Court Opinion

ID: 854298
Source: CourtListenerOpinion
Date Created: 2013-03-05 01:01:31.31325+00
Date Added: 2024-06-11T10:51:29.048994
License: Public Domain

Filed 3/4/13 Glavinovich v. Catanzarite CA4/3

                      NOT TO BE PUBLISHED IN OFFICIAL REPORTS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 This opinion has not been certified for publication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 THREE

JOHN L. GLAVINOVICH,

     Plaintiff and Appellant,                                          G046726

         v.                                                            (Super. Ct. No. 30-2011-00516101)

KENNETH J. CATANZARITE et al.,                                         OPINION

     Defendants and Respondents.

                   Appeal from a judgment of the Superior Court of Orange County, Steven L.
Perk, Judge. Affirmed.
                   Voss, Silverman & Braybrooke, David C. Voss, Jr., and Andrew T.
Schoppe for Plaintiff and Appellant.
                   Catanzarite Law Corporation, Kenneth J. Catanzarite and Nicole M.
Catanzarite-Woodward for Defendants and Respondents.
                                          *                  *                  *
              This is one of a number of appeals from judgments after orders granting
defense motions pursuant to Code of Civil Procedure section 425.16,1 the anti-SLAPP
statute,2 in a malicious prosecution action by plaintiff John L. Glavinovich. All of the
anti-SLAPP motions relate to the same underlying case, Sweidan v. Orange County
Physicians Investment Network, LLC (Super. Ct. Orange County, 2013, No. 30-2009-
00122142).
              In this case, Glavinovich appeals the trial court‟s decision to grant the anti-
SLAPP motion filed by defendants Kenneth J. Catanzarite and Catanzarite Law
Corporation (collectively Catanzarite), one of the law firms involved in the underlying
case. Based on the minimal, nonspecific evidence produced by Glavinovich in the trial
court, he has not demonstrated that he can establish either a lack of probable cause or
malice, two of the three requirements to maintain a cause of action for malicious
prosecution. We therefore affirm the trial court‟s decision to grant the anti-SLAPP
motion.
                                              I
                                          FACTS
A. The Underlying Case
              Orange County Physicians Investment Network (OCPIN) was a Nevada
limited liability company formed by Glavinovich and approximately 19 others. Its
primary purpose was as a holding company for its members‟ funds to be used for the
acquisition of stock in a company called Integrated Healthcare Holdings, Inc.
(Integrated). This company, an investment entity, purchased four hospitals in the Orange
County area from Tenet Healthcare Corporation.

1Unless otherwise indicated, subsequent statutory references are to the Code of Civil
Procedure.

2 “SLAPP  is an acronym for „strategic lawsuit against public participation.‟” (Jarrow
Formulas, Inc. v. LaMarche (2003) 31 Cal. 4th 728, 732, fn. 1.)

                                              2
                In April 2008, Glavinovich was elected as a manager of OCPIN, along with
Anil V. Shah, who had held that position since 2005. According to Glavinovich‟s
complaint, acquiring Integrated stock was a “complicated and difficult affair,” resulting
in separate litigation that is apparently still arguing.
                In early 2009, certain members of OCPIN began an effort to remove Shah
and Glavinovich as managers. Glavinovich later alleged such actions were illegitimate
and interrupted OCPIN‟s business operations. The dissident members (the OCPIN
plaintiffs) then instituted the underlying case (the OCPIN litigation).
                The OCPIN litigation began in April 2009, and the OCPIN plaintiffs filed a
first amended complaint in June. The first amended complaint alleged causes of action
against Glavinovich for breach of fiduciary duty, constructive fraud, injunction,
professional negligence, accounting, and several declaratory relief claims. According to
Catanzarite‟s later declaration in support of the instant motion to strike,3 the factual
allegations were based on Glavinovich‟s acts as a comanager of OCPIN. He was also a
licensed insurance agent with the agency that placed the OCPIN directors and officers
liability coverage. OCPIN was intended to contribute $30 million in capital to purchase
Integrated shares.
                Catanzarite‟s declaration stated that he had learned that Shah had pledged
to loan OCPIN $20 million and directed the issuance of a private placement
memorandum to attract additional investors. The memorandum claimed Shah had, in
fact, loaned $20 million to OCPIN, but this was false. OCPIN only contributed $15
million to the share purchase which resulted in a loss of 40 percent of the shares it
originally held.
                Disputes developed thereafter between Integrated‟s management and Shah,
resulting in a lawsuit by Integrated filed in May 2007. Litigation was also initiated by

3   Glavinovich did not include the first amended complaint in the record on appeal.

                                                3
OCPIN. OCPIN tendered Integrated‟s case against Shah to its insurance carrier (the
policy had been purchased through the agency where Glavinovich was licensed), but the
carrier denied coverage. It deemed Integrated as a subsidiary and therefore excluded
claims by it from coverage, a conclusion Shah and Glavinovich did not, apparently,
contest. Without coverage, defending Shah would result in substantial costs. They
received a legal opinion in November 2007 that Shah‟s rights to indemnity from OCPIN
would be limited to 10 percent of his expenses.
              In September and October 2008, Glavinovich and Shah made two cash calls
“with repriced units” to OCPIN members, which were intended to fund Shah‟s defense
and indemnity. According to Catanzarite, these cash calls ignored the legal opinion
regarding Shah‟s defense, did not disclose that a settlement of the Integrated litigation
was imminent, and further failed to inform the members that their interest in OCPIN
might be diluted.
              In March 2009, Catanzarite‟s declaration stated, OCPIN‟s members were
asked to execute settlement agreements without reading them. They were given signature
pages and informed that time was of the essence. They were unaware that Shah was
purportedly being released for any damages associated with his statement that he never
had the capacity to loan $20 million to OCPIN, as well as matters related to his
indemnity. The settlement agreements were signed on March 25, 2009. After the
agreements were signed, the OCPIN members learned for the first time that the interests
of the members who had not contributed to the cash calls were significantly diluted.
              The disposition of the first amended complaint is not completely clear, but
a second amended complaint was filed in November 2009. Various demurrers to that
complaint were sustained with leave to amend. In March 2010, a third amended
complaint was filed. According to Catanzarite‟s declaration, Glavinovich‟s demurrer and

                                             4
motion to strike that complaint was only partly successful.4 He was ordered to file an
answer, which he did on May 17, 2010.
              On August 12, Catanzarite moved to withdraw from the case. That motion
was granted on September 10. While that was pending, on August 19, Glavinovich filed
a motion seeking judgment on the pleadings. Catanzarite was substituted out of the case
while that motion was still pending. Ultimately, Glavinovich‟s demurrer to the sixth
amended complaint was sustained, with the court noting that the OCPIN plaintiffs had
not “com[e] even close” to stating a cause of action against him.

B. The Malicious Prosecution Case
              After he was dismissed from the OCPIN litigation, Glavinovich filed the
instant action for malicious prosecution against the OCPIN plaintiffs and their attorneys
in the underlying case. The first amended complaint, filed in December 2011, alleged
malicious prosecution and intentional infliction of emotional distress.
              In response, the defendants, including Catanzarite, filed anti-SLAPP
motions. Catanzarite argued the claims against Glavinovich in the OCPIN litigation
“were based upon probative facts of his misconduct.” Catanzarite argued they relied
upon facts reported to them by the OCPIN plaintiffs and their own investigation when
filing the case. They also argued that Glavinovich could not establish malice as a matter
of law.
              In opposition, Glavinovich argued that the depositions of two of the
plaintiffs, taken in Feburary 2010, “conclusively demonstrate that neither they nor any
other plaintiff in that litigation had any facts at all to support their claims against
Glavinovich. Again and again, when asked for facts which tended to support their claims

4 The order, or any document revealing the basis for the court‟s decision, is not included
in the record.

                                               5
. . . the plaintiffs have no response other than to allege that their attorney — Mr.
Catanzarite — possessed such knowledge.”
               With respect to malice, Glavinovich‟s entire argument follows:
“Glavinovich can and will prove this element by showing that the [causes of action] and
other factually unsupported claims were in fact rooted in their desire for greater control of
the OCPIN entity itself, as evidenced in the highly-contentious proceedings of the April
2009 shareholder meeting repeatedly referenced in all of the Underlying Complaints and
even in these moving papers. While greater control of a business entity may be a
legitimate end, bringing baseless and legally untenable lawsuits in order to obtain such
control is not a legitimate means to that end.”
               The court heard the anti-SLAPP motion on February 24, 2012. The court
granted the motion, concluding that the lawsuit was indeed a SLAPP, and that
Glavinovich had not established a prima facie case of either malicious prosecution or
intentional infliction of emotional distress.5 Glavinovich now appeals.
                                               II
                                        DISCUSSION
A. Statutory Framework
               The anti-SLAPP statute states: “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
under the United States Constitution or the California Constitution in connection with a
public issue shall be subject to a special motion to strike, 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).) The purpose of the anti-SLAPP statute is to dismiss
meritless lawsuits designed to chill the defendant‟s free speech rights at the earliest stage

5Glavinovich does not address his intentional infliction of emotional distress claim on
appeal, and we therefore deem it abandoned.

                                                6
of the case. (See Wilcox v. Superior Court (1994) 27 Cal. App. 4th 809, 815, fn. 2.) The
statute is to be “construed broadly.” (§ 425.16, subd. (a).)
              Section 425.16, subdivision (e), specifies the type of acts included within
the statute‟s ambit. An “„act in furtherance of a person‟s right of petition or free
speech . . . in connection with a public issue‟ includes: (1) any written or oral statement
or writing made before a legislative, executive, or judicial proceeding, or any other
official proceeding authorized by law, (2) any written or oral statement or writing made
in connection with an issue under consideration or review by a legislative, executive, or
judicial body, or any other official proceeding authorized by law, (3) any written or oral
statement or writing made in a place open to the public or a public forum in connection
with an issue of public interest, or (4) any other conduct in furtherance of the exercise of
the constitutional right of petition or the constitutional right of free speech in connection
with a public issue or an issue of public interest.” (§ 425.16, subd. (e).)
              Courts engage in a two-step process to resolve anti-SLAPP motions.
“„First, the court decides whether the defendant has made a threshold showing that the
challenged cause of action is one arising from protected activity. The moving
defendant‟s burden is to demonstrate that the act or acts of which the plaintiff complains
were taken “in furtherance of the [defendant]‟s right of petition or free speech under the
United States or California Constitution in connection with a public issue,” as defined in
the statute. (§ 425.16, subd. (b)(1).)‟” (Jarrow Formulas, Inc. v. LaMarche, supra, 31
Cal.4th at p. 733.)
              “„If the court finds such a showing has been made, it then determines
whether the plaintiff has demonstrated a probability of prevailing on the claim.‟
[Citation.]” (Jarrow Formulas, Inc. v. LaMarche, supra, 31 Cal.4th at p. 733.) To
establish the requisite probability of prevailing, the plaintiff must state and substantiate a
legally sufficient claim (Briggs v. Eden Council for Hope & Opportunity (1999) 19
Cal. 4th 1106, 1122-1123), thereby demonstrating his case has at least minimal merit.

                                               7
(Cole v. Patricia A. Meyer & Associates, APC (2012) 206 Cal. App. 4th 1095, 1105
(Cole).) “Put another way, the plaintiff „must demonstrate that the complaint is both
legally sufficient and supported by a sufficient prima facie showing of facts to sustain a
favorable judgment if the evidence submitted by the plaintiff is credited.‟ [Citations.]”
(Wilson v. Parker, Covert & Chidester (2002) 28 Cal. 4th 811, 821.) Glavinovich “must
produce evidence that would be admissible at trial. [Citation.]” (HMS Capital, Inc. v.
Lawyers Title Co. (2004) 118 Cal. App. 4th 204, 212.)
               On appeal, we “review an order granting an anti-SLAPP motion de novo,
applying the same two-step procedure as the trial court. [Citation.]” (Cole, supra, 206
Cal.App.4th at p. 1105.) In conducting our review, “[w]e consider „the pleadings, and
supporting and opposing affidavits . . . upon which the liability or defense is based.‟
[Citation.] However, we neither „weigh credibility [nor] compare the weight of the
evidence. Rather, [we] accept as true the evidence favorable to the plaintiff [citation] and
evaluate the defendant‟s evidence only to determine if it has defeated that submitted by
the plaintiff as a matter of law.‟ [Citation.]” (Soukup v. Law Offices of Herbert Hafif
(2006) 39 Cal. 4th 260, 269, fn. 3 (Soukup).)
               The first step of the anti-SLAPP analysis is readily satisfied here, as it is in
nearly all claims for malicious prosecution. (See Jarrow Formulas, Inc. v. LaMarche,
supra, 31 Cal.4th at pp. 734-735.) “It is well established that filing a lawsuit is an
exercise of a party‟s constitutional right of petition. [Citations.] „“„[T]he constitutional
right to petition . . . includes the basic act of filing litigation or otherwise seeking
administrative action.‟”‟ [Citations.]” (Chavez v. Mendoza (2001) 94 Cal. App. 4th 1083,
1087.) “Under these accepted principles, a cause of action arising from a defendant‟s
alleged improper filing of a lawsuit may appropriately be the subject of a section 425.16
motion to strike. [Citation.] The essence of the [plaintiffs‟] malicious prosecution claim
is that the plaintiff in the underlying action . . . filed litigation that was improper because
it was allegedly filed with a malicious motive and without probable cause. This claim

                                                8
„aris[es] from‟ the defendant‟s constitutionally protected petitioning activity, and
therefore is subject to the anti-SLAPP statute. [Citation.]” (Id. at p. 1087-1088; see also
Cole, supra, 206 Cal.App.4th at p. 1105.) We therefore turn to the question of whether
Glavinovich has established the requisite probability of prevailing on his claim.

B. Malicious Prosecution
              “To prevail on a malicious prosecution claim, the plaintiff must show that
the prior action (1) was commenced by or at the direction of the defendant and was
pursued to a legal termination favorable to the plaintiff; (2) was brought without probable
cause; and (3) was initiated with malice. [Citation.]” (Soukup, supra, 39 Cal.4th at p.
292.)
              We examine the evidence produced in the trial court to determine if
Glavinovich‟s claim passes muster under the anti-SLAPP statute. The only evidence
Glavinovich submitted were deposition excerpts from two of the OCPIN plaintiffs, the
court transcript and notice of ruling relating to the sixth amended complaint, and the
notice of ruling on the fourth amended complaint. In Meka‟s deposition,6 he was asked
questions such as “what fiduciary duties did those two doctors [Shah and Glavinovich]
have?” The question was objected to on the grounds of attorney-client privilege, and
Meka answered that he did not have information other than what his attorney had told
him. When asked for facts underlying the fiduciary duty claims, he repeatedly answered
that he only knew what his counsel, Kenneth Catanzarite, had told him. Questions
regarding other claims were answered similarly, and Sweiden answered in a consistent
manner.
              In support of the motion, Kenneth Catanzarite submitted his declaration,
which included a lengthy explanation of the facts he had learned from his investigation of

6Glavinovich repeatedly refers to Meka and Sweiden as “lead plaintiffs” without any
evidence that they had any special status in the litigation.

                                              9
the case (recounted in significant part in part IA, ante). Catanzarite also included a
number of exhibits, such as the OCPIN operating agreement.
               1. Favorable termination
               Catanzarite argues there was insufficient evidence the OCPIN litigation
terminated in Glavinovich‟s favor. “To determine whether a party has received a
favorable termination, we consider „“the judgment as a whole in the prior action . . . .”
[Citation.]‟ [Citation.] Victory following a trial on the merits is not required. Rather,
„“the termination must reflect the merits of the action and the plaintiff‟s innocence of the
misconduct alleged in the lawsuit.” [Citation.]‟ [Citation.]” (Siebel v. Mittlesteadt
(2007) 41 Cal. 4th 735, 741.) Catanzarite argues that Glavinovich‟s successful demurrer
to the sixth amended complaint did not demonstrate his innocence.
               Catanzarite takes the Supreme Court‟s words here a bit too literally. A case
resolved on demurrer almost never establishes a plaintiff‟s “innocence.” Rather, a
sustained demurrer reflects the inability to successfully plead facts sufficient to state a
cause of action. Glavinovich‟s successful demurrer to the sixth amended complaint
sufficiently spoke to the merits of the case as to satisfy the requirement of favorable
termination.
               2. Probable Cause
               “Probable cause exists when a lawsuit is based on facts reasonably believed
to be true, and all asserted theories are legally tenable under the known facts.” (Cole,
supra, 206 Cal.App.4th at p. 1106.) Whether the facts known to an attorney constituted
probable cause to prosecute an action is a question of law. (Zamos v. Stroud (2004) 32
Cal. 4th 958, 971.) More specifically, “„[t]he presence or absence of probable cause is
viewed under an objective standard applied to the facts upon which the defendant acted in
prosecuting the prior case. [Citation.] The test of determining probable cause is whether
any reasonable attorney would have thought the claim to be tenable. [Citation.] . . . [¶]
Hence, “probable cause to bring an action does not depend on it being meritorious, as

                                              10
such, but upon it being arguably tenable, i.e., not so completely lacking in merit that no
reasonable attorney would have thought the claim tenable. [Citation.]”‟ [Citation.]
Probable cause exists if the claim is legally sufficient and can be substantiated by
competent evidence. [Citation.]” (Antounian v. Louis Vuitton Malletier (2010) 189
Cal. App. 4th 438, 448-449.)
              Glavinovich bears the burden of establishing a prima facie case. (Wilson v.
Parker, Covert & Chidester (2002) 28 Cal. 4th 811, 821.) His argument on this point in
his opening brief is sparse. It primarily consists of the following. “As illustrated in the
above-cited excerpts from the depositions of lead OCPIN Defendant Meka, neither Meka
nor any other OCPIN Defendant had probable cause to bring any of their claims against
Glavinovich. This includes the „cash call‟-related claims cited by the Court in its order
granting the motions to strike filed by Hewitt & Wolensky and Syed Naqvi, and extends
to the other claims—for breach of fiduciary duty, fraud, misrepresentation, constructive
fraud, professional negligence, etc. — which were alleged in the OCPIN Defendants‟
Second through Sixth Amended Complaints, and which Catanzarite claims to have based
his theories. [¶] In view of the fact that the OCPIN Defendants and Catanzarite in
particular, since he was allegedly the only person with knowledge of the facts supporting
the OCPIN Defendants‟ claims against Glavinovich, had merely to reveal some portion
of the facts which were allegedly known only to Catanzarite in order to survive the
demurrers which eventually extinguished their claims against Glavinovich, it is even
more reasonable to infer that those facts never existed in the first instance, and that the
claims alleged against Glavinovich were assuredly „based upon suspicion, imagination,
speculation, surmise, conjecture or guesswork.‟”
              Even giving the most favorable reading possible to the deposition testimony
of Meka and Sweidan, Glavinovich‟s reliance on these excerpts as the key evidence of a
lack of probable cause is misplaced. These deposition excerpts only demonstrate what
those two plaintiffs knew and understood at the time their depositions were taken. There

                                              11
is no legal basis for attributing their knowledge, or lack thereof, to all other OCPIN
plaintiffs. Glavinovich cannot and does not prove or even create any reliable inference
that Meka and Sweidan were Catanzarite‟s only source of information. There were other
plaintiffs, and as Catanzarite‟s declaration stated, he performed other research, such as
reviewing the relevant OCPIN operating agreement.
              Further, Glavinovich‟s reliance on the deposition testimony of two
plaintiffs does not speak to the relevant standard applied to attorneys in malicious
prosecution actions, specifically, “„whether any reasonable attorney would have thought
the claim to be tenable.‟” (Antounian v. Louis Vuitton Malletier, supra, 189 Cal.App.4th
at pp. 448-449.) Indeed, Glavinovich submitted no evidence on this point. As a matter
of law, Glavinovich has not established a lack of probable cause.
              3. Malice
              Even if we had found that Glavinovich established probable cause, he must
also demonstrate a prima facie case supporting the last element of a malicious
prosecution action, malice. “The „malice‟ element . . . 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 that of bringing a perceived
guilty person to justice or 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.” (Downey Venture v. LMI Ins. Co. (1998) 66 Cal. App. 4th 478, 494
(Downey Venture).)
              Glavinovich argues that malice can be inferred from nothing more than the
lack of probable cause, but the lack of probable cause alone is insufficient. (Drummond
v. Desmarais (2009) 176 Cal. App. 4th 439, 452.) Were it otherwise, the malice
requirement would simply disappear. “A lack of probable cause is a factor that may be
considered in determining if the claim was prosecuted with malice [citation], but the lack
of probable cause must be supplemented by other, additional evidence.” (HMS Capital,

                                              12
Inc. v. Lawyers Title Co., supra, 118 Cal.App.4th at p. 218.) “Merely because the prior
action lacked legal tenability, as measured objectively (i.e., by the standard of whether
any reasonable attorney would have thought the claim tenable [citation]), 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. In other words, the
presence of malice must be established by other, additional evidence.” (Downey Venture,
supra, 66 Cal.App.4th at p. 498, fn. omitted.)
              “[T]hat evidence must include proof of either actual hostility or ill will on
the part of the defendant or a subjective intent to deliberately misuse the legal system for
personal gain or satisfaction at the expense of the wrongfully sued defendant.
[Citation.]” (Downey Venture, supra, at pp. 498-499; see also Daniels v. Robbins (2010)
182 Cal. App. 4th 204, 225.) While malice may be inferred from circumstantial evidence
such as the lack of probable cause, such evidence must be “supplemented with proof that
the prior case was instituted largely for an improper purpose.” (Cole, supra, 206
Cal.App.4th at p. 1114.)
              Moreover, we keep in mind that malicious prosecution is a “disfavored
action.” (Leonardini v. Shell Oil Co. (1989) 216 Cal. App. 3d 547, 566.) “[T]he elements
of [malicious prosecution] have historically been carefully circumscribed so that litigants
with potentially valid claims will not be deterred from bringing their claims to court by
the prospect of a subsequent malicious prosecution claim.” (Sheldon Appel Co. v. Albert
& Oliker (1989) 47 Cal. 3d 863, 872.) We are therefore entirely disinclined to read out
the malice requirement from a malicious prosecution cause of action, as Glavinovich
would have us do.
              The evidence is completely insufficient to establish a prima facie case of
malice against Catanzarite.7 Unlike Zamos, supra, 32 Cal. 4th 958, a case upon which he

7For the first time in his reply brief, Glavinovich argues that Catanzarite “aided and
abetted” the malicious prosecution of the other defendants, and was therefore equally

                                             13
relies, the evidence presented to the trial court does not demonstrate Catanzarite had
knowledge of any lack of probable cause. The only evidence offered by Glavinovich in
addition to pleadings and court rulings, the 2010 depositions of two plaintiffs, are simply
insufficient on this point. In contrast, Catanzarite submitted evidence in the form of a
declaration, stating why the firm believed the case had sufficient cause to proceed.
Glavinovich has failed to meet his burden to demonstrate malice, and therefore the
probability of success on his malicious prosecution claim. Thus, Catanzarite‟s anti-
SLAPP motion was properly granted by the trial court.
                                              III
                                       DISPOSITION
              The judgment is affirmed. Pursuant to section 425.16, subdivision (c)(1),
Catanzarite may file the appropriate motion for attorney fees with the trial court.
Catanzarite is also entitled to costs on appeal.

                                                    MOORE, J.

WE CONCUR:

BEDSWORTH, ACTING P. J.

IKOLA, J.

liable. “Aiding and abetting a tort requires knowingly assisting the wrongful act.
[Citation.]” (Cole, supra, 206 Cal.App.4th at p. 1106.) Glavinovich does not offer any
evidence of aiding and abetting other than Catanzarite‟s participation in the underlying
case.

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