Court Opinion

ID: 9930359
Source: CourtListenerOpinion
Date Created: 2024-02-06 18:03:50.571511+00
Date Added: 2024-06-11T11:13:32.315487
License: Public Domain

Filed 2/6/24 Gavert v. CF Modesto CA5

                  NOT TO BE PUBLISHED IN THE OFFICIAL REPORTS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 This opinion has not been certified for publication
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              IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA

                                       FIFTH APPELLATE DISTRICT

 GERALDINE GAVERT, et al.,
                                                                                             F084515
           Plaintiffs and Respondents,
                                                                             (Super. Ct. No. CV-21-005754)
                    v.

 CF MODESTO, LLC,                                                                         OPINION
           Defendant and Appellant.

         APPEAL from an order of the Superior Court of Stanislaus County. Stacy P.
Speiller, Judge.
         Lewis Brisbois Bisgaard & Smith, Tracy D. Forbath, Emily D. Hyatt, and
Kathleen M. Walker, for Defendant and Appellant.
         Prada & Associates, Marisella T. Prada and Katja M. Grosch, for Plaintiffs and
Respondents.
                                                        -ooOoo-
         James Gavert, after undergoing spinal surgery, entered rehabilitation at Modesto
Post Acute Center (Modesto). He unfortunately passed away only two months later from
alleged complications due to infections he acquired while at Modesto.
       Geraldine Gavert—James’s wife and successor—sued Modesto and two
physicians, as did James’s daughters, Rhonda and Rachelle (collectively, the Gaverts).
James, however, had signed an agreement with Modesto binding not only himself but his
family to arbitrate all claims.
       The agreement selected the Federal Arbitration Act as the “procedural rules”
governing arbitration, and specifically “excluded” Code of Civil Procedure1
section 1281.2, subdivision (c), which otherwise vests discretion in trial courts to deny
arbitration if there is a risk of inconsistent rulings with other claims involving third
parties. Modesto accordingly petitioned the trial court to compel arbitration.
       The trial court denied the petition, finding, without elaboration, the Gaverts were
not bound by the arbitration agreement because they did not “individually sign[]” it. The
court also exercised its section 1281.2, subdivision (c) discretion to deny arbitration
because it believed there existed a risk of inconsistent rulings.
       On appeal, Modesto contends the trial court erred in two ways. One, the Gaverts
were bound by James’s signature because the arbitration agreement complied with
section 1295 which allows a patient to bind their heirs to arbitration. Two,
section 1281.2, subdivision (c) simply did not apply because James and Modesto had so
agreed. The Gaverts, for their part, defend the trial court’s ruling, claim James was
incompetent to sign the agreement, and argue an agreement to exclude section 1281.2,
subdivision (c) is void under Civil Code section 3513.
       We conclude James, if competent, validly bound his family to arbitrate all claims.
On remand, the court should first determine whether James competently entered into the
arbitration agreement.2 If he did, the trial court should grant the petition. It should then

       1 Undesignated statutory references are to the Code of Civil Procedure.

       2 The Gaverts asserted James’s incompetence in the trial court, but the judge failed
to rule on the issue. Modesto suggests the court impliedly found James was competent,

                                              2.
exercise its discretion to determine in which order the claims will proceed, i.e., arbitration
or the claims against the physicians. If he was not competent, then there is no valid
agreement and the court should deny the petition.
                                    BACKGROUND3
       After James underwent spinal surgery, he was admitted to Modesto for
rehabilitation. Upon admittance, he signed an agreement to arbitrate all claims against
Modesto, whether brought by himself or a family member. Two months later, he
succumbed to an apparent infection.
Arbitration Agreement
       At the outset, the arbitration agreement notes it was not a precondition to
admission to Modesto. “Article 1” provides “any dispute as to medical malpractice,”
defined as services “unnecessary or unauthorized” or “improperly, negligently, or
incompetently rendered,” “will be determined by submission to arbitration as provided by
California law ….”
       “Article 2” states “any dispute … including any action for injury or death arising
from negligence, intentional tort and/or statutory causes of action (including all
California Welfare and Institutions Code sections and Health and Safety Code section
1430), will be determined by submission to binding arbitration ….” “Article 3” reiterates
arbitration was “not a precondition to receiving medical treatment, care, [and]
services ….”
       “Article 4” explains the agreement is “binding on all parties, including [James’s]
representatives, executors, family members, and heirs who bring any claims individually
or in a representative capacity.” It also states James’s “representatives, agents, executors,

and the Gaverts failed to appeal that implied finding. We disagree the Gaverts were
required to appeal a nonexistent finding.
       3 Our summary is largely based on the Gaverts’s complaint. We merely
summarize the alleged facts to provide context; factual resolutions are pending litigation.

                                              3.
family members, successors in interest and heirs who execute this [a]greement below on
the signature line are doing so not only in their representative capacity … but also in their
individual capacity ….”
       “Article 6”4 provides that “the parties agree … California Civil Code of Procedure
[section] § 1281.2(c) is excluded” because “the parties mutually desire to have any and
all disputes submitted to binding arbitration.” It emphasizes “[t]he parties do not want
any claims not subject to arbitration to impede any and all other claims from being
ordered to binding arbitration.”
       “Article 7” selects “the Federal Arbitration Act [(FAA)] and [its] procedural rules”
as the law governing “any petition to compel arbitration ….” At the end, in red font,5 the
agreement reinforces “any issue of medical malpractice” and “all claims … other than a
claim for medical malpractice,” will be decided in arbitration. Only James and Modesto
signed the agreement—signature lines for James on his “behalf … and as an [i]ndividual”
are blank.6
Complaint
       The Gaverts, on James’s behalf and as individuals, filed a complaint in superior
court. Together, James and the Gaverts alleged negligent hiring against Modesto and
negligent and intentional infliction of emotional distress and survival against Modesto
and the physicians.

       4 Article 5 deals with retroactivity to date of admission, presumably to cover the
situation an arbitration agreement is not signed on the first day.
       5 These warnings in red font are mandated by section 1295.

       6 The blank signature lines refer back to Article 4, which contemplates the
scenario someone other than the patient signs the agreement—for example, a family
member with power of attorney. Because James himself signed the agreement, the
signature lines for a representative or heir are immaterial, as is the explanation in
Article 4 that anyone signing on James’s behalf is also signing on his or her own behalf.

                                             4.
         Solely on James’s behalf, the complaint alleged medical malpractice against the
physicians, elder abuse, negligence, and tort per se against Modesto and the physicians,
and violation of resident rights, fraud, and concealment against Modesto. The Gaverts, as
individuals, alleged loss of consortium and wrongful death against Modesto and the
physicians.
Petition to Compel Arbitration
         Modesto petitioned the trial court to compel arbitration. It argued the arbitration
agreement complied with section 1295 and thus bound both James and the Gaverts.
         Opposing the petition, the Gaverts contended they were not bound by the
agreement because they did not sign it and compelling only James’s claims to arbitration,
or only those against Modesto but not those against the physicians, “would result in
conflicting rulings of law and fact” between arbitration and “the trial court,” as described
in section 1281.2, subdivision (c). They also claimed the complaint involved elder abuse,
which meant arbitration was “discouraged,” the clause precluding section 1281.2,
subdivision (c) was void under Civil Code section 3513, and James was otherwise
incompetent to enter into the agreement.
Ruling
         In full, the trial court ruled the Gaverts were “bringing individual claims as well as
survivor claims. There is no evidence [the Gaverts] individually signed the arbitration
agreement. Therefore, they are not bound by it. The Court exercises its discretion to
deny arbitration over the survivorship claims to avoid conflicting rulings.”
                                        DISCUSSION
         This appeal involves a single question: Should the trial court have granted the
petition to compel arbitration? Answering that question centers around interpreting the
arbitration agreement and determining whether its provisions are enforceable.
         We find the arbitration agreement complies with section 1295, James and Modesto
selected the FAA to control, they validly excluded section 1281.2, subdivision (c), and

                                               5.
the Gaverts are thus bound to arbitration if James was competent. Because the trial court
failed to rule on James’s competency, we will remand for that purpose and then,
depending on that ruling, direct the court to grant or deny the petition to compel
arbitration.
       A. General Arbitration Law
       “ ‘[T]he Legislature has expressed a “strong public policy in favor of arbitration as
a speedy and relatively inexpensive means of dispute resolution.” ’ ” (OTO, L.L.C. v.
Kho (2019) 8 Cal.5th 111, 125.) “ ‘Arbitration is favored in this state as a voluntary
means of resolving disputes, and this voluntariness has been its bedrock justification.’
[Citations.] Arbitration contracts are vigorously enforced out of respect for the parties’
mutual and voluntary agreement to resolve disputes by this alternative means.” (Id. at
p. 129; Pinnacle Museum Tower Assn. v. Pinnacle Market Development (US), LLC
(2012) 55 Cal.4th 223, 236 (Pinnacle) [“ ‘[G]eneral principles of contract law determine
whether the parties have entered a binding agreement to arbitrate.’ ”].) “ ‘[C]ourts will
“ ‘indulge every intendment to give effect to such proceedings.’ ” ’ ” (Vandenberg v.
Superior Court (1999) 21 Cal.4th 815, 830; Mendoza v. Trans Valley Transport (2022)
75 Cal.App.5th 748, 763.) “Any doubts or ambiguities as to the scope of the arbitration
clause itself should be resolved in favor of arbitration.” (Cronus Investments, Inc. v.
Concierge Services (2005) 35 Cal.4th 376, 386 (Cronus).)
       Although “ ‘arbitration derives its legitimacy from the fact that the parties consent
to resort to the arbitral forum rather than to litigation, with its possibility of a jury trial,’ ”
“various legal theories allow for delegated authority to consent [to arbitration]. Not only
do common law principles such as fiduciary duty and agency permit enforcement of
arbitration agreements against nonsignatory third parties, but the Legislature can also
provide for the reasonable delegation of authority to consent.” (Pinnacle, supra,
55 Cal.4th at p. 240.)

                                                6.
       One common scenario is “the health care setting ….” (Ruiz v. Podolsky (2010)
50 Cal.4th 838, 852 (Ruiz).) There, the Legislature enacted section 1295 “intending to
permit patients to bind their heirs to health care arbitration agreements.” (Ibid.)
       “ ‘ “ ‘Whether an arbitration agreement is binding on a third party (e.g., a
nonsignatory) is a question of law subject to de novo review.’ ” ’ ” (Pillar Project AG v.
Payward Ventures, Inc. (2021) 64 Cal.App.5th 671, 675.) Likewise, “ ‘[w]here, as here,
the evidence is not in conflict, we review the trial court’s denial of arbitration de novo.’ ”
(Vaughn v. Tesla, Inc. (2023) 87 Cal.App.5th 208, 219.)
       B. The Arbitration Agreement Here Complies With Section 1295
       “Section 1295 was enacted as part of the Medical Injury Compensation Reform
Act of 1975 ….” (Reigelsperger v. Siller (2007) 40 Cal.4th 574, 577 (Reigelsperger).)
“The purpose of section 1295 [was] to encourage and facilitate arbitration of
medical malpractice disputes. [Citations.] Accordingly, the provisions
of section 1295 are to be construed liberally.” (Id. at p. 578.) It “contemplates that all
medical malpractice claims, including wrongful death claims, may be subject to
arbitration agreements between a health care provider and the patient.” (Ruiz, supra,
50 Cal.4th at p. 841.)
       “[S]ection 1295, construed in light of its purpose, is designed to permit patients
who sign arbitration agreements to bind their heirs in wrongful death actions.” (Ruiz,
supra, 50 Cal.4th at p. 849.) “[S]ection 1295 does not distinguish between malpractice
claims asserted by the patient or the patient’s estate, and wrongful death claims arising
out of alleged malpractice committed against the patient: it is evident that both sorts of
claims are intended to be encompassed by agreements entered into pursuant to
section 1295.” (Id. at p. 850.)
       The intent and ability to bind all heirs is buttressed by the fact “ ‘it is obviously
unrealistic to require the signatures of all the heirs, since they are not even identified until
the time of death, or they might not be available when their signatures are required.

                                               7.
Furthermore, if they refused to sign they should not be in a position possibly to delay
medical treatment to the party in need.’ ” (Ruiz, supra, 50 Cal.4th at p. 850.)
       “[I]f a spouse or adult children were permitted to litigate wrongful death or loss of
consortium claims ‘the purpose of section 1295 would be defeated ….’ ” (Ruiz, supra,
50 Cal.4th at p. 851.) “Requiring that wrongful death claimants be bound by arbitration
agreements only when they themselves have been signatory to them effectively
forecloses that option for practical and public policy reasons.” (Ibid.)
       “To ensure that a patient understands that he is giving up his right to have
a malpractice claim tried in court, section 1295 requires uniform language for arbitration
agreements in medical services contracts.” (Reigelsperger, supra, 40 Cal.4th at p. 578,
fn. omitted.) The arbitration agreement in this case complies with section 1295.7
Because it complies with section 1295, it “is not a contract of adhesion, nor

       7 “Section 1295 provides in pertinent part:

        ‘(a) Any contract for medical services which contains a provision for arbitration of
any dispute as to professional negligence of a health care provider shall have such
provision as the first article of the contract and shall be expressed in the following
language: “It is understood that any dispute as to medical malpractice, that is as to
whether any medical services rendered under this contract were unnecessary or
unauthorized or were improperly, negligently or incompetently rendered, will be
determined by submission to arbitration as provided by California law, and not by a
lawsuit or resort to court process except as California law provides for judicial review of
arbitration proceedings. Both parties to this contract, by entering into it, are giving up
their constitutional right to have any such dispute decided in a court of law before a jury,
and instead are accepting the use of arbitration.”
        (b) Immediately before the signature line provided for the individual contracting
for the medical services must appear the following in at least 10-point bold red type:
       “NOTICE: BY SIGNING THIS CONTRACT YOU ARE AGREEING TO HAVE
ANY ISSUE OF MEDICAL MALPRACTICE DECIDED BY NEUTRAL
ARBITRATION AND YOU ARE GIVING UP YOUR RIGHT TO A JURY OR
COURT TRIAL. SEE ARTICLE 1 OF THIS CONTRACT.” ’ ” (Reigelsperger, supra,
40 Cal.4th at p. 578, fn. 3.)

                                             8.
unconscionable nor otherwise improper,” and is binding on the Gaverts. (§ 1295,
subd. (e).)
       C. Statutory Discretion to Deny Arbitration
       Notwithstanding a binding arbitration agreement, the California Arbitration Act
(CAA), in section 1281.2, subdivision (c), vests discretion in judges to “stay or deny
arbitration where (1) some of the parties to the action were not parties to the agreement,
and (2) proceedings in different forums—arbitral and judicial—could result in conflicting
rulings on a common issue of fact or law.” (Valencia v. Smyth (2010) 185 Cal.App.4th
153, 156-157 (Valencia).) The Gaverts contend the trial court in this case retained its
discretion to deny arbitration on this ground.
       Put simply, section 1281.2, subdivision (c) is “[in]applicable to an agreement to
arbitrate disputes as to the professional negligence of a health care provider made
pursuant to Section 1295.” (§ 1281.2, subd. (c).) The arbitration agreement in this case
was made pursuant to section 1295 and the trial court accordingly lacked discretion to
deny arbitration on this basis. Nonetheless, we further explain why the FAA also
prevents its application in this case.
       D. The FAA Controls
       The arbitration agreement in this case selects the FAA as its governing law. “ ‘In
accordance with choice-of-law principles, the parties may limit the trial court’s authority
to stay or deny arbitration under the CAA by adopting the more restrictive procedural
provisions of the FAA.’ ” (Victrola 89, LLC v. Jaman Properties 8 LLC (2020)
46 Cal.App.5th 337, 345 (Victrola).) Where, as here, “an agreement provides that [it]
shall be governed by the FAA, the FAA governs a party’s motion to compel arbitration.”
(Id. at p. 346; see Cronus, supra, 35 Cal.4th at p. 394 [sanctioning FAA selection].)
       E. The Arbitration Agreement Precludes Section 1281.2, Subdivision (c)
       As noted, the CAA permits a court to deny arbitration in the “peculiar situation
that arises when a controversy also affects claims by or against other parties not bound by

                                             9.
the arbitration agreement.” (Cronus, supra, 35 Cal.4th at p. 393.) “The [FAA] (9 U.S.C.
§§ 1-16),” on the other hand, “does not permit a trial court to stay or deny arbitration in
those circumstances. Rather, the FAA requires the arbitration of all claims within the
scope of an arbitration provision even if the action includes nonarbitrable claims by or
against third parties.” (Valencia, supra, 185 Cal.App.4th at p. 157.)
       “ ‘The question of whether [an agreement] incorporated the FAA’s procedural
provisions, thereby eliminating the trial court’s authority under section 1281.2[,
subdivision ](c), “is a question of law involving interpretation of statutes and the
contract …. We … apply a de novo standard of review.” ’ ” (Victrola, supra,
46 Cal.App.5th at p. 346, emphasis added.)
       It is clear the parties in this case intended the FAA to both substantively and
procedurally govern arbitration. Article 7 in the arbitration agreement explicitly provides
“the [FAA] and [its] procedural rules … shall govern any petition to compel
arbitration ….”8 (See Eminence Healthcare, Inc. v. Centuri Health Ventures, LLC (2022)
74 Cal.App.5th 869, 880 [plain language controls]; Civ. Code, § 1638 [“The language of

       8 In total, Article 7 states: “This Agreement relates to the Resident’s admission to
the Facility, and the Facility, among other things, participates in the Medicare and/or
Medi-Cal programs and/or procures supplies from out of state vendors. The parties,
therefore, agree that the underlying admission to the Facility involves interstate
commerce. Accordingly, this Agreement is to be governed by the federal Arbitration Act
and the procedural rules set forth in the Federal Arbitration Act (9 U.S.C. Sections 1-16)
shall govern any petition to compel arbitration and the selection of an arbitrator, should
the parties be unable to mutually agree upon a single neutral arbitrator. The arbitration
shall be venued in a location convenient for all parties.”
       Notably, Article 1, as required by section 1295, provides: “any dispute … will be
determined by submission to arbitration by California law ….” This reference to
California law does not refute Article 7’s choice-of-law. (See Victrola, supra,
46 Cal.App.5th at pp. 349-350 [“specific directive that … enforcement will be governed
by the FAA is paramount to any general statement that disputes will be decided as
provided by California law.”].)

                                             10.
a contract is to govern its interpretation, if the language is clear and explicit[.]”].) It
could not be more clear.
       It is true that in Cronus, the Supreme Court recognized section 1281.2,
subdivision (c), did “not contravene the letter or the spirit of the FAA.” (Cronus, supra,
35 Cal.4th at p. 393.) In other words, it was not incompatible with the FAA. The
agreement in this case, however, not only incorporated the FAA and its procedural rules,
it includes an unambiguous clause precluding the trial court from applying
section 1281.2, subdivision (c).
       The Gaverts suggest Cronus does not support this conclusion because it did not so
hold. They are correct in that Cronus did not hold the FAA itself “preclude[s] application
of [section] 1281.2[, subdivision (c)] ….” (Cronus, supra, 35 Cal.4th at p. 394.) But the
preclusion clause in this case goes one step further and explicitly prohibits its application.
We see no reason why this clause is not enforceable. (Cf. Valencia, supra, 185
Cal.App.4th at p. 157 [FAA demands arbitration notwithstanding possibility of
inconsistent rulings involving third parties]; Cronus, supra, 35 Cal.4th at p. 386 [“Any
doubts or ambiguities as to the scope of the arbitration clause itself should be resolved in
favor of arbitration.”].)
       To undermine the preclusion clause, the Gaverts rely upon Civil Code
section 3513, which states in part, “a law established for a public reason cannot be
contravened by a private agreement.” “Consistent with this provision, [the Supreme
Court has] explained that ‘a party may waive a statutory provision if a statute does not
prohibit doing so …, the statute’s “public benefit … is merely incidental to [its] primary
purpose” …, and “waiver does not seriously compromise any public purpose that [the
statute was] intended to serve” ….’ ” (McGill v. Citibank, N.A. (2017) 2 Cal.5th 945, 961
(McGill).) We are not persuaded.
       “[S]ection 1281.2[, subdivision ](c) is not a special rule limiting the authority of
arbitrators. It is an evenhanded law that allows the trial court to stay arbitration

                                               11.
proceedings while the concurrent lawsuit proceeds or stay the lawsuit while arbitration
proceeds to avoid conflicting rulings on common issues of fact and law amongst
interrelated parties. Moreover, ‘[it] is not a provision designed to limit the rights of
parties who choose to arbitrate or otherwise to discourage the use of arbitration . Rather,
it is part of California’s statutory scheme designed to enforce the parties’ arbitration
agreements, as the FAA requires.” (Cronus, supra, 35 Cal.4th at p. 393.)
       More importantly, the purpose underlying section 1281.2, subdivision (c), relative
to this case, is to facilitate arbitration. It recognizes its inapplicability to agreements
“pursuant to [s]ection 1295,” which in turn was enacted “to encourage and facilitate
arbitration of medical malpractice disputes.” (Ruiz, supra, 50 Cal.4th at p. 844.) Because
section 1281.2, subdivision (c)’s legislatively determined preclusion favoring arbitration
in medical malpractice cases does not contravene that purpose, Civil Code section 3513 is
inapposite. To hold otherwise would require us to rewrite the law and reject the
Legislature’s will. (Cf. McGill, supra, 2 Cal.5th at p. 962 [arbitration agreements “may
not … be invalidated ‘by defenses [to arbitration] that apply only to arbitration or that
derive their meaning from the fact that an agreement to arbitrate is at issue.’ ”], quoting
AT&T Mobility LLC v. Concepcion (2011) 563 U.S. 333, 339 (Concepcion).)
       F. Elder Abuse and Arbitration
       Last, the Gaverts claim James’s “[i]ndividual [c]laims [a]re [p]redicated on [e]lder
[a]buse and [n]ot [p]rofessional [n]egligence,” nullifying section 1295. They cite to
Avila v. Southern California Specialty Care, Inc. (2018) 20 Cal.App.5th 835. There, the
appellate court reasoned section 1295 did not apply “[i]f … the primary basis” for the
complaint was “under the Elder Abuse and Dependent Adult Civil Protection Act ….”
(Id. at p. 842.) That case is readily distinguishable because it did not involve “a claim for

                                              12.
medical malpractice ….”9 (Id. at p. 843) This case undoubtedly involves medical
malpractice and section 1295 is implicated.
          In the trial court, the Gaverts also argued James’s elder abuse claim was not
subject to arbitration. (See Health and Saf. Code, §§ 1430 & 1599.81, subd. (d).) In
Fitzhugh, supra, 150 Cal.App.4th 469, the appellate court upheld a ruling denying
arbitration and recited “the Legislature’s expression of public policy that under no
circumstances may a patient or resident waive his or her right to sue for violations of
rights under the Patients Bill of Rights, or other federal and state laws and regulations,
which would include the existing Elder Abuse and Dependent Adult Civil Protection
Act.” (Id. at p. 476.)
          Even if we agreed, this would not justify denying arbitration under section 1281.2,
subdivision (c) because the elder abuse claim is brought on James’s behalf in his
capacity. “[T]he presence of a nonarbitrable cause of action is not sufficient by itself to
invoke the trial court’s discretion to deny arbitration under … section 1281.2,
subdivision (c): ‘The mere fact that some claims are arbitrable and some are not is surely
not the “peculiar situation” meant to be addressed by … section 1281.2 [, subdivision] (c)
….’ ” (Laswell v. AG Seal Beach, LLC (2010) 189 Cal.App.4th 1399, 1409.) “Because
we [will] direct the trial court to grant the petition to compel arbitration, … the elder
abuse cause of action may appropriately be resolved in arbitration.” (Id. at p. 1409,
fn. 3.)
          Most importantly, the FAA demands arbitration in this case. When the FAA
applies, as it does here, it preempts state laws disfavoring arbitration. (Concepcion,

          9 Avila is also distinguishable on the basis the decedent did not personally sign the
arbitration agreement. (Avila, supra, 20 Cal.App.5th at pp. 838, 845.) Other cases relied
upon by the Gaverts are similarly distinguishable. (E.g., Daniels v. Sunrise Senior
Living, Inc. (2013) 212 Cal.App.4th 674, 676-678, 680 [plaintiff not bound because
decedent did not sign]; Fitzhugh v. Granada Healthcare & Rehabilitation Center, LLC
(2007) 150 Cal.App.4th 469, 474 (Fitzhugh) [same].)

                                               13.
supra, 563 U.S. at p. 341.) Elder abuse in California is no exception. (Valley View
Health Care, Inc. v. Chapman (2014 E.D. Cal.) 992 F.Supp.2d 1016, 1040-1041; see
Victrola, supra, 46 Cal.App.5th at p. 355 [when parties agree FAA applies, it preempts
conflicting state law]; see also Sonic-Calabasas A, Inc. v. Moreno (2013) 57 Cal.4th
1109, 1141 [California rule “prohibiting waiver of [certain] hearing” preempted by
FAA]; Pinnacle, supra, 55 Cal.4th at pp. 234-236 [discussing FAA preemption].)
       F. Competency
       Finally, the Gaverts contend James lacked competency to contract. If correct, the
entire arbitration agreement is unenforceable. Because the Gaverts raised the contention
in the trial court but the issue was not addressed, we believe it is appropriate to address as
a threshold matter on remand.
       Modesto objects, suggesting the Gaverts “should have filed a cross-appeal” had
they wished to “challenge the trial court’s implied ruling that James had capacity to sign
the arbitration agreement ….” We disagree because, as the prevailing party in full, the
Gaverts had no incentive to appeal, and the trial court should have ruled on the issue in
the first instance.
                                      CONCLUSION
       On remand, the trial court should first address and make findings whether James
was competent to sign the arbitration agreement. If not, it should reinstate its ruling
denying arbitration.
       If the trial court rules James was competent, it must grant the petition to compel
arbitration of all claims brought against Modesto. It should then exercise its discretion to
determine whether arbitration with Modesto, or the lawsuit and against the physicians,
should first proceed. (§ 1281.2, subd. (d); Preston v. Ferrer (2008) 552 U.S. 346, 361
[“state law [is] the gap filler” where neither FAA nor arbitration agreement “address[] the
order of proceedings” involving “pending litigation with third parties”].)

                                             14.
                                     DISPOSITION
       The May 27, 2022, order denying the petition to compel arbitration is vacated. On
remand, the trial court is directed to conduct proceedings consistent with this opinion.
Each party to bear its costs.

                                                                            SNAUFFER, J.
WE CONCUR:

LEVY, Acting P. J.

PEÑA, J.

                                            15.