Austiaj Limited Partnership v. Parineh CA6

CourtCalifornia Court of Appeal
DecidedOctober 18, 2013
DocketH037210
StatusUnpublished

This text of Austiaj Limited Partnership v. Parineh CA6 (Austiaj Limited Partnership v. Parineh CA6) is published on Counsel Stack Legal Research, covering California Court of Appeal primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Austiaj Limited Partnership v. Parineh CA6, (Cal. Ct. App. 2013).

Opinion

Filed 10/18/13 Austiaj Limited Partnership v. Parineh CA6 NOT TO BE PUBLISHED IN OFFICIAL REPORTS California Rules of Court, rule 8.1115(a), prohibits courts and parties from citing or relying on opinions not certified for publication or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 This opinion has not been certified for publication or ordered published for purposes of rule 8.1115.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

SIXTH APPELLATE DISTRICT

AUSTIAJ LIMITED PARTNERSHIP et H037210, H037516 al., (Santa Clara County Super. Ct. No. CV188848) Plaintiffs and Appellants,

v.

GUIV PARINEH et al.,

Defendants and Respondents.

Appellants Austiaj Parineh, Austiag Hormoz1 Parineh and Khashayar Parineh (collectively “appellants”), along with Austiaj Limited Partnership (ALP), sued their uncle, Guiv Parineh, alleging he committed various torts, including conversion and breach of fiduciary duty, when he served as the trustee of three individual trusts established for their benefit. Guiv in turn cross-complained against the appellants, alleging appellants conspired to mislead and deliberately induce him to commit the torts set forth in their complaint against him, and that they did so in order to later file that civil action. Appellants brought special motions to strike, pursuant to Code of Civil Procedure section 425.16,2 certain causes of action in Guiv‟s cross-complaints, claiming that those

1 Henceforth “Hormoz,” to avoid confusion with his sister, Austiaj. 2 Further unspecified statutory references are to the Code of Civil Procedure. causes of action arise out of protected activity, namely their right to petition. The trial court denied the anti-SLAPP3 motions. We shall affirm the orders. I. FACTUAL AND PROCEDURAL BACKGROUND In 1992, Pooroushasb aka Peter Parineh (Peter), his now-deceased wife, Parima Parineh, and their three children, Austiaj, Hormoz and Khashayar, established ALP to hold the family‟s various investments, consisting mostly of real property. Peter owned 40 percent of ALP, with the other family members each holding a separate 15 percent interest in the partnership. Also in 1992, Guiv was designated as trustee of three individual irrevocable trusts4 established for the benefit of Austiaj, Hormoz and Khashayar. In 2010, however, Austiaj, Hormoz and Khashayar asserted control over their respective trusts. According to Austiaj, Hormoz and Khashayar, Guiv refused to provide an accounting to them of his management of the brokerage accounts associated with their respective trusts. However, they eventually obtained documents relating to those accounts in October 2010. Austiaj, Hormoz and Khashayar claim those documents revealed that $2.4 million had been deposited in each of the three accounts in May 2007, but less than a month later, Guiv had transferred $2.375 million from each account to “an unknown account.” The three siblings subsequently filed a complaint5 against Guiv, Peter and several other parties, listing causes of action for breach of fiduciary duty, conversion, unjust

3 “SLAPP” stands for “ „strategic lawsuits against public participation.‟ ” (Navellier v. Sletten (2002) 29 Cal.4th 82, 85 (Navellier).) 4 The trusts are known as Parineh Family Trust I, II and III. 5 The original complaint named ALP and the three trusts as plaintiffs. However, trusts are not recognized as legal entities and may not sue or be sued. (See Prob. Code, §§ 17200, subd. (a), 17200.1; see also Code Civ. Proc., § 369, subd. (a)(1).) The first (continued)

2 enrichment, and accounting. The operative complaint alleges that Peter and Guiv, with the assistance of the other defendants, misappropriated funds from the three trusts and from ALP, and used those funds for their personal enrichment. Guiv cross-complained against Peter, Austiaj, Hormoz and Khashayar, among others, alleging that the 2007 deposits were made by Peter, Austiaj, Hormoz and Khashayar themselves. At the time, they informed Guiv the funds came from the sale of real property belonging to ALP. Within a few days, however, Peter, Austiaj, Hormoz and Khashayar told Guiv that ALP‟s accountant had advised them the taxes owed on these funds would be substantial unless they engaged in a “like kind” exchange of investment property as allowed by 26 United States Code section 1031. Consequently, Guiv says he was specifically instructed by Peter, Austiaj, Hormoz and Khashayar to sign a letter of authorization transferring funds from the trust accounts into what they told him was ALP‟s brokerage account. Guiv had no control over that other account and the account number was provided to him by Peter, Austiaj, Hormoz and Khashayar. Because his brother and his brother‟s children were well-educated adults, each of whom also held real estate licenses, Guiv followed their instructions. He alleges he does not know what happened to the monies after they were transferred to the other account. As to Austiaj, Hormoz and Khashayar, the cross-complaint includes various fraud causes of action as well as causes of action for conspiracy, indemnity, contribution, and accounting. In support of each of his causes of action, Guiv alleges that, at the time his brother and his brother‟s children instructed him to transfer the funds to what they told him was ALP‟s account, Austiaj, Hormoz and Khashayar secretly intended to sue him for conversion and breach of fiduciary duty.

amended complaint substituted Austiaj, Hormoz and Khashayar in their capacities as trustees of the Parineh Family Trusts (I, II and III) as plaintiffs in place of the trusts.

3 Austiaj, Hormoz and Khashayar filed a special motion to strike eight causes of action in the cross-complaint on the grounds they arose from their protected activity of filing the underlying lawsuit. The trial court denied the motion, finding that Austiaj, Hormoz and Khashayar had “failed to make a prima facie showing that the present action arises from or is based upon their protected free speech or petitioning activity.” Consequently, the trial court did not proceed to determine whether Guiv could demonstrate a probability of prevailing on the claims. Austiaj, Hormoz and Khashayar timely appealed from the trial court‟s July 8, 2011 order (H037210). Shortly after the ruling on the initial anti-SLAPP motion, Guiv filed a first amended cross-complaint, adding a cause of action for financial elder abuse. The first amended complaint alleges that the above-described fraudulent conduct of Austiaj, Hormoz and Khashayar constitutes financial elder abuse because Guiv was 65 years old at the time he transferred the funds from the trust accounts at their direction. Austiaj, Hormoz and Khashayar filed a second anti-SLAPP motion directed at the newly-pleaded elder abuse cause of action. The trial court denied that motion as well, on the grounds Austiaj, Hormoz and Khashayar had again failed to show that the cause of action arises from protected activity. As before, the court did not address the secondary question of whether Guiv could demonstrate a probability of prevailing on the claim. Austiaj, Hormoz and Khashayar timely appealed from the trial court‟s September 22, 2011 order (H037516). Austiaj, Hormoz and Khashayar requested that we consolidate the two appeals (H037210 and H037516), but we denied the motion, ordering instead that the matters be considered together for purposes of record preparation, briefing, oral argument and decision.

4 II. DISCUSSION Before addressing the merits of the appeals, we first dispose of Guiv‟s arguments that one or both appeals should be dismissed on procedural grounds. A.

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