing may be interpreted to mean that defendant repeated
the statements by reposting them on separate occasions, not only is the phrasing an
awkward and imprecise way to express the concept, but also—and most importantly—the
complaint fails to separately set forth the dates, locations, or circumstances of any other
reposts of the statements. These considerations lead us to reject that interpretation.

                                              18
statements were posted around May 2012, which was insufficient here to defeat the one-

year statute of limitations under the single publication rule.

       In sum, plaintiff’s six causes of action became one cause of action for defamation

under the single publication rule. Based on plaintiff’s complaint and her supporting

declaration, her cause of action arose no later than May 31, 2012, and expired on May 31,

2013. Because plaintiff’s cause of action was barred as a matter of law when she filed

her complaint on June 11, 2014, she cannot show a reasonable probability of prevailing

on the merits.

                                       DISPOSITION

       The order denying defendant’s anti-SLAPP motion is reversed with instructions to

enter an order granting the motion and to hold a hearing for awarding defendant the

attorney fees to which he is entitled under subdivision (c) of the anti-SLAPP statute.

       Defendant and appellant is awarded his costs on appeal.

       NOT TO BE PUBLISHED IN OFFICIAL REPORTS

                                                                 RAMIREZ
                                                                                         P. J.

We concur:

McKINSTER
                           J.

CODRINGTON
                           J.

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